UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                     Form 13F
                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       September 28, 2007
Check here if Amendment [   ];  Amendment Number:
This Amendment (Check only one.):       [   ] is a restatement.
                                        [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                    Cohen & Steers Capital Management Inc.
Address:                 280 Park Avenue
                         10th Floor
                         New York, NY 10017

Form 13F File Number:    28-2405

The institutional  investment  manager filing this report and the person by whom
it is signed hereby  represent  that the person signing the report is authorized
to  submit  it,  that all  information  contained  herein is true, correct  and
complete,  and  that it is  understood  that  all  required  items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:               Lisa Phelan
Title:              Vice President and Chief Compliance Officer
Phone:              (212) 832-3232


Signature, Place, and Dating of Signing:



/s/ Lisa Phelan                 New York, NY             November 14, 2007
-----------------              ---------------          ------------------

Report Type (Check only one.):

[ ] 13F HOLDINGS  REPORT.  (Check  here if all  holdings  of this  reporting
    manager are reported in this report.)

[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
    holdings are reported by other reporting manager(s).)

[X] 13F COMBINATION  REPORT.  (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)


List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

        Form 13F File Number            Name

        028-01190                       FRANK RUSSELL COMPANY



                     Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                            1

Form 13F Information Table Entry Total:                     362

Form 13F Information Table Value Total:                19,733,968 (thousands)

List of Other Included Managers:

Provide  a  numbered  list of the  name(s)  and Form 13F file  number(s)  of all
institutional  investment  managers  with respect to which this report is filed,
other than the manager filing this report.

     No.      Form 13F File Number      Name

     01                                 Cohen & Steers Europe SA




                           FORM 13F INFORMATION TABLE



        ITEM 1:         ITEM 2:      ITEM 3:       ITEM 4:       ITEM 5:         ITEM 6:   ITEM 7:           ITEM 8:
----------------------------   --------   -------    ---------------   -------  --------  --------------------------
                         TITLE
                          OF                       VALUE        SHARES/ SH/ PUT/ INVSTMT  OTHER         VOTING AUTHORITY
NAME OF ISSUER           CLASS       CUSIP        (X$1000)      PRN AMT PRN CALL DSCRETN  MANAGERS    SOLE    SHARED    NONE
----------------------------  --------    -------   --------- -------- -------  --------   ------  -------  -------
                                                                                           
