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, 2008
Check here if Amendment [   ];  Amendment Number:
This Amendment (Check only one.):       [   ] is a restatement.
                                        [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

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

Form 13F File Number:    28-2405

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

Person Signing this Report on Behalf of Reporting Manager:

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


Signature, Place, and Dating of Signing:



/s/ Lisa Phelan                 New York, NY             November 14, 2008
-----------------              ---------------          ------------------

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:                     360

Form 13F Information Table Value Total:                14,632,361 (thousands)

List of Other Included Managers:

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

     No.      Form 13F File Number      Name

     01                                 Cohen & Steers Europe SA




                           FORM 13F INFORMATION TABLE



        ITEM 1:         ITEM 2:      ITEM 3:       ITEM 4:       ITEM 5:         ITEM 6:   ITEM 7:           ITEM 8:
----------------------------   --------   -------    ---------------   -------  --------  --------------------------
                          TITLE
                           OF                     VALUE        SHARES/  SH/  PUT/  INVSTMT  OTHER        VOTING AUTHORITY
NAME OF ISSUER            CLASS      CUSIP        (X$1000)     PRN AMT  PRN  CALL  DSCRETN  MANAGERS  SOLE     SHARED     NONE
----------------------------  --------    -------   --------- -------- -------  --------   ------  -------  -------
                                                                                           
