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, 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: May 12, 2006



/s/ Robert Steers               New York, NY             May 12, 2006
----------------               ---------------          ------------------

Report Type (Check only one.):

[X] 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).)

[ ] 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





                     Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                            1

Form 13F Information Table Entry Total:                     225

Form 13F Information Table Value Total:              18,303,441 (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       1832        24200  SH    Sole               24200
AGL Resources                     COM    001204106     27,593      765,396  SH    Sole             765,396
AMB Property Corp.                COM    00163T109    136,649    2,510,144  SH    Sole           2,362,186          147,958
Abbott Laboratories               COM    002824100      2,056       48,400  SH    Sole              48,400
Ace ltd                           COM    G0070K103        286        5,500  SH    Sole               5,500
Aflac Inc                         COM    001055102        487       10,800  SH    Sole              10,800
Alexandria Real Estate            COM    015271109    208,310    2,184,076  SH    Sole           2,006,453          177,623
Allstate Corp                     COM    020002101        380        7,300  SH    Sole               7,300
Altria Group Inc                  COM    02209S103      5,711       80,600  SH    Sole              80,600
Ameren Corp                       COM    023608102    142,268    2,855,644  SH    Sole           2,855,644
American Campus Communities       COM    024835100     53,419    2,061,700  SH    Sole           2,061,700
American Financial Realty Tr      COM    02607P305    104,473    8,967,651  SH    Sole           8,767,351          200,300
Anheuser-Busch Co                 COM    035229103      1,792       41,900  SH    Sole              41,900
Apartment Investment              COM    03748R101    428,516    9,127,693  SH    Sole           8,699,142          428,551
Archstone-Smith Tr.               COM    039583109    487,410    9,978,316  SH    Sole           9,507,020          471,296
Ashford Hospitality Trust         COM    044103109     26,479    2,135,400  SH    Sole           2,135,400
Atmos Energy Corp                 COM    049560105      5,542      210,500  SH    Sole             210,500
AvalonBay Comm.                   COM    053484101    531,828    4,868,429  SH    Sole           4,608,425          260,004
Avery Dennison Corp.              COM    053611109      1,754       30,000  SH    Sole              30,000
BP plc                            COM    055622104        221        3,200  SH    Sole               3,200
BRE Properties                    COM    05564E106    251,977    4,522,558  SH    Sole           4,181,881          340,677
Baker Hughes Inc                  COM    057224107        376        5,500  SH    Sole               5,500
Bank of America Corp.             COM    060505104      5,788      127,100  SH    Sole             127,100
Becton Dickinson                  COM    075887109        228        3,700  SH    Sole               3,700
Bellsouth Corp                    COM    079860102      3,624      104,600  SH    Sole             104,600
BioMed Property Trust             COM    09063H107     50,501    1,703,809  SH    Sole           1,630,209           73,600
Boston Properties                 COM    101121101    473,025    5,063,970  SH    Sole           4,836,752          227,218
Brandywine Realty Tr.             COM    105368203    314,381    9,895,097  SH    Sole           9,858,074           37,023
Brookfield Properties             COM    112900105    393,826   11,532,237  SH    Sole          10,745,887          786,350
CBL & Associates                  COM    124830100    104,220    2,448,587  SH    Sole           2,362,276           86,311
CINergy Corp                      COM    172474108    121,045    2,665,595  SH    Sole           2,665,595
CMS Energy Corp                   COM    125896100      1,533      118,400  SH    Sole             118,400
Camden Ppty Trust                 COM    133131102    113,879    1,579,690  SH    Sole           1,575,600            4,090
Carnival Corp.                    COM    143658300        218        4,600  SH    Sole               4,600
CarrAmerica Realty                COM    144418100     45,535      970,516  SH    Sole             945,000           25,516