3M Co Common              COM       88579Y101        2,733       29,200 SH         Sole               29,200                -
Abbott Laboratories Commo COM       002824100       18,995      354,263 SH         Sole              354,263                -
ACE Ltd Common            COM       G0070K103       12,078      199,400 SH         Sole              199,400                -
Advent Claymore Conv Sec  COM       00764C109       16,208      634,118 SH         Sole              634,118                -
Advent Claymore Global Co COM       007639107        1,559       95,000 SH         Sole               95,000                -
Advent/Claymore Enh Gr &  COM       00765E104        3,933      225,749 SH         Sole              225,749                -
AES Corp Common           COM       00130H105        2,158      107,700 SH         Sole              107,700                -
Aflac Inc                 COM       001055102       19,819      347,449 SH         Sole              347,449                -
AGL Resources Inc         COM       001204106       12,738      321,500 SH         Sole              321,500                -
Alcoa Inc Common          COM       013817101        6,242      159,558 SH         Sole              159,558                -
Alexandria Real Estate Eq COM       015271109       75,619      785,583 SH         Sole              702,193           83,390
Allegheny Energy, Inc.    COM       017361106        2,561       49,000 SH         Sole               49,000                -
Alliant Energy Corp Commo COM       018802108          307        8,000 SH         Sole                8,000                -
Allstate Corp/The Common  COM       020002101       10,849      189,700 SH         Sole              189,700                -
Alpine Global Dynamic Div COM       02082E106        6,244      268,103 SH         Sole              268,103                -
Alpine Total Dynamic Div  COM       021060108       13,167      670,075 SH         Sole              670,075                -
Altria Group Inc Common   COM       02209S103       16,412      236,033 SH         Sole              236,033                -
AMB Property Corp Common  COM       00163T109       75,865    1,268,418 SH         Sole            1,145,618          122,800
Ameren Corp Common        COM       023608102      101,623    1,935,683 SH         Sole            1,935,683                -
America Movil SAB de CV A COM       02364W105        4,902       76,600 SH         Sole               76,600                -
American Campus Communiti COM       024835100       55,782    1,904,500 SH         Sole            1,877,100           27,400
American Electric Power C COM       025537101       29,307      636,000 SH         Sole              636,000                -
American International Gr COM       026874107       14,825      219,137 SH         Sole              219,137                -
American Tower Corporatio COM       029912201          544       12,500 SH         Sole               12,500                -
Annaly Capital Management COM       035710409       24,682    1,549,385 SH         Sole            1,549,385                -
Apartment Invt & Mgmt     COM       03748R101      375,137    8,312,371 SH         Sole            7,670,360          642,011
Archer Daniels Midland Co COM       039483102        9,999      302,279 SH         Sole              302,279                -
AT&T Common               COM       00206R102       54,390    1,285,504 SH         Sole            1,285,504                -
Atmos Energy Corp Common  COM       049560105        5,961      210,500 SH         Sole              210,500                -
AvalonBay Communities Inc COM       053484101      405,296    3,432,967 SH         Sole            3,183,008          249,959
Baker Hughes Inc Common   COM       057224107        7,717       85,400 SH         Sole               85,400                -
Bank of America Corp Comm COM       060505104       28,779      572,499 SH         Sole              572,499                -
Becton Dickinson & Co COM       075887109          459        5,600 SH         Sole                5,600                -
Bemis Co Common           COM       081437105        1,979       68,000 SH         Sole               68,000                -
BioMed Realty Trust Inc C COM       09063H107      219,272    9,098,448 SH         Sole            8,301,638          796,810
Blackrock Corp HY Fund VI COM       09255P107        4,036      322,100 SH         Sole              322,100                -
Blackrock Corporate High  COM       09255L106        2,362      305,600 SH         Sole              305,600                -
Blackrock Corporate High  COM       09255N102        1,324      104,600 SH         Sole              104,600                -
Blackrock Dividend Achiev COM       09250N107          464       33,278 SH         Sole               33,278                -
Blackrock Global Enrg & R COM       09250U101        8,329      276,700 SH         Sole              276,700                -
Blackrock Global Eq Inc T COM       09255D104          785       44,585 SH         Sole               44,585                -
Blackrock Health Sciences COM       09250W107        4,864      183,900 SH         Sole              183,900                -
Blackrock Inc. COM        COM       09247X101        9,442       54,450 SH         Sole               54,450                -
Blackrock International G COM       092524107          515       29,300 SH         Sole               29,300                -
Blackrock Ltd Duration In COM       09249W101            -            1 SH         Sole                    1                -
Blackrock Pfd & Eq Adv Tr COM       092508100        9,268      490,618 SH         Sole              490,618                -
Blackrock Real Asset Equi COM       09254B109        5,874      351,100 SH         Sole              351,100                -
Blackrock Strat Dvd Achv  COM       09249Y107        1,666      123,400 SH         Sole              123,400                -
Boeing Co Common          COM       097023105       10,735      102,243 SH         Sole              102,243                -
Boston Properties Inc Com COM       101121101      784,285    7,548,476 SH         Sole            6,900,246          648,230
Brandywine Realty Trust C COM       105368203      181,786    7,182,380 SH         Sole            7,117,697           64,683
BRE Properties Inc Common COM       05564E106      265,956    4,755,174 SH         Sole            4,105,874          649,300
