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

                                     Form 13F
                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       June 30, 2011
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.

This report is not an admission that Cohen & Steers, Inc. or its subsidiaries
are the beneficial owners of any securities covered by this report, and
Cohen & Steers, Inc. and its subsidiaries expressly disclaim beneficial
ownership of all shares reported herein pursuant to Rule 13d-4.


Person Signing this Report on Behalf of Reporting Manager:

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


Signature, Place, and Dating of Signing:


/s/ Lisa Phelan                 New York, NY                  August 12, 2011
-----------------              ---------------          ------------------

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:                     432

Form 13F Information Table Value Total:                  26,509,518 (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





                                                                            shares_prn       invstmt
issuer_name                          class_title     cusip      mkt_val       amt    sh_prn  dscretn        sole        none
                                                       (x1000)                                      


Abbott Laboratories Common             COM          002824100     71,582   1,360,363  SH      Sole      1,360,363          -
Acadia Realty Trust Common             COM          004239109     81,156   3,991,931  SH      Sole      3,917,126     74,805
Accenture Plc Common                   COM          G1151C101        151       2,500  SH      Sole          2,500          -
Advent Claymore Conv Sec & Inc         COM          00764C109        823      43,800  SH      Sole         43,800          -
Advent Claymore Global Convert         COM          007639107        769      85,000  SH      Sole         85,000          -
AGIC Convertible & Income Fund         COM          001191105      7,609     803,480  SH      Sole        803,480          -
AGIC Convertible & Income Fund         COM          001190107      9,030     883,531  SH      Sole        883,531          -
AGIC Equity & Convertible Income       COM          00119P102         53       2,900  SH      Sole          2,900          -
AGIC Global Equity & Convert           COM          00119R108         37       2,300  SH      Sole          2,300          -
AGIC Intl & Prem Strategy CEF          COM          00119Q100         22       1,600  SH      Sole          1,600          -
Alexander's Inc Common                 COM          014752109     48,512     122,197  SH      Sole        114,937      7,260
Alliance Bernstein Income Fund CEF     COM          01881E101     10,382   1,315,800  SH      Sole      1,315,800          -
Alliance National Muni Income CEF      COM          01864U106        937      69,900  SH      Sole         69,900          -
Alliance World Dollar Gov't Fu CEF     COM          01879R106      6,295     411,200  SH      Sole        411,200          -
Alpine Global Dynamic Div CEF          COM          02082E106        894     121,600  SH      Sole        121,600          -
Alpine Global Premier Proper CEF       COM          02083A103     12,774   1,776,569  SH      Sole      1,776,569          -
Alpine Total Dynamic Div Fund CEF      COM          021060108     19,924   3,282,355  SH      Sole      3,282,355          -
American Assets Trust Inc Common       COM          024013104    114,332   5,092,713  SH      Sole      4,829,155    263,558
American Electric Power Co Inc         COM          025537101     51,043   1,354,656  SH      Sole      1,354,656          -
American Express AXP                   COM          025816109     54,637   1,056,800  SH      Sole      1,056,800          -
American Tower Corporation CL A        COM          029912201    132,236   2,526,959  SH      Sole      2,526,959          -
American Water Works Co Inc            COM          030420103     24,587     834,878  SH      Sole        834,878          -
Amgen Inc Common                       COM          031162100     25,061     429,500  SH      Sole        429,500          -
Apache Corp Common                     COM          037411105     65,382     529,881  SH      Sole        529,881          -
Apartment Invt & Mgmt                  COM          03748R101    283,718  11,113,140  SH      Sole     10,489,037    624,103
Apple Inc Common                       COM          037833100     21,248      63,300  SH      Sole         63,300          -
Archer Daniels Midland Common          COM          039483102     34,780   1,153,579  SH      Sole      1,153,579          -
Ashford Hospitality Pr.E               PFD          044103505     14,237     564,731  SH      Sole        531,595     33,136
Ashford Hospitality Trust Inc          COM          044103109      2,227     178,900  SH      Sole        178,900          -
Associated Estates Realty Corp         COM          045604105     75,102   4,621,647  SH      Sole      4,528,438     93,209
AT&T Common                            COM          00206R102     94,873   3,020,477  SH      Sole      3,020,477          -
Atlas Pipeline Partners LP Common      COM          049392103         37       1,115  SH      Sole          1,115          -
Automatic Data Processing              COM          053015103      2,471      46,900  SH      Sole         46,900          -
Avago technologies Ltd                 COM          Y0486S104     21,702     571,100  SH      Sole        571,100          -
AvalonBay Communities Inc              COM          053484101    624,759   4,865,728  SH      Sole      4,656,078    209,650
Bank of America Corp Common            COM          060505104     36,200   3,302,900  SH      Sole      3,302,900          -
Bank Of New York Mellon Corp           COM          064058100     35,368   1,380,500  SH      Sole      1,380,500          -
Bankunited Inc Common                  COM          06652K103      4,481     168,835  SH      Sole        168,835          -
Banner Corporation                     COM          06652V208     10,013     572,184  SH      Sole        572,184          -
Barclays Bank 7.10% (BCS A)            PFD          06739H776      4,305     169,832  SH      Sole        168,582      1,250
Barclays Bank 8.125% (BCS D)           PFD          06739H362      1,844      70,000  SH      Sole         70,000          -
Barclays Bank PLC  7.75% (BCS C)       PFD          06739H511     12,046     469,109  SH      Sole        466,567      2,542
Barclays Bank PLC 6.625% (BCS)         PFD          06739F390         72       3,000  SH      Sole          3,000          -
Baxter International Inc Common        COM          071813109      4,405      73,800  SH      Sole         73,800          -
