UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, DC 20549 FORM N-Q QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT COMPANY Investment Company Act file number: 811-10481 Exact Name of Registrant (as specified in charter): Cohen & Steers Quality Income Realty Fund, Inc. Address of Principal Executive Office: 757 Third Avenue New York, NY 10017 Name and address of agent for service: John E. McLean 757 Third Avenue New York, NY 10017 Registrant telephone number, including area code: (212) 832-3232 Date of fiscal year end: December 31 Date of reporting period: September 30, 2005 Item 1. Schedule of Investments -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- COMMON STOCK 117.3% DIVERSIFIED 11.4% Colonial Properties Trust 582,300 $ 25,900,704 Digital Realty Trust 79,800 1,436,400 iStar Financial 400,500 16,192,215 Spirit Finance Corp. 700,700 7,882,875 Vornado Realty Trust 602,943 52,226,923 ------------- 103,639,117 ------------- HEALTH CARE 18.1% Health Care Property Investors 1,113,500 30,053,365 Health Care REIT 969,625 35,963,391 Healthcare Realty Trust 354,800 14,241,672 Medical Properties Trust 36,700 359,660 Nationwide Health Properties 1,136,800 26,487,440 Ventas 1,766,500 56,881,300 ------------- 163,986,828 ------------- HOTEL 3.1% DiamondRock Hospitality Co. 343,500 4,036,125 Hospitality Properties Trust 391,300 16,771,118 Strategic Hotel Capital 401,500 7,331,390 ------------- 28,138,633 ------------- INDUSTRIAL 2.3% First Industrial Realty Trust 529,700 21,214,485 ------------- MORTGAGE 4.5% Gramercy Capital Corp. (a) 785,000 18,808,600 Newcastle Investment Corp. 776,928 21,676,291 ------------- 40,484,891 ------------- 1 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- OFFICE 35.9% American Financial Realty Trust 1,016,300 $ 14,431,460 Arden Realty 826,800 34,039,356 Brandywine Realty Trust 1,140,900 35,470,581 CarrAmerica Realty Corp. 1,006,700 36,190,865 Equity Office Properties Trust 1,314,400 42,994,024 Glenborough Realty Trust 68,700 1,319,040 Highwoods Properties 415,300 12,255,503 HRPT Properties Trust 1,143,700 14,193,317 Mack-Cali Realty Corp. 1,073,800 48,256,572 Maguire Properties 604,800 18,174,240 Prentiss Properties Trust 1,008,800 40,957,280 Reckson Associates Realty Corp. 794,100 27,436,155 ------------ 325,718,393 ------------ OFFICE/INDUSTRIAL 7.4% Duke Realty Corp. 638,700 21,639,156 Liberty Property Trust 1,065,200 45,313,608 ------------ 66,952,764 ------------ RESIDENTIAL - APARTMENT 15.4% American Campus Communities 275,100 6,607,902 AMLI Residential Properties Trust 215,300 6,904,671 Apartment Investment & Management Co. 167,700 6,503,406 Archstone-Smith Trust 660,272 26,325,045 AvalonBay Communities 280,600 24,047,420 Camden Property Trust 366,600 20,437,950 Education Realty Trust 496,800 8,296,560 GMH Communities Trust 583,800 8,564,346 Home Properties 412,900 16,206,325 Mid-America Apartment Communities 309,400 14,390,194 Town and Country Trust 50,000 1,451,000 ------------ 139,734,819 ------------ 2 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- SELF STORAGE 2.1% Extra Space Storage 390,500 $ 6,005,890 Extra Space Storage (Restricted) (b,c) 58,100 848,899 Sovran Self Storage 87,300 4,273,335 U-Store-It Trust 385,500 7,814,085 --------------- 18,942,209 --------------- SHOPPING CENTER 16.4% COMMUNITY CENTER 4.5% Cedar Shopping Centers 535,800 7,753,026 Heritage Property Investment Trust 449,100 15,718,500 Inland Real Estate Corp. 239,700 3,753,702 New Plan Excel Realty Trust 222,700 5,110,965 Urstadt Biddle Properties--Class A 544,000 8,247,040 --------------- 40,583,233 --------------- REGIONAL MALL 11.9% Glimcher Realty Trust 688,200 16,840,254 Macerich Co. 781,757 50,767,299 Mills Corp. 737,400 40,615,992 --------------- 108,223,545 --------------- TOTAL SHOPPING CENTER 148,806,778 --------------- SPECIALTY 0.7% Entertainment Properties Trust 148,200 6,614,166 --------------- TOTAL COMMON STOCK (Identified cost-$725,829,933) 