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

                                     Form 13F
                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       September 30, 2006
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             November 14, 2006
-----------------              ---------------          ------------------

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:                     245

Form 13F Information Table Value Total:              19,294,219 (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                                 Houlihan Rovers, 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                            COM     88579Y101          1,801     24,200  SH    Defined          24,200
AGL Resources                    COM     001204106         17,009    465,996  SH    Defined         465,996
AMB Property Corp.               COM     00163T109        169,383  3,063,697  SH    Defined       2,904,485           159,212
AT&T Corp                        COM     00206R102            651     20,000  SH    Defined          20,000
Abbott Laboratories              COM     002824100          2,807     57,800  SH    Defined          57,800
Ace ltd                          COM     G0070K103            432      7,900  SH    Defined           7,900
Aflac Inc                        COM     001055102          1,002     21,900  SH    Defined          21,900
Alcoa Inc.                       COM     013817101            252      9,000  SH    Defined           9,000
Alexandria Real Estate           COM     015271109        187,108  1,993,417  SH    Defined       1,869,269           124,148
Allegheny Energy, Inc.           COM     017361106          1,285     32,000  SH    Defined          32,000
Allstate Corp                    COM     020002101            527      8,400  SH    Defined           8,400
Altria Group Inc                 COM     02209S103          6,185     80,800  SH    Defined          80,800
Ameren Corp                      COM     023608102        148,860  2,819,844  SH    Defined       2,819,844
American Campus Communities      COM     024835100         69,135  2,710,100  SH    Defined       2,710,100
American Financial Realty Tr     COM     02607P305         36,417  3,263,200  SH    Defined       3,263,200
American International Group     COM     026874107            311      4,700  SH    Defined           4,700
Anheuser-Busch Co                COM     035229103          1,991     41,900  SH    Defined          41,900
Apartment Investment             COM     03748R101        464,349  8,523,022  SH    Defined       8,120,125           402,897
Aquila Inc                       COM     03840P102            799    184,600  SH    Defined         184,600
Archstone-Smith Tr.              COM     039583109        517,532  9,485,610  SH    Defined       9,147,328           338,282
Ashford Hospitality Trust        COM     044103109         42,285  3,544,400  SH    Defined       3,544,400
Atmos Energy Corp                COM     049560105          6,010    210,500  SH    Defined         210,500
Automatic Data Processing        COM     053015103            431      9,100  SH    Defined           9,100
AvalonBay Comm.                  COM     053484101        568,038  4,709,817  SH    Defined       4,464,113           245,704
Avery Dennison Corp.             COM     053611109          1,805     30,000  SH    Defined          30,000
BP plc                           COM     055622104            354      5,400  SH    Defined           5,400
BRE Properties                   COM     05564E106        278,236  4,651,972  SH    Defined       4,337,495           314,477
Baker Hughes Inc                 COM     057224107            552      8,100  SH    Defined           8,100
Bank of America Corp.            COM     060505104          7,269    135,700  SH    Defined         135,700
Becton Dickinson                 COM     075887109            205      2,900  SH    Defined           2,900
Bellsouth Corp                   COM     079860102          4,348    101,700  SH    Defined         101,700
BioMed Property Trust            COM     09063H107        117,013  3,856,733  SH    Defined       3,701,933           154,800
Boeing Co                        COM     097023105            315      4,000  SH    Defined           4,000
Boston Properties                COM     101121101        484,240  4,674,449  SH    Defined       4,437,968           236,481
Brandywine Realty Tr.            COM     105368203        288,226  8,850,407  SH    Defined       8,811,985            38,422
Brookfield Properties            COM     112900105        376,557 10,661,304  SH    Defined      10,048,254           613,050
C&S Advantage Income Realty Fund COM     19247W102            291     11,046  SH    Defined          11,046
