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

                                     Form 13F
                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       March 31, 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:               Robert Steers
Title:              Co-Chariman and Co-Chief Executive Officer
Phone:              (212) 832-3232


Signature, Place, and Dating of Signing:



/s/ Robert Steers              New York, NY             May 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:                     372

Form 13F Information Table Value Total:               20,768,973 (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       1,850       24,200  SH     Sole          24,200                   0
Abbott Laboratories              COM      002824100       2,193       39,300  SH     Sole          39,300                   0
ACE Ltd Common                   COM      G0070K103       1,655       29,000  SH     Sole          29,000                   0
Advent Claymore Conv Sec & Inc   COM      00764C109      17,098      611,500  SH     Sole         611,500                   0
Advent/Claymore Enh Gr & Inc     COM      00765E104       5,455      274,800  SH     Sole         274,800                   0
AES Corp Common                  COM      00130H105       1,829       85,000  SH     Sole          85,000                   0
Aflac Inc                        COM      001055102       2,541       54,000  SH     Sole          54,000                   0
AGL Resources Inc                COM      001204106      14,802      346,500  SH     Sole         346,500                   0
Alcoa Inc Common                 COM      013817101         464       13,700  SH     Sole          13,700                   0
Alexandria Real Estate Equitie   COM      015271109     179,965    1,793,011  SH     Sole       1,613,237             179,774
Allegheny Energy, Inc.           COM      017361106       3,243       66,000  SH     Sole          66,000                   0
Alliant Energy Corp Common       COM      018802108         359        8,000  SH     Sole           8,000                   0
Allstate Corp/The Common         COM      020002101       1,658       27,600  SH     Sole          27,600                   0
Alpine Global Dynamic Div CEF    COM      02082E106       3,424      143,605  SH     Sole         143,605                   0
Alpine Total Dynamic Div Fund    COM      021060108         624       30,000  SH     Sole          30,000                   0
Altria Group Inc Common          COM      02209S103       7,815       89,000  SH     Sole          89,000                   0
AMB Property Corp Common         COM      00163T109     130,325    2,216,794  SH     Sole       1,993,994             222,800
Ameren Corp Common               COM      023608102      92,311    1,835,200  SH     Sole       1,835,200                   0
American Campus Communities In   COM      024835100      73,382    2,422,632  SH     Sole       2,361,132              61,500
American Financial Realty Trus   COM      02607P305         639       63,442  SH     Sole          63,442                   0
American International Group I   COM      026874107       1,694       25,200  SH     Sole          25,200                   0
Annaly Capital Management Common COM      035710409      56,502    3,650,000  SH     Sole       3,353,500             296,500
Apartment Invt & Mgmt            COM      03748R101     446,224    7,734,862  SH     Sole       7,226,362             508,500
Aquila Inc COMMON                COM      03840P102         939      224,600  SH     Sole         224,600                   0
Archer Daniels Midland Common    COM      039483102         969       26,400  SH     Sole          26,400                   0
Archstone-Smith Trust Common     COM      039583109     447,718    8,248,307  SH     Sole       7,732,707             515,600
AT&T Common                      COM      00206R102      36,352      921,927  SH     Sole         921,927                   0
Atmos Energy Corp Common         COM      049560105       6,584      210,500  SH     Sole         210,500                   0
AvalonBay Communities Inc Common COM      053484101     519,872    3,999,011  SH     Sole       3,617,812             381,199
Avery Dennison Corp Common       COM      053611109       1,928       30,000  SH     Sole          30,000                   0
Baker Hughes Inc Common          COM      057224107       1,012       15,300  SH     Sole          15,300                   0
Bank of America Corp Common      COM      060505104       9,000      176,400  SH     Sole         176,400                   0
Becton Dickinson Co Common       COM      075887109         131        1,700  SH     Sole           1,700                   0
Bemis Co Common                  COM      081437105       2,271       68,000  SH     Sole          68,000                   0
BioMed Realty Trust Inc Common   COM      09063H107     198,434    7,545,030  SH     Sole       6,625,030             920,000
Blackrock Corp HY Fund VI CEF    COM      09255P107       7,981      586,000  SH     Sole         586,000                   0
Blackrock Corporate High Y CEF   COM      09255L106       3,069      372,900  SH     Sole         372,900                   0
Blackrock Corporate High Yield   COM      09255N102       3,888      283,200  SH     Sole         283,200                   0
Blackrock Dividend Achievers CEF COM      09250N107       4,609      308,100  SH     Sole         308,100                   0
Blackrock Global Enrg & Res CEF  COM      09250U101      13,528      484,700  SH     Sole         484,700                   0
Blackrock Global Opportunities   COM      092501105       2,093       74,600  SH     Sole          74,600                   0
Blackrock Health Sciences Trus   COM      09250W107       4,442      163,900  SH     Sole         163,900                   0
Blackrock Ltd Duration Inc Tru   COM      09249W101       4,594      236,800  SH     Sole         236,800                   0