Becton Dickinson & Co Common       COM          075887109      7,574      87,900  SH      Sole         87,900          -
BHP Billiton Ltd - Spon Adr            ADRs         088606108      1,041      11,000  SH      Sole         11,000          -
BioMed Realty Trust Inc Common         COM          09063H107     59,976   3,117,245  SH      Sole      2,970,745    146,500
Blackrock Core Bond Trust              COM          09249E101         38       3,000  SH      Sole          3,000          -
Blackrock Corp HY Fund VI CEF          COM          09255P107      2,443     204,131  SH      Sole        204,131          -
Blackrock Corporate High Y CEF         COM          09255L106         32       4,300  SH      Sole          4,300          -
Blackrock Corporate High Yield CEF     COM          09255N102      3,569     292,301  SH      Sole        292,301          -
Blackrock Corporate HY FD III CEF      COM          09255M104      1,351     185,100  SH      Sole        185,100          -
BlackRock Debt Strategies CEF          COM          09255R103        430     101,200  SH      Sole        101,200          -
Blackrock Diversified Income S CEF     COM          09255W102         17       1,600  SH      Sole          1,600          -
Blackrock Dividend Achievers CEF       COM          09250N107         58       5,700  SH      Sole          5,700          -
BlackRock EcoSolutions Investm         COM          092546100         25       2,400  SH      Sole          2,400          -
Blackrock Enhanced Dividend CEF        COM          09251A104         89      10,800  SH      Sole         10,800          -
BlackRock Floating Rate Income         COM          09255X100         34       2,200  SH      Sole          2,200          -
Blackrock Floating rt in st II CEF     COM          09255Y108         18       1,300  SH      Sole          1,300          -
Blackrock Global Enrg & Res CEF        COM          09250U101      1,489      51,200  SH      Sole         51,200          -
Blackrock Global Floating  RT CEF      COM          091941104         40       2,600  SH      Sole          2,600          -
BlackRock Income Opportunity           COM          092475102         28       2,900  SH      Sole          2,900          -
BlackRock Income Trust Inc             COM          09247F100         42       6,000  SH      Sole          6,000          -
Blackrock International Growth CEF     COM          092524107        137      13,600  SH      Sole         13,600          -
Blackrock Ltd Duration Inc Tru CEF     COM          09249W101      1,312      73,100  SH      Sole         73,100          -
Blackrock Muni Yield Fund CEF          COM          09253W104        597      44,200  SH      Sole         44,200          -
Blackrock Muni Yield Insured CEF       COM          09254E103        843      67,200  SH      Sole         67,200          -
Blackrock Municipal Income Trust       COM          09249N101      1,408     103,500  SH      Sole        103,500          -
Blackrock Pfd & Eq Adv Tr CEF          COM          092508100         76       6,100  SH      Sole          6,100          -
Blackrock Preferred Opportunit CEF     COM          09249V103        429      39,600  SH      Sole         39,600          -
Blackrock Real Asset Equity CEF        COM          09254B109      6,131     422,800  SH      Sole        422,800          -
Blackrock Strat Dvd Achv Trs CEF       COM          09249Y107         35       3,300  SH      Sole          3,300          -
Blrk Mnvst Fnd II A W28 CEF            COM          09253T101        169      11,538  SH      Sole         11,538          -
Boardwalk Pipeline Partners LP         COM          096627104         36       1,225  SH      Sole          1,225          -
Boston Properties Inc Common           COM          101121101  1,051,703   9,906,770  SH      Sole      9,517,445    389,325
Brandywine Realty Trust Common         COM          105368203    102,772   8,867,304  SH      Sole      8,701,784    165,520
BRE Properties Inc Common              COM          05564E106    135,524   2,717,003  SH      Sole      2,642,746     74,257
Bristol-Myers Squibb Co Common         COM          110122108        203       7,000  SH      Sole          7,000          -
Brookfield Properties Co Common        COM          112900105    159,683   8,282,286  SH      Sole      7,811,134    471,152
Buckeye Partners LP Common             COM          118230101     13,734     212,740  SH      Sole        212,740          -
Calamos Convertible & Income Fund      COM          12811P108        807      61,630  SH      Sole         61,630          -
Campus Crest Communities               COM          13466Y105     57,798   4,466,567  SH      Sole      4,208,555    258,012
Capital And Inc Strat Fd Inc CEF       COM          09256A109        106       7,300  SH      Sole          7,300          -
Carnival Corp Common                   COM          143658300     17,727     471,100  SH      Sole        471,100          -
Caterpillar Inc Common                 COM          149123101      3,811      35,800  SH      Sole         35,800          -
CBL & Associates Properties            COM          124830100      4,411     243,274  SH      Sole        243,274          -
Cedar Shopping Centers Inc             COM          150602209      4,098     795,644  SH      Sole        662,117    133,527
CenterPoint Energy, Inc. Common        COM          15189T107     24,536   1,268,021  SH      Sole      1,268,021          -
Central Fund Canada Cl A CEF           COM          153501101     18,758     920,886  SH      Sole        920,886          -
Central GoldTrust                      COM          153546106      3,375      59,600  SH      Sole         59,600          -
Chesapeake Lodging Trust Common        COM          165240102      2,937     172,142  SH      Sole        172,142          -
Chesapeake Midstream Partner           COM          16524K108         25         875  SH      Sole            875          -
Chevron Corp Common                    COM          166764100    127,041   1,235,330  SH      Sole      1,235,330          -
China Fund Inc CEF                     COM          169373107        641      20,500  SH      Sole         20,500          -
China Mobile Ltd ADR                   COM          16941M109     26,286     561,900  SH      Sole        561,900          -
Chubb Corp Common                      COM          171232101     43,514     695,000  SH      Sole        695,000          -
Cia De Saneamento Basico Common        ADRs         20441A102      3,174      53,200  SH      Sole         53,200          -
Citigroup Inc. Common                  COM          172967424     38,816     932,177  SH      Sole        932,177          -
Clearbridge Energy MLP                 COM          184692101      1,978      89,120  SH      Sole         89,120          -
Clough Global Equity Fund CEF          COM          18914C100      5,224     353,000  SH      Sole        353,000          -