Abbott Laboratories       COM       002824100      32,899       571,363 SH         Sole             571,363                   -
Acadia Realty Trust       COM       004239109      43,089     1,704,497 SH         Sole           1,635,102              69,395
ACE Ltd Common            COM       H0023R105       8,877       164,000 SH         Sole             164,000                   -
ACM Income Fund CEF       COM       01881E101       2,336       310,200 SH         Sole             310,200                   -
Advent Claymore Conv      COM       00764C109      10,819       677,518 SH         Sole             677,518                   -
Advent Claymore Glob      COM       007639107       5,021       609,403 SH         Sole             609,403                   -
Advent/Claymore Enh       COM       00765E104       1,062       102,349 SH         Sole             102,349                   -
Aflac Inc                 COM       001055102      25,183       428,649 SH         Sole             428,649                   -
AGL Resources Inc         COM       001204106       9,351       298,000 SH         Sole             298,000                   -
Alcoa Inc Common          COM       013817101       6,269       277,658 SH         Sole             277,658                   -
Alexandria Real Esta      COM       015271109       8,910        79,200 SH         Sole              79,200                   -
Allegheny Energy, In      COM       017361106       8,519       231,672 SH         Sole             231,672                   -
Alliant Energy Corp       COM       018802108       2,454        76,200 SH         Sole              76,200                   -
Allstate Corp/The Co      COM       020002101       6,683       144,900 SH         Sole             144,900                   -
Altria Group Inc Com      COM       02209S103      12,719       641,108 SH         Sole             641,108                   -
AMB Property Corp Co      COM       00163T109      48,543     1,071,586 SH         Sole             978,135              93,451
Ameren Corp Common        COM       023608102      40,990     1,050,200 SH         Sole           1,050,200                   -
America Movil SAB de      COM       02364W105       1,261        27,200 SH         Sole              27,200                   -
American Campus Comm      COM       024835100     143,425     4,233,318 SH         Sole           4,035,729             197,589
American Land Lease       COM       027118108       1,019        52,468 SH         Sole              52,468                   -
American Tower Corpo      COM       029912201       3,923       109,073 SH         Sole             109,073                   -
Apache Corp Common        COM       037411105       8,895        85,300 SH         Sole              85,300                   -
Apartment Invt & Mgm      COM       03748R101      96,322     2,750,475 SH         Sole           2,717,245              33,230
Archer Daniels Midla      COM       039483102       8,409       383,779 SH         Sole             383,779                   -
AT&T Common               COM       00206R102      20,290       726,709 SH         Sole             726,709                   -
AvalonBay Communitie      COM       053484101     364,727     3,705,830 SH         Sole           3,413,318             292,512
Avery Dennison Corp       COM       053611109       1,428        32,100 SH         Sole              32,100                   -
Bank of America Corp      COM       060505104      23,233       663,799 SH         Sole             663,799                   -
Bank Of New York Mel      COM       064058100       1,854        56,900 SH         Sole              56,900                   -
Barclays Bank 7.10%       PFD       06739H776         101         7,000 SH         Sole               6,000               1,000
Barclays Bank 8.125%      PFD       06739H362      24,370     1,425,150 SH         Sole           1,424,150               1,000
Barclays Bank Plc  7      PFD       06739H511         560        35,600 SH         Sole              34,600               1,000
BB&T Corp Common          COM       054937107       5,704       150,900 SH         Sole             150,900                   -
Becton Dickinson &am      COM       075887109       6,910        86,100 SH         Sole              86,100                   -
Bemis Co Common           COM       081437105       1,303        49,700 SH         Sole              49,700                   -
BioMed Realty Trust       COM       09063H107      57,435     2,171,471 SH         Sole           2,140,792              30,679
Blackrock Corp HY Fu      COM       09255P107       2,237       278,600 SH         Sole             278,600                   -
Blackrock Corporate       COM       09255L106       1,238       247,600 SH         Sole             247,600                   -
Blackrock Corporate       COM       09255N102         262        32,800 SH         Sole              32,800                   -
Blackrock Corporate       COM       09255M104         407        83,800 SH         Sole              83,800                   -
BlackRock Debt Strat      COM       09255R103         324        83,300 SH         Sole              83,300                   -
Blackrock Global Enr      COM       09250U101       4,880       207,300 SH         Sole             207,300                   -
Blackrock Health Sci      COM       09250W107       5,399       212,300 SH         Sole             212,300                   -
Blackrock Inc. COM        COM       09247X101      10,192        52,400 SH         Sole              52,400                   -
Blackrock Internatio      COM       092524107       1,107       103,000 SH         Sole             103,000                   -
Blackrock Ltd Durati      COM       09249W101       5,330       425,371 SH         Sole             425,371                   -
Blackrock Pfd & Eq A      COM       092508100       6,213       600,318 SH         Sole             600,318                   -
Blackrock Preferred       COM       09249V103         968       101,400 SH         Sole             101,400                   -
Blackrock Real Asset      COM       09254B109       3,448       321,600 SH         Sole             321,600                   -
Blackrock World Inve      COM       09250K103         460        43,600 SH         Sole              43,600                   -
Boeing Co Common          COM       097023105      11,657       203,268 SH         Sole             203,268                   -
Boston Properties In      COM       101121101     615,064     6,566,987 SH         Sole           6,041,754             525,233