1,064,233,083 --------------- 3 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- PREFERRED STOCK 29.0% DIVERSIFIED 6.1% Colonial Properties Trust, 8.125%, Series D 64,900 $ 1,680,910 Colonial Properties Trust, 7.62%, Series E 80,900 2,017,646 Crescent Real Estate Equities Co., 6.75%, Series A (Convertible) (d) 1,671,000 37,012,650 Digital Realty Trust, 8.50%, Series A 122,000 3,214,700 Entertainment Properties Trust, 7.75%, Series B 128,000 3,244,800 iStar Financial, 7.80%, Series F 167,081 4,429,317 iStar Financial, 7.65%, Series G 90,400 2,276,272 iStar Financial, 7.50%, Series I 61,600 1,559,712 -------------- 55,436,007 -------------- HEALTH CARE 0.3% Health Care REIT, 7.625%, Series F 68,900 1,743,170 Omega Healthcare Investors, 8.375%, Series D 40,000 1,037,600 -------------- 2,780,770 -------------- HOTEL 4.5% FelCor Lodging Trust, 8.00%, Series C 104,300 2,597,070 Highland Hospitality Corp., 7.875%, Series A 75,000 1,856,250 Host Marriott Corp., 10.00%, Series C 30,700 781,008 Host Marriott Corp., 8.875%, Series E 10,000 273,000 Innkeepers USA Trust, 8.00%, Series C 91,300 2,387,495 LaSalle Hotel Properties, 10.25%, Series A 1,000,000 26,600,000 Strategic Hotel Capital, 8.50%, Series A, 144A (e) 132,200 3,470,250 Sunstone Hotel Investors, 8.00%, Series A 111,000 2,830,500 -------------- 40,795,573 -------------- MORTGAGE 0.2% Newcastle Investment Corp., 9.75%, Series B 56,000 1,486,800 -------------- 4 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- OFFICE 3.0% Brandywine Realty Trust, 7.375%, Series D 38,300 $ 961,330 Cousins Properties, 7.50%, Series B 200,000 5,120,000 Highwoods Properties, 8.625%, Series A 13,195 14,148,834 HRPT Properties Trust, 8.75%, Series B 120,000 3,181,200 Kilroy Realty Corp., 7.50%, Series F 55,500 1,411,920 Maguire Properties, 7.625%, Series A 106,600 2,702,310 ------------- 27,525,594 ------------- OFFICE/INDUSTRIAL 0.2% ProLogis, 8.54%, Series C 4,000 221,000 PS Business Parks, 8.75%, Series F 4,100 106,231 PS Business Parks, 7.00%, Series H 40,000 994,000 PS Business Parks, 7.60%, Series L 14,700 375,732 --------------- 1,696,963 ------------- RESIDENTIAL 4.0% APARTMENT 3.9% Apartment Investment & Management Co., 10.00%, Series R 940,000 24,308,400 Associated Estates Realty Corp., 8.70%, Series B 90,000 2,344,500 Home Properties, 9.00%, Series F 196,000 5,107,760 Mid-America Apartment Communities, 8.30%, Series H 138,100 3,604,410 ------------- 35,365,070 ------------- MANUFACTURED HOME 0.1% American Land Lease, 7.75%, Series A 22,000 547,800 ------------- TOTAL RESIDENTIAL 35,912,870 ------------- 5 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Number of Shares Value ------------------ --------------- SHOPPING CENTER 10.5% COMMUNITY CENTER 4.8% Cedar Shopping Centers, 8.875%, Series A 61,000 $ 1,586,000 Developers Diversified Realty Corp., 8.60%, Series F 1,039,400 26,920,460 Developers Diversified Realty Corp., 7.375%, Series H 41,500 1,054,100 Federal Realty Investment Trust, 8.50%, Series B 276,300 7,194,852 Urstadt Biddle Properties, 8.50%, Series C 24,000 2,604,000 Urstadt Biddle Properties, 7.50%, Series D 160,000 4,120,800 ------------- 43,480,212 ------------- FREE STANDING 0.1% Commercial Net Lease Realty, 9.00%, Series A 25,000 660,250 ------------- REGIONAL MALL 5.6% CBL & Associates Properties, 8.75%, Series B 430,000 22,446,000 CBL & Associates Properties, 7.375%, Series D 325,000 8,216,000 Glimcher Realty Trust, 8.75%, Series F 35,000 903,350 Glimcher Realty Trust, 8.125%, Series G 40,000 1,015,600 Mills Corp., 9.00%, Series B 55,300 1,446,095 Mills Corp., 9.00%, Series C 159,600 4,167,156 Mills Corp., 8.75%, Series E 84,000 2,226,000 Mills Corp., 7.875%, Series G 275,600 7,082,920 Simon Property Group, 8.75%, Series F 30,000 774,300 Simon Property Group, 8.375%, Series J 14,000 912,625 Taubman Centers, 8.30%, Series A 72,094 1,826,862 ------------- 51,016,908 ------------- TOTAL SHOPPING CENTER 95,157,370 ------------- SPECIALTY 0.2% Capital Automotive REIT, 7.50%, Series A 80,000 1,784,000 ------------- TOTAL PREFERRED STOCK (Identified cost-$247,184,587) 262,575,947 ------------- 6 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Principal Amount Value ------------------ --------------- COMMERCIAL PAPER 1.2% San Paolo U.S. Finance Co., 2.750%, due 10/3/05 (Identified cost-$11,054,311) $ 11,056,000 $ 11,054,311 -------------- TOTAL INVESTMENTS (Identified cost-$984,068,831) 147.5% 1,337,863,341 OTHER ASSETS IN EXCESS OF LIABILITIES 0.3% 3,431,762 LIQUIDATION VALUE OF PREFERRED SHARES (47.8)% (434,000,000) ----- --------------- NET ASSETS APPLICABLE TO COMMON SHARES (Equivalent to $23.35 per share based on 38,856,074 shares of common stock outstanding) 100.0% $ 907,295,103 ===== ============== Note: Percentages indicated are based on the net assets applicable to common shares of the fund. (a) Resale is restricted. Security acquired 12/3/04 at a cost of $13,556,950; equals 2.1% of net assets applicable to common shares. (b) Fair valued security. The total of all fair valued securities equals 0.1% of net assets applicable to common shares. (c) Resale is restricted. Security acquired 6/20/2005 at a cost of $782,607; equals 0.1% of net assets applicable to common shares. (d) 410,000 shares segregated as collateral for interest rate swap transactions. (e) Resale is restricted to qualified institutional investors; equals 0.4% of net assets applicable to common shares. 7 -------------------------------------------------------------------------------- COHEN & STEERS QUALITY INCOME REALTY FUND, INC. -------------------------------------------------------------------------------- SCHEDULE OF INVESTMENTS--(Continued) September 30, 2005 (Unaudited) Interest Rate Swaps: Unrealized Notional Fixed Floating Rate (a) Termination Appreciation/ Counterparty Amount Rate (reset monthly) Date (Depreciation) ------------------------ ---------------------- ------------ ----------------- --------------- -------------- Fleet Global Markets $14,000,000 3.212% 3.700% October 2, 2008 $ 436,506 Merrill Lynch Derivative Products 46,000,000 5.210 3.680 April 5, 2007 (517,752) Merrill Lynch Derivative Products 46,000,000 5.580 3.680 April 5, 2009 (1,559,783) Royal Bank of Canada 26,000,000 4.137 3.830 May 26, 2010 436,579 Royal Bank of Canada 14,000,000 3.680 3.818 October 22, 2008 330,463 Royal Bank of Canada 44,000,000 4.258 3.704 March 10, 2009 467,537 UBS AG 24,000,000 5.120 3.768 April 15, 2007 (234,750) UBS AG 24,000,000 5.495 3.768 April 15, 2009 (744,599) ------------ $(1,385,800) ============ ------------------------------------------- (a) Based on LIBOR (London Interbank Offered Rate). Represents rates in effect at September 30, (2005.) 8 Item 2. Controls and Procedures (a) The registrant's principal executive officer and principal financial officer have concluded that the registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) are effective based on their evaluation of these disclosure controls and procedures required by Rule 30a-3(b) under the Investment Company Act of 1940 and Rule 13a-15(b) or 15d-15(b) under the Securities Exchange Act as of a date within 90 days of the filing of this report. (b) During the last fiscal quarter, there were no changes in the registrant's internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting. Item 3. Exhibits. (a) Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. COHEN & STEERS QUALITY INCOME REALTY FUND, INC. By: /s/ Adam M. Derechin -------------------------------- Name: Adam M. Derechin Title: President Date: November 17, 2005 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By: /s/ Adam M. Derechin By: /s/ Jay J. Chen -------------------------------- --------------------------------------- Name: Adam M. Derechin Name: Jay J. Chen Title: President and principal Title: Treasurer and principal executive officer financial officer Date: November 17, 2005