Cathay Pacific Airways            COM    148906308        171       19,500  SH    Sole              19,500
Cedar Shopping Centers Inc.       COM    150602209     66,872    4,221,700  SH    Sole           4,221,700
ChevronTexaco Corp.               COM    166764100      3,820       65,900  SH    Sole              65,900
Citigroup Inc                     COM    172967101      5,018      106,250  SH    Sole             106,250
Citizens Communications Co.       COM    17453B101     31,053    2,340,100  SH    Sole           2,340,100
Cleco Corporation                 COM    12561W105     12,184      545,616  SH    Sole             545,616
Coca-cola Co/The                  COM    191216100      1,779       42,500  SH    Sole              42,500
Colonial Property Tr              COM    195872106    221,931    4,427,100  SH    Sole           4,427,100
Comerica                          COM    200340107      1,368       23,600  SH    Sole              23,600
Commercial Net Lease              COM    202218103     24,472    1,050,300  SH    Sole           1,050,300
ConocoPhillips                    COM    20825C104      2,052       32,500  SH    Sole              32,500
Consolidated Edison Inc           COM    209115104    104,474    2,401,700  SH    Sole           2,401,700
Constellation Energy Group        COM    210371100      3,857       70,500  SH    Sole              70,500
Contrywide Financial Corp         COM    222372104        319        8,700  SH    Sole               8,700
Cousins Properties                COM    222795106      9,698      290,100  SH    Sole             272,800           17,300
Crescent Real Estate              COM    225756105     18,120      860,000  SH    Sole             860,000
DCP Midstream Partners LP         COM    23311P100      7,549      275,000  SH    Sole             275,000
DPL Inc.                          COM    233293109     12,490      462,600  SH    Sole             462,600
DTE Energy Co                     COM    233331107     90,688    2,262,100  SH    Sole           2,262,100
Developers Divers.                COM    251591103    222,976    4,069,691  SH    Sole           3,930,960          138,731
Diageo Capital PLC                COM    25243Q205        336        5,300  SH    Sole               5,300
Diamondrock Hospitality Company   COM    252784301     77,535    5,614,400  SH    Sole           5,614,400
Digital Realty Trust Inc.         COM    253868103     17,713      628,800  SH    Sole             628,800
Dominion Resources Inc            COM    25746U109     49,166      712,244  SH    Sole             712,244
Dow Chemical Co                   COM    260543103      3,601       88,700  SH    Sole              88,700
Du Pont (E.I.) De Nemours         COM    263534109      3,592       85,100  SH    Sole              85,100
Duke Energy Corporation           COM    26441C105    139,724    4,793,292  SH    Sole           4,793,292
Duke Realty Corp                  COM    264411505    134,415    3,532,165  SH    Sole           3,486,100           46,065
E.ON AG-Spons ADR                 COM    268780103     71,267    1,947,174  SH    Sole           1,947,174
Eastman Chemical Company          COM    277432100      3,583       70,000  SH    Sole              70,000
Edison International              COM    281020107     82,691    2,008,040  SH    Sole           2,008,040
Education Realty Trust            COM    28140H104     52,104    3,405,500  SH    Sole           3,405,500
Eli Lilly & Co                    COM    532457108      1,753       31,700  SH    Sole              31,700
Energen Corp                      COM    29265N108      1,201       34,306  SH    Sole              34,306
Energy East Corp                  COM    29266M109     10,468      430,780  SH    Sole             430,780
Entergy Corp                      COM    29364G103     86,334    1,252,304  SH    Sole           1,252,304
Enterprise GP Holdings LP         COM    293716106      2,325       62,000  SH    Sole              62,000
Entertainment Properties          COM    29380T105     84,510    2,013,100  SH    Sole           1,860,000          153,100
Equitable Resources Inc           COM    294549100     62,093    1,700,720  SH    Sole           1,700,720
Equity Inns Inc                   COM    294703103     22,926    1,415,200  SH    Sole           1,415,200
Equity Office Pptys               COM    294741103    630,053   18,733,118  SH    Sole          18,255,297          477,821
Equity One                        COM    294752100     21,033      856,400  SH    Sole             856,400