C&S Quality Income Realty Fund   COM     19247l106            248     10,293  SH    Defined          10,293
CBL & Associates                 COM     124830100        114,281  2,718,540  SH    Defined       2,635,129            83,411
CMS Energy Corp                  COM     125896100          1,741    120,600  SH    Defined         120,600
Camden Ppty Trust                COM     133131102        213,878  2,812,724  SH    Defined       2,756,834            55,890
Carnival Corp.                   COM     143658300            259      5,500  SH    Defined           5,500
Cathay Pacific Airways           COM     148906308            270     26,400  SH    Defined          26,400
Cedar Shopping Centers Inc.      COM     150602209         83,429  5,159,500  SH    Defined       5,159,500
ChevronTexaco Corp.              COM     166764100          4,553     70,200  SH    Defined          70,200
Citigroup Inc                    COM     172967101          6,611    133,100  SH    Defined         133,100
Citizens Communications Co.      COM     17453B101         32,855  2,340,100  SH    Defined       2,340,100
Cleco Corporation                COM     12561W105         13,382    530,200  SH    Defined         530,200
Coca-cola Co/The                 COM     191216100          1,899     42,500  SH    Defined          42,500
Colonial Property Tr             COM     195872106        256,113  5,356,886  SH    Defined       5,265,256            91,630
Comerica                         COM     200340107          4,144     72,800  SH    Defined          72,800
ConocoPhillips                   COM     20825C104          2,185     36,700  SH    Defined          36,700
Consolidated Edison Inc          COM     209115104        110,959  2,401,700  SH    Defined       2,401,700
Contrywide Financial Corp        COM     222372104            361     10,300  SH    Defined          10,300
Costco Wholesale Corp            COM     22160K105            273      5,500  SH    Defined           5,500
Cousins Properties               COM     222795106         63,095  1,844,341  SH    Defined       1,666,238           178,103
Crescent Real Estate             COM     225756105         35,273  1,617,264  SH    Defined       1,549,864            67,400
DCP Midstream Partners LP        COM     23311P100         10,654    380,500  SH    Defined         380,500
DPL Inc.                         COM     233293109         10,612    391,300  SH    Defined         391,300
DTE Energy Co                    COM     233331107         95,979  2,312,200  SH    Defined       2,312,200
Developers Divers.               COM     251591103        126,671  2,271,723  SH    Defined       2,210,123            61,600
Diageo Capital PLC               COM     25243Q205            646      9,100  SH    Defined           9,100
Diamondrock Hospitality Company  COM     252784301         78,552  4,729,200  SH    Defined       4,729,200
Digital Realty Trust Inc.        COM     253868103         12,672    404,600  SH    Defined         404,600
Dominion Resources Inc           COM     25746U109         47,940    626,744  SH    Defined         626,744
Dow Chemical Co                  COM     260543103          3,458     88,700  SH    Defined          88,700
Du Pont (E.I.) De Nemours        COM     263534109          3,646     85,100  SH    Defined          85,100
Duke Energy Corporation          COM     26441C105        265,890  8,804,320  SH    Defined       8,804,320
Duke Realty Corp                 COM     264411505         85,393  2,285,165  SH    Defined       2,239,100            46,065
E.ON AG-Spons ADR                COM     268780103         57,888  1,459,238  SH    Defined       1,459,238
Eastgroup Properties             COM     277276101         59,116  1,185,633  SH    Defined       1,060,633           125,000
Eastman Chemical Company         COM     277432100          3,781     70,000  SH    Defined          70,000
Edison International             COM     281020107         70,094  1,683,340  SH    Defined       1,683,340
Education Realty Trust           COM     28140H104         46,913  3,178,400  SH    Defined       3,178,400
El Paso Electric Co              COM     283677854          2,104     94,200  SH    Defined          94,200
Eli Lilly & Co                   COM     532457108          1,807     31,700  SH    Defined          31,700




      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
---------------------------    -------   --------   -------  -------- --- ---- -------   --------    ----    ------    ------

Energy East Corp                 COM     29266M109         10,653    449,100  SH    Defined         449,100
Entergy Corp                     COM     29364G103         96,959  1,239,404  SH    Defined       1,239,404