Blackrock Pfd & Eq Adv Tr CEF    COM      092508100         830       35,000  SH     Sole          35,000                   0
Blackrock Real Asset Equity CEF  COM      09254B109       4,411      292,100  SH     Sole         292,100                   0
Blackrock Strat Dvd Achv Trs CEF COM      09249Y107       5,567      367,000  SH     Sole         367,000                   0
Blackrock World Investment Tru   COM      09250K103         396       23,500  SH     Sole          23,500                   0
Boeing Co Common                 COM      097023105         409        4,600  SH     Sole           4,600                   0
Boston Properties Inc Common     COM      101121101     753,157    6,415,312  SH     Sole       5,701,912             713,400
BP PLC Common                    COM      055622104         907       14,000  SH     Sole          14,000                   0
Brandywine Realty Trust Common   COM      105368203     252,175    7,547,881  SH     Sole       7,456,198              91,683
BRE Properties Inc Common        COM      05564E106     308,422    4,883,962  SH     Sole       4,230,662             653,300
Brookfield Properties Co Common  COM      112900105     316,626    7,856,732  SH     Sole       6,915,132             941,600
C&S REIT and Utility Income Fu   COM      19247Y108         140        6,201  SH     Sole           6,201                   0
C&S Select Utility Fund CEF      COM      19248A109         152        5,786  SH     Sole           5,786                   0
Calamos Global Total Return      COM      128118106       1,028       60,000  SH     Sole          60,000                   0
Calamos Strat Tot Return Fd CEF  COM      128125101      17,173    1,137,300  SH     Sole       1,137,300                   0
Camden Property Trust Common     COM      133131102     203,541    2,894,911  SH     Sole       2,755,611             139,300
Canadian Pacific Railway Ltd     COM      13645T100          28          500  SH     Sole             500                   0
Capital And Inc Strat Fd Inc     COM      09256A109       3,059      151,200  SH     Sole         151,200                   0
Carnival Corp Common             COM      143658300         258        5,500  SH     Sole           5,500                   0
CBL & Associates Properties      COM      124830100      57,116    1,273,764  SH     Sole       1,074,164             199,600
Cedar Shopping Centers Inc       COM      150602209      97,928    6,044,900  SH     Sole       5,955,100              89,800
Chevron Corp Common              COM      166764100       3,195       43,200  SH     Sole          43,200                   0
Citigroup Inc Common             COM      172967101       8,635      168,200  SH     Sole         168,200                   0
Citizens Communications Co       COM      17453B101      34,984    2,340,100  SH     Sole       2,340,100                   0
Cleco Corp Common                COM      12561W105      13,101      507,200  SH     Sole         507,200                   0
Clough Global Allocation Fd CEF  COM      18913Y103       1,865       89,600  SH     Sole          89,600                   0
Clough Global Equity Fund CEF    COM      18914C100       3,561      176,900  SH     Sole         176,900                   0
Clough Global Opportunities Fu   COM      18914E106       7,395      424,000  SH     Sole         424,000                   0
CMS Energy Corp Common           COM      125896100       2,058      115,600  SH     Sole         115,600                   0
Coca-Cola Co/The Common          COM      191216100       2,894       60,300  SH     Sole          60,300                   0
Colonial Properties Trust Common COM      195872106     206,682    4,525,552  SH     Sole       4,411,252             114,300
Comerica Common                  COM      200340107       6,338      107,200  SH     Sole         107,200                   0
ConocoPhillips Common            COM      20825C104       3,670       53,700  SH     Sole          53,700                   0
Consolidated Edison Inc Common   COM      209115104     115,993    2,271,700  SH     Sole       2,271,700                   0
Constellation Energy Group Inc   COM      210371100      24,955      287,000  SH     Sole         287,000                   0




      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     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE    SHARED     NONE
---------------------------    -------   --------   -------  -------- --- ---- -------   --------    ----    ------    ------

Corporate Office Properties Tr   COM      22002T108         292        6,400  SH     Sole           6,400                   0
Costco Wholesale Corp Common     COM      22160K105         888       16,500  SH     Sole          16,500                   0
Countrywide Financial Corp       COM      222372104         414       12,300  SH     Sole          12,300                   0
Cousins Properties Inc Common    COM      222795106      28,651      871,912  SH     Sole         781,912              90,000
Crescent Real Estate EQT Co      COM      225756105      28,545    1,423,005  SH     Sole       1,286,105             136,900
DCP Midstream Partners LP Common COM      23311P100      14,878      380,500  SH     Sole         380,500                   0
DCT Industrial Trust Common      COM      233153105     137,112   11,590,241  SH     Sole      11,153,441             436,800
Developers Diversified Realty    COM      251591103     319,400    5,077,891  SH     Sole       4,512,891             565,000
Devon Energy Corp Common         COM      25179M103       1,087       15,700  SH     Sole          15,700                   0
Diageo PLC Common                COM      25243Q205       1,433       17,700  SH     Sole          17,700                   0
DiamondRock Hospitality Co       COM      252784301      81,341    4,281,074  SH     Sole       4,223,974              57,100
Digital Realty Trust Inc Common  COM      253868103      12,498      313,239  SH     Sole         313,239                   0