Clough Global Opportunities Fund       COM          18914E106     14,239   1,058,685  SH      Sole      1,058,685          -
Cogdell 8.5% Spencer Pr.A              PFD          19238U206     12,676     505,000  SH      Sole        480,000     25,000
Cogdell Common                         COM          19238U107     37,989   6,342,002  SH      Sole      6,153,531    188,471
Colonial Properties Trust Common       COM          195872106     72,478   3,552,832  SH      Sole      3,185,475    367,357
Comerica Common                        COM          200340107     35,216   1,018,700  SH      Sole      1,018,700          -
Commonwealth REIT  Pr. E               PFD          203233606     50,480   2,020,000  SH      Sole      2,020,000          -
Commonwealth REIT 6.5% PFD D           PFD          203233408     54,912   2,462,405  SH      Sole      2,416,605     45,800
ConocoPhillips Common                  COM          20825C104      6,602      87,800  SH      Sole         87,800          -
Copano Energy LLC Common               COM          217202100         73       2,125  SH      Sole          2,125          -
Corning Inc Common                     COM          219350105     56,791   3,129,000  SH      Sole      3,129,000          -
Corrections Corp of America            COM          22025Y407      4,371     201,908  SH      Sole        201,908          -
Costco Wholesale Corp Common           COM          22160K105     46,136     567,900  SH      Sole        567,900          -
Cousins Properties Inc Common          COM          222795106      4,495     526,300  SH      Sole        436,500     89,800
Covidien PLC Common                    COM          G2554F113     63,589   1,194,600  SH      Sole      1,194,600          -
Crown Castle Intl Corp Common          COM          228227104     71,108   1,743,273  SH      Sole      1,743,273          -
Cushing MLP Total Return Fun           COM          231631102      1,964     190,100  SH      Sole        190,100          -
CVR Partners LP Common                 COM          126633106     11,550     514,241  SH      Sole        514,241          -
CVS Corp Common                        COM          126650100     74,040   1,970,200  SH      Sole      1,970,200          -
DCP Midstream Partners LP              COM          23311P100         31         760  SH      Sole            760          -
DCT Industrial Trust Common            COM          233153105    120,956  23,127,264  SH      Sole     21,624,004  1,503,260
Developers Diversified Realty          COM          251591103    595,212  42,213,626  SH      Sole     40,439,180  1,774,446
Devon Energy Corp Common               COM          25179M103     38,055     482,873  SH      Sole        482,873          -
DiamondRock Hospitality                COM          252784301    121,869  11,357,802  SH      Sole     11,231,958    125,844
Digital Realty Trust Inc Common        COM          253868103    136,967   2,217,019  SH      Sole      2,191,523     25,496
Disney Co Common                       COM          254687106     71,257   1,825,221  SH      Sole      1,825,221          -
DNP Select Income Fund CEF             COM          23325P104      2,595     259,520  SH      Sole        259,520          -
Douglas Emmett Common                  COM          25960P109     77,972   3,920,154  SH      Sole      3,920,154          -
Dow Chemical Co/The Common             COM          260543103     43,074   1,196,500  SH      Sole      1,196,500          -
Dreyfus High Yield Strategies          COM          26200S101         74      15,300  SH      Sole         15,300          -
Duff & Phelps Utility & Corp CEF       COM          26432K108         26       2,300  SH      Sole          2,300          -
DuPont Fabros Technology Inc           COM          26613Q106    174,278   6,915,775  SH      Sole      6,670,656    245,119
DWS Dreman Value Income Edge           COM          23339M204         31       2,100  SH      Sole          2,100          -
DWS High Income Trust                  COM          23337C208         21       1,900  SH      Sole          1,900          -
DWS Multi-Market Income Trust          COM          23338L108         24       2,200  SH      Sole          2,200          -
EastGroup Properties Inc Common        COM          277276101     40,341     948,975  SH      Sole        868,942     80,033
Eaton Corp Common                      COM          278058102     23,101     449,000  SH      Sole        449,000          -
Eaton Vance Float Rate Inc CEF         COM          278279104      7,994     492,546  SH      Sole        492,546          -
Eaton Vance Ltd Duration Inc F CEF     COM          27828H105     10,924     663,242  SH      Sole        663,242          -
Eaton Vance Risk-Managed Diver         COM          27829G106      2,484     196,800  SH      Sole        196,800          -
Eaton Vance Senior Floating Rate       COM          27828Q105      3,474     216,726  SH      Sole        216,726          -
Eaton Vance Senior Income Tr           COM          27826S103      3,677     509,287  SH      Sole        509,287          -
Eaton Vance Short Duration Div CEF     COM          27828V104        593      34,100  SH      Sole         34,100          -
Eaton Vance T/M Buy-Write Opp          COM          27828Y108      9,487     745,256  SH      Sole        745,256          -
Eaton Vance TA Gl Div & Inc CEF        COM          27828S101     10,136     662,900  SH      Sole        662,900          -
Eaton Vance TA GL Div Opp CEF          COM          27828U106      8,146     375,400  SH      Sole        375,400          -
Eaton Vance Tax Man Glbl Br CEF        COM          27829C105      4,574     377,065  SH      Sole        377,065          -
Eaton Vance Tax Man Glbl CEF           COM          27829F108      4,263     407,162  SH      Sole        407,162          -
Eaton Vance Tax-Adv Dvd Inc CEF        COM          27828G107     19,081   1,102,975  SH      Sole      1,102,975          -
Eaton Vance Tax-Mgd Dvsfied Eq         COM          27828N102      4,187     383,417  SH      Sole        383,417          -
Edison International Common            COM          281020107     17,783     458,906  SH      Sole        458,906          -
Education Realty Trust Inc Common      COM          28140H104     72,472   8,456,510  SH      Sole      7,963,727    492,783
El Paso Corp Common                    COM          28336L109     39,907   1,975,608  SH      Sole      1,975,608          -
El Paso Pipeline Partners LP           COM          283702108         84       2,430  SH      Sole          2,430          -
Emeritus Corp Common                   COM          291005106      3,661     172,300  SH      Sole        172,300          -
Enbridge Energy Common                 COM          29250R106      8,040     267,386  SH      Sole        267,386          -
