Cohen & Steers Inc Stock Trading & 13F Insights
13F Portfolio Filings
- Most recent 13FQ2 2025
 - Locationnew york, NY
 - CIK0001284812
 - Alternate namesCOHEN & STEERS, INC.
 - All SEC filings
 
Quarter | Holdings | VALUE | Top Holdings | Form Type | Date Filed | Filing Id | |
|---|---|---|---|---|---|---|---|
443  | $54.54 M  | WELL, FQI, 8CW, AMT  | 13F-HR  | Aug 14, 2025  | 000095012325007960  | ||
445  | $54.10 M  | WELL, AMT, FQI, 8CW  | 13F-HR  | May 15, 2025  | 000128481225000188  | ||
409  | $52.80 M  | WELL, FQI, AMT, PLD  | 13F-HR  | Feb 13, 2025  | 000128481225000073  | ||
412  | $56.20 M  | WELL, FQI, AMT, PLD  | 13F-HR  | Nov 14, 2024  | 000128481224000368  | ||
446  | $47.70 B  | WELL, PLD, FQI, AMT  | 13F-HR  | Aug 13, 2024  | 000128481224000290  | ||
386  | $47.78 B  | PLD, WELL, AMT, SPG  | 13F-HR  | May 15, 2024  | 000128481224000204  | ||
395  | $49.42 B  | PLD, WELL, AMT, SPG  | 13F-HR  | Feb 14, 2024  | 000128481224000077  | ||
395  | $43.50 B  | PLD, WELL, FQI, AMT  | 13F-HR  | Nov 14, 2023  | 000128481223000286  | ||
396  | $47.47 B  | PLD, FQI, WELL, SPG  | 13F-HR  | Aug 14, 2023  | 000128481223000225  | ||
402  | $46.28 B  | PLD, WELL, FQI, O  | 13F-HR  | May 15, 2023  | 000128481223000168  | ||
402  | $45.31 B  | PLD, WELL, FQI, SPG  | 13F-HR  | Feb 14, 2023  | 000156761923002702  | ||
403  | $44.69 B  | PSA, AMT, INVH, WELL  | 13F-HR  | Nov 14, 2022  | 000156761922019722  | ||
405  | $50.91 B  | AMT, PSA, PLD, INVH  | 13F-HR  | Aug 15, 2022  | 000156761922015905  | ||
403  | $59.69 B  | AMT, PSA, WELL, INVH  | 13F-HR  | May 16, 2022  | 000156761922010629  | ||
406  | $61.54 B  | PSA, AMT, SPG, DRE  | 13F-HR  | Feb 14, 2022  | 000156761922003829  | ||
393  | $53.57 B  | PSA, AMT, SPG, DRE  | 13F-HR  | Nov 15, 2021  | 000156761921020142  | ||
390  | $52.64 B  | PSA, AMT, SPG, DRE  | 13F-HR  | Aug 16, 2021  | 000156761921015583  | ||
391  | $46.67 B  | PSA, SPG, DOC, DRE  | 13F-HR  | May 17, 2021  | 000156761921010292  | ||
375  | $41.61 B  | PSA, SPG, DRE, VEN  | 13F-HR  | Feb 16, 2021  | 000156761921003738  | ||
371  | $37.56 B  | EQIX, PSA, PLD, 8CW  | 13F-HR  | Nov 16, 2020  | 000156761920019664  | ||
379  | $35.83 B  | AMT, EQIX, PLD, PSA  | 13F-HR  | Aug 14, 2020  | 000156761920015164  | ||
403  | $30.99 B  | AMT, EQIX, PLD, WELL  | 13F-HR  | May 15, 2020  | 000156761920010239  | ||
390  | $40.20 B  | EQIX, AMT, UDR, WELL  | 13F-HR  | Feb 14, 2020  | 000156761920003487  | ||
398  | $39.91 B  | WELL, UDR, EQIX, PLD  | 13F-HR  | Nov 14, 2019  | 000156761919021271  | ||