Brookfield Properties Co  COM       112900105      353,293   14,188,462 SH         Sole           12,451,715        1,736,747
C&S REIT and Utility Inco COM       19247Y108          129        6,201 SH         Sole                6,201                -
C&S Select Utility Fund C COM       19248A109          151        5,786 SH         Sole                5,786                -
Calamos Convertible & Inc COM       12811P108        4,703      306,612 SH         Sole              306,612                -
Calamos Global Total Retu COM       128118106           52        2,900 SH         Sole                2,900                -
Calamos Strat Tot Return  COM       128125101       19,872    1,337,300 SH         Sole            1,337,300                -
Camden Property Trust Com COM       133131102      218,512    3,400,957 SH         Sole            3,133,057          267,900
Capital And Inc Strat Fd  COM       09256A109        4,073      193,200 SH         Sole              193,200                -
Carnival Corp Common      COM       143658300        3,097       63,950 SH         Sole               63,950                -
CBL & Associates Properti COM       124830100       19,006      542,281 SH         Sole              542,281                -
Cedar Shopping Centers In COM       150602209       88,593    6,504,700 SH         Sole            6,414,900           89,800
CenterPoint Energy, Inc.  COM       15189T107          834       52,000 SH         Sole               52,000                -
Chevron Corp Common       COM       166764100       14,714      157,230 SH         Sole              157,230                -
China Mobile Ltd ADR      COM       16941M109        6,936       84,550 SH         Sole               84,550                -
Citigroup Inc Common      COM       172967101       21,639      463,638 SH         Sole              463,638                -
Citizens Communications C COM       17453B101       27,997    1,955,100 SH         Sole            1,955,100                -
Cleco Corp Common         COM       12561W105       12,842      508,200 SH         Sole              508,200                -
Clough Global Allocation  COM       18913Y103        2,260      109,600 SH         Sole              109,600                -
Clough Global Equity Fund COM       18914C100        3,568      176,900 SH         Sole              176,900                -
Clough Global Opportuniti COM       18914E106       15,916      907,385 SH         Sole              907,385                -
CMS Energy Corp Common    COM       125896100          431       25,600 SH         Sole               25,600                -
CNOOC Ltd ADR             COM       126132109           58          350 SH         Sole                  350                -
Coca-Cola Co/The Common   COM       191216100        2,500       43,500 SH         Sole               43,500                -
Colonial Properties Trust COM       195872106      116,329    3,391,520 SH         Sole            3,367,620           23,900
Comerica Common           COM       200340107        5,497      107,200 SH         Sole              107,200                -
Comverge Common           COM       205859101          424       12,900 SH         Sole               12,900                -
ConocoPhillips Common     COM       20825C104       12,180      138,770 SH         Sole              138,770                -
Consolidated Edison Inc C COM       209115104      102,170    2,206,700 SH         Sole            2,206,700                -
Constellation Energy Grou COM       210371100       24,184      281,900 SH         Sole              281,900                -
Corning Inc Common        COM       219350105        8,467      343,500 SH         Sole              343,500                -
Corporate Office Properti COM       22002T108        3,360       80,700 SH         Sole               80,700                -
Costco Wholesale Corp Com COM       22160K105        3,246       52,900 SH         Sole               52,900                -
DCP Midstream Partners LP COM       23311P100       16,230      377,600 SH         Sole              377,600                -
DCT Industrial Trust Comm COM       233153105       78,298    7,478,378 SH         Sole            7,395,278           83,100
Developers Diversified Re COM       251591103      468,871    8,392,174 SH         Sole            7,780,017          612,157
Devon Energy Corp Common  COM       25179M103       12,419      149,273 SH         Sole              149,273                -
Diageo PLC ADR            COM       25243Q205        8,703       99,200 SH         Sole               99,200                -
DiamondRock Hospitality C COM       252784301       81,106    4,658,600 SH         Sole            4,589,900           68,700
Dividend Cap Real Inc All COM       25537T105        2,963      265,474 SH         Sole              265,474                -
Dominion Resources Inc/VA COM       25746U109       57,510      682,200 SH         Sole              682,200                -
Douglas Emmett Common     COM       25960P109       61,598    2,490,788 SH         Sole            2,230,180          260,608
Dow 30 Enhanced Preimium  COM       260537105        5,615      315,972 SH         Sole              315,972                -
Dow 30 Prem & Div Inc Fun COM       260582101           95        4,800 SH         Sole                4,800                -
Dow Chemical Co/The Commo COM       260543103        7,277      169,000 SH         Sole              169,000                -
DPL Inc Common            COM       233293109        8,894      338,700 SH         Sole              338,700                -
DREMAN/CLAYMORE CEF       COM       26153R100        1,516       75,900 SH         Sole               75,900                -
DTE Energy Co Common      COM       233331107       94,783    1,956,700 SH         Sole            1,956,700                -
Duke Energy Corp Common   COM       26441C105      161,437    8,637,620 SH         Sole            8,637,620                -
Duke Realty Corp Common   COM       264411505          336        9,945 SH         Sole                9,945                -
Duncan Energy Partners Co COM       265026104        3,371      147,900 SH         Sole              147,900                -
DWS Glbl Commodities Stk  COM       23338Y100        4,982      254,076 SH         Sole              254,076                -
DWS RREEF Real Estate CEF COM       233384106        5,220      235,547 SH         Sole              235,547                -