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


Equity Residential                COM    29476L107    488,453   10,417,681  SH    Sole           9,941,292          476,389
Essex Property Tr.                COM    297178105    124,213    1,142,395  SH    Sole           1,097,295           45,100
Exco Resources                    COM    269279402      1,654      132,000  SH    Sole             132,000
Exelon Corp                       COM    30161N101    131,710    2,489,797  SH    Sole           2,489,797
Extra Space Storage Inc.          COM    30225T102    115,706    6,731,000  SH    Sole           6,311,600          419,400
Exxon Mobil Corp                  COM    30231G102        377        6,200  SH    Sole               6,200
FPL Group Inc                     COM    302571104     65,801    1,639,286  SH    Sole           1,639,286
Fairpoint Communicationss Inc     COM    305560104     25,443    1,841,000  SH    Sole           1,841,000
Federal Realty Inv.               COM    313747206    177,275    2,357,386  SH    Sole           2,206,586          150,800
Fifth Third Bancorp               COM    316773100      3,641       92,500  SH    Sole              92,500
First Horizon National Corp.      COM    320517105      2,622       62,950  SH    Sole              62,950
First Industrial Rlty             COM    32054K103    121,773    2,852,500  SH    Sole           2,852,500
FirstEnergy Corp                  COM    337932107     47,837      978,255  SH    Sole             978,255
Forest City Enterprises           COM    345550107     18,855      399,900  SH    Sole             253,100          146,800
GMH Communities Trust             COM    36188G102     60,542    5,201,235  SH    Sole           5,121,235           80,000
General Dynamics Corp             COM    369550108        211        3,300  SH    Sole               3,300
General Electric                  COM    369604103      4,191      120,500  SH    Sole             120,500
General Growth                    COM    370021107    213,356    4,352,932  SH    Sole           4,164,703          188,229
General Mills Inc                 COM    370334104      1,880       37,100  SH    Sole              37,100
Glenborough Realty                COM    37803P105     75,440    3,468,500  SH    Sole           3,037,400          431,100
Glimcher Realty Tr                COM    379302102    147,882    5,207,100  SH    Sole           5,207,100
GlobalSantaFe Corp                COM    G3930E101        468        7,700  SH    Sole               7,700
Gramercy Capital Corp             COM    384871109     46,233    2,200,000  SH    Sole           2,200,000
HCC Insurance Inc                 COM    404132102        571       16,400  SH    Sole              16,400
HJ Heinz Company                  COM    423074103      3,648       96,200  SH    Sole              96,200
HRPT Properties Tr.               COM    40426W101     78,797    6,711,800  SH    Sole           6,711,800
HSBC Holdings - Spons ADR         COM    404280406        377        4,500  SH    Sole               4,500
Hawaiian Electric Industries      COM    419870100     21,856      805,600  SH    Sole             805,600
Health Care Ppty                  COM    421915109    235,322    8,280,002  SH    Sole           8,271,300            8,702
Health Care REIT                  COM    42217K106    186,310    4,890,025  SH    Sole           4,890,025
Healthcare Rlty Tr.               COM    421946104     53,356    1,427,400  SH    Sole           1,427,400
Heritage Property Investment      COM    42725M107    154,128    3,893,100  SH    Sole           3,893,100
Highwoods Properties              COM    431284108    116,473    3,453,100  SH    Sole           3,453,100
Hilton Hotels Corp                COM    432848109    162,671    6,387,222  SH    Sole           6,003,934          383,288
Home Properties                   COM    437306103    233,471    4,565,358  SH    Sole           4,548,700           16,658
Hospitality Pptys Tr              COM    44106M102    126,674    2,900,700  SH    Sole           2,900,700
Host Hotels & Resorts             COM    44107P104    251,168   11,730,226  SH    Sole          11,004,425          725,801
ITC Holdings Corp.                COM    465685105     16,522      629,400  SH    Sole             629,400
Inland Real Estate Corp           COM    457461200     94,233    5,777,600  SH    Sole           5,653,300          124,300