Energy Income And Growth Fd CEF        COM          292697109      5,540     190,380  SH      Sole        190,380          -
Energy Transfer Equity Lp Common       COM          29273V100        101       2,250  SH      Sole          2,250          -
Energy Transfer Partners LP Common     COM          29273R109     28,786     589,027  SH      Sole        589,027          -
Enterprise Products Ptnrs Common       COM          293792107     37,983     879,037  SH      Sole        879,037          -
Entertainment Properties Trust 9% CV   PFD          29380T600      9,794     336,000  SH      Sole        294,000     42,000
Equity Lifestyle Properties Common     COM          29472R108    244,737   3,919,556  SH      Sole      3,715,598    203,958
Equity Residential Common              COM          29476L107  1,302,490  21,708,171  SH      Sole     20,819,913    888,258
Essex Property Trust Inc Common        COM          297178105    102,488     757,543  SH      Sole        742,160     15,383
EV Energy Partner LP Common            COM          26926V107         35         650  SH      Sole            650          -
Excel Trust Inc. Common                COM          30068C109      2,053     186,094  SH      Sole        186,094          -
Extra Space Storage Inc Common         COM          30225T102     92,484   4,335,889  SH      Sole      4,094,344    241,545
Exxon Mobil Corp Common                COM          30231G102    106,962   1,314,347  SH      Sole      1,314,347          -
F&C / Claymore Pfd Sec Inc Fun CEF     COM          338478100      7,536     423,372  SH      Sole        423,372          -
F&C / Claymore Total Return Fu CEF     COM          338479108      4,816     251,200  SH      Sole        251,200          -
Federal Realty Invs Trust Common       COM          313747206    246,468   2,893,496  SH      Sole      2,840,229     53,267
FelCor Lodging Trust Inc Common        COM          31430F101     31,183   5,850,503  SH      Sole      5,517,768    332,735
Financial Select Sector SPDR Energy    COM          81369Y506      5,855      77,700  SH      Sole         77,700          -
First Industrial Realty Trust Common   COM          32054K103     86,515   7,555,891  SH      Sole      7,249,078    306,813
First Trust Aberdeen Global CEF        COM          337319107      2,700     154,900  SH      Sole        154,900          -
First Trust/Four Crns SR F II CEF      COM          33733U108        316      22,000  SH      Sole         22,000          -
Ford Motor Co Common                   COM          345370860      1,117      81,000  SH      Sole         81,000          -
Forest City Enterprises Inc Common     COM          345550107    257,827  13,809,681  SH      Sole     13,112,008    697,673
Franklin Resources Inc Common          COM          354613101     50,061     381,300  SH      Sole        381,300          -
Franklin Templeton Ltd Dur Inc CEF     COM          35472T101      1,443      99,900  SH      Sole         99,900          -
Freeport-McMoRan Copper & Gold         COM          35671D857      5,147      97,300  SH      Sole         97,300          -
Ft/Fid Asset Mgmt Cov Call CEF         COM          337318109         27       2,200  SH      Sole          2,200          -
Gabelli Dividend & Income Tr CEF       COM          36242H104     12,153     730,769  SH      Sole        730,769          -
Gabelli Equity Trust CEF               COM          362397101     18,319   3,003,100  SH      Sole      3,003,100          -
Gabelli Gold Nat Res & Incom CEF       COM          36244N109      3,522     198,198  SH      Sole        198,198          -
General Dynamics Corp Common           COM          369550108     37,813     507,419  SH      Sole        507,419          -
General Electric Co Common             COM          369604103    100,626   5,335,430  SH      Sole      5,335,430          -
General Growth Properties Inc          COM          370023103    728,171  43,629,175  SH      Sole     40,584,367  3,044,808
Glimcher Realty Trust Common           COM          379302102         22       2,300  SH      Sole          2,300          -
Golar LNG Partners LP Common           COM          Y2745C102     12,625     442,985  SH      Sole        442,985          -
Goldman Sach Group, Inc.               COM          38141G104     49,423     371,350  SH      Sole        371,350          -
Google Inc CL A Common                 COM          38259P508     12,102      23,900  SH      Sole         23,900          -
Grupo Aeroportuario Common             ADRs         400506101      1,421      34,690  SH      Sole         34,690          -
Guggenheim Enhanced Equity Inc         COM          40167B100         25       2,600  SH      Sole          2,600          -
Guggenheim Strategic Opp Fund          COM          40167F101      4,286     209,050  SH      Sole        209,050          -
H & Q Healthcare Investors CEF         COM          404052102         27       1,700  SH      Sole          1,700          -
H & Q Life Sciences Invstrs CEF        COM          404053100         27       2,200  SH      Sole          2,200          -
Halliburton Co.                        COM          406216101     38,648     757,800  SH      Sole        757,800          -
Harris Corp Common                     COM          413875105      4,637     102,900  SH      Sole        102,900          -
HCC Insurance Holdings Inc             COM          404132102     25,974     824,581  SH      Sole        824,581          -
HCP Common                             COM          40414L109    404,817  11,033,452  SH      Sole     10,607,006    426,446
Health Care REIT Inc Common            COM          42217K106    238,579   4,550,446  SH      Sole      4,442,865    107,581
Helios Total Return Fund Inc           COM          42327V109         19       3,100  SH      Sole          3,100          -
Hersha Hospitality Trust Common        COM          427825104    137,375  24,663,468  SH      Sole     23,404,676  1,258,792
Hewlett-Packard Co Common              COM          428236103      2,202      60,500  SH      Sole         60,500          -
Home Depot Inc                         COM          437076102        992      27,400  SH      Sole         27,400          -
Home Properties Inc Common             COM          437306103    255,305   4,193,590  SH      Sole      4,072,426    121,164
Hospitality Properties Trust Common    COM          44106M102     16,215     668,654  SH      Sole        664,033      4,621
Host Hotels & Resorts Common           COM          44107P104    935,162  55,171,795  SH      Sole     52,773,194  2,398,601
HSBC Holdings PLC 6.20% (HBC A)        COM          404280604        688      28,168  SH      Sole         26,574      1,594
Hudson Pacific Prop                    COM          444097109     70,535   4,541,907  SH      Sole      4,301,377    240,530
Huntington Bancshares 8.5% CV          PFD          446150401      1,521       1,320  SH      Sole          1,320          -