DWS RREEF Real Estate II  COM       23338X102        7,659      455,900 SH         Sole              455,900                -
Dynegy Inc Class A Common COM       26817G102          550       59,500 SH         Sole               59,500                -
E.ON AG ADR               COM       268780103       93,944    1,530,785 SH         Sole            1,530,785                -
EastGroup Properties Inc  COM       277276101      130,425    2,881,666 SH         Sole            2,620,625          261,041
Eastman Chemical Company  COM       277432100        2,336       35,000 SH         Sole               35,000                -
Eaton Vance Enh Eqt Inc I COM       278277108       17,148      894,973 SH         Sole              894,973                -
Eaton Vance Enhanced Eq I COM       278274105        4,154      213,661 SH         Sole              213,661                -
Eaton Vance Ltd Duration  COM       27828H105        1,314       80,000 SH         Sole               80,000                -
Eaton Vance T/M Buy-Write COM       27828X100        4,966      252,470 SH         Sole              252,470                -
Eaton Vance T/M Buy-Write COM       27828Y108       11,402      628,567 SH         Sole              628,567                -
Eaton Vance TA Gl Div & I COM       27828S101       11,841      427,000 SH         Sole              427,000                -
Eaton Vance Tax Man Glbl  COM       27829C105       17,614      965,165 SH         Sole              965,165                -
Eaton Vance Tax Man Glbl  COM       27829F108       10,859      634,626 SH         Sole              634,626                -
Eaton Vance Tax-Adv Dvd I COM       27828G107       12,557      436,900 SH         Sole              436,900                -
Eaton Vance Tax-Mgd Dvsfi COM       27828N102       20,693    1,167,105 SH         Sole            1,167,105                -
Edison International Comm COM       281020107       55,536    1,001,540 SH         Sole            1,001,540                -
Education Realty Trust In COM       28140H104       54,580    4,042,968 SH         Sole            3,942,068          100,900
EI Du Pont de Nemours &am COM       263534109        4,361       88,000 SH         Sole               88,000                -
Eli Lilly and Co Common   COM       532457108        4,794       84,200 SH         Sole               84,200                -
Energy Income And Growth  COM       292697109        3,004      121,100 SH         Sole              121,100                -
Energy Transfer Partners  COM       29273R109       14,682      300,550 SH         Sole              300,550                -
EnergySouth Common        COM       292970100          522       10,354 SH         Sole               10,354                -
Enernoc Inc Common        COM       292764107          649       17,000 SH         Sole               17,000                -
Enhanced S&P 500 Covered  COM       29332W107           89        5,000 SH         Sole                5,000                -
Entergy Corp Common       COM       29364G103      146,885    1,356,404 SH         Sole            1,356,404                -
Enterprise Products Ptnrs COM       293792107       18,268      603,900 SH         Sole              603,900                -
Entertainment Properties  COM       29380T105       57,078    1,123,600 SH         Sole            1,097,300           26,300
Equitable Resources Inc C COM       294549100       70,762    1,364,220 SH         Sole            1,364,220                -
Equity Lifestyle Properti COM       29472R108       49,686      959,200 SH         Sole              882,840           76,360
Equity One Inc Common     COM       294752100      103,296    3,797,666 SH         Sole            3,504,066          293,600
Equity Residential Common COM       29476L107      618,750   14,606,941 SH         Sole           13,089,079        1,517,862
Essex Property Trust Inc  COM       297178105       73,897      628,541 SH         Sole              563,350           65,191
Evergreen Global Div Oppt COM       30024H101       11,879      650,900 SH         Sole              650,900                -
Evergreen Util & High Inc COM       30034Q109          291       10,726 SH         Sole               10,726                -
Exelon Corp Common        COM       30161N101      189,749    2,517,902 SH         Sole            2,517,902                -
Exterran Partners LP Comm COM       30225N105        6,592      206,000 SH         Sole              206,000                -
Extra Space Storage Inc C COM       30225T102      114,008    7,407,977 SH         Sole            6,614,077          793,900
Exxon Mobil Corp Common   COM       30231G102       17,965      194,097 SH         Sole              194,097                -
Fairpoint Communications  COM       305560104       35,664    1,891,000 SH         Sole            1,891,000                -
Federal Realty Invs Trust COM       313747206      262,739    2,965,465 SH         Sole            2,602,230          363,235
Fiduciary/Claymore Mlp Op COM       31647Q106        3,718      162,661 SH         Sole              162,661                -
Fifth Third Bancorp Commo COM       316773100        5,058      149,300 SH         Sole              149,300                -
First Industrial Realty T COM       32054K103       33,926      872,800 SH         Sole              872,800                -
First Potomac Realty Trus COM       33610F109       40,650    1,864,720 SH         Sole            1,786,163           78,557
FirstEnergy Corp Common   COM       337932107      101,869    1,608,270 SH         Sole            1,608,270                -
Forest City Enterprises I COM       345550107       85,365    1,547,582 SH         Sole            1,295,158          252,424
Fortress Investment Group COM       34958B106        6,164      289,100 SH         Sole              289,100                -
FPL Group Inc Common      COM       302571104      113,866    1,870,336 SH         Sole            1,870,336                -
Franklin Templeton Ltd Du COM       35472T101          130       10,500 SH         Sole               10,500                -
Freddie Mac Common        COM       313400301        9,792      165,940 SH         Sole              165,940                -
Gabelli Dividend & Income COM       36242H104       11,482      533,808 SH         Sole              533,808                -
Gabelli Global Deal Fund  COM       36245G103          819       47,800 SH         Sole               47,800                -