Intel Corp                        COM    458140100        237       12,200  SH    Sole              12,200
Intercontinental Hotels - ADR     COM    45857P103        199       12,100  SH    Sole              12,100
JPMorgan Chase and Co             COM    46625H100        446       10,700  SH    Sole              10,700
Johnson and Johnson               COM    478160104        497        8,400  SH    Sole               8,400
Kellogg Co                        COM    487836108      3,528       80,100  SH    Sole              80,100
KeyCorp                           COM    493267108      5,262      143,000  SH    Sole             143,000
Keyspan Corp                      COM    49337W100     52,109    1,275,000  SH    Sole           1,275,000
Kilroy Realty                     COM    49427F108    131,265    1,699,004  SH    Sole           1,652,504           46,500
Kimberly-Clark Corp               COM    494368103      3,566       61,700  SH    Sole              61,700
Kimco Realty Corp.                COM    49446R109      5,820      130,865  SH    Sole              72,700           58,165
Kinder Morgan Inc                 COM    49455P101     14,534      158,000  SH    Sole             158,000
Leggett & Platt Inc               COM    524660107      1,786       73,300  SH    Sole              73,300
Lexington Corporate               COM    529043101     30,712    1,473,000  SH    Sole           1,473,000
Liberty Property Tr               COM    531172104    415,588    8,806,307  SH    Sole           8,658,146          148,161
Limited Brands                    COM    532716107      1,832       74,900  SH    Sole              74,900
Lockheed Martin Corp              COM    539830109        301        4,000  SH    Sole               4,000
Macerich                          COM    554382101    423,748    5,726,035  SH    Sole           5,519,835          206,200
Mack-Cali Realty                  COM    554489104    445,495    9,275,598  SH    Sole           8,949,437          326,161
Magellan Midstream Holdings       COM    55907R108      5,748      250,000  SH    Sole             250,000
Maguire Properties                COM    559775101    239,794    6,567,451  SH    Sole           6,287,577          279,874
Masco Corp                        COM    574599106      1,836       56,500  SH    Sole              56,500
Medical Properties Trust          COM    58463J304     27,184    2,517,000  SH    Sole           2,517,000
Microchip Technology              COM    595017104        356        9,800  SH    Sole               9,800
Mid-America Apartment Communities COM    59522J103     82,339    1,503,908  SH    Sole           1,503,908
Mills Corp                        COM    601148109    198,205    7,078,745  SH    Sole           6,699,547          379,198
Mission West                      COM    605203108     26,923    2,291,300  SH    Sole           2,291,300
National City Corp.               COM    635405103      5,364      153,700  SH    Sole             153,700
Nationwide Health                 COM    638620104    170,263    7,919,200  SH    Sole           7,919,200
New Plan Excel Rlty               COM    648053106     35,822    1,379,727  SH    Sole           1,374,000            5,727
Newcastle Investment Corporation  COM    65105M108    133,722    5,590,376  SH    Sole           5,590,376
Newell Rubbermaid Inc.            COM    651229106      4,081      162,000  SH    Sole             162,000
NiSource Inc                      COM    65473P105      3,215      159,000  SH    Sole             159,000
Nike Inc.                         COM    654106103        391        4,600  SH    Sole               4,600
Northeast Utilities               COM    664397106     15,487      793,000  SH    Sole             793,000
Northrop Grumman Corp             COM    666807102        321        4,700  SH    Sole               4,700
Nstar                             COM    67019E107     22,848      798,600  SH    Sole             798,600
Omega Healthcare                  COM    681936100      3,504      249,900  SH    Sole             249,900
PACCAR Inc.                       COM    693718108        289        4,100  SH    Sole               4,100
PG&E Corp                         COM    69331C108     97,830    2,514,907  SH    Sole           2,514,907
PPG Industries Inc.               COM    693506107      1,818       28,700  SH    Sole              28,700