Disney Co Common                 COM      254687106          48        1,400  SH     Sole           1,400                   0
Dividend Cap Real Inc Alloc CEF  COM      25537T105       6,070      392,900  SH     Sole         392,900                   0
Dominion Resources Inc/VA Common COM      25746U109      57,567      648,500  SH     Sole         648,500                   0
Douglas Emmett Common            COM      25960P109      61,799    2,420,639  SH     Sole       2,174,139             246,500
Dow 30 Prem & Div Inc Fund CEF   COM      260582101         723       33,700  SH     Sole          33,700                   0
Dow Chemical Co/The Common       COM      260543103       4,999      109,000  SH     Sole         109,000                   0
DPL Inc Common                   COM      233293109      10,714      344,600  SH     Sole         344,600                   0
DREMAN/CLAYMORE CEF              COM      26153R100       5,682      262,200  SH     Sole         262,200                   0
DTE Energy Co Common             COM      233331107      97,294    2,031,200  SH     Sole       2,031,200                   0
Duke Energy Corp Common          COM      26441C105     175,369    8,643,120  SH     Sole       8,643,120                   0
Duke Realty Corp Common          COM      264411505      18,831      433,200  SH     Sole         433,200                   0
Duncan Energy Partners Common    COM      265026104       3,823      147,900  SH     Sole         147,900                   0
DWS Glbl Commodities Stk CEF     COM      23338Y100       1,766      109,001  SH     Sole         109,001                   0
DWS RREEF Real Estate CEF        COM      233384106       5,443      215,547  SH     Sole         215,547                   0
DWS RREEF Real Estate II CEF     COM      23338X102       8,048      415,900  SH     Sole         415,900                   0
E.ON AG Common                   COM      268780103      59,735    1,322,738  SH     Sole       1,322,738                   0
EastGroup Properties Inc Common  COM      277276101      99,868    1,957,036  SH     Sole       1,719,336             237,700
Eastman Chemical Company Common  COM      277432100       2,217       35,000  SH     Sole          35,000                   0
Eaton Vance Enh Eqt Inc II CEF   COM      278277108      16,017      794,477  SH     Sole         794,477                   0
Eaton Vance Enhanced Eq Incm CEF COM      278274105       5,199      247,800  SH     Sole         247,800                   0
Eaton Vance Ltd Duration Inc F   COM      27828H105       6,099      331,100  SH     Sole         331,100                   0
Eaton Vance T/M Buy-Write Inco   COM      27828X100       6,779      315,600  SH     Sole         315,600                   0
Eaton Vance T/M Buy-Write Opp    COM      27828Y108      14,131      689,000  SH     Sole         689,000                   0
Eaton Vance TA Gl Div & Inc CEF  COM      27828S101      11,123      427,000  SH     Sole         427,000                   0
Eaton Vance TA GL Div Opp CEF    COM      27828U106       2,723       89,500  SH     Sole          89,500                   0
Eaton Vance Tax Man Glbl Br CEF  COM      27829C105      17,971      909,900  SH     Sole         909,900                   0
Eaton Vance Tax-Adv Dvd Inc CEF  COM      27828G107      11,838      426,900  SH     Sole         426,900                   0
Eaton Vance Tax-Mgd Dvsfied Eq   COM      27828N102      17,051      853,400  SH     Sole         853,400                   0
Edison International Common      COM      281020107      46,833      953,240  SH     Sole         953,240                   0
Education Realty Trust Inc       COM      28140H104      48,718    3,296,200  SH     Sole       3,198,500              97,700
EI Du Pont de Nemours            COM      263534109       4,350       88,000  SH     Sole          88,000                   0
Eli Lilly and Co Common          COM      532457108       4,522       84,200  SH     Sole          84,200                   0
Energy East Corp Common          COM      29266M109       8,217      337,300  SH     Sole         337,300                   0
Energy Income And Growth Fd CEF  COM      292697109       2,762       94,400  SH     Sole          94,400                   0
Entergy Corp Common              COM      29364G103     141,579    1,349,404  SH     Sole       1,349,404                   0
Enterprise Products Ptnrs Common COM      293792107      11,225      353,000  SH     Sole         353,000                   0
Entertainment Properties Trust   COM      29380T105      77,066    1,279,100  SH     Sole       1,252,800              26,300
Equitable Resources Inc Common   COM      294549100      70,365    1,456,220  SH     Sole       1,456,220                   0
Equity Inns Inc Common           COM      294703103      21,317    1,301,400  SH     Sole       1,207,500              93,900
Equity Lifestyle Properties      COM      29472R108      48,107      890,700  SH     Sole         796,400              94,300
Equity One Inc Common            COM      294752100      46,054    1,737,900  SH     Sole       1,649,900              88,000
Equity Residential Common        COM      29476L107     641,383   13,298,423  SH     Sole      12,003,723           1,294,700
Essex Property Trust Inc Common  COM      297178105     165,151    1,275,498  SH     Sole       1,114,360             161,138
Evergreen Income Advantage Fun   COM      30023Y105       1,940      135,000  SH     Sole         135,000                   0
Exelon Corp Common               COM      30161N101     164,052    2,387,597  SH     Sole       2,387,597                   0
Extra Space Storage Inc Common   COM      30225T102     145,384    7,676,044  SH     Sole       6,933,644             742,400
Exxon Mobil Corp Common          COM      30231G102         936       12,400  SH     Sole          12,400                   0
F&C / Claymore Pfd Sec Inc Fun   COM      338478100       5,439      243,900  SH     Sole         243,900                   0