Entertainment Properties         COM     29380T105         76,382  1,548,700  SH    Defined       1,548,700
Equitable Resources Inc          COM     294549100         53,181  1,520,320  SH    Defined       1,520,320
Equity Inns Inc                  COM     294703103         22,430  1,408,900  SH    Defined       1,408,900
Equity Office Pptys              COM     294741103      1,151,807 28,927,908  SH    Defined      27,829,390         1,098,518
Equity One                       COM     294752100         30,181  1,259,100  SH    Defined       1,259,100
Equity Residential               COM     29476L107        626,312 12,354,218  SH    Defined      11,659,404           694,814
Essex Property Tr.               COM     297178105        189,772  1,563,139  SH    Defined       1,462,039           101,100
Exelon Corp                      COM     30161N101        162,386  2,682,297  SH    Defined       2,682,297
Extra Space Storage Inc.         COM     30225T102        128,705  7,435,308  SH    Defined       7,043,408           391,900
Exxon Mobil Corp                 COM     30231G102            651      9,700  SH    Defined           9,700
FPL Group Inc                    COM     302571104         72,193  1,604,286  SH    Defined       1,604,286
Fairpoint Communicationss Inc    COM     305560104         32,033  1,841,000  SH    Defined       1,841,000
Federal Realty Inv.              COM     313747206        207,285  2,789,701  SH    Defined       2,589,401           200,300
Fifth Third Bancorp              COM     316773100          3,522     92,500  SH    Defined          92,500
First Horizon National Corp.     COM     320517105          4,746    124,850  SH    Defined         124,850
First Industrial Rlty            COM     32054K103         92,890  2,111,000  SH    Defined       2,110,500               500
FirstEnergy Corp                 COM     337932107         97,356  1,742,855  SH    Defined       1,742,855
Forest City Enterprises          COM     345550107         22,304    410,750  SH    Defined         269,050           141,700
Freddie Mac                      COM     313400301            405      6,100  SH    Defined           6,100
GMH Communities Trust            COM     36188G102         62,826  4,978,267  SH    Defined       4,902,267            76,000
General Dynamics Corp            COM     369550108            588      8,200  SH    Defined           8,200
General Electric                 COM     369604103          4,423    125,300  SH    Defined         125,300
General Growth                   COM     370021107        238,953  4,998,499  SH    Defined       4,793,370           205,129
General Mills Inc                COM     370334104          2,100     37,100  SH    Defined          37,100
Glimcher Realty Tr               COM     379302102        141,675  5,717,300  SH    Defined       5,717,300
GlobalSantaFe Corp               COM     G3930E101            725     14,500  SH    Defined          14,500
Gramercy Capital Corp            COM     384871109         55,462  2,200,000  SH    Defined       2,200,000
HCC Insurance Inc                COM     404132102            763     23,200  SH    Defined          23,200
HJ Heinz Company                 COM     423074103          3,036     72,400  SH    Defined          72,400
HRPT Properties Tr.              COM     40426W101         90,678  7,588,100  SH    Defined       7,588,100
HSBC Holdings - Spons ADR        COM     404280406            824      9,000  SH    Defined           9,000
Harrah's Entertainment           COM     413619107            485      7,300  SH    Defined           7,300
Hawaiian Electric Industries     COM     419870100         19,770    730,600  SH    Defined         730,600
Health Care Ppty                 COM     421915109        223,657  7,200,802  SH    Defined       7,192,100             8,702
Health Care REIT                 COM     42217K106        199,143  4,977,325  SH    Defined       4,970,525             6,800
Healthcare Rlty Tr.              COM     421946104         54,515  1,419,300  SH    Defined       1,419,300
Hershey Company                  COM     427866108            444      8,300  SH    Defined           8,300
Highwoods Properties             COM     431284108        124,765  3,353,000  SH    Defined       3,353,000
Hilton Hotels Corp               COM     432848109        186,205  6,648,099  SH    Defined       6,164,312           483,787
Home Properties                  COM     437306103        249,890  4,367,298  SH    Defined       4,350,640            16,658
Hongkong Land Holdings Ltd       COM       6434915         69,779 17,984,383  SH    Defined      17,984,383
Hospitality Pptys Tr             COM     44106M102        153,608  3,254,400  SH    Defined       3,254,400