Brandywine Realty Tr      COM       105368203     111,623     6,963,453 SH         Sole           6,572,767             390,686
BRE Properties Inc C      COM       05564E106     113,203     2,310,254 SH         Sole           2,132,710             177,544
Brookfield Propertie      COM       112900105      90,179     5,693,273 SH         Sole           5,029,218             664,055
Calamos Convertible       COM       12811P108       4,815       481,512 SH         Sole             481,512                   -
Calamos Strat Tot Re      COM       128125101      11,455     1,325,800 SH         Sole           1,325,800                   -
Camden Property Trus      COM       133131102      98,242     2,142,201 SH         Sole           2,055,687              86,514
Capital And Inc Stra      COM       09256A109       2,140       159,200 SH         Sole             159,200                   -
Carnival Corp Common      COM       143658300       9,465       267,750 SH         Sole             267,750                   -
Cedar Shopping Cente      COM       150602209      15,194     1,149,286 SH         Sole           1,149,286                   -
Cemig SA-Spons ADR C      COM       204409601         336        17,000 SH         Sole              17,000                   -
CenterPoint Energy,       COM       15189T107       4,451       305,500 SH         Sole             305,500                   -
Chevron Corp Common       COM       166764100      17,337       210,200 SH         Sole             210,200                   -
China Mobile Ltd ADR      COM       16941M109       2,304        46,000 SH         Sole              46,000                   -
Citigroup Inc Common      COM       172967101      13,312       649,038 SH         Sole             649,038                   -
Cleco Corp Common         COM       12561W105      13,001       514,900 SH         Sole             514,900                   -
Clough Global Alloca      COM       18913Y103       1,045        77,100 SH         Sole              77,100                   -
Clough Global Equity      COM       18914C100       3,241       245,500 SH         Sole             245,500                   -
Clough Global Opport      COM       18914E106      12,421     1,030,785 SH         Sole           1,030,785                   -
CNOOC Ltd ADR             COM       126132109         487         4,250 SH         Sole               4,250                   -
Colonial Properties       COM       195872106      18,807     1,006,256 SH         Sole           1,001,956               4,300
Consolidated Edison       COM       209115104       6,165       143,500 SH         Sole             143,500                   -
Corning Inc Common        COM       219350105      15,077       964,000 SH         Sole             964,000                   -
Corporate Office Pro      COM       22002T108       4,983       123,500 SH         Sole             123,500                   -
Corrections Corp of       COM       22025Y407         245         9,867 SH         Sole               9,867                   -
Costco Wholesale Cor      COM       22160K105       4,720        72,700 SH         Sole              72,700                   -
Crown Castle Intl Co      COM       228227104       1,722        59,425 SH         Sole              59,425                   -
DCP Midstream Partne      COM       23311P100       6,227       368,000 SH         Sole             368,000                   -
DCT Industrial Trust      COM       233153105         261        34,900 SH         Sole              30,567               4,333
Developers Diversifi      COM       251591103     201,049     6,344,257 SH         Sole           5,923,969             420,288
Devon Energy Corp Co      COM       25179M103      13,750       150,773 SH         Sole             150,773                   -
Diageo PLC ADR            COM       25243Q205       2,651        38,500 SH         Sole              38,500                   -
DiamondRock Hospital      COM       252784301      28,525     3,134,574 SH         Sole           3,073,161              61,413
Digital Realty Trust      COM       253868103      18,288       387,044 SH         Sole             338,330              48,714
Disney Co Common          COM       254687106      11,911       388,100 SH         Sole             388,100                   -
Dominion Resources I      COM       25746U109      48,196     1,126,600 SH         Sole           1,126,600                   -
Douglas Emmett Commo      COM       25960P109     138,225     5,991,609 SH         Sole           5,501,326             490,283
Dow 30 Enhanced Prei      COM       260537105       5,815       510,572 SH         Sole             510,572                   -
Dow Chemical Co/The       COM       260543103       6,940       218,400 SH         Sole             218,400                   -
DPL Inc Common            COM       233293109      11,968       482,600 SH         Sole             482,600                   -
Duff & Phelps Utilit      COM       26432K108         216        21,700 SH         Sole              21,700                   -
Duke Energy Corp Com      COM       26441C105     141,439     8,114,668 SH         Sole           8,114,668                   -
Duncan Energy Partne      COM       265026104       2,360       147,900 SH         Sole             147,900                   -
DuPont Fabros Techno      COM       26613Q106      67,275     4,411,427 SH         Sole           3,943,974             467,453
DWS Glbl Commodities      COM       23338Y100       1,808       142,137 SH         Sole             142,137                   -
DWS RREEF Real Estat      COM       233384106       3,098       232,547 SH         Sole             232,547                   -
DWS RREEF Real Estat      COM       23338X102       3,430       424,000 SH         Sole             424,000                   -
EastGroup Properties      COM       277276101     103,300     2,128,152 SH         Sole           2,001,412             126,740
Eaton Vance Enh Eqt       COM       278277108       9,182       657,264 SH         Sole             657,264                   -
Eaton Vance Enhanced      COM       278274105       3,623       272,235 SH         Sole             272,235                   -
Eaton Vance Float Ra      COM       278279104         286        25,500 SH         Sole              25,500                   -
Eaton Vance Ltd Dura      COM       27828H105       6,309       572,509 SH         Sole             572,509                   -