Fairpoint Communications Inc     COM      305560104      35,366    1,841,000  SH     Sole       1,841,000                   0
Federal Realty Invs Trust Common COM      313747206     218,374    2,409,785  SH     Sole       2,103,426             306,359
Fidelity National Info Service   COM      31620M106         208        4,567  SH     Sole           4,567                   0
Fidelity National Title Group    COM      31620R105         269       11,215  SH     Sole          11,215                   0
Fiduciary/Claymore Mlp Oppor     COM      31647Q106       2,326       95,600  SH     Sole          95,600                   0
Fifth Third Bancorp Common       COM      316773100       6,550      169,300  SH     Sole         169,300                   0
First Horizon National Corp      COM      320517105       5,476      131,850  SH     Sole         131,850                   0
First Industrial Realty Trust    COM      32054K103      58,170    1,284,100  SH     Sole       1,284,100                   0
First Potomac Realty Trust       COM      33610F109      14,982      524,400  SH     Sole         492,000              32,400
FirstEnergy Corp Common          COM      337932107      75,663    1,142,255  SH     Sole       1,142,255                   0
Forest City Enterprises Inc      COM      345550107       3,038       45,900  SH     Sole          31,900              14,000
Fortress Investment Group        COM      34958B106       1,256       43,800  SH     Sole          43,800                   0
FPL Group Inc Common             COM      302571104     107,230    1,752,986  SH     Sole       1,752,986                   0
Franklin Resources Inc           COM      354613101         205        1,700  SH     Sole           1,700                   0
Freddie Mac Common               COM      313400301       1,249       21,000  SH     Sole          21,000                   0
Ft/Fid Asset Mgmt Cov Call       COM      337318109       3,329      183,100  SH     Sole         183,100                   0
Gabelli Dividend & Income Tr     COM      36242H104      12,106      562,808  SH     Sole         562,808                   0
Gabelli Equity Trust CEF         COM      362397101         395       40,000  SH     Sole          40,000                   0
Gabelli Global Deal Fund CEF     COM      36245G103         843       43,100  SH     Sole          43,100                   0
General Dynamics Corp Common     COM      369550108       1,925       25,200  SH     Sole          25,200                   0
General Electric Co Common       COM      369604103       5,679      160,600  SH     Sole         160,600                   0
General Growth Properties Inc    COM      370021107     257,248    3,984,009  SH     Sole       2,974,409           1,009,600




      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     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

General Mills Inc Common         COM      370334104       2,160       37,100  SH     Sole          37,100                   0
Glimcher Realty Trust Common     COM      379302102     157,303    5,821,734  SH     Sole       5,717,834             103,900
GlobalSantaFe Corp Common        COM      G3930E101       1,301       21,100  SH     Sole          21,100                   0
GMH Communities Trust Common     COM      36188G102      29,808    2,983,813  SH     Sole       2,941,133              42,680
Gramercy Capital Corp/New York   COM      384871109      67,435    2,198,000  SH     Sole       2,198,000                   0
Harrah's Entertainment Inc       COM      413619107         583        6,900  SH     Sole           6,900                   0
Hawaiian Electric Industries I   COM      419870100      18,988      730,600  SH     Sole         730,600                   0
HCC Insurance Holdings Inc       COM      404132102       1,688       54,800  SH     Sole          54,800                   0
Health Care Property Investors   COM      421915109     294,254    8,166,904  SH     Sole       8,115,904              51,000
Health Care REIT Inc Common      COM      42217K106     224,754    5,119,670  SH     Sole       5,048,241              71,429
Healthcare Realty Trust Inc      COM      421946104       2,611       70,000  SH     Sole          70,000                   0
Hewlett-Packard Co Common        COM      428236103         173        4,300  SH     Sole           4,300                   0
Highland Distressed Opprtnties   COM      430067108         719       50,000  SH     Sole          50,000                   0
Highwoods Properties Inc         COM      431284108     140,407    3,555,500  SH     Sole       3,510,600              44,900
Hilton Hotels Corp Common        COM      432848109     216,577    6,022,711  SH     Sole       5,269,411             753,300
HJ Heinz Co Common               COM      423074103       4,542       96,400  SH     Sole          96,400                   0
Home Properties Inc Common       COM      437306103     261,352    4,948,911  SH     Sole       4,789,746             159,165
Hospitality Properties Trust     COM      44106M102     161,680    3,454,700  SH     Sole       3,412,800              41,900
Host Hotels   Resorts Common     COM      44107P104     318,586   12,108,899  SH     Sole      10,892,000           1,216,899
HRPT Properties Trust Common     COM      40426W101      89,470    7,274,000  SH     Sole       7,189,200              84,800
HSBC Holdings PLC Spons ADR      COM      404280406       1,256       14,300  SH     Sole          14,300                   0
ING Clarion Global Real Estate   COM      44982G104      16,127      744,913  SH     Sole         744,913                   0
ING Clarion Real Estate Income   COM      449788108       5,103      282,700  SH     Sole         282,700                   0
ING Global Advntge Premium       COM      44982N109      11,090      501,600  SH     Sole         501,600                   0
ING Global Eqty Div Premium      COM      45684E107       3,997      190,500  SH     Sole         190,500                   0