General Dynamics Corp Com COM       369550108       15,113      178,919 SH         Sole              178,919                -
General Electric Co Commo COM       369604103       19,223      464,330 SH         Sole              464,330                -
General Growth Properties COM       370021107      324,955    6,060,337 SH         Sole            4,787,669        1,272,668
General Mills Inc Common  COM       370334104        2,268       39,100 SH         Sole               39,100                -
Glimcher Realty Trust Com COM       379302102      127,326    5,418,134 SH         Sole            5,343,734           74,400
GlobalSantaFe Corp Common COM       G3930E101       10,994      144,620 SH         Sole              144,620                -
GMH Communities Trust Com COM       36188G102       16,533    2,133,300 SH         Sole            2,133,300                -
Goldman Sach Group, Inc.  COM       38141G104        3,359       15,500 SH         Sole               15,500                -
Gramercy Capital Corp/New COM       384871109       55,117    2,189,800 SH         Sole            2,189,800                -
H & Q Life Sciences Invst COM       404053100        2,368      175,000 SH         Sole              175,000                -
HCC Insurance Holdings In COM       404132102       18,091      631,681 SH         Sole              631,681                -
Health Care Property Inve COM       40414L109      222,304    6,701,979 SH         Sole            6,639,579           62,400
Health Care REIT Inc Comm COM       42217K106      199,842    4,517,212 SH         Sole            4,482,183           35,029
Hewlett-Packard Co Common COM       428236103        4,116       82,674 SH         Sole               82,674                -
Highland Credit Strategie COM       43005Q107        4,943      270,088 SH         Sole              270,088                -
Highland Distressed Opprt COM       430067108        2,374      185,000 SH         Sole              185,000                -
Highwoods Properties Inc  COM       431284108      124,764    3,402,356 SH         Sole            3,368,456           33,900
HJ Heinz Co Common        COM       423074103        4,454       96,400 SH         Sole               96,400                -
Home Properties Inc Commo COM       437306103      238,318    4,567,224 SH         Sole            4,455,959          111,265
Hospitality Properties Tr COM       44106M102      134,212    3,301,664 SH         Sole            3,259,764           41,900
Host Hotels & Resorts Com COM       44107P104      473,440   21,097,952 SH         Sole           19,359,106        1,738,846
HRPT Properties Trust Com COM       40426W101       60,277    6,094,700 SH         Sole            6,094,700                -
HSBC Holdings PLC ADR     COM       404280406        8,473       91,500 SH         Sole               91,500                -
ING Clarion Global Real E COM       44982G104       16,588      839,913 SH         Sole              839,913                -
ING Clarion Real Estate I COM       449788108        3,808      249,700 SH         Sole              249,700                -
ING Global Advntge & Prem COM       44982N109        6,655      324,300 SH         Sole              324,300                -
ING Global Eqty Div & Pre COM       45684E107        3,630      186,844 SH         Sole              186,844                -
ING Risk Managed Natural  COM       449810100       10,174      550,831 SH         Sole              550,831                -
Inland Real Estate Corp C COM       457461200       99,211    6,404,782 SH         Sole            6,185,682          219,100
Integrys Energy Group Inc COM       45822P105       11,665      227,700 SH         Sole              227,700                -
Intel Corp Common         COM       458140100        8,487      328,201 SH         Sole              328,201                -
International Business Ma COM       459200101        7,202       61,133 SH         Sole               61,133                -
iStar Financial Inc Commo COM       45031U101      106,997    3,147,900 SH         Sole            3,114,200           33,700
ITC Holdings Corp Common  COM       465685105       25,043      505,400 SH         Sole              505,400                -
JC Penney Co Inc Common   COM       708160106        5,862       92,500 SH         Sole               92,500                -
JM Smucker Company Common COM       832696405          278        5,200 SH         Sole                5,200                -
John Han Bk & Thrift Opp  COM       409735107        9,408    1,148,660 SH         Sole            1,148,660                -
John Hancock T/A Dvd Inco COM       41013V100       14,341      758,400 SH         Sole              758,400                -
Johnson & Johnson Common  COM       478160104       15,127      230,236 SH         Sole              230,236                -
Johnson Controls Common   COM       478366107        1,819       15,400 SH         Sole               15,400                -
JPMorgan Chase & Co C COM       46625H100       13,150      286,994 SH         Sole              286,994                -
Kayne Anderson Energy Tot COM       48660P104        4,827      170,332 SH         Sole              170,332                -
Kayne Anderson Mlp Invest COM       486606106        5,468      173,600 SH         Sole              173,600                -
Keycorp Common            COM       493267108        3,485      107,800 SH         Sole              107,800                -
Kilroy Realty Corp Common COM       49427F108      184,128    3,036,903 SH         Sole            2,682,191          354,712
Kimberly-Clark Corp Commo COM       494368103        3,864       55,000 SH         Sole               55,000                -
Kimco Realty Corp Common  COM       49446R109       23,881      528,247 SH         Sole              488,947           39,300
Kinder Morgan Energy Part COM       494550106       13,762      278,592 SH         Sole              278,592                -
Kraft Foods Inc Common    COM       50075N104        9,502      275,326 SH         Sole              275,326                -
LaSalle Hotel Properties  COM       517942108       57,447    1,365,190 SH         Sole            1,093,461          271,729
Leggett & Platt Common    COM       524660107        3,426      178,800 SH         Sole              178,800                -
Liberty All Star Equity F COM       530158104        3,093      376,286 SH         Sole              376,286                -