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

PPL Corp                          COM    69351T106     50,829    1,728,878  SH    Sole           1,728,878
Pan Pacific                       COM    69806L104     70,351      987,887  SH    Sole             927,100           60,787
Pennsylvania REIT                 COM    709102107     56,263    1,278,700  SH    Sole           1,278,700
Pepco Holdings Inc                COM    713291102     56,091    2,461,210  SH    Sole           2,461,210
Pfizer Inc.                       COM    717081103      4,674      187,550  SH    Sole             187,550
Pinnacle West Capital Corp        COM    723484101     50,638    1,295,100  SH    Sole           1,295,100
Pitney Bowes Inc                  COM    724479100      1,481       34,500  SH    Sole              34,500
Post Properties                   COM    737464107    115,195    2,583,527  SH    Sole           2,484,779           98,748
ProLogis                          COM    743410102    306,494    5,717,037  SH    Sole           5,401,583          315,454
Procter & Gamble Company          COM    742718109        403        7,000  SH    Sole               7,000
Progress Energy Inc               COM    743263105     90,144    2,049,650  SH    Sole           2,049,650
Public Service Enterprise Group   COM    744573106    117,663    1,837,343  SH    Sole           1,837,343
Public Storage Inc.               COM    74460D109    232,945    2,860,739  SH    Sole           2,708,781          151,958
Public Storage-Series A           COM    74460D729     22,473      826,200  SH    Sole             826,200
Questar Corp                      COM    748356102      3,540       50,539  SH    Sole              50,539
RR Donnelley & Sons               COM    257867101      3,606      110,200  SH    Sole             110,200
Ramco-Gershenson                  COM    751452202     49,912    1,648,900  SH    Sole           1,648,900
Reckson Assoc                     COM    75621K106    366,096    7,980,642  SH    Sole           7,817,336          163,306
Regency Centers Corp              COM    758849103     78,032    1,161,359  SH    Sole           1,116,400           44,959
Regency Energy Partners LP        COM    75885Y107      4,089      185,000  SH    Sole             185,000
Regions Financial Corp            COM    7591EP100      1,298       36,900  SH    Sole              36,900
Republic Property Trust           COM    760737106     14,466    1,229,090  SH    Sole           1,211,893           17,197
SL Green Realty                   COM    78440X101    132,449    1,299,976  SH    Sole           1,226,875           73,101
Scana Corp Hldg Co.               COM    80589M102      8,299      211,500  SH    Sole             211,500
Scottish Power Plc-ADR            COM    81013T705     19,525      484,600  SH    Sole             484,600
Sempra Energy                     COM    816851109     14,538      312,918  SH    Sole             312,918
Senior Housing Pptys              COM    81721M109     69,477    3,838,500  SH    Sole           3,838,500
Shurgard Storage                  COM    82567D104    157,447    2,359,225  SH    Sole           2,194,280          164,945
Simon Property Group              COM    828806109    580,382    6,883,437  SH    Sole           6,590,889          292,548
Southern Co                       COM    842587107    128,548    3,922,724  SH    Sole           3,922,724
Sovran Self Storage               COM    84610H108     60,549    1,096,900  SH    Sole           1,096,900
Spirit Finance Corp.              COM    848568309     89,134    7,306,100  SH    Sole           7,306,100
Starwood Hotels                   COM    85590A401    260,244    3,842,379  SH    Sole           3,502,492          339,887
Strategic Hotel Capital           COM    86272T106    184,270    7,915,394  SH    Sole           7,513,494          401,900
Sun Communities                   COM    866674104    102,829    2,908,884  SH    Sole           2,729,084          179,800
Sunstone Hotel Investors Inc      COM    867892101      4,928      170,100  SH    Sole             170,100
TXU Corp                          COM    873168108     49,580    1,107,680  SH    Sole           1,107,680
Tanger Factory Ctrs               COM    875465106    102,832    2,988,433  SH    Sole           2,706,360          282,073
Taubman Centers                   COM    876664103    160,105    3,835,113  SH    Sole           3,559,400          275,713
Teekay LNG Partners LP            COM    Y8564M105      7,197      230,300  SH    Sole             230,300
Thomas Properties Group           COM    884453101      8,355      613,900  SH    Sole             405,500          208,400
Trizec Properties                 COM    89687P107    118,057    4,588,306  SH    Sole           4,391,180          197,126
U-Store-It Trust                  COM    91274F104    112,217    5,569,100  SH    Sole           5,301,000          268,100
US Bancorp                        COM    902973304      5,743      188,300  SH    Sole             188,300
United Dominion                   COM    910197102     68,179    2,379,527  SH    Sole           2,335,300           44,227
United Parcel Svc                 COM    911312106        381        4,800  SH    Sole               4,800
Urstadt Biddle Class A            COM    917286205     16,465      914,700  SH    Sole             914,700
Vectren Corporation               COM    92240G101     10,918      413,867  SH    Sole             413,867
Ventas Inc.                       COM    92276F100    380,495   11,467,595  SH    Sole          11,167,895          299,700
Verizon Communications            COM    92343V104      5,647      165,800  SH    Sole             165,800
Vodafone Group Plc                COM    92857W100        228       10,900  SH    Sole               10900
Vornado Realty Tr.                COM    929042109     784431      8162726  SH    Sole             7796249           366477
WPS Resources Corp                COM    92931B106        202         4100  SH    Sole                4100
Wal-Mart De Mexico SA             COM    93114W107        409        15300  SH    Sole               15300
Washington Mutual                 COM    939322103       5447       127800  SH    Sole              127800
Waste Management Inc              COM    94106L109       1853        52500  SH    Sole               52500
Wells Fargo and Co                COM    949746101        620         9700  SH    Sole                9700
Weyerhaeuser Co                   COM    962166104       1782        24600  SH    Sole               24600
Williams Cos Inc                  COM    969457100       2124        99300  SH    Sole               99300
Williams Partners LP              COM    96950F104       5826       178000  SH    Sole              178000
Windrose Medical Properties       COM    973491103       8000       530500  SH    Sole              530500
Worthington Industries Inc        COM    981811102       3687       183800  SH    Sole              183800
Xcel Energy Inc                   COM    98389B100      67369      3711803  SH    Sole             3711803
iStar Financial                   COM    45031U101     119273      3115800  SH    Sole             3115800
Abbey Nat. ADR 7.375% (ANB C)     PFD    002920809      12632       493264  SH    Sole              493264
Crescent Real Estate Pr.A         PFD    225756204      52450      2430500  SH    Sole             2430500
Felcor Lodging Pr.A               PFD    31430F200       5188       207500  SH    Sole              207500
Royal Bank of Scotland Pr.H       PFD    780097879       1413        55600  SH    Sole               55600
Windrose Medical Prop. Pr.A       PFD    973491202       3153       120800  SH    Sole              120800



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225 Data Records
18,303,441 Value Total
01 Other Manager on whose behalf report is filed