Eaton Vance Senior F      COM       27828Q105       1,467       134,600 SH         Sole             134,600                   -
Eaton Vance Short Du      COM       27828V104       1,346       108,400 SH         Sole             108,400                   -
Eaton Vance T/M Buy-      COM       27828X100       3,602       275,996 SH         Sole             275,996                   -
Eaton Vance T/M Buy-      COM       27828Y108       9,247       772,546 SH         Sole             772,546                   -
Eaton Vance TA Gl Di      COM       27828S101       6,922       480,700 SH         Sole             480,700                   -
Eaton Vance TA GL Di      COM       27828U106       2,526       130,600 SH         Sole             130,600                   -
Eaton Vance Tax Man       COM       27829C105      12,455     1,073,665 SH         Sole           1,073,665                   -
Eaton Vance Tax Man       COM       27829F108      12,227     1,089,726 SH         Sole           1,089,726                   -
Eaton Vance Tax-Adv       COM       27828G107       9,020       575,300 SH         Sole             575,300                   -
Eaton Vance Tax-Mgd       COM       27828N102      18,834     1,535,005 SH         Sole           1,535,005                   -
Education Realty Tru      COM       28140H104      35,183     3,175,348 SH         Sole           3,076,395              98,953
EI Du Pont de Nemour      COM       263534109       1,257        31,200 SH         Sole              31,200                   -
Eli Lilly and Co Com      COM       532457108       2,400        54,500 SH         Sole              54,500                   -
Enbridge Energy Comm      COM       29250R106      11,735       295,000 SH         Sole             295,000                   -
Energy Income And Gr      COM       292697109       2,708       137,100 SH         Sole             137,100                   -
Energy Transfer Part      COM       29273R109      15,568       422,700 SH         Sole             422,700                   -
Entergy Corp Common       COM       29364G103      74,765       839,954 SH         Sole             839,954                   -
Enterprise Products       COM       293792107      19,879       771,400 SH         Sole             771,400                   -
Entertainment Proper      COM       29380T105      79,078     1,445,138 SH         Sole           1,421,677              23,461
Equitable Resources       COM       294549100      30,121       821,188 SH         Sole             821,188                   -
Equity Lifestyle Pro      COM       29472R108     143,546     2,706,869 SH         Sole           2,395,233             311,636
Equity One Inc Commo      COM       294752100         441        21,500 SH         Sole              18,831               2,669
Equity Residential C      COM       29476L107     412,062     9,278,598 SH         Sole           8,294,916             983,682
Essex Property Trust      COM       297178105      11,470        96,937 SH         Sole              88,094               8,843
Ethan Allen Interior      COM       297602104       1,561        55,700 SH         Sole              55,700                   -
Evergreen Global Div      COM       30024H101       9,741       916,300 SH         Sole             916,300                   -
Evergreen Income Adv      COM       30023Y105       2,344       314,608 SH         Sole             314,608                   -
Evergreen Managed In      COM       30024Y104       2,237       181,100 SH         Sole             181,100                   -
Evergreen Util & Hig      COM       30034Q109          39         2,600 SH         Sole               2,600                   -
Exelon Corp Common        COM       30161N101     155,611     2,485,004 SH         Sole           2,485,004                   -
Exterran Partners LP      COM       30225N105       2,637       174,300 SH         Sole             174,300                   -
Extra Space Storage       COM       30225T102      59,789     3,892,468 SH         Sole           3,892,468                   -
Exxon Mobil Corp Com      COM       30231G102      25,787       332,047 SH         Sole             332,047                   -
F&C / Claymore Pfd S      COM       338478100       1,757       230,900 SH         Sole             230,900                   -
F&C / Claymore Total      COM       338479108         286        37,100 SH         Sole              37,100                   -
Fairpoint Communicat      COM       305560104      10,721     1,236,626 SH         Sole           1,236,626                   -
Federal Realty Invs       COM       313747206     290,326     3,391,637 SH         Sole           3,004,796             386,841
Fiduciary/Claymore M      COM       31647Q106       3,051       164,661 SH         Sole             164,661                   -
First Trust Aberdeen      COM       33731K102         958        72,100 SH         Sole              72,100                   -
First Trust Aberdeen      COM       337319107         750        63,100 SH         Sole              63,100                   -
First Trust/Four Crn      COM       33733U108       1,327       127,000 SH         Sole             127,000                   -
FirstEnergy Corp Com      COM       337932107     101,862     1,520,569 SH         Sole           1,520,569                   -
FPL Group Inc Common      COM       302571104      94,691     1,882,515 SH         Sole           1,882,515                   -
Franklin Resources I      COM       354613101       5,059        57,400 SH         Sole              57,400                   -
Franklin Templeton L      COM       35472T101         625        74,800 SH         Sole              74,800                   -
Frontier Communicati      COM       35906A108      13,679     1,189,500 SH         Sole           1,189,500                   -
Gabelli Dividend & I      COM       36242H104      10,531       764,208 SH         Sole             764,208                   -
Gabelli Global Deal       COM       36245G103       1,071        76,400 SH         Sole              76,400                   -
Gannett Co Common         COM       364730101       2,318       137,100 SH         Sole             137,100                   -
General American Inv      COM       368802104       2,367        91,500 SH         Sole              91,500                   -
General Dynamics Cor      COM       369550108      17,522       238,019 SH         Sole             238,019                   -
General Electric Co       COM       369604103      22,205       870,785 SH         Sole             870,785                   -