ING Risk Managed Natural Res     COM      449810100       3,991      205,100  SH     Sole         205,100                   0
Inland Real Estate Corp Common   COM      457461200     121,711    6,636,333  SH     Sole       6,416,333             220,000
Integrys Energy Group Inc Common COM      45822P105      24,524      441,800  SH     Sole         441,800                   0
Intel Corp Common                COM      458140100         386       20,200  SH     Sole          20,200                   0
Intercontinental Hotels ADR      COM      45857P202         470       19,012  SH     Sole          19,012                   0
International Business Machine   COM      459200101         434        4,600  SH     Sole           4,600                   0
iStar Financial Inc Common       COM      45031U101     160,603    3,429,500  SH     Sole       3,386,700              42,800
ITC Holdings Corp Common         COM      465685105      25,688      593,400  SH     Sole         593,400                   0
JC Penney Co Inc Common          COM      708160106       1,060       12,900  SH     Sole          12,900                   0
John Han Bk & Thrift Opp Fd      COM      409735107      12,899    1,340,900  SH     Sole       1,340,900                   0
John Hancock Preferred Income    COM      41013X106       1,613       64,300  SH     Sole          64,300                   0
John Hancock Preferred Income    COM      41021P103       4,433      192,000  SH     Sole         192,000                   0
John Hancock T/A Dvd Income      COM      41013V100      10,807      533,400  SH     Sole         533,400                   0
Johnson & Johnson Common         COM      478160104       2,163       35,900  SH     Sole          35,900                   0
Johnson Controls Common          COM      478366107         871        9,200  SH     Sole           9,200                   0
JPMorgan Chase Co Common         COM      46625H100       1,389       28,700  SH     Sole          28,700                   0
Kayne Anderson Energy Tot Rt     COM      48660P104       8,536      319,332  SH     Sole         319,332                   0
Kayne Anderson Mlp Investmen     COM      486606106         215        6,100  SH     Sole           6,100                   0
Kellogg Company Common           COM      487836108       2,211       43,000  SH     Sole          43,000                   0
Keycorp Common                   COM      493267108       4,414      117,800  SH     Sole         117,800                   0
Kilroy Realty Corp Common        COM      49427F108     186,717    2,531,750  SH     Sole       2,241,750             290,000
Kimberly-Clark Corp Common       COM      494368103       4,493       65,600  SH     Sole          65,600                   0
Kimco Realty Corp Common         COM      49446R109      41,740      856,381  SH     Sole         773,481              82,900
Kinder Morgan Energy Partners    COM      494550106      13,096      248,592  SH     Sole         248,592                   0
Kite Realty Group Trust Common   COM      49803T102      18,164      910,500  SH     Sole         874,100              36,400
Kraft Foods Inc Common           COM      50075N104       4,518      142,700  SH     Sole         142,700                   0
Legg Mason Inc Common            COM      524901105          75          800  SH     Sole             800                   0
Leggett & Platt Common           COM      524660107       4,461      196,800  SH     Sole         196,800                   0
Liberty All Star Equity Fund     COM      530158104       5,629      662,186  SH     Sole         662,186                   0
Liberty Property Trust Common    COM      531172104     605,767   12,433,655  SH     Sole      11,886,155             547,500
Linear Technology Corp Common    COM      535678106         704       22,300  SH     Sole          22,300                   0
Lockheed Martin Corp Common      COM      539830109       1,552       16,000  SH     Sole          16,000                   0
Macerich Co/The Common           COM      554382101     427,731    4,631,127  SH     Sole       4,144,963             486,164
Mack-Cali Realty Corp Common     COM      554489104     474,889    9,970,372  SH     Sole       9,454,515             515,857
Macquarie Global Infr Tot Rt     COM      55608D101       2,891       94,000  SH     Sole          94,000                   0
Macquarie/Ft Gl Int/Ut Dv In     COM      55607W100       1,414       50,300  SH     Sole          50,300                   0
Madison/Claymore Covered Cal     COM      556582104       2,749      180,270  SH     Sole         180,270                   0
Magellan Midstream Holdings      COM      55907R108       1,050       39,800  SH     Sole          39,800                   0
Magellan Midstream Partners      COM      559080106       2,672       57,100  SH     Sole          57,100                   0
Maguire Properties Inc Common    COM      559775101     237,341    6,674,376  SH     Sole       6,171,876             502,500
Masco Corp Common                COM      574599106       3,644      133,000  SH     Sole         133,000                   0
McDonald's Corp Common           COM      580135101         797       17,700  SH     Sole          17,700                   0
Medtronic Common                 COM      585055106       1,732       35,300  SH     Sole          35,300                   0
Merck and Co Inc Common          COM      589331107       4,333       98,100  SH     Sole          98,100                   0
Microchip Technology Inc Common  COM      595017104         821       23,100  SH     Sole          23,100                   0
Microsoft Common                 COM      594918104       1,040       37,300  SH     Sole          37,300                   0
Mid-America Apartment Comm       COM      59522J103     137,095    2,436,820  SH     Sole       2,279,620             157,200