Huntington Ingalls Industries          COM          446413106        485      14,065  SH      Sole         14,065          -
Hyatt Hotels Common                    COM          448579102    154,544   3,785,992  SH      Sole      3,636,152    149,840
Inergy LP Common                       COM          456615103         52       1,475  SH      Sole          1,475          -
ING Infrastructure Industrial CEF      COM          45685U100      3,375     157,800  SH      Sole        157,800          -
Intel Corp Common                      COM          458140100      3,749     169,200  SH      Sole        169,200          -
International Business Machine         COM          459200101     13,301      77,533  SH      Sole         77,533          -
Ishares Silver Trust                   COM          46428Q109        799      23,600  SH      Sole         23,600          -
ITC Holdings Corp Common               COM          465685105      9,716     135,370  SH      Sole        135,370          -
John Han Bk & Thrift Opp Fund          COM          409735206      1,201      73,100  SH      Sole         73,100          -
John Hancock Income Secs Trust         COM          410123103         15       1,000  SH      Sole          1,000          -
John Hancock Pat Prem Div Fd CEF       COM          41013T105         78       6,200  SH      Sole          6,200          -
John Hancock Preferred Inc Fun CEF     COM          41013W108      1,357      65,319  SH      Sole         65,319          -
John Hancock Preferred Income CEF      COM          41013X106      2,596     125,736  SH      Sole        125,736          -
John Hancock Preferred Income CEF      COM          41021P103      2,792     159,205  SH      Sole        159,205          -
John Hancock T/A Dvd Income CEF        COM          41013V100      2,358     143,090  SH      Sole        143,090          -
John Hancock Tax-Advantaged Gl         COM          41013P749         26       1,900  SH      Sole          1,900          -
Johnson & Johnson Common               COM          478160104     64,500     969,636  SH      Sole        969,636          -
Johnson Controls Common                COM          478366107     42,747   1,026,100  SH      Sole      1,026,100          -
JPMorgan Chase Common                  COM          46625H100    111,025   2,711,894  SH      Sole      2,711,894          -
Kayne Anderson Energy Tot Rt CEF       COM          48660P104      8,190     276,324  SH      Sole        276,324          -
Kayne Anderson Mlp Investmen CEF       COM          486606106      3,134     103,600  SH      Sole        103,600          -
Keycorp 7.75% CV (KEY G)               PFD          493267405      4,680      41,785  SH      Sole         41,585        200
Kilroy Realty Corp Common              COM          49427F108    291,331   7,377,351  SH      Sole      7,065,621    311,730
Kimco Realty Corp Common               COM          49446R109    373,370  20,030,581  SH      Sole     19,084,378    946,203
Kinder Morgan Energy Partners          COM          494550106     24,030     330,992  SH      Sole        330,992          -
Kinder Morgan Manage Common            COM          49455U100        290       4,424  SH      Sole          4,424          -
Kraft Foods Inc Common                 COM          50075N104      1,257      35,673  SH      Sole         35,673          -
L-3 Communications Holdings            COM          502424104     18,845     215,500  SH      Sole        215,500          -
Lexington Realty Trust Pr.C CV         PFD          529043309     12,042     267,747  SH      Sole        253,648     14,099
Liberty All Star Equity Fund CEF       COM          530158104      9,683   1,872,886  SH      Sole      1,872,886          -
Liberty Property Trust Common          COM          531172104    400,760  12,300,813  SH      Sole     11,853,877    446,936
Linn Energy LLC Units                  COM          536020100         84       2,160  SH      Sole          2,160          -
Lockheed Martin Corp Common            COM          539830109     31,910     394,100  SH      Sole        394,100          -
LTC Properties Inc Common              COM          502175102        754      27,100  SH      Sole         27,100          -
Macerich Co/The Common                 COM          554382101    444,933   8,316,494  SH      Sole      7,588,295    728,199
Mack-Cali Realty Corp Common           COM          554489104    110,780   3,363,080  SH      Sole      3,363,080          -
Macquarie Global Infr Tot Rt CEF       COM          55608D101      1,627      87,600  SH      Sole         87,600          -
Macquarie/Ft Gl Int/Ut Dv In CEF       COM          55607W100      2,482     155,200  SH      Sole        155,200          -
Magellan Midstream Partners            COM          559080106         76       1,280  SH      Sole          1,280          -
Marathon Oil Corp Common               COM          565849106     20,103     381,600  SH      Sole        381,600          -
Markwest Energy Partners LP            COM          570759100     61,006   1,264,642  SH      Sole      1,264,642          -
Marriot International Inc              COM          571903202      2,294      64,650  SH      Sole         64,650          -
McDonald's Corp Common                 COM          580135101     72,476     859,539  SH      Sole        859,539          -
McKesson Corp Common                   COM          58155Q103        301       3,600  SH      Sole          3,600          -
Merck and Co Inc Common                COM          58933Y105     68,820   1,950,129  SH      Sole      1,950,129          -
MFS Charter Income Trust               COM          552727109         49       5,200  SH      Sole          5,200          -
MFS Government Markets Income          COM          552939100         18       2,700  SH      Sole          2,700          -
MFS Intermediate Income Trust CEF      COM          55273C107         99      15,600  SH      Sole         15,600          -
MFS Mutimarket Inc. Trust CEF          COM          552737108      1,726     252,700  SH      Sole        252,700          -
MGM Mirage Common                      COM          552953101        597      45,168  SH      Sole         45,168          -
Microsoft Common                       COM          594918104     16,396     630,615  SH      Sole        630,615          -
Morgan Stanley China A Share CEF       COM          617468103        418      15,300  SH      Sole         15,300          -
Morgans Hotel Group Co                 COM          61748W108      7,092     986,367  SH      Sole        986,367          -
MS Emerging Mkts Domestic Debt         COM          617477104      1,337      75,900  SH      Sole         75,900          -
Nationwide Health Properties           COM          638620104    269,427   6,506,314  SH      Sole      6,342,109    164,205