Host Hotels & Resorts            COM     44107P104        379,989 16,528,847  SH    Defined      15,422,785         1,106,062
ITC Holdings Corp.               COM     465685105         14,676    470,400  SH    Defined         470,400
Inland Real Estate Corp          COM     457461200        108,613  6,199,400  SH    Defined       6,152,900            46,500
Intel Corp                       COM     458140100            241     11,700  SH    Defined          11,700
Intercontinental Hotels - ADR    COM     45857P202            409     23,213  SH    Defined          23,213
International Business Machines  COM     459200101            229      2,800  SH    Defined           2,800
J.C. Penney                      COM     708160106            554      8,100  SH    Defined           8,100
JPMorgan Chase and Co            COM     46625H100            662     14,100  SH    Defined          14,100
Johnson and Johnson              COM     478160104            773     11,900  SH    Defined          11,900
Kellogg Co                       COM     487836108          3,664     74,000  SH    Defined          74,000
KeyCorp                          COM     493267108          5,354    143,000  SH    Defined         143,000
Kilroy Realty                    COM     49427F108        112,311  1,490,613  SH    Defined       1,448,313            42,300
Kimberly-Clark Corp              COM     494368103          4,033     61,700  SH    Defined          61,700
Kimco Realty Corp.               COM     49446R109          6,277    130,865  SH    Defined          72,700            58,165
Kite Realty Group Trust          COM     49803T102          5,627    330,200  SH    Defined         330,200
Leggett & Platt Inc              COM     524660107          1,835     73,300  SH    Defined          73,300
Lexington Corporate              COM     529043101         41,589  1,963,600  SH    Defined       1,963,600
Liberty Property Tr              COM     531172104        517,811 10,827,237  SH    Defined      10,604,442           222,795
Limited Brands                   COM     532716107          1,984     74,900  SH    Defined          74,900
Linear Technology Corp           COM     535678106            523     16,800  SH    Defined          16,800
Lockheed Martin Corp             COM     539830109            671      7,800  SH    Defined           7,800
Macerich                         COM     554382101        434,260  5,681,637  SH    Defined       5,498,137           183,500
Mack-Cali Realty                 COM     554489104        482,544  9,308,526  SH    Defined       9,010,665           297,861
Magellan Midstream Holdings      COM     55907R108          4,545    202,000  SH    Defined         202,000
Maguire Properties               COM     559775101        270,436  6,635,586  SH    Defined       6,387,700           247,886
Masco Corp                       COM     574599106          1,549     56,500  SH    Defined          56,500
Medical Properties Trust         COM     58463J304         29,951  2,236,800  SH    Defined       2,236,800
Medtronic Inc                    COM     585055106            520     11,200  SH    Defined          11,200
Microchip Technology             COM     595017104            509     15,700  SH    Defined          15,700
Microsoft Corp                   COM     594918104            350     12,800  SH    Defined          12,800
Mid-America Apartment CommunitiesCOM     59522J103         73,727  1,204,300  SH    Defined       1,204,300
Mills Corp                       COM     601148109         36,624  2,191,727  SH    Defined       2,079,435           112,292
Mission West                     COM     605203108         31,767  2,786,600  SH    Defined       2,786,600
Monsanto Company                 COM     61166W101            235      5,000  SH    Defined           5,000
Morgan Stanley                   COM     617446448            343      4,700  SH    Defined           4,700
National City Corp.              COM     635405103          5,625    153,700  SH    Defined         153,700
National Retail Properties       COM     637417106         20,179    934,200  SH    Defined         934,200




      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
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

Nationwide Health                COM     638620104        256,131  9,578,577  SH    Defined       9,507,277            71,300
New Plan Excel Rlty              COM     648053106         32,613  1,204,127  SH    Defined       1,198,400             5,727
Newcastle Investment Corporation COM     65105M108        156,431  5,707,076  SH    Defined       5,707,076
Newell Rubbermaid Inc.           COM     651229106          4,036    142,500  SH    Defined         142,500