Liberty Property Trust Co COM       531172104      495,501   12,322,829 SH         Sole           11,746,749          576,080
LMP Cap & Inc CEF CEF     COM       50208A102       10,553      533,259 SH         Sole              533,259                -
Lockheed Martin Corp Comm COM       539830109       12,650      116,600 SH         Sole              116,600                -
Macerich Co/The Common    COM       554382101      682,976    7,798,309 SH         Sole            6,844,370          953,939
Mack-Cali Realty Corp Com COM       554489104      350,444    8,526,573 SH         Sole            8,244,081          282,492
Macquarie Global Infr Tot COM       55608D101        1,039       36,000 SH         Sole               36,000                -
Macquarie/Ft Gl Int/Ut Dv COM       55607W100        1,592       60,000 SH         Sole               60,000                -
Madison/Claymore Covered  COM       556582104        1,931      147,489 SH         Sole              147,489                -
Magellan Midstream Partne COM       559080106        5,288      132,100 SH         Sole              132,100                -
Maguire Properties Inc Co COM       559775101      176,441    6,830,869 SH         Sole            6,274,196          556,673
Masco Corp Common         COM       574599106        2,672      115,300 SH         Sole              115,300                -
McDonald's Corp Common    COM       580135101        3,052       56,039 SH         Sole               56,039                -
Medtronic Common          COM       585055106       16,642      295,025 SH         Sole              295,025                -
Merck and Co Inc Common   COM       589331107        9,657      186,829 SH         Sole              186,829                -
Merrill Lynch Common      COM       590188108        4,298       60,300 SH         Sole               60,300                -
MGIC Investment Corp Comm COM       552848103        2,042       63,200 SH         Sole               63,200                -
Microchip Technology Inc  COM       595017104       11,017      303,348 SH         Sole              303,348                -
Microsoft Common          COM       594918104       13,564      460,415 SH         Sole              460,415                -
Mid-America Apartment Com COM       59522J103      134,942    2,706,982 SH         Sole            2,565,482          141,500
Mirant Corp Common        COM       60467R100        4,556      112,000 SH         Sole              112,000                -
Mission West Properties C COM       605203108       31,385    2,583,141 SH         Sole            2,516,541           66,600
Monsanto Co Common        COM       61166W101       12,135      141,534 SH         Sole              141,534                -
Morgan Stanley Common     COM       617446448        6,842      108,600 SH         Sole              108,600                -
Nasdaq Premium Income & G COM       63110R105        9,442      502,500 SH         Sole              502,500                -
National City Corp Common COM       635405103        3,984      158,800 SH         Sole              158,800                -
National Fuel Gas Co Comm COM       636180101        2,443       52,200 SH         Sole               52,200                -
National Retail Propertie COM       637417106       22,776      934,200 SH         Sole              934,200                -
Nationwide Health Propert COM       638620104      211,779    7,028,890 SH         Sole            6,970,290           58,600
Neuberger Berman Dvd Adv  COM       64127J102        3,791      165,700 SH         Sole              165,700                -
Neuberger Berman Income O COM       64126L108        2,968      207,700 SH         Sole              207,700                -
Neuberger Berman Real Est COM       64190A103        7,456      483,847 SH         Sole              483,847                -
Neuberger Berman Realty I COM       64126G109        5,522      265,086 SH         Sole              265,086                -
Newcastle Investment Corp COM       65105M108       44,928    2,549,808 SH         Sole            2,538,308           11,500
Newell Rubbermaid Inc Com COM       651229106        2,075       72,000 SH         Sole               72,000                -
NFJ Dvd Interest & Pr Str COM       65337H109       12,683      534,000 SH         Sole              534,000                -
Nicholas Applegate Eq & C COM       65370K100        4,531      194,650 SH         Sole              194,650                -
Nicholas-Applegate Conv.  COM       65370G109        3,671      248,904 SH         Sole              248,904                -
Nicholas-Applegate Intl & COM       65370C108        2,753      101,300 SH         Sole              101,300                -
Nike Inc Common           COM       654106103       13,429      228,937 SH         Sole              228,937                -
Nokia OYJ ADR             COM       654902204        3,512       92,600 SH         Sole               92,600                -
Nordstrom Inc Common      COM       655664100        7,124      151,940 SH         Sole              151,940                -
Norfolk Southern Corporat COM       655844108        1,261       24,300 SH         Sole               24,300                -
Northeast Utilities Commo COM       664397106       17,633      617,200 SH         Sole              617,200                -
NRG Energy Common         COM       629377508       14,759      349,000 SH         Sole              349,000                -
NSTAR Common              COM       67019E107       29,589      850,013 SH         Sole              850,013                -
Nuveen Diversified Divide COM       6706EP105        5,885      351,126 SH         Sole              351,126                -
Nuveen Equity Premium Inc COM       6706ER101        3,124      181,639 SH         Sole              181,639                -
Nuveen Global Value Oppty COM       6706EH103        2,540      135,100 SH         Sole              135,100                -
Nuveen Real Estate Income COM       67071B108        8,093      358,109 SH         Sole              358,109                -
Nuveen Tax-Adv Tot Ret St COM       67090H102        1,956       75,500 SH         Sole               75,500                -
OGE Energy Corp Common    COM       670837103        6,074      183,500 SH         Sole              183,500                -
Old Mutual Claymore Long- COM       68003N103        2,406      149,079 SH         Sole              149,079                -
Omega Healthcare Investor COM       681936100       38,086    2,452,400 SH         Sole            2,374,900           77,500
Oneok Inc Common          COM       682680103        4,655       98,200 SH         Sole               98,200                -
Paccar Inc Common         COM       693718108        2,967       34,800 SH         Sole               34,800                -
Parkway Properties Inc/Md COM       70159Q104       86,629    1,962,573 SH         Sole            1,753,573          209,000
Pepco Holdings Inc Common COM       713291102       63,828    2,357,000 SH         Sole            2,357,000                -
PepsiCo, Inc.             COM       713448108        2,821       38,510 SH         Sole               38,510                -
Petro-Canada Common       COM       71644E102        7,311      127,400 SH         Sole              127,400                -
Pfizer Inc Common         COM       717081103       14,677      600,734 SH         Sole              600,734                -
PG&E Corp Common          COM       69331C108      110,241    2,306,307 SH         Sole            2,306,307                -
PIMCO Corporate Opportuni COM       72201B101        2,589      173,742 SH         Sole              173,742                -
PIMCO Global StocksPLUS & COM       722011103        1,323       53,800 SH         Sole               53,800                -
Pinnacle West Capital Cor COM       723484101       40,304    1,020,100 SH         Sole            1,020,100                -
Pioneer High Income Trust COM       72369H106           53        3,190 SH         Sole                3,190                -
Pitney Bowes Inc Common   COM       724479100        4,451       98,000 SH         Sole               98,000                -
Plum Creek Timber co Comm COM       729251108       32,470      725,423 SH         Sole              724,723              700
PNC Financial Services Gr COM       693475105          524        7,700 SH         Sole                7,700                -
PNM Resources Common      COM       69349H107          559       24,000 SH         Sole               24,000                -
Post Properties Inc Commo COM       737464107       21,215      548,220 SH         Sole              490,662           57,558
PPG Industries Inc Common COM       693506107        2,365       31,300 SH         Sole               31,300                -
PPL Corp Common           COM       69351T106       64,925    1,402,278 SH         Sole            1,402,278                -
Procter & Gamble Co C COM       742718109       18,392      261,476 SH         Sole              261,476                -
Progress Energy Inc Commo COM       743263105       92,746    1,979,650 SH         Sole            1,979,650                -
Prologis Common           COM       743410102      449,290    6,771,510 SH         Sole            6,045,920          725,590
PS Business Parks Inc Com COM       69360J107       80,318    1,412,793 SH         Sole            1,161,804          250,989
Public Service Enterprise COM       744573106      129,560    1,472,443 SH         Sole            1,472,443                -
Public Storage Inc Common COM       74460D109      537,279    6,831,269 SH         Sole            6,042,649          788,620
Public Storage Inc Series COM       74460D729       21,398      826,200 SH         Sole              802,400           23,800
Questar Corp Common       COM       748356102          592       11,278 SH         Sole               11,278                -
Quicksilver Gas Services  COM       74839G106          447       18,000 SH         Sole               18,000                -
Ramco-Gershenson Properti COM       751452202       47,491    1,520,200 SH         Sole            1,450,800           69,400
Real Estate Income Fund C COM       50208C108        6,224      315,315 SH         Sole              315,315                -
Reaves Utility Inc CEF    COM       756158101        3,061      121,000 SH         Sole              121,000                -
Regency Centers Corp Comm COM       758849103      139,293    1,814,892 SH         Sole            1,624,097          190,795
Rio Tinto Plc ADR ADR     COM       767204100           34          100 SH         Sole                  100                -
Royce Value Trust CEF     COM       780910105          193       10,000 SH         Sole               10,000                -
RR Donnelley & Sons Co Co COM       257867101        1,971       53,900 SH         Sole               53,900                -
SB Emerging Markets Debt  COM       95766A101          446       25,000 SH         Sole               25,000                -
SCANA Corp Common         COM       80589M102        6,082      157,000 SH         Sole              157,000                -
Schlumberger LTD Common   COM       806857108       10,930      104,098 SH         Sole              104,098                -
SemGroup Energy Partners  COM       81662W108        5,073      175,000 SH         Sole              175,000                -
Sempra Energy Common      COM       816851109       24,938      429,068 SH         Sole              429,068                -
Senior Housing Prop Trust COM       81721M109      153,894    6,976,120 SH         Sole            6,835,620          140,500
Sierra Pacific Resources  COM       826428104        1,159       73,700 SH         Sole               73,700                -
Simon Property Group Inc  COM       828806109      788,556    7,885,553 SH         Sole            6,508,007        1,377,546
SL Green Realty Corp Comm COM       78440X101      457,295    3,916,211 SH         Sole            3,442,368          473,843
Small Cap Prem & Div Inc  COM       83165P101          266       15,000 SH         Sole               15,000                -
Sonoco Products Common    COM       835495102        1,778       58,900 SH         Sole               58,900                -
Source Capital Inc CEF    COM       836144105          707       11,000 SH         Sole               11,000                -
South Jersey Industries C COM       838518108          626       18,000 SH         Sole               18,000                -
Southern Union Co Common  COM       844030106          943       30,300 SH         Sole               30,300                -
Sovran Self Storage Inc C COM       84610H108      138,711    3,026,008 SH         Sole            2,952,908           73,100
Spectra Energy Corp Commo COM       847560109       88,638    3,620,860 SH         Sole            3,620,860                -
Starwood Hotels & Resorts COM       85590A401      276,970    4,559,176 SH         Sole            3,974,189          584,987
Strategic Hotel Capital I COM       86272T106      212,792   10,334,689 SH         Sole            9,679,989          654,700
Sunamerica Focused Alpha  COM       867037103        7,655      372,500 SH         Sole              372,500                -
Sunstone Hotel Investors  COM       867892101      110,670    4,316,279 SH         Sole            3,727,255          589,024
Supervalu Common          COM       868536103        2,941       75,400 SH         Sole               75,400                -
Targa Resources Partners  COM       87611X105       11,397      393,000 SH         Sole              393,000                -
Taubman Centers Inc Commo COM       876664103       84,533    1,543,976 SH         Sole            1,168,258          375,718
Teco Energy Common        COM       872375100       10,252      624,000 SH         Sole              624,000                -
Teva Pharmaceutical ADR   COM       881624209       11,250      252,984 SH         Sole              252,984                -
The Southern Co Common    COM       842587107      135,547    3,736,124 SH         Sole            3,736,124                -
Thomas Properties Group I COM       884453101       18,044    1,503,702 SH         Sole              905,502          598,200
Time Warner Common        COM       887317105       12,761      695,089 SH         Sole              695,089                -
Total SA Spon ADR         COM       89151E109           36          450 SH         Sole                  450                -
TXU Corp Common           COM       873168108       47,859      698,980 SH         Sole              698,980                -
U-Store-It Trust Common   COM       91274F104       70,574    5,346,515 SH         Sole            4,872,882          473,633
UDR INC Common            COM       902653104      344,990   14,185,450 SH         Sole           13,051,800        1,133,650
United Parcel Service Inc COM       911312106       14,386      191,560 SH         Sole              191,560                -
United Technologies Corpo COM       913017109        3,016       37,473 SH         Sole               37,473                -
Urstadt Biddle Properties COM       917286205       30,166    1,949,977 SH         Sole            1,864,877           85,100
US Bancorp Common         COM       902973304       14,921      458,700 SH         Sole              458,700                -
Valero Energy Corp Common COM       91913Y100        2,781       41,400 SH         Sole               41,400                -
Vectren Corp Common       COM       92240G101       19,435      712,167 SH         Sole              712,167                -
Ventas Inc Common         COM       92276F100      370,477    8,948,740 SH         Sole            8,746,488          202,252
Verizon Communications In COM       92343V104       51,107    1,154,186 SH         Sole            1,154,186                -
VF Corp Common            COM       918204108        2,213       27,400 SH         Sole               27,400                -
Vornado Realty Trust Comm COM       929042109      788,539    7,211,138 SH         Sole            6,751,835          459,303
Wachovia Corp Common      COM       929903102       10,471      208,800 SH         Sole              208,800                -
Washington Mututal Inc. C COM       939322103        5,402      153,000 SH         Sole              153,000                -
Washington Real Estate In COM       939653101       44,398    1,338,095 SH         Sole            1,298,395           39,700
Waste Management Inc Comm COM       94106L109        2,427       64,300 SH         Sole               64,300                -
Weingarten Realty Investo COM       948741103      136,058    3,281,721 SH         Sole            2,904,509          377,212
Wells Fargo & Co Common   COM       949746101       22,789      639,787 SH         Sole              639,787                -
Western Asset Emerging Mk COM       95766E103          782       60,000 SH         Sole               60,000                -
Western Asset High Income COM       95766J102        3,817      350,174 SH         Sole              350,174                -
Western Asset Managed Inc COM       95766K109        1,845      285,100 SH         Sole              285,100                -
Western Asset Opportunity COM       95766L107        4,057      654,287 SH         Sole              654,287                -
Williams Cos Inc Common   COM       969457100        1,747       51,300 SH         Sole               51,300                -
Windstream Corp Common    COM       97381W104        9,418      667,000 SH         Sole              667,000                -
Wisconsin Energy Group Co COM       976657106        2,071       46,000 SH         Sole               46,000                -
Worthington Industries Co COM       981811102        6,957      295,300 SH         Sole              295,300                -
Xcel Energy Inc Common    COM       98389B100       68,166    3,164,603 SH         Sole            3,164,603                -
Yum! Brands Common        COM       988498101       13,541      400,293 SH         Sole              400,293                -
Barclays Bank PLC 6.625%  PER       06739F390        2,003       82,800 SH         Sole               82,800                -
Entergy 7.625% CV         PER       29364G202        4,345       65,000 SH         Sole               65,000                -
HSBC Holdings PLC 6.20% ( PER       404280604          474       21,100 SH         Sole               21,100                -
Prudential PLC 6.52% (PUK PER       G7293H189          600       25,900 SH         Sole               25,900                -
Royal Bank of Scotland Pf PER       780097879          686       27,450 SH         Sole               27,450                -
Teekay LNG Partners LP Co PRTNRS    Y8564M105        6,063      179,700 SH         Sole              179,700                -
Teekay Offshore Partners  PRTNRS    Y8565J101        6,094      214,200 SH         Sole              214,200                -
Williams Partners LP Comm COM UNIT  96950F104       35,407      856,900 SH         Sole              856,900                -




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362 Data Records
19,733,968 Value Total
01 Other Manager on whose behalf report is filed