NATL WESTMINSTER 7.76% (NW C)          PFD          638539882     37,774   1,599,245  SH      Sole      1,596,351      2,894
Natural Resource Partners LP           COM          63900P103         62       1,870  SH      Sole          1,870          -
Neuberger Berman High Yield St         COM          64128C106         26       1,900  SH      Sole          1,900          -
Neuberger Berman Real Estate           COM          64190A103         28       6,600  SH      Sole          6,600          -
New America High Income Fund           COM          641876800      7,531     693,436  SH      Sole        693,436          -
Newmont Mining Corp Common             COM          651639106     20,104     372,500  SH      Sole        372,500          -
NextEra Energy Inc Common              COM          65339F101    118,406   2,060,670  SH      Sole      2,060,670          -
NFJ Dvd Interest & Pr Strat CEF        COM          65337H109      4,397     232,500  SH      Sole        232,500          -
Nike Inc Common                        COM          654106103     21,787     242,137  SH      Sole        242,137          -
Nordstrom Inc Common                   COM          655664100     41,534     884,840  SH      Sole        884,840          -
Norfolk Southern Corporation Common    COM          655844108     29,154     389,087  SH      Sole        389,087          -
Northrop Grumman Corp Common           COM          666807102      6,193      89,300  SH      Sole         89,300          -
Northwest Natural Gas Common           COM          667655104      1,630      36,110  SH      Sole         36,110          -
NuStar Energy LP Common                COM          67058H102         84       1,300  SH      Sole          1,300          -
Nuveen Build American Bond CEF         COM          67074C103        498      26,200  SH      Sole         26,200          -
Nuveen Core Equity Alpha Fund          COM          67090X107         26       1,800  SH      Sole          1,800          -
Nuveen Diversified Dividend an CEF     COM          6706EP105      3,873     339,151  SH      Sole        339,151          -
Nuveen Equity Prem & Growth CEF        COM          6706EW100         19       1,400  SH      Sole          1,400          -
Nuveen Equity Prem Opp Fund CEF        COM          6706EM102         72       5,800  SH      Sole          5,800          -
Nuveen Equity Premium Advantag CEF     COM          6706ET107         39       3,100  SH      Sole          3,100          -
Nuveen Equity Premium Income CEF       COM          6706ER101         42       3,400  SH      Sole          3,400          -
Nuveen Floating Rate Inc Opp CEF       COM          6706EN100        767      62,700  SH      Sole         62,700          -
Nuveen Floating rate Income CEF        COM          67072T108      2,406     197,200  SH      Sole        197,200          -
Nuveen Global Government Enh CEF       COM          67073C104         21       1,400  SH      Sole          1,400          -
Nuveen Global Value Oppty CEF          COM          6706EH103         39       2,000  SH      Sole          2,000          -
NUVEEN INV QUALITY MUNI FD CEF         COM          67062E103        413      29,300  SH      Sole         29,300          -
Nuveen Mortgage Opp Term FD CEF        COM          67074R100      1,231      51,000  SH      Sole         51,000          -
Nuveen Mtg Opportunity                 COM          670735109        821      33,600  SH      Sole         33,600          -
Nuveen Multi-Currency Short CEF        COM          67090N109         82       5,500  SH      Sole          5,500          -
Nuveen Pfd & Conv. Income Fund CEF     COM          67073D102        112      12,200  SH      Sole         12,200          -
Nuveen Preferred & Conv. Incom CEF     COM          67073B106         89      10,100  SH      Sole         10,100          -
Nuveen Premium Inc Muni Fd 2 CEF       COM          67063W102        879      64,800  SH      Sole         64,800          -
Nuveen Quality Pfd Income Fund CEF     COM          67071S101         52       6,700  SH      Sole          6,700          -
Nuveen Quality Preferred Incom CEF     COM          67072C105         92      11,000  SH      Sole         11,000          -
Nuveen Real Estate Income Fd CEF       COM          67071B108      1,268     112,400  SH      Sole        112,400          -
Nuveen Tax-Adv Tot Ret Strat CEF       COM          67090H102      2,160     192,000  SH      Sole        192,000          -
Nuveen Tax-Advantaged Dividend         COM          67073G105         20       1,500  SH      Sole          1,500          -
Occidental Petroleum Corp              COM          674599105     77,489     744,800  SH      Sole        744,800          -
Oil Services Holders Trust             COM          678002106      3,830      25,200  SH      Sole         25,200          -
ONEOK Partners LP 8.625% 3/1/19        COM          68268N103        124       1,450  SH      Sole          1,450          -
Oracle Corp Common                     COM          68389X105     85,188   2,588,500  SH      Sole      2,588,500          -
Orient Express Hotels Ltd Common       COM          G67743107     62,653   5,828,149  SH      Sole      5,302,023    526,126
Paa Natural Gas Storage Lp Common      COM          693139107         21         935  SH      Sole            935          -
Parkway Properties Inc/Md Common       COM          70159Q104      1,915     112,236  SH      Sole        112,236          -
Patterson Companies Common             COM          703395103     36,074   1,096,800  SH      Sole      1,096,800          -
Peabody Energy Corp Common             COM          704549104     17,767     301,600  SH      Sole        301,600          -
Pebblebrook Hotel Trust Common         COM          70509V100     49,799   2,466,507  SH      Sole      2,298,958    167,549
Penn Virginia Resource Partners LP     COM          707884102         65       2,400  SH      Sole          2,400          -
Pennsylvania Real Estate Investment    COM          709102107     54,177   3,450,732  SH      Sole      2,735,777    714,955
PepsiCo, Inc.                          COM          713448108     21,933     311,410  SH      Sole        311,410          -
Pfizer Inc Common                      COM          717081103     65,063   3,158,384  SH      Sole      3,158,384          -
PG&E Corp Common                       COM          69331C108    110,237   2,622,811  SH      Sole      2,622,811          -
Philip Morris International Common     COM          718172109     55,622     833,033  SH      Sole        833,033          -
PIMCO Corporate Opportunity Fund       COM          72201B101      6,755     326,659  SH      Sole        326,659          -
PIMCO High Income Fund CEF             COM          722014107      8,973     658,814  SH      Sole        658,814          -
PIMCO Income Opportunity Fund          COM          72202B100      6,796     242,732  SH      Sole        242,732          -