NiSource Inc                     COM     65473P105          3,761    173,000  SH    Defined         173,000
Nike Inc.                        COM     654106103            552      6,300  SH    Defined           6,300
Nordstrom Inc                    COM     655664100            389      9,200  SH    Defined           9,200
Northeast Utilities              COM     664397106         15,179    652,300  SH    Defined         652,300
Northrop Grumman Corp            COM     666807102            470      6,900  SH    Defined           6,900
Nstar                            COM     67019E107         24,256    727,100  SH    Defined         727,100
Omega Healthcare                 COM     681936100          3,095    206,200  SH    Defined         206,200
PACCAR Inc.                      COM     693718108            217      3,800  SH    Defined           3,800
PG&E Corp                        COM     69331C108        103,326  2,480,807  SH    Defined       2,480,807
PPG Industries Inc.              COM     693506107          1,925     28,700  SH    Defined          28,700
PPL Corp                         COM     69351T106         51,218  1,556,778  SH    Defined       1,556,778
Parkway Pptys                    COM     70159Q104         72,642  1,562,532  SH    Defined       1,416,432           146,100
Paychex Inc.                     COM     704326107            251      6,800  SH    Defined           6,800
Pennsylvania REIT                COM     709102107         67,712  1,590,600  SH    Defined       1,590,600
Pepco Holdings Inc               COM     713291102         58,008  2,400,000  SH    Defined       2,400,000
Petro-Canada                     COM     71644E102            315      7,800  SH    Defined           7,800
Pfizer Inc.                      COM     717081103          6,268    221,000  SH    Defined         221,000
Pinnacle West Capital Corp       COM     723484101         59,709  1,325,400  SH    Defined       1,325,400
Pitney Bowes Inc                 COM     724479100          3,669     82,700  SH    Defined          82,700
Post Properties                  COM     737464107        171,394  3,600,292  SH    Defined       3,388,544           211,748
ProLogis                         COM     743410102        320,216  5,595,919  SH    Defined       5,298,065           297,854
Procter & Gamble Company         COM     742718109            893     14,400  SH    Defined          14,400
Progress Energy Inc              COM     743263105         90,971  2,004,650  SH    Defined       2,004,650
Public Service Enterprise Group  COM     744573106         87,627  1,432,043  SH    Defined       1,432,043
Public Storage Inc.              COM     74460D109        395,443  4,585,983  SH    Defined       4,310,725           275,258
Public Storage-Series A          COM     74460D729         22,638    826,200  SH    Defined         826,200
Questar Corp                     COM     748356102          1,279     15,639  SH    Defined          15,639
RR Donnelley & Sons              COM     257867101          3,632    110,200  SH    Defined         110,200
Ramco-Gershenson                 COM     751452202         51,647  1,616,500  SH    Defined       1,616,500
Reckson Assoc                    COM     75621K106        177,031  4,124,610  SH    Defined       3,964,104           160,506
Republic Property Trust          COM     760737106          1,033     93,740  SH    Defined          93,740
SL Green Realty                  COM     78440X101        135,668  1,208,442  SH    Defined       1,140,597            67,845
Scana Corp Hldg Co.              COM     80589M102         18,726    465,000  SH    Defined         465,000
Schlumberger Ltd                 COM     806857108            248      4,000  SH    Defined           4,000
Scottish Power Plc-ADR           COM     81013T804         18,051    371,730  SH    Defined         371,730
Sempra Energy                    COM     816851109         10,677    212,468  SH    Defined         212,468
Senior Housing Pptys             COM     81721M109         96,790  4,535,600  SH    Defined       4,320,500           215,100
Sierra Pacific Resources         COM     826428104          1,550    108,100  SH    Defined         108,100
Simon Property Group             COM     828806109        591,508  6,509,342  SH    Defined       6,254,120           255,222
Sonoco Products Co               COM     835495102          1,827     54,300  SH    Defined          54,300
Southern Co                      COM     842587107        135,642  3,936,224  SH    Defined       3,936,224
Southern Union Co                COM     844030106          1,725     65,300  SH    Defined          65,300
Sovran Self Storage              COM     84610H108         80,664  1,452,100  SH    Defined       1,452,100