General Growth Prope      COM       370021107      94,208     6,238,929 SH         Sole           5,401,209             837,720
Glimcher Realty Trus      COM       379302102      33,205     3,180,500 SH         Sole           3,180,500                   -
Goldman Sach Group,       COM       38141G104       1,984        15,500 SH         Sole              15,500                   -
Google Inc CL A Comm      COM       38259P508         888         2,600 SH         Sole               2,600                   -
Great Plains Energy       COM       391164100       6,528       293,767 SH         Sole             293,767                   -
H & Q Healthcare Inv      COM       404052102       2,869       209,400 SH         Sole             209,400                   -
H & Q Life Sciences       COM       404053100       2,719       257,000 SH         Sole             257,000                   -
Harley-Davidson Inc       COM       412822108       1,514        40,600 SH         Sole              40,600                   -
Harris Corp Common        COM       413875105      10,215       221,100 SH         Sole             221,100                   -
HCC Insurance Holdin      COM       404132102      18,562       687,481 SH         Sole             687,481                   -
HCP Inc Common            COM       40414L109     259,027     6,454,706 SH         Sole           6,288,278             166,428
Health Care REIT Inc      COM       42217K106     336,958     6,330,228 SH         Sole           6,019,545             310,683
Health Care REIT Inc      PFD       42217K502       1,140        30,000 SH         Sole              30,000                   -
Healthcare Realty Tr      COM       421946104      18,311       628,148 SH         Sole             547,547              80,601
Hewlett-Packard Co C      COM       428236103       5,839       126,274 SH         Sole             126,274                   -
Highland Credit Stra      COM       43005Q107       5,910       618,221 SH         Sole             618,221                   -
Highwoods Properties      COM       431284108     146,590     4,122,337 SH         Sole           3,934,227             188,110
Home Depot Inc            COM       437076102       1,419        54,800 SH         Sole              54,800                   -
Home Properties Inc       COM       437306103     171,456     2,958,685 SH         Sole           2,945,120              13,565
Hospitality Properti      COM       44106M102      53,546     2,609,443 SH         Sole           2,474,281             135,162
Host Hotels & Resort      COM       44107P104     369,626    27,812,300 SH         Sole          25,094,445           2,717,855
HSBC Holdings PLC 6.      PFD       404280604          19         1,100 SH         Sole               1,100                   -
HSBC Holdings PLC AD      COM       404280406       5,569        68,900 SH         Sole              68,900                   -
ING Asia Pacific Hig      COM       44983J107         832        62,800 SH         Sole              62,800                   -
ING Clarion Global R      COM       44982G104       3,886       441,613 SH         Sole             441,613                   -
ING Global Advntge &      COM       44982N109       4,202       338,300 SH         Sole             338,300                   -
ING Global Eqty Div       COM       45684E107       2,296       206,844 SH         Sole             206,844                   -
ING Risk Managed Nat      COM       449810100       5,721       426,931 SH         Sole             426,931                   -
Inland Real Estate C      COM       457461200      51,319     3,270,856 SH         Sole           3,270,856                   -
Intel Corp Common         COM       458140100      13,126       700,836 SH         Sole             700,836                   -
International Busine      COM       459200101      15,308       130,883 SH         Sole             130,883                   -
International Paper       COM       460146103       2,896       110,600 SH         Sole             110,600                   -
ITC Holdings Corp Co      COM       465685105      14,159       273,500 SH         Sole             273,500                   -
John Hancock Preferr      COM       41013W108         732        62,600 SH         Sole              62,600                   -
John Hancock Preferr      COM       41013X106       1,334       113,300 SH         Sole             113,300                   -
John Hancock Preferr      COM       41021P103       1,102       107,871 SH         Sole             107,871                   -
John Hancock T/A Dvd      COM       41013V100       2,435       216,100 SH         Sole             216,100                   -
Johnson & Johnson Co      COM       478160104      26,124       377,086 SH         Sole             377,086                   -
Johnson Controls Com      COM       478366107       1,177        38,800 SH         Sole              38,800                   -
JPMorgan Chase Commo      COM       46625H100      19,489       417,339 SH         Sole             417,339                   -
Kayne Anderson Energ      COM       48660P104       1,428        64,432 SH         Sole              64,432                   -
Kilroy Realty Corp C      COM       49427F108      88,484     1,851,531 SH         Sole           1,642,698             208,833
Kimberly-Clark Corp       COM       494368103       3,067        47,300 SH         Sole              47,300                   -
Kimco Realty Corp Co      COM       49446R109      62,480     1,691,422 SH         Sole           1,462,300             229,122
Kinder Morgan Energy      COM       494550106      31,873       612,592 SH         Sole             612,592                   -
Korea Equity Fund CE      COM       50063B104         343        43,100 SH         Sole              43,100                   -
Kraft Foods Inc Comm      COM       50075N104       3,820       116,626 SH         Sole             116,626                   -
L-3 Communications H      COM       502424104      11,631       118,300 SH         Sole             118,300                   -
LaSalle Hotel Proper      COM       517942108      43,471     1,864,123 SH         Sole           1,645,341             218,782
Liberty All Star Equ      COM       530158104       2,792       618,986 SH         Sole             618,986                   -
Liberty All-Star Gro      COM       529900102       1,086       312,900 SH         Sole             312,900                   -
