First seen by DFX
Sep 12, 2026
date not stated
Cohen & Steers Capital Management Inc. found on the SEC adviser roster (client_description)
First seen by DFX
Sep 12, 2026
date not stated
Cohen & Steers, Inc. files Form 13F (non_adviser_filer, $55,315,362 in 448 positions)
Cohen & Steers, Inc. reported $57,573,138,000 across 442 13(f) positions for the quarter ended 2026-03-31
Cohen & Steers, Inc. increased Essential Properties Realty 18,611,967 -> 29,607,357 shares ($552,031,000 -> $898,880,000)
Cohen & Steers, Inc. reduced Invesco Preferred ETF 2,157,935 -> 303,146 shares ($24,255,000 -> $3,298,000)
Cohen & Steers, Inc. increased Exxon Mobil Corporation 240,205 -> 345,690 shares ($28,906,000 -> $58,650,000)
Cohen & Steers, Inc. opened a $12,069,000 position in Franco-Nevada Corp (48,851 shares)
Cohen & Steers, Inc. opened a $4,702,000 position in Flowserve Corporation (63,958 shares)
Cohen & Steers, Inc. reduced Perpetua Resources Corp 299,116 -> 224,139 shares ($7,242,000 -> $6,303,000)
Cohen & Steers, Inc. opened a $2,046,000 position in Golar LNG Ltd (37,815 shares)
Cohen & Steers, Inc. opened a $5,556,000 position in Solaris Energy Infrastructure (98,322 shares)
Cohen & Steers, Inc. reduced Invitation Homes Inc 56,667,424 -> 35,178,976 shares ($1,574,834,000 -> $874,198,000)
Cohen & Steers, Inc. reduced iShares U.S. Preferred Stock ETF 904,077 -> 56,940 shares ($27,997,000 -> $1,726,000)
Cohen & Steers, Inc. opened a $5,771,000 position in JBT Marel Corp (45,128 shares)
Cohen & Steers, Inc. opened a $10,314,000 position in NNN REIT Inc (245,403 shares)
Cohen & Steers, Inc. reduced Chevron Corporation 225,583 -> 9,884 shares ($34,381,000 -> $2,045,000)
Cohen & Steers, Inc. reduced Nuveen Dividend Adv Muni Fd 3 305,295 -> 225,295 shares ($3,841,000 -> $2,744,000)
Cohen & Steers, Inc. reduced Nuveen Dividend Advan Muni Inc 298,266 -> 154,978 shares ($3,776,000 -> $1,911,000)
Cohen & Steers, Inc. reduced Tyson Foods Inc 81,770 -> 2,000 shares ($4,793,000 -> $128,000)
Cohen & Steers, Inc. reduced PPL Corporation 4,851,950 -> 2,411,409 shares ($169,915,000 -> $92,116,000)
Cohen & Steers, Inc. reduced Realty Income Corporation 10,050,402 -> 6,663,458 shares ($566,591,000 -> $407,671,000)
Cohen & Steers, Inc. opened a $11,102,000 position in Schlumberger Ltd. (216,036 shares)
Cohen & Steers, Inc. opened a $2,185,000 position in Central Securities Corp (44,000 shares)
Cohen & Steers, Inc. opened a $40,210,000 position in Southwest Gas Holdings Inc. (462,720 shares)
Cohen & Steers, Inc. opened a $19,599,000 position in Sunococorp Llc (317,904 shares)
Cohen & Steers, Inc. reduced Alcoa Corp 75,980 -> 5,806 shares ($4,038,000 -> $385,000)
Cohen & Steers, Inc. opened a $6,691,000 position in Antero Resources Corporation (157,648 shares)
Cohen & Steers, Inc. opened a $19,530,000 position in Arko Petroleum Corp (1,091,697 shares)
Cohen & Steers, Inc. reduced Bunge Global Sa 298,706 -> 223,398 shares ($26,609,000 -> $28,416,000)
Cohen & Steers, Inc. reduced Caretrust REIT Inc 16,476,922 -> 11,983,376 shares ($595,881,000 -> $439,191,000)
Cohen & Steers, Inc. reduced Newmont Mining Corporation 240,830 -> 179,245 shares ($24,047,000 -> $19,403,000)
Cohen & Steers, Inc. increased First Industrial Realty Trust 2,066,795 -> 2,729,198 shares ($118,365,000 -> $157,884,000)
Cohen & Steers, Inc. reduced Cohen & Steers Real Es A Etf 780,000 -> 392,500 shares ($19,901,000 -> $10,315,000)
Cohen & Steers, Inc. reduced Consolidated Edison Inc. 229,627 -> 1,200 shares ($22,807,000 -> $136,000)
Cohen & Steers, Inc. opened a $3,204,000 position in Core Natural Resources Inc. (30,594 shares)
Cohen & Steers, Inc. opened a $2,984,000 position in Devon Energy Corporation (59,298 shares)
Cohen & Steers, Inc. reduced Tortoise Energy Infrastructu 52,782 -> 25,782 shares ($2,159,000 -> $1,285,000)
Cohen & Steers, Inc. opened a $3,038,000 position in Transportador Gas Sur-Sp B (87,782 shares)
Cohen & Steers, Inc. reduced Enterprise Products Partners 466,255 -> 322,791 shares ($14,948,000 -> $12,214,000)
Cohen & Steers, Inc. reduced VICI Properties Inc. 3,669,583 -> 1,165,909 shares ($103,189,000 -> $31,853,000)