Mirant Corp Common               COM      60467R100       4,329      107,000  SH     Sole         107,000                   0
Mission West Properties Common   COM      605203108      39,901    2,759,400  SH     Sole       2,692,800              66,600
Monsanto Co Common               COM      61166W101       1,094       19,900  SH     Sole          19,900                   0
Morgan Stanley Common            COM      617446448         536        6,800  SH     Sole           6,800                   0
National City Corp Common        COM      635405103       6,742      181,000  SH     Sole         181,000                   0
National Retail Properties       COM      637417106      22,598      934,200  SH     Sole         934,200                   0
Nationwide Health Properties I   COM      638620104     299,601    9,584,186  SH     Sole       9,460,986             123,200
Neuberger Berman Dvd Adv Fd      COM      64127J102       4,058      165,700  SH     Sole         165,700                   0
Neuberger Berman Income Opp      COM      64126L108       3,961      235,100  SH     Sole         235,100                   0
Neuberger Berman Real Estate     COM      64190A103       8,114      449,300  SH     Sole         449,300                   0




      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     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

Neuberger Berman Realty Inc      COM      64126G109       3,592      150,086  SH     Sole         150,086                   0
Newcastle Investment Corp        COM      65105M108     166,404    6,000,876  SH     Sole       5,787,776             213,100
Newell Rubbermaid Inc Common     COM      651229106       2,238       72,000  SH     Sole          72,000                   0
NFJ Dvd Interest & Pr Strat CEF  COM      65337H109      16,939      664,000  SH     Sole         664,000                   0
Nicholas-Applegate Conv. & Inc   COM      65370G109        2232      141,700  SH     Sole         141,700                   0
Nicholas-Applegate Intl & Prem   COM      65370C108         300       10,000  SH     Sole          10,000                   0
Nike Inc Common                  COM      654106103        1318       12,400  SH     Sole          12,400                   0
NiSource Inc Common              COM      65473P105        4025      164,700  SH     Sole         164,700                   0
Nokia OYJ Common                 COM      654902204         364       15,900  SH     Sole          15,900                   0
Nordstrom Inc Common             COM      655664100         709       13,400  SH     Sole          13,400                   0
Northeast Utilities Common       COM      664397106       20491      625,300  SH     Sole         625,300                   0
Northrop Grumman Corp Common     COM      666807102         742       10,000  SH     Sole          10,000                   0
NRG Energy Common                COM      629377508        9797      136,000  SH     Sole         136,000                   0
NSTAR Common                     COM      67019E107       25318      720,900  SH     Sole         720,900                   0
Nuveen Diversified Dividend      COM      6706EP105        5416      269,200  SH     Sole         269,200                   0
Nuveen Equity Prem & Growth      COM      6706EW100        4221      213,700  SH     Sole         213,700                   0
Nuveen Equity Premium Income     COM      6706ER101        9657      519,460  SH     Sole         519,460                   0
Nuveen Global Value Oppty CEF    COM      6706EH103        1897       95,100  SH     Sole          95,100                   0
Nuveen Real Estate Income Fd     COM      67071B108        6435      239,500  SH     Sole         239,500                   0
Nuveen Tax-Adv Tot Ret Strat     COM      67090H102        2032       75,500  SH     Sole          75,500                   0
OGE Energy Corp Common           COM      670837103        1940       50,000  SH     Sole          50,000                   0
Old Mutual Claymore Long-Short   COM      68003N103        2919      157,100  SH     Sole         157,100                   0
Omega Healthcare Investors Inc   COM      681936100       12809      746,900  SH     Sole         667,200              79,700
Paccar Inc Common                COM      693718108         404        5,500  SH     Sole           5,500                   0
Parkway Properties Inc/Md Common COM      70159Q104      117609    2,250,900  SH     Sole       1,974,800             276,100
Paychex Inc Common               COM      704326107        1409       37,200  SH     Sole          37,200                   0
Pennsylvania Real Estate Inves   COM      709102107       12714      286,800  SH     Sole         286,800                   0
Pepco Holdings Inc Common        COM      713291102       68777    2,370,000  SH     Sole       2,370,000                   0
Petro-Canada Common              COM      71644E102         859       21,900  SH     Sole          21,900                   0
Pfizer Inc Common                COM      717081103        5814      230,150  SH     Sole         230,150                   0
PG&E Corp Common                 COM      69331C108      112494    2,330,507  SH     Sole       2,330,507                   0
PIMCO Corporate Opportunity      COM      72201B101        1411       84,700  SH     Sole          84,700                   0
PIMCO Global StocksPLUS & Inc    COM      722011103        1369       50,000  SH     Sole          50,000                   0
Pinnacle West Capital Corp       COM      723484101       57307    1,187,700  SH     Sole       1,187,700                   0
Pitney Bowes Inc Common          COM      724479100        3754       82,700  SH     Sole          82,700                   0
Plum Creek Timber co Common      COM      729251108      224564    5,696,700  SH     Sole       5,085,500             611,200
PNC Financial Services Group     COM      693475105         266        3,700  SH     Sole           3,700                   0