Liberty Property Tru      COM       531172104     333,370     8,854,444 SH         Sole           8,457,401             397,043
LMP Cap & Inc CEF CE      COM       50208A102       6,768       585,459 SH         Sole             585,459                   -
Lockheed Martin Corp      COM       539830109      18,415       167,900 SH         Sole             167,900                   -
Macerich Co/The Comm      COM       554382101     656,880    10,320,193 SH         Sole           9,164,227           1,155,966
Mack-Cali Realty Cor      COM       554489104     271,469     8,015,026 SH         Sole           7,664,130             350,896
Macquarie Global Inf      COM       55608D101       1,525       100,500 SH         Sole             100,500                   -
Magellan Midstream P      COM       559080106      10,592       326,900 SH         Sole             326,900                   -
Maguire Properties I      COM       559775101       9,386     1,575,083 SH         Sole           1,378,746             196,337
Marathon Oil Corp Co      COM       565849106      15,577       390,700 SH         Sole             390,700                   -
Markwest Energy Part      COM       570759100       8,772       347,000 SH         Sole             347,000                   -
Marshall & Ilsley Co      COM       571837103       4,010       199,000 SH         Sole             199,000                   -
Mattel Inc Common         COM       577081102       7,176       397,800 SH         Sole             397,800                   -
McDonald's Corp Comm      COM       580135101      23,998       388,939 SH         Sole             388,939                   -
Medtronic Common          COM       585055106      26,900       536,925 SH         Sole             536,925                   -
Merck and Co Inc Com      COM       589331107       3,709       117,529 SH         Sole             117,529                   -
Metlife Inc Common        COM       59156R108      14,442       257,900 SH         Sole             257,900                   -
MFA Mortgage Investm      COM       55272X102         298        45,800 SH         Sole              45,800                   -
MFS Intermediate Inc      COM       55273C107       1,450       245,300 SH         Sole             245,300                   -
MFS Mutimarket Inc.       COM       552737108       1,787       357,300 SH         Sole             357,300                   -
Microchip Technology      COM       595017104      16,643       565,548 SH         Sole             565,548                   -
Microsoft Common          COM       594918104      23,410       877,080 SH         Sole             877,080                   -
Mid-America Apartmen      COM       59522J103      50,865     1,035,100 SH         Sole           1,035,100                   -
Mission West Propert      COM       605203108      14,043     1,441,700 SH         Sole           1,441,700                   -
MLP & Strategic Equi      COM       55312N106       2,562       240,103 SH         Sole             240,103                   -
Monsanto Co Common        COM       61166W101       4,170        42,134 SH         Sole              42,134                   -
Morgan Stanley Commo      COM       617446448       5,964       259,300 SH         Sole             259,300                   -
MS Emerging Mkts Dom      COM       617477104       2,476       207,200 SH         Sole             207,200                   -
Nasdaq Premium Incom      COM       63110R105       5,919       478,500 SH         Sole             478,500                   -
National Retail Prop      COM       637417106      39,475     1,648,228 SH         Sole           1,517,079             131,149
Nationwide Health Pr      COM       638620104     168,289     4,677,300 SH         Sole           4,677,300                   -
Neuberger Berman Dvd      COM       64127J102       2,141       161,700 SH         Sole             161,700                   -
Newell Rubbermaid In      COM       651229106       2,097       121,500 SH         Sole             121,500                   -
NFJ Dvd Interest & P      COM       65337H109       8,205       503,700 SH         Sole             503,700                   -
Nicholas Applegate E      COM       65370K100       2,930       200,650 SH         Sole             200,650                   -
Nicholas-Applegate C      COM       65370F101         914       113,100 SH         Sole             113,100                   -
Nicholas-Applegate C      COM       65370G109       4,277       571,004 SH         Sole             571,004                   -
Nike Inc Common           COM       654106103      18,166       271,537 SH         Sole             271,537                   -
Nokia OYJ ADR             COM       654902204       2,695       144,500 SH         Sole             144,500                   -
Nordstrom Inc Common      COM       655664100       6,038       209,540 SH         Sole             209,540                   -
Norfolk Southern Cor      COM       655844108       3,887        58,700 SH         Sole              58,700                   -
Northeast Utilities       COM       664397106      17,348       676,345 SH         Sole             676,345                   -
NSTAR Common              COM       67019E107      23,306       695,713 SH         Sole             695,713                   -
Nuveen Diversified D      COM       6706EP105       2,749       298,132 SH         Sole             298,132                   -
Nuveen Equity Premiu      COM       6706ET107       2,951       234,000 SH         Sole             234,000                   -
Nuveen Floating Rate      COM       6706EN100         387        51,200 SH         Sole              51,200                   -
Nuveen Global Value       COM       6706EH103         487        37,600 SH         Sole              37,600                   -
Nuveen Multi-Currenc      COM       67090N109       1,113        80,400 SH         Sole              80,400                   -
Nuveen Real Estate I      COM       67071B108       2,041       180,657 SH         Sole             180,657                   -
OGE Energy Corp Comm      COM       670837103      20,418       661,200 SH         Sole             661,200                   -
Omega Healthcare Inv      COM       681936100     132,939     6,761,962 SH         Sole           6,555,133             206,829
Paccar Inc Common         COM       693718108       3,706        97,050 SH         Sole              97,050                   -
Parkway Properties I      COM       70159Q104      29,104       768,701 SH         Sole             746,601              22,100
