CBRE CLARION SECURITIES LLC

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    radnor, PA
  • CIK
    0001033984
  • Alternate names
    CBRE INVESTMENT MANAGEMENT LISTED REAL ASSETS LLC
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

110

$6.53 B
WELL, EQIX, SPG, O
13F-HR
May 14, 2025
000103398425000004

113

$5.65 B
EQIX, O, SPG, WELL
13F-HR
Feb 6, 2025
000103398425000003

110

$6.29 B
EQIX, O, SPG, WELL
13F-HR
Nov 14, 2024
000103398424000007

110

$5.46 B
EQIX, O, PSA, SPG
13F-HR
Aug 13, 2024
000103398424000005

109

$5.40 B
O, EQIX, SPG, PSA
13F-HR
May 10, 2024
000103398424000003

110

$5.51 B
PSA, SPG, WELL, EQIX
13F-HR
Feb 12, 2024
000103398424000002

122

$4.97 B
PSA, PLD, WELL, SPG
13F-HR
Nov 14, 2023
000103398423000008

119

$5.58 B
EQIX, PLD, SPG, PSA
13F-HR
Aug 11, 2023
000103398423000007

113

$5.68 B
EQIX, PLD, SPG, AMT
13F-HR
May 12, 2023
000103398423000006

116

$5.73 B
PLD, EQIX, SPG, AMT
13F-HR
Feb 10, 2023
000103398423000003

121

$5.49 B
PLD, EQIX, SPG, 8CW
13F-HR
Nov 14, 2022
000103398422000006

121

$6.38 B
PLD, EQIX, O, SPG
13F-HR
Aug 12, 2022
000103398422000005

115

$7.19 B
PLD, 8CW, SPG, O
13F-HR
May 6, 2022
000103398422000004

112

$7.00 B
PLD, SPG, EXR, 8CW
13F-HR
Feb 11, 2022
000103398422000002

108

$5.66 B
PLD, SPG, AMT, EXR
13F-HR
Nov 5, 2021
000103398421000007

109

$5.36 B
PLD, SPG, AMT, EXR
13F-HR
Aug 13, 2021
000103398421000004

116

$5.01 B
PLD, SPG, AMT, EXR
13F-HR
May 12, 2021
000103398421000003

110

$4.49 B
PLD, SPG, DRE, VER
13F-HR
Feb 12, 2021
000103398421000001

112

$4.18 B
PLD, INVH, SPG, VER
13F-HR
Nov 12, 2020
000103398420000007

108

$4.18 B
PLD, INVH, EQR, 8CW
13F-HR
Aug 12, 2020
000103398420000006

106

$3.61 B
PLD, EQR, EQIX, 8CW
13F-HR
May 13, 2020
000103398420000005

101

$4.89 B
PLD, EQR, DOC, SPG
13F-HR
Feb 14, 2020
000103398420000001

95

$4.66 B
PLD, EQR, SPG, WELL
13F-HR
Nov 12, 2019
000103398419000006

98

$4.75 B
PLD, WELL, EQR, EXR
13F-HR
Aug 12, 2019
000103398419000005

105

$6.12 B
PLD, EQR, WELL, SPG
13F-HR
May 14, 2019
000103398419000004

94

$6.14 B
SPG, PLD, WELL, EQR
13F-HR
Feb 12, 2019
000103398419000003

94

$7.36 B
SPG, PLD, EQIX, EQR
13F-HR
Nov 14, 2018
000103398418000009

103

$7.66 B
SPG, PLD, EXR, EQIX
13F-HR
Aug 10, 2018
000103398418000008

113

$7.74 B
SPG, PLD, ARE, EQIX
13F-HR
May 14, 2018
000103398418000007

108

$8.72 B
SPG, PLD, ARE, EQIX
13F-HR
Feb 12, 2018
000103398418000003

105

$9.03 B
SPG, PLD, EQIX, WELL
13F-HR
Nov 13, 2017
000103398417000017

102

$9.46 B
SPG, PLD, WELL, GGP
13F-HR
Aug 11, 2017
000103398417000016

98

$10.11 B
SPG, VNO, GGP, PLD
13F-HR
May 12, 2017
000103398417000015

94

$10.82 B
SPG, VNO, EQR, PLD
13F-HR
Feb 13, 2017
000103398417000011

90

$12.14 B
SPG, WELL, EQR, VNO
RESTATEMENT
Feb 24, 2017
000103398417000014

93

$12.75 B
SPG, EQR, WELL, GGP*
13F-HR
Aug 11, 2016
000103398416000042

99

$12.80 B
SPG, EQR, WELL, PSA
13F-HR
May 16, 2016
000103398416000041

95

$12.71 B
SPG, EQR, WELL, GGP*
13F-HR
Feb 12, 2016
000103398416000040

105

$12.10 B
SPG, EQR, GGP*, WELL
13F-HR
Nov 10, 2015
000103398415000023

116

$11.99 B
SPG, EQR, HEALTH CARE REIT INC, GGP*
13F-HR
Aug 12, 2015
000103398415000022

129

$14.33 B
SPG, EQR, HEALTH CARE REIT INC, GGP*
13F-HR
May 14, 2015
000103398415000021

129

$14.10 B
SPG, EQR, HEALTH CARE REIT INC, HST
13F-HR
Feb 12, 2015
000103398415000001

99

$12.66 B
SPG, HST, EQR, HEALTH CARE REIT INC
13F-HR
Nov 14, 2014
000103398414000021

99

$13.41 B
SPG, HST, EQR, UDR
13F-HR
Aug 13, 2014
000103398414000020

101

$12.73 B
SPG, HST, PLD, EQR
13F-HR
May 15, 2014
000103398414000019

100

$11.49 B
SPG, HST, PLD, MAC
13F-HR
Feb 12, 2014
000103398414000017