PIMCO Income Strategy Fund             COM          72201H108         61       4,700  SH      Sole          4,700          -
PIMCO Income Strategy Fund II          COM          72201J104      1,029      95,500  SH      Sole         95,500          -
Pimco Municipal Income Fund II         COM          72200W106      1,370     130,100  SH      Sole        130,100          -
PIMCO Strategic Global Governm         COM          72200X104         73       6,400  SH      Sole          6,400          -
Pioneer Diversified High Trust CEF     COM          723653101        863      40,900  SH      Sole         40,900          -
Pioneer Floating Rate Trust CEF        COM          72369J102      1,520     108,900  SH      Sole        108,900          -
Pioneer High Income Trust CEF          COM          72369H106      3,265     194,438  SH      Sole        194,438          -
Plains All Amer Pipeline LP            COM          726503105        120       1,875  SH      Sole          1,875          -
PNC Financial Services Group           COM          693475105        268       4,500  SH      Sole          4,500          -
Post Properties Inc Common             COM          737464107    210,684   5,168,892  SH      Sole      4,942,810    226,082
PPL Corp Common                        COM          69351T106     39,942   1,435,227  SH      Sole      1,435,227          -
Praxair Inc Common                     COM          74005P104      1,344      12,400  SH      Sole         12,400          -
Preferred & Corp. Inc. Strateg CEF     COM          09255J101        384      40,900  SH      Sole         40,900          -
Preferred Income Strategies Fu CEF     COM          09255H105         48       4,700  SH      Sole          4,700          -
Procter & Gamble Co Common             COM          742718109     69,207   1,088,676  SH      Sole      1,088,676          -
ProLogis Inc. Common                   COM          74340W103  1,182,926  33,005,752  SH      Sole     31,601,400  1,404,352
Prudential Financial                   COM          744320102     92,040   1,447,400  SH      Sole      1,447,400          -
PS Business Parks Inc Common           COM          69360J107     67,216   1,219,884  SH      Sole      1,118,704    101,180
Public Service Enterprise Group        COM          744573106     28,929     886,290  SH      Sole        886,290          -
Public Storage Inc Common              COM          74460D109    663,013   5,815,398  SH      Sole      5,607,219    208,179
Putnam Managed Muni Incm Trs CEF       COM          746823103      1,486     201,600  SH      Sole        201,600          -
Putnam Premier Income Fund CEF         COM          746853100      8,560   1,306,900  SH      Sole      1,306,900          -
Qualcomm Inc Common Stock              COM          747525103     70,681   1,244,600  SH      Sole      1,244,600          -
Questar Corp Common                    COM          748356102     14,472     817,158  SH      Sole        817,158          -
Ramco-Gershenson 7.25% CV Pr.D         PFD          751452608     19,618     390,950  SH      Sole        378,950     12,000
Ramco-Gershenson Properties            COM          751452202     30,430   2,457,980  SH      Sole      2,376,571     81,409
Rayonier Inc Common                    COM          754907103     84,238   1,289,037  SH      Sole      1,212,596     76,441
Reaves Utility Inc CEF                 COM          756158101         60       2,400  SH      Sole          2,400          -
Regency Centers Corp Common            COM          758849103    423,413   9,629,569  SH      Sole      9,212,795    416,774
Regency Energy Partners LP             COM          75885Y107         96       3,725  SH      Sole          3,725          -
RLJ Lodging Trust Common               COM          74965L101     77,996   4,490,268  SH      Sole      4,297,969    192,299
Ross Stores Inc                        COM          778296103     41,174     513,900  SH      Sole        513,900          -
Royce Value Trust CEF                  COM          780910105      8,925     598,188  SH      Sole        598,188          -
Saul Centers Inc Common                COM          804395101        946      24,018  SH      Sole         21,818      2,200
Schlumberger LTD Common                COM          806857108     23,233     268,898  SH      Sole        268,898          -
Sempra Energy Common                   COM          816851109     46,572     880,707  SH      Sole        880,707          -
Senior High Income Portfolio CEF       COM          09255T109         21       5,000  SH      Sole          5,000          -
Senior Housing Prop Trust Common       COM          81721M109    287,393  12,276,481  SH      Sole     11,770,982    505,499
Ship Finance International Common      COM          G81075106          2          90  SH      Sole             90          -
Simon Property Group Inc Common        COM          828806109  2,566,146  22,078,172  SH      Sole     20,035,371  2,042,801
SL Green Realty Corp Common            COM          78440X101    477,002   5,756,025  SH      Sole      5,468,237    287,788
Southern Co Common                     COM          842587107     69,774   1,727,926  SH      Sole      1,727,926          -
Sovran Self Storage Inc Common         COM          84610H108     51,238   1,249,691  SH      Sole      1,184,991     64,700
Spdr Gold Trust                        COM          78463V107      1,007       6,900  SH      Sole          6,900          -
Special Opportunities Fund CEF         COM          84741T104         16       1,000  SH      Sole          1,000          -
Spectra Energy Corp Common             COM          847560109      2,940     107,270  SH      Sole        107,270          -
Starwood Hotels & Resorts World        COM          85590A401    162,717   2,903,583  SH      Sole      2,762,814    140,769
Starwood Property Trust Inc Common     COM          85571B105      4,854     236,668  SH      Sole        236,668          -
State Street Corp Common               COM          857477103        640      14,200  SH      Sole         14,200          -
Strategic Hotel Capital Inc Common     COM          86272T106     83,200  11,751,465  SH      Sole     10,751,571    999,894
Stratus Properties Inc Common          COM          863167201      4,555     339,944  SH      Sole        339,944          -
Suburban Propane Partners LP           COM          864482104         55       1,050  SH      Sole          1,050          -
Sunamerica Focused Alpha Gr CEF        COM          867037103         54       2,600  SH      Sole          2,600          -
Sunstone Hotel Investors Inc           COM          867892101    173,459  18,711,850  SH      Sole     18,174,717    537,133
Sunstone Hotel pfd D                   PFD          867892507     21,409     893,550  SH      Sole        868,550     25,000