397  | $36.06 B  | WELL, EQIX, PSA, UDR  | 13F-HR  | Aug 14, 2019  | 000156761919016659  | ||
419  | $36.05 B  | UDR, WELL, EQIX, PLD  | 13F-HR  | May 15, 2019  | 000156761919010940  | ||
409  | $31.43 B  | UDR, WELL, ESS, PLD  | 13F-HR  | Feb 14, 2019  | 000156761919003913  | ||
413  | $34.40 B  | UDR, ESS, PLD, WELL  | RESTATEMENT  | Nov 16, 2018  | 000156761918006531  | ||
440  | $34.92 B  | 8CW, FQI, EQIX, UDR  | 13F-HR  | Aug 14, 2018  | 000156761918000681  | ||
439  | $32.69 B  | 8CW, FQI, EQIX, UDR  | 13F-HR  | May 14, 2018  | 000114036118023127  | ||
421  | $36.18 B  | SPG, EQIX, FQI, UDR  | 13F-HR  | Feb 14, 2018  | 000114036118007552  | ||
440  | $36.65 B  | SPG, EQIX, FQI, UDR  | 13F-HR  | Nov 14, 2017  | 000114036117042338  | ||
436  | $37.72 B  | SPG, EQIX, UDR, ESS  | 13F-HR  | Aug 14, 2017  | 000114036117031503  | ||
437  | $37.37 B  | SPG, EQIX, UDR, AVB  | 13F-HR  | May 15, 2017  | 000114036117020245  | ||
1  | $191.00 K  | GRAMERCY PPTY TR  | NEW HOLDINGS  | Feb 22, 2017  | 000114036117008487  | ||
411  | $36.21 B  | SPG, PLD, UDR, EQIX  | 13F-HR  | Feb 14, 2017  | 000114036117006504  | ||
403  | $38.99 B  | SPG, PLD, UDR, HCP INC  | 13F-HR  | Nov 14, 2016  | 000114036116086150  | ||
405  | $38.64 B  | SPG, UDR, PLD, EQIX  | RESTATEMENT  | Aug 22, 2016  | 000114036116077427  | ||
405  | $38.17 B  | PG, GOLD, SPH, XLF  | RESTATEMENT  | Aug 18, 2016  | 000114036116077093  | ||
434  | $36.11 B  | SPG, UDR, PSA, EQIX  | 13F-HR  | May 16, 2016  | 000114036116065422  | ||
433  | $34.80 B  | SPG, PSA, EQR, VNO  | 13F-HR  | Feb 16, 2016  | 000114036116052626  | ||
435  | $33.04 B  | SPG, EQR, PSA, VNO  | 13F-HR  | Nov 16, 2015  | 000114036115041576  | ||
459  | $32.96 B  | SPG, EQR, VNO, HEALTH CARE REIT INC  | 13F-HR  | Aug 14, 2015  | 000114036115032085  | ||
446  | $36.96 B  | SPG, EQR, HEALTH CARE REIT INC, VNO  | 13F-HR  | May 15, 2015  | 000114036115020483  | ||
451  | $35.90 B  | SPG, EQR, VNO, SLG  | 13F-HR  | Feb 17, 2015  | 000114036115007558  | ||
469  | $33.06 B  | SPG, EQR, PLD, PSA  | 13F-HR  | Nov 14, 2014  | 000114036114042262  | ||
2  | $168.94 M  | BELMOND LTD, EQC  | NEW HOLDINGS  | Sep 12, 2014  | 000114036114035543  | ||
452  | $34.91 B  | SPG, EQR, PLD, PSA  | 13F-HR  | Aug 14, 2014  | 000114036114032475  | ||
425  | $33.08 B  | SPG, EQR, PLD, VNO  | 13F-HR  | May 15, 2014  | 000114036114021143  | ||
430  | $30.61 B  | SPG, VNO, EQR, PLD  | 13F-HR  | Feb 14, 2014  | 000114036114007622  |