Pepco Holdings Inc C      COM       713291102      45,297     1,977,195 SH         Sole           1,977,195                   -
PepsiCo, Inc.             COM       713448108       9,351       131,210 SH         Sole             131,210                   -
Petro-Canada Common       COM       71644E102       3,902       117,000 SH         Sole             117,000                   -
Pfizer Inc Common         COM       717081103      14,482       785,359 SH         Sole             785,359                   -
PG&E Corp Common          COM       69331C108      58,761     1,569,062 SH         Sole           1,569,062                   -
Philip Morris Intern      COM       718172109       2,205        45,833 SH         Sole              45,833                   -
Pinnacle West Capita      COM       723484101      21,338       620,100 SH         Sole             620,100                   -
Pioneer Diversified       COM       723653101         214        15,300 SH         Sole              15,300                   -
Pioneer Floating Rat      COM       72369J102         283        28,300 SH         Sole              28,300                   -
Pioneer High Income       COM       72369H106       2,892       280,200 SH         Sole             280,200                   -
Pitney Bowes Inc Com      COM       724479100       2,850        85,700 SH         Sole              85,700                   -
Plains All Amer Pipe      COM       726503105       4,279       108,000 SH         Sole             108,000                   -
Plum Creek Timber co      COM       729251108     180,726     3,624,657 SH         Sole           3,549,744              74,913
PNC Financial Servic      COM       693475105       3,444        46,100 SH         Sole              46,100                   -
Post Properties Inc       COM       737464107          78         2,772 SH         Sole               2,772                   -
PPG Industries Inc C      COM       693506107       1,388        23,800 SH         Sole              23,800                   -
PPL Corp Common           COM       69351T106      45,204     1,221,072 SH         Sole           1,221,072                   -
Preferred & Corp. In      COM       09255J101         257        30,800 SH         Sole              30,800                   -
Procter & Gamble Co       COM       742718109      28,885       414,476 SH         Sole             414,476                   -
Progress Energy Inc       COM       743263105      11,587       268,650 SH         Sole             268,650                   -
Prologis Common           COM       743410102     268,086     6,495,895 SH         Sole           5,777,177             718,718
PS Business Parks In      COM       69360J107      81,682     1,418,109 SH         Sole           1,262,527             155,582
Public Service Enter      COM       744573106      93,194     2,842,130 SH         Sole           2,842,130                   -
Public Storage Inc C      COM       74460D109     540,038     5,454,381 SH         Sole           4,828,507             625,874
Public Storage Inc S      COM       74460D729      21,514       826,200 SH         Sole             802,400              23,800
Putnam Premier Incom      COM       746853100       1,634       300,900 SH         Sole             300,900                   -
Qualcomm Inc COM          COM       747525103       6,050       140,800 SH         Sole             140,800                   -
Ramco-Gershenson Pro      COM       751452202      13,471       600,823 SH         Sole             600,823                   -
Rayonier Inc Common       COM       754907103      60,074     1,268,722 SH         Sole           1,229,783              38,939
Reaves Utility Inc C      COM       756158101       1,646        97,800 SH         Sole              97,800                   -
Regency Centers Corp      COM       758849103     367,813     5,515,239 SH         Sole           4,984,572             530,667
Royal Bank of Scotla      PFD       780097754         231        26,300 SH         Sole              26,300                   -
Royal Bank of Scotla      PFD       780097739       1,255       144,998 SH         Sole             142,498               2,500
Royal Bank of Scotla      PFD       780097713       4,456       445,602 SH         Sole             443,572               2,030
Royal Bank of Scotla      PFD       780097770       1,261       130,700 SH         Sole             130,700                   -
RR Donnelley & Sons       COM       257867101       1,224        49,900 SH         Sole              49,900                   -
S & P Covered  Call       COM       78381P109         459        36,600 SH         Sole              36,600                   -
SB Emerging Markets       COM       95766A101         940        73,400 SH         Sole              73,400                   -
SBA Communications C      COM       78388J106         629        24,300 SH         Sole              24,300                   -
SCANA Corp Common         COM       80589M102       4,520       116,100 SH         Sole             116,100                   -
Schlumberger LTD Com      COM       806857108      17,118       219,198 SH         Sole             219,198                   -
Sempra Energy Common      COM       816851109      35,872       710,751 SH         Sole             710,751                   -
Senior Housing Prop       COM       81721M109     111,063     4,660,643 SH         Sole           4,660,643                   -
Simon Property Group      COM       828806109   1,001,536    10,325,120 SH         Sole           8,401,146           1,923,974
SL Green Realty Corp      COM       78440X101     161,740     2,496,012 SH         Sole           2,332,530             163,482
Small Cap Prem & Div      COM       83165P101         466        37,000 SH         Sole              37,000                   -
Sonoco Products Comm      COM       835495102       3,078       103,700 SH         Sole             103,700                   -
Southern Union Co Co      COM       844030106         409        19,797 SH         Sole              19,797                   -
Sovran Self Storage       COM       84610H108     107,875     2,413,857 SH         Sole           2,385,594              28,263
Spectra Energy Corp       COM       847560109      53,468     2,246,555 SH         Sole           2,246,555                   -
Starwood Hotels & Re      COM       85590A401     175,675     6,242,872 SH         Sole           5,597,129             645,743
Strategic Hotel Capi      COM       86272T106      32,757     4,338,597 SH         Sole           4,153,501             185,096