Symantec Corp Common                   COM          871503108     50,150   2,543,100  SH      Sole      2,543,100          -
Syngenta AG -ADR                       ADRs         87160A100      2,034      30,100  SH      Sole         30,100          -
Tanger Factory Outlet Centers          COM          875465106      1,787      66,747  SH      Sole         66,747          -
Targa Resources Partners LP            COM          87611X105         79       2,231  SH      Sole          2,231          -
Target Corp                            COM          87612E106      3,668      78,191  SH      Sole         78,191          -
Taubman Centers Inc Common             COM          876664103    155,424   2,625,397  SH      Sole      2,266,908    358,489
TC Pipelines LP Common                 COM          87233Q108         46         955  SH      Sole            955          -
Teekay Corp Common                     COM          Y8564W103        627      20,310  SH      Sole         20,310          -
Teekay LNG Partners LP Common          PRTNRS       Y8564M105         74       2,000  SH      Sole          2,000          -
Templeton Global Income Fund CEF       COM          880198106      1,660     150,865  SH      Sole        150,865          -
Tesoro Logistics LP Common             COM          88160T107     10,820     444,368  SH      Sole        444,368          -
Teva Pharmaceutical ADR                COM          881624209     29,741     616,784  SH      Sole        616,784          -
Texas Instruments Inc Common           COM          882508104     13,434     409,200  SH      Sole        409,200          -
Tim Hortons Common                     COM          88706M103        498      10,200  SH      Sole         10,200          -
Time Warner Cable                      COM          88732J207     31,200     399,800  SH      Sole        399,800          -
Toronto-Dominion Bank Common           COM          891160509     14,883     175,300  SH      Sole        175,300          -
Tortoise MLP Fund, Inc Common          COM          89148B101      6,555     253,100  SH      Sole        253,100          -
UDR INC Common                         COM          902653104    652,201  26,566,230  SH      Sole     25,534,860  1,031,370
United Parcel Service Inc Common       COM          911312106     40,138     550,360  SH      Sole        550,360          -
United Technologies Corporatio         COM          913017109     12,239     138,273  SH      Sole        138,273          -
UnitedHealth Group Inc                 COM          91324P102     72,717   1,409,800  SH      Sole      1,409,800          -
Urstadt Biddle Properties Inc          COM          917286205     25,386   1,401,756  SH      Sole      1,345,708     56,048
US Bancorp Common                      COM          902973304     55,820   2,188,172  SH      Sole      2,188,172          -
U-Store-It Trust Common                COM          91274F104     68,757   6,535,846  SH      Sole      6,435,379    100,467
Van Kampen Dynamic Credit              COM          46132R104         93       7,300  SH      Sole          7,300          -
Van Kampen Senior Income Trust         COM          46131H107        104      20,700  SH      Sole         20,700          -
Ventas Inc Common                      COM          92276F100    540,293  10,250,295  SH      Sole      9,802,169    448,126
Verizon Communications Inc             COM          92343V104     18,850     506,300  SH      Sole        506,300          -
Visa Inc Class A Shares Common         COM          92826C839     84,370   1,001,300  SH      Sole      1,001,300          -
Vodafone Group PLC ADR                 COM          92857W209      2,314      86,600  SH      Sole         86,600          -
Vornado Realty Trust Common            COM          929042109  1,315,621  14,119,135  SH      Sole     13,478,206    640,929
Wal-Mart Stores Inc                    COM          931142103     11,871     223,400  SH      Sole        223,400          -
Waste Management Inc Common            COM          94106L109     20,241     543,100  SH      Sole        543,100          -
Weingarten Realty Investors            COM          948741103    240,404   9,555,000  SH      Sole      8,928,256    626,744
Wells Fargo & Co 7.5% CV Series L      PFD          949746804     36,962      34,870  SH      Sole         34,870          -
Wells Fargo & Co Common                COM          949746101     35,357   1,260,037  SH      Sole      1,260,037          -
Wells Fargo Advantage Global CEF       COM          94987C103        774      77,300  SH      Sole         77,300          -
Wells Fargo Advantage Income CEF       COM          94987B105      3,685     365,900  SH      Sole        365,900          -
Wells Fargo Advantage Multi CEF        COM          94987D101         68       4,400  SH      Sole          4,400          -
Wells Fargo Advantage Utilitie CEF     COM          94987E109         16       1,400  SH      Sole          1,400          -
Western Asset Gl High Inc Fund CEF     COM          95766B109      5,087     389,200  SH      Sole        389,200          -
Western Asset Global Cp Common         COM          95790C107      2,797     148,911  SH      Sole        148,911          -
Western Asset High Income Fund         COM          95766J102     11,714   1,165,579  SH      Sole      1,165,579          -
Western Asset Managed Inc Fund         COM          95766K109      4,748     752,400  SH      Sole        752,400          -
Western Asset Premier Bond CEF         COM          957664105        956      58,700  SH      Sole         58,700          -
Western Asset Worldwide Inco CEF       COM          957668106        540      39,000  SH      Sole         39,000          -
Western Asset/Claymore Inflat CEF      COM          95766R104        505      40,300  SH      Sole         40,300          -
Western Asset/Claymore Inflati         COM          95766Q106         26       2,000  SH      Sole          2,000          -
Western Gas Partners LP Common         COM          958254104         61       1,725  SH      Sole          1,725          -
Weyerhaeuser Co Common                 COM          962166104      6,908     316,000  SH      Sole        316,000          -
Williams Cos Inc Common                COM          969457100     50,621   1,673,425  SH      Sole      1,673,425          -
Williams Partners LP Common            PRTNRS       96950F104         96       1,770  SH      Sole          1,770          -
Winthrop Realty Trust Common           COM          976391300      1,471     123,173  SH      Sole        123,173          -
Wisconsin Energy Group Common          COM          976657106     91,476   2,917,883  SH      Sole      2,917,883          -
WW Grainger Inc Common                 COM          384802104          2          10  SH      Sole             10          -





432 Data Records
26,509,518 (thousands) Value Total
01 Other Manager on whose behalf report is filed