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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.51%. Net Expense Ratio: 1.25%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>.","Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>.","Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>.","Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>.","Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.66%. Net Expense Ratio: 1.40%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.24%. Net Expense Ratio: 0.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 2.16%. Net Expense Ratio: 1.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.16%. Net Expense Ratio: 0.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.51%. Net Expense Ratio: 1.25%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 2.16%. Net Expense Ratio: 1.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.24%. Net Expense Ratio: 0.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.66%. Net Expense Ratio: 1.40%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> From fund inception through 1\/31\/19, the benchmark was the Alerian Midstream Energy Select Index<\/b>. Thereafter, it consisted of the Alerian Midstream Energy Select Canada-Capped Index<\/b> through 10\/31\/20. Thereafter, it consisted of 70% Alerian Midstream Energy Index, 20% S&P 500 Utilities Index, and 10% S&P 500 Oil & Gas Refining & Marketing Index<\/b> through 3\/28\/2024. Thereafter, it consists of the Cohen & Steers Energy Aggregate Blend (35% S&P Energy Select Sector Index, 35% Cohen & Steers Risk Parity Energy Index (Custom), & 30% S&P North America and Clean Energy Index)<\/b>."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.16%. Net Expense Ratio: 0.90%. The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]}}},{"link":"https:\/\/www.cohenandsteers.com\/funds\/global-infrastructure-fund\/","title":"Global Infrastructure Fund","name":"global-infrastructure-fund","symbols":["CSUAX","CSUCX","CSUIX","CSURX","CSUZX"],"type":"Mutual 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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.21%."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges","Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter.","Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.94%Net Expense Ratio: 0.86%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Class Z Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.2%.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.36%.","Class C Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.86%.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.21%."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class C Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.86%."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.94%Net Expense Ratio: 0.86%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - Linked Benchmark":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Represented by performance of the S&P 1500 Utilities Index<\/b> for periods from the Fund's inception to March 31, 2008, the Macquarie Global Infrastructure 50\/50 Index<\/b> for periods from April 1, 2008 to May 31, 2008, the UBS Global 50\/50 Infrastructure & Utilities Index (net)<\/b> through March 31, 2015 and the FTSE Global Core Infrastructure 50\/50 Net Tax Index<\/b> for periods thereafter."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.36%."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. 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Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
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Record","type":"Link","shareClass":"A","url":"https:\/\/www.sec.gov\/Archives\/edgar\/data\/1033969\/000143893424000370\/xslNPX-INFO-TABLE_X01\/BRD6J1_0001033969_2024.xml","role":"","symbol":null}],"fullHoldings":[],"currencyWeights":{"asOfDate":"0001-01-01T00:00:00","values":[]},"creditRatings":{"asOfDate":"0001-01-01T00:00:00","values":[]},"preferredMarkets":{"asOfDate":"0001-01-01T00:00:00","values":[]},"couponStructures":{"asOfDate":"0001-01-01T00:00:00","values":[]},"premiumDiscounts":{"asOfDate":"0001-01-01T00:00:00","values":[]},"growthOfTenK":[]},"disclosures":{"A":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.19%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. ","Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. ","Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. ","Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. ","Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. ","Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.34%Net Expense Ratio: 1.34%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.92%Net Expense Ratio: 0.90%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.84%Net Expense Ratio: 1.84%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.84%Net Expense Ratio: 0.84%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.19%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.84%Net Expense Ratio: 1.84%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.92%Net Expense Ratio: 0.90%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.34%Net Expense Ratio: 1.34%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.84%Net Expense Ratio: 0.84%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"L":{"Detail - Performance - Linked Index":["Linked Index: FTSE Nareit Equity REITs Index<\/b> through 9\/30\/07 and the FTSE EPRA Nareit Developed Real Estate Index<\/b> thereafter. 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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["Linked Benchmark: FTSE Nareit Equity REITs Index<\/b> through 3\/31\/19 and the FTSE Nareit All Equity REITs Index<\/b> thereafter."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.76% Net Expense Ratio: 0.75% The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses. This commitment is currently expected to remain in place for the life of the Fund. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. 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Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