PNM Resources Common             COM      69349H107        2258       69,900  SH     Sole          69,900                   0
Post Properties Inc Common       COM      737464107      119052    2,603,356  SH     Sole       2,359,892             243,464
PPG Industries Inc Common        COM      693506107        2018       28,700  SH     Sole          28,700                   0
PPL Corp Common                  COM      69351T106       59427    1,452,978  SH     Sole       1,452,978                   0
Preferred Income Strategies      COM      09255H105        1667       80,000  SH     Sole          80,000                   0
Procter Gamble Co Common         COM      742718109        2059       32,600  SH     Sole          32,600                   0
Progress Energy Inc Common       COM      743263105      110950    2,199,650  SH     Sole       2,199,650                   0
Prologis Common                  COM      743410102      387600    5,969,513  SH     Sole       5,317,072             652,441
PS Business Parks Inc Common     COM      69360J107       17224      244,238  SH     Sole         216,642              27,596
Public Service Enterprise Grou   COM      744573106      120495    1,451,043  SH     Sole       1,451,043                   0
Public Storage Inc Common        COM      74460D109      598291    6,319,751  SH     Sole       5,548,785             770,966
Public Storage Inc Series A      COM      74460D729       21895      826,200  SH     Sole         802,400              23,800
Questar Corp Common              COM      748356102        1038       11,639  SH     Sole          11,639                   0
Ramco-Gershenson Properties      COM      751452202       55294    1,548,400  SH     Sole       1,503,600              44,800
Rayonier Inc Common              COM      754907103       55295    1,285,911  SH     Sole       1,159,411             126,500
Real Estate Income Fund CEF      COM      50208C108        7359      297,707  SH     Sole         297,707                   0
Reaves Utility Inc CEF           COM      756158101        4208      169,000  SH     Sole         169,000                   0
Regency Centers Corp Common      COM      758849103      102287    1,224,267  SH     Sole       1,079,918             144,349
Rio Tinto Plc ADR ADR            COM      767204100          68          300  SH     Sole             300                   0
Royce Value Trust CEF            COM      780910105         883       40,000  SH     Sole          40,000                   0
RR Donnelley & Sons Co Common    COM      257867101        4032      110,200  SH     Sole         110,200                   0
Salomon Brothers Cap & Inc       COM      50208A102        8688      451,559  SH     Sole         451,559                   0
SCANA Corp Common                COM      80589M102        6778      157,000  SH     Sole         157,000                   0
Schlumberger LTD Common          COM      806857108         898       13,000  SH     Sole          13,000                   0
Sempra Energy Common             COM      816851109       13329      218,468  SH     Sole         218,468                   0
Senior Housing Prop Trust Common COM      81721M109      171985    7,195,992  SH     Sole       6,726,468             469,524
Sierra Pacific Resources Common  COM      826428104        1357       78,100  SH     Sole          78,100                   0
Simon Property Group Inc Common  COM      828806109      717446    6,448,950  SH     Sole       5,198,750           1,250,200
SL Green Realty Corp Common      COM      78440X101      316335    2,305,989  SH     Sole       2,003,500             302,489
Small Cap Prem & Div Inc Fund    COM      83165P101        3588      177,200  SH     Sole         177,200                   0
Sonoco Products Common           COM      835495102        2041       54,300  SH     Sole          54,300                   0
South Jersey Industries Common   COM      838518108         799       21,000  SH     Sole          21,000                   0
Southern Union Co Common         COM      844030106        1285       42,300  SH     Sole          42,300                   0
Sovran Self Storage Inc Common   COM      84610H108      122229    2,205,900  SH     Sole       2,157,000              48,900
Spectra Energy Corp Common       COM      847560109      109138    4,154,460  SH     Sole       4,154,460                   0
Spirit Finance Corp Common       COM      848568309      137366    9,219,200  SH     Sole       9,092,200             127,000
Starwood Hotels & Resorts Worl   COM      85590A401      255175    3,934,847  SH     Sole       3,408,747             526,100
Strategic Hotel Capital Inc      COM      86272T106      247075   10,803,459  SH     Sole      10,047,359             756,100
Sun Communities Inc Common       COM      866674104       64291    2,072,578  SH     Sole       1,873,578             199,000
Sunamerica Focused Alpha Gr      COM      867037103        6909      352,500  SH     Sole         352,500                   0
Sunstone Hotel Investors Inc     COM      867892101       12941      474,700  SH     Sole         430,100              44,600
Supervalu Common                 COM      868536103         500       12,800  SH     Sole          12,800                   0
Tanger Factory Outlet Centrs     COM      875465106       44778    1,108,651  SH     Sole       1,036,551              72,100
Targa Resources Partners LP      COM      87611X105       11459      395,000  SH     Sole         395,000                   0




      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     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

Taubman Centers Inc Common       COM      876664103       88444    1,525,155  SH     Sole       1,181,237             343,918
TCW Strategic Income Fund CEF    COM      872340104        1299      246,900  SH     Sole         246,900                   0
Teco Energy Common               COM      872375100       13321      774,000  SH     Sole         774,000                   0