Spirit Finance Corp.             COM     848568309         93,083  8,017,500  SH    Defined       8,017,500
Starwood Hotels                  COM     85590A401        194,556  3,383,871  SH    Defined       3,093,634           290,237
Strategic Hotel Capital          COM     86272T106        194,602  9,788,856  SH    Defined       9,333,256           455,600
Sun Communities                  COM     866674104         92,627  2,898,228  SH    Defined       2,727,528           170,700
TXU Corp                         COM     873168108        112,797  1,804,180  SH    Defined       1,804,180
Tanger Factory Ctrs              COM     875465106         91,517  2,567,851  SH    Defined       2,463,248           104,603
Taubman Centers                  COM     876664103         55,565  1,242,121  SH    Defined        1,75,225            66,896
Teco Energy                      COM     872375100          5,916    378,000  SH    Defined         378,000
Teekay LNG Partners LP           COM     Y8564M105          5,472    179,700  SH    Defined         179,700
Teva Pharmaceutical              COM     881624209            259      7,600  SH    Defined           7,600
Thomas Properties Group          COM     884453101          8,094    629,900  SH    Defined         421,500           208,400
U-Store-It Trust                 COM     91274F104        119,736  5,579,502  SH    Defined       5,315,902           263,600
US Bancorp                       COM     902973304          6,504    195,800  SH    Defined         195,800
United Dominion                  COM     910197102        134,301  4,435,227  SH    Defined       4,391,000            44,227
United Parcel Svc                COM     911312106            619      8,600  SH    Defined           8,600
Urstadt Biddle Class A           COM     917286205         29,797  1,639,877  SH    Defined       1,639,877
Vectren Corporation              COM     92240G101         14,410    536,667  SH    Defined         536,667
Ventas Inc.                      COM     92276F100        391,643 10,161,983  SH    Defined      10,032,483           129,500
Verizon Communications           COM     92343V104          6,279    169,100  SH    Defined         169,100
Vodafone Group Plc               COM     92857W209            205      8,988  SH    Defined           8,988
Vornado Realty Tr.               COM     929042109        738,130  6,761,261  SH    Defined       6,550,472           210,789
WPS Resources Corp               COM     92931B106          3,757     75,700  SH    Defined          75,700
Wal-Mart De Mexico SA            COM     93114W107            554     16,300  SH    Defined          16,300
Washington Mutual                COM     939322103          5,964    137,200  SH    Defined         137,200
Waste Management Inc             COM     94106L109          1,346     36,700  SH    Defined          36,700
Wells Fargo and Co               COM     949746101          1,056     29,200  SH    Defined          29,200
Weyerhaeuser Co                  COM     962166104          1,514     24,600  SH    Defined          24,600
Williams Cos Inc                 COM     969457100            437     18,300  SH    Defined          18,300
Williams Partners LP             COM     96950F104         11,704    324,300  SH    Defined         324,300
Windrose Medical Properties      COM     973491103         31,258  1,768,000  SH    Defined       1,731,700            36,300
Worthington Industries Inc       COM     981811102          3,136    183,800  SH    Defined         183,800
Xcel Energy Inc                  COM     98389B100         69,871  3,383,603  SH    Defined       3,383,603
iStar Financial                  COM     45031U101        145,070  3,478,900  SH    Defined       3,478,900
Abbey Nat. ADR 7.375% (ANB B)    PFD     002920700          2,865    109,200  SH    Defined         109,200
Abbey Nat. ADR 7.375% (ANB C)    PFD     002920809         12,578    493,264  SH    Defined         493,264
Crescent Real Estate Pr.A        PFD     225756204         53,158  2,425,100  SH    Defined       2,425,100
Felcor Lodging Pr.A              PFD     31430F200          1,036     41,600  SH    Defined          41,600
HSBC Holdings PLC 6.20% (HBC A)  PFD     404280604            528     21,100  SH    Defined          21,100
Royal Bank of Scotland Pr.H      PFD     780097879          2,934    115,100  SH    Defined         115,100
Royal Bank of Scotland Pr.K      PFD     780097820            774     30,600  SH    Defined          30,600
Windrose Medical Prop. Pr.A      PFD     973491202          8,422    300,800  SH    Defined         300,800


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245 Data Records
19,294,219 Value Total
01 Other Manager on whose behalf report is filed