Sunamerica Focused A      COM       867037103       6,483       505,700 SH         Sole             505,700                   -
Sunstone Hotel Inves      COM       867892101       3,171       234,848 SH         Sole             207,242              27,606
SunTrust Banks Commo      COM       867914103       3,496        77,700 SH         Sole              77,700                   -
Swiss Helvetia Fund       COM       870875101         972        77,600 SH         Sole              77,600                   -
Sysco Corp Common         COM       871829107       1,668        54,100 SH         Sole              54,100                   -
Targa Resources Part      COM       87611X105       1,345        79,029 SH         Sole              79,029                   -
Taubman Centers Inc       COM       876664103     170,534     3,410,678 SH         Sole           2,825,193             585,485
TCF Financial Corp C      COM       872275102       3,940       218,900 SH         Sole             218,900                   -
Teco Energy Common        COM       872375100       5,001       317,900 SH         Sole             317,900                   -
Teekay LNG Partners       PRTNRS    Y8564M105       1,099        70,000 SH         Sole              70,000                   -
Teekay Offshore Part      PRTNRS    Y8565J101         982        85,000 SH         Sole              85,000                   -
Teva Pharmaceutical       COM       881624209      13,182       287,884 SH         Sole             287,884                   -
Texas Instruments In      COM       882508104       2,107        98,000 SH         Sole              98,000                   -
The Hershey Company       COM       427866108       1,613        40,800 SH         Sole              40,800                   -
The Southern Co Comm      COM       842587107     141,504     3,754,400 SH         Sole           3,754,400                   -
Total SA Spon ADR         COM       89151E109       1,872        30,850 SH         Sole              30,850                   -
Transocean Inc            COM       G90073100       9,787        89,096 SH         Sole              89,096                   -
U-Store-It Trust Com      COM       91274F104      11,987       977,048 SH         Sole             927,181              49,867
UDR INC Common            COM       902653104     198,034     7,572,970 SH         Sole           7,189,548             383,422
United Parcel Servic      COM       911312106      13,268       210,960 SH         Sole             210,960                   -
United Technologies       COM       913017109       6,593       109,773 SH         Sole             109,773                   -
Urstadt Biddle Prope      COM       917286205      25,755     1,373,577 SH         Sole           1,353,277              20,300
US Bancorp Common         COM       902973304      20,448       567,700 SH         Sole             567,700                   -
Valero Energy Corp C      COM       91913Y100       1,230        40,600 SH         Sole              40,600                   -
Vectren Corp Common       COM       92240G101      12,005       431,067 SH         Sole             431,067                   -
Ventas Inc Common         COM       92276F100     489,885     9,912,669 SH         Sole           9,434,698             477,971
Verizon Communicatio      COM       92343V104      17,047       531,186 SH         Sole             531,186                   -
VF Corp Common            COM       918204108       1,531        19,800 SH         Sole              19,800                   -
Vornado Realty Trust      COM       929042109     799,943     8,795,418 SH         Sole           8,155,740             639,678
Wachovia Corp Common      COM       929903102         614       175,470 SH         Sole             175,470                   -
Wal-Mart Stores Inc       COM       931142103      10,367       173,100 SH         Sole             173,100                   -
Washington Real Esta      COM       939653101      16,888       461,044 SH         Sole             461,044                   -
Weingarten Realty In      COM       948741103      43,636     1,223,325 SH         Sole           1,097,844             125,481
Wells Fargo & Co Com      COM       949746101      22,968       611,987 SH         Sole             611,987                   -
Western Asset Emergi      COM       95766E103       1,149       125,300 SH         Sole             125,300                   -
Western Asset Gl Hig      COM       95766B109         894       106,800 SH         Sole             106,800                   -
Western Asset High I      COM       95766J102       2,359       333,674 SH         Sole             333,674                   -
Western Asset Manage      COM       95766K109       2,195       505,800 SH         Sole             505,800                   -
Western Asset Opport      COM       95766L107       2,316       518,087 SH         Sole             518,087                   -
Western Asset Premie      COM       957664105         215        23,400 SH         Sole              23,400                   -
Western Asset Worldw      COM       957668106         420        43,000 SH         Sole              43,000                   -
Western Asset/Claymo      COM       95766R104       2,957       283,276 SH         Sole             283,276                   -
WGL Holdings Inc Com      COM       92924F106       3,099        95,500 SH         Sole              95,500                   -
Williams Cos Inc Com      COM       969457100       1,157        48,928 SH         Sole              48,928                   -
Williams Partners LP      PRTNRS    96950F104       4,976       192,500 SH         Sole             192,500                   -
Wilmington Trust Cor      COM       971807102       2,946       102,200 SH         Sole             102,200                   -
Wisconsin Energy Gro      COM       976657106       6,786       151,128 SH         Sole             151,128                   -
Worthington Industri      COM       981811102       2,190       146,600 SH         Sole             146,600                   -
Xcel Energy Inc Comm      COM       98389B100      40,420     2,022,034 SH         Sole           2,022,034                   -
Zweig Fund Inc CEF        COM       989834106         824       230,300 SH         Sole             230,300                   -





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360 Data Records
14,632,361 Value Total
01 Other Manager on whose behalf report is filed