Teva Pharmaceutical ADR          COM      881624209        1052       28,100  SH     Sole          28,100                   0
The Hershey Company Common       COM      427866108        1044       19,100  SH     Sole          19,100                   0
The Southern Co Common           COM      842587107      143211    3,907,524  SH     Sole       3,907,524                   0
Thomas Properties Group Inc      COM      884453101       10741      692,100  SH     Sole         437,700             254,400
Time Warner Common               COM      887317105        1213       61,500  SH     Sole          61,500                   0
TS&W/Claymore T/A Balanced CEF   COM      87280R108        2657      170,900  SH     Sole         170,900                   0
TXU Corp Common                  COM      873168108      126603    1,975,080  SH     Sole       1,975,080                   0
U-Store-It Trust Common          COM      91274F104      112271    5,580,054  SH     Sole       5,142,421             437,633
UDR INC Common                   COM      902653104      240066    7,853,000  SH     Sole       7,422,198             430,802
Union Pacific Corp Common        COM      907818108          41          400  SH     Sole             400                   0
United Parcel Service Inc        COM      911312106        2138       30,500  SH     Sole          30,500                   0
Universal Compression Partners   COM      913430104        6427      208,000  SH     Sole         208,000                   0
Urstadt Biddle Properties Inc    COM      917286205       38868    1,987,077  SH     Sole       1,901,977              85,100
US Bancorp Common                COM      902973304        8186      234,100  SH     Sole         234,100                   0
Vectren Corp Common              COM      92240G101       21469      750,667  SH     Sole         750,667                   0
Ventas Inc Common                COM      92276F100      426610   10,126,056  SH     Sole       9,799,604             326,452
Verizon Communications Inc       COM      92343V104       26142      689,400  SH     Sole         689,400                   0
Vodafone Group PLC Common        COM      92857W209         322       11,987  SH     Sole          11,987                   0
Vornado Realty Trust Common      COM      929042109      769225    6,445,661  SH     Sole       5,902,824             542,837
Wachovia Corp Common             COM      929903102         710       12,900  SH     Sole          12,900                   0
Wal-Mart de Mexico SA de CV      COM      93114W107        1302       30,700  SH     Sole          30,700                   0
Washington Mututal Inc. Common   COM      939322103        6445      159,600  SH     Sole         159,600                   0
Washington Real Estate Inv       COM      939653101       22729      607,395  SH     Sole         607,395                   0
Waste Management Inc Common      COM      94106L109        2123       61,700  SH     Sole          61,700                   0
Weingarten Realty Investors      COM      948741103       41725      877,327  SH     Sole         786,127              91,200
Wells Fargo & Co Common          COM      949746101        2135       62,000  SH     Sole          62,000                   0
Western Asset Emerging Mkts      COM      95766E103         778       60,000  SH     Sole          60,000                   0
Western Asset Gl High Inc Fund   COM      95766B109        3238      230,000  SH     Sole         230,000                   0
Western Asset High Income Fund   COM      95766J102       11912    1,055,100  SH     Sole       1,055,100                   0
Western Asset Managed Inc Fund   COM      95766K109        3951      575,100  SH     Sole         575,100                   0
Western Asset Opportunity Fund   COM      95766L107        6035      863,400  SH     Sole         863,400                   0
Weyerhaeuser Co Common           COM      962166104        1487       19,900  SH     Sole          19,900                   0
Williams Cos Inc Common          COM      969457100        1887       66,300  SH     Sole          66,300                   0
Windstream Corp Common           COM      97381W104       12266      835,000  SH     Sole         835,000                   0
Wisconsin Energy Group Common    COM      976657106        2377       49,000  SH     Sole          49,000                   0
Xcel Energy Inc Common           COM      98389B100       80109    3,244,603  SH     Sole       3,244,603                   0
Yum! Brands Common               COM      988498101        1750       30,300  SH     Sole          30,300                   0
Barclays Bank PLC 6.625% (BCS)   ADR      06739F390        2464       92,800  SH     Sole          92,800                   0
HSBC Holdings PLC 6.20% (HBC A)  ADR      404280604         533       21,100  SH     Sole          21,100                   0
Prudential PLC 6.52% (PUK A)     PER      G7293H189         308       12,000  SH     Sole          12,000                   0
Royal Bank of Scotland Group     ADR      780097747         139        5,500  SH     Sole           5,500                   0
Royal Bank of Scotland Pfd H     SPON ADR 780097879        3281      127,400  SH     Sole         127,400                   0
Royal Bank of Scotland Pfd N     ADR      780097770         135        5,300  SH     Sole           5,300                   0
Teekay LNG Partners LP Common    PRTNR    Y8564M105        6705      179,700  SH     Sole         179,700                   0
Teekay Offshore Partners LP      PRTNR    Y8565J101        6241      215,200  SH     Sole         215,200                   0
Williams Partners LP Common      COM UNIT 96950F104       15240      319,300  SH     Sole         319,300                   0
Crescent Real Estate EQT Pfd A   PFD CV   225756204       53983    2,425,100  SH     Sole       2,392,000              33,100



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372 Data Records
20,768,973 Value Total
01 Other Manager on whose behalf report is filed