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E-Delivery","type":"Link","shareClass":"C","url":"https:\/\/www.cohenandsteers.com\/edelivery","role":"","symbol":null},{"name":"XBRL","type":"Document","shareClass":"I","url":"https:\/\/assets.cohenandsteers.com\/assets\/content\/uploads\/IRF_May_1_2021_XBRL.zip","role":"","symbol":null},{"name":"XBRL","type":"Document","shareClass":"R","url":"https:\/\/assets.cohenandsteers.com\/assets\/content\/uploads\/IRF_May_1_2021_XBRL.zip","role":"","symbol":null},{"name":"XBRL","type":"Document","shareClass":"Z","url":"https:\/\/assets.cohenandsteers.com\/assets\/content\/uploads\/IRF_May_1_2021_XBRL.zip","role":"","symbol":null},{"name":"XBRL","type":"Document","shareClass":"A","url":"https:\/\/assets.cohenandsteers.com\/assets\/content\/uploads\/IRF_May_1_2021_XBRL.zip","role":"","symbol":null},{"name":"Sign Up for E-Delivery","type":"Link","shareClass":"A","url":"https:\/\/www.cohenandsteers.com\/edelivery","role":"","symbol":null},{"name":"Sign Up for 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Record","type":"Link","shareClass":"I","url":"https:\/\/www.sec.gov\/Archives\/edgar\/data\/1309161\/000143893424000337\/xslNPX-INFO-TABLE_X01\/BRD6J1_0001309161_2024.xml","role":"","symbol":null},{"name":"Proxy Voting Record","type":"Link","shareClass":"C","url":"https:\/\/www.sec.gov\/Archives\/edgar\/data\/1309161\/000143893424000337\/xslNPX-INFO-TABLE_X01\/BRD6J1_0001309161_2024.xml","role":"","symbol":null},{"name":"Proxy Voting Record","type":"Link","shareClass":"A","url":"https:\/\/www.sec.gov\/Archives\/edgar\/data\/1309161\/000143893424000337\/xslNPX-INFO-TABLE_X01\/BRD6J1_0001309161_2024.xml","role":"","symbol":null}],"fullHoldings":[],"currencyWeights":{"asOfDate":"0001-01-01T00:00:00","values":[]},"creditRatings":{"asOfDate":"0001-01-01T00:00:00","values":[]},"preferredMarkets":{"asOfDate":"0001-01-01T00:00:00","values":[]},"couponStructures":{"asOfDate":"0001-01-01T00:00:00","values":[]},"premiumDiscounts":{"asOfDate":"0001-01-01T00:00:00","values":[]},"growthOfTenK":[]},"disclosures":{"A":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.46%Net Expense Ratio: 1.35%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. ","The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. ","The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. ","The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. ","The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.11%Net Expense Ratio: 1.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.61%Net Expense Ratio: 1.50%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 2.11%Net Expense Ratio: 2.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.46%Net Expense Ratio: 1.35%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 2.11%Net Expense Ratio: 2.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.61%Net Expense Ratio: 1.50%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Benchmark":["The FTSE EPRA Nareit Developed ex-U.S. Real Estate Index- net<\/b> is an unmanaged market-capitalization-weighted total return index, which consists of publicly traded equity REITs and listed property companies from developed markets excluding the United States and is net of dividend withholding taxes. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.11%Net Expense Ratio: 1.00%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]}}},{"link":"https:\/\/www.cohenandsteers.com\/funds\/low-duration-preferred-and-income-fund\/","title":"Low Duration Preferred and Income Fund","name":"low-duration-preferred-and-income-fund","symbols":["LPXAX","LPXCX","LPXFX","LPXIX","LPXRX","LPXZX"],"type":"Mutual 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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance - Including Sales Charge":["Maximum 2.0% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.10%Net Expense Ratio: 0.95%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. ","The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. ","The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. ","The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. ","The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. ","The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance - Including Sales Charge":["Maximum 2.0% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.75%Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.25%Net Expense Ratio: 1.10%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.81%Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.75%Net Expense Ratio: 1.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.75% Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.10%Net Expense Ratio: 0.95%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.75%Net Expense Ratio: 1.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"F":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.75% Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.81%Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.25%Net Expense Ratio: 1.10%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - ICE BofA 1-3 Year U.S. Corporate Index":["The ICE BofA 1-3 Year U.S. Corporate Index<\/b> tracks the performance of US dollar-denominated investment-grade corporate debt publicly issued in the US domestic market, with a remaining term to final maturity of less than 3 years. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.75%Net Expense Ratio: 0.60%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]}}},{"link":"https:\/\/www.cohenandsteers.com\/funds\/preferred-securities-and-income-fund\/","title":"Preferred Securities and Income Fund","name":"preferred-securities-and-income-fund","symbols":["CPXAX","CPXCX","CPXIX","CPRRX","CPXZX","CPXFX"],"type":"Mutual 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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 3.75% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.14%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.20% for the Class A shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>.","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>.","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>.","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>.","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>.","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 3.75% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Class Z Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.77% for the Class Z shares.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.29%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.35% for the Class R shares.","Class I Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.85%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.83% for the Class I shares.","Class F Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.85% for the Class F shares.","Class C Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.85% for the Class C shares.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.14%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.20% for the Class A shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class I Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.85%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.83% for the Class I shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.29%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.35% for the Class R shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class Z Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.77% for the Class Z shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class C Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 1.85% for the Class C shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"F":{"Detail - Distributions":["This fund intends to make monthly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - Linked Index":["The ICE BofA Fixed Rate Preferred Securities Index<\/b> tracks the performance of fixed-rate U.S. dollar-denominated preferred securities issued in the U.S. domestic market.\u00a0","The linked blended benchmark consists of 50% ICE BofA Capital Securities Index<\/strong> and 50% ICE BofA Fixed Rate Preferred Securities Index<\/strong> through 12\/31\/2016. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 30% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 10% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 12\/31\/2018. Thereafter, it consists of 60% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 20% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 3\/31\/2022. Thereafter, it consists of 55% ICE BofA US IG Institutional Capital Securities Index<\/strong>, 20% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong> through 6\/30\/2025. Thereafter, it consists of 65% ICE BofA US Institutional Capital Securities Index<\/strong>, 10% ICE BofA Core Fixed Rate Preferred Securities Index<\/strong>, and 25% Bloomberg Developed Market USD Contingent Capital Index<\/strong>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class F Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.79%. Through June 30, 2026, Cohen & Steers Capital Management, Inc., the Fund\u2019s investment advisor (the Advisor), has contractually agreed to waive its fee and\/or reimburse expenses so that the Fund\u2019s total annual operating expenses (excluding acquired fund fees and expenses, taxes and extraordinary expenses) do not exceed 0.85% for the Class F shares."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]}}},{"link":"https:\/\/www.cohenandsteers.com\/funds\/real-assets-fund\/","title":"Real Assets Fund","name":"real-assets-fund","symbols":["RAPAX","RAPCX","RAPIX","RAPRX","RAPZX"],"type":"Mutual 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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.28%Net Expense Ratio: 1.16%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. ","The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. ","The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. ","The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. ","The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. ","Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. ","Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. ","Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. ","Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.43%Net Expense Ratio: 1.31%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.01%Net Expense Ratio: 0.81%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.93%Net Expense Ratio: 1.81%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.93%Net Expense Ratio: 0.81%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.28%Net Expense Ratio: 1.16%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.93%Net Expense Ratio: 1.81%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.01%Net Expense Ratio: 0.81%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.43%Net Expense Ratio: 1.31%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance - MSCI World Index (NET)":["The MSCI World Index (NET) is a free-float-adjusted index that measures performance of large- and mid-capitalization companies representing developed market countries and is net of dividend withholding taxes. "],"Detail - Performance - Blended Benchmark":["Linked Benchmark:<\/b> 30% Bloomberg Commodity Total Return Index, 30% FTSE EPRA Nareit Developed Real Estate Index-net, 20% S&P Global Natural Resources Index-net, 12.5% ICE BofA 1-3 Year Global Corporate Index, and 7.5% Gold Spot price from 1\/31\/2012 through 9\/30\/2013; and by 27.5% FTSE EPRA Nareit Developed Real Estate Index-net, 27.5% Bloomberg Commodity Total Return Index, 15% S&P Global Natural Resources Index-net, 10% ICE BofA 1-3 Year U.S. Corporate Index, 5% Gold Spot price and 15% Dow Jones-Brookfield Global Infrastructure Index from 10\/1\/2013 and thereafter. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.10%."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Class Z Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.75%.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.25%.","Class I Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.84%.","Class F Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.75%.","Class A Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.10%."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class I Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.84%."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class R Expense Ratio as disclosed in the May 1, 2024 prospectus is 1.25%."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Class Z Expense Ratio as disclosed in the May 1, 2024 prospectus is 0.75%."],"Detail - Performance - Linked Index":["Linked Index:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."]},"F":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
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Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.15%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"all":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain).","This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end.","Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns.","Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. ","Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. ","The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Gross Expense Ratio: 0.94% Net Expense Ratio: 0.88%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.34%Net Expense Ratio: 1.30%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.92%Net Expense Ratio: 0.88%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.84%Net Expense Ratio: 1.80%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 0.84%Net Expense Ratio: 0.80%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Gross Expense Ratio: 1.19%Net Expense Ratio: 1.15%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>.","Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance.","The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 4.5% sales charge; returns for other share classes will differ due to differing expense structures and sales charges.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security.","Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges.","Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"C":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.84%Net Expense Ratio: 1.80%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Performance - Including Sales Charge":["Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"I":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.92%Net Expense Ratio: 0.88%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"L":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Gross Expense Ratio: 0.94% Net Expense Ratio: 0.88%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"R":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 1.34%Net Expense Ratio: 1.30%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]},"Z":{"Detail - Distributions":["This fund intends to make quarterly distributions.

Estimates Only - Do Not Use for Tax Reporting Purposes<\/b>This table provides estimates of the Fund's distribution sources at the time of payment and should not be relied upon or used for tax planning or tax reporting purposes.<\/b> A return of capital occurs when a portion of the money that you invested is paid back to you and should not be confused with \u201cyield\u201d or \u201cincome\u201d.Income as determined under federal income tax regulations differs from GAAP. As a result, distributions are subject to recharacterization for federal income tax purposes. Therefore the actual composition of the distributions noted above may change substantially by year-end and, to the extent these changes do occur, they will have the effect of reducing the net investment income component of fund distributions and correspondingly increasing the capital gains and\/or return of capital components.The final determination of the source and tax characteristics of all distributions will be made after year-end and reported to you on Form 1099-DIV and these final amounts may vary significantly from the estimates provided above. Form 1099-DIV, which is mailed after the close of the calendar year, will specify how the distributions paid by the Fund during the year should be characterized and reported on your tax return (e.g. ordinary income, return of capital and capital gain)."],"Detail - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Detail - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Detail - Overview - No. of Holdings":["Holdings are as of the most recent quarter end."],"Detail - Overview - Morningstar":["Based on risk-adjusted returns."],"Detail - Overview - Top Holdings - % of Market Value":["Percentage of market value is based on total percentage within each category. Weighting for the fund are net of cash. "],"Detail - Overview - Top Holdings":["The mention of specific investments is not a recommendation or solicitation to buy, sell or hold any particular security, swap or futures investment. Holdings are subject to change without notice. "],"Detail - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em>","An investor cannot invest directly in an index and index performance does not reflect the deduction of any fees, expenses or taxes.<\/em> Index comparisons have limitations as volatility and other characteristics may differ from a particular investment. For index definitions, please visit
www.cohenandsteers.com\/indexdefinitions<\/a>.","Gross Expense Ratio: 0.84%Net Expense Ratio: 0.80%The Net Expense Ratio reflects a contractual commitment by the Fund\u2019s investment advisor to waive its fees and\/or reimburse expenses through June 30, 2026. Absent such arrangements, returns would have been lower. Please see the prospectus for details."],"Detail - Performance - Linked Index":["Linked Benchmark:<\/b> Prior to 3\/31\/2019, the benchmark was the FTSE Nareit Equity REITs Index<\/b>. Thereafter, it is the FTSE Nareit All Equity REITs Index<\/b>."],"Detail - Performance - S&P 500 Index":["The S&P 500 Index<\/b> is an unmanaged index of 500 large-capitalization stocks that is frequently used as a general measure of U.S. stock market performance."],"Detail - Portfolio":["Portfolio weights are subject to change without notice. Due to rounding, values might not add up to 100%. The mention of specific securities is not a recommendation or solicitation to buy, sell or hold any particular security."],"Funds Landing - Overview - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Performance - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."],"Funds Landing - Yields - Realty Shares":["Prior to July 1, 2019, Cohen & Steers Realty Shares had only one class of shares outstanding; these shares have been predesignated as \u201cClass L\u2019 shares. Because Class A, Class F, Class I, Class R and Class Z shares did not commence investment operations prior to July 1, 2019, no performance information is available for these share classes. Returns for other share classes will differ due to the differing expense structures and sales charges."]}}}],"disclosures":{"Single":{"Closed-End Funds Landing - Overview - Distribution Rate":["Distribution rate is calculated by dividing the last distribution paid per share (annualized) by the market price. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e. monthly or quarterly). A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution rate quoted will include a return of capital. The estimated return of capital for each distribution is also available on this Web site by clicking on the Distributions tab on each fund\u2019s landing page. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each fiscal year on form 1099-DIV."],"Closed-End Funds Landing - Overview":["Performance data quoted represents past performance. Past performance is no guarantee of future results. The rate of return will vary and the principal value of an investment will fluctuate and shares, if sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em> "],"Closed-End Funds Landing - Performance":["Performance data quoted represents past performance. Past performance is no guarantee of future results. The rate of return will vary and the principal value of an investment will fluctuate and shares, if sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em> "],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSNR":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.50% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSPF":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.59% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSRE":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.70% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"ETF Funds Landing - Overview":["The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"ETF Funds Landing - Performance":["For market price performance, please see the individual fund page under the Performance tab. <\/em>"],"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Performance":["The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."]},"all":{"Closed-End Funds Landing - Overview - Distribution Rate":["Distribution rate is calculated by dividing the last distribution paid per share (annualized) by the market price. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e. monthly or quarterly). A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution rate quoted will include a return of capital. The estimated return of capital for each distribution is also available on this Web site by clicking on the Distributions tab on each fund\u2019s landing page. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each fiscal year on form 1099-DIV."],"Closed-End Funds Landing - Overview":["Performance data quoted represents past performance. Past performance is no guarantee of future results. The rate of return will vary and the principal value of an investment will fluctuate and shares, if sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em> "],"Closed-End Funds Landing - Performance":["Performance data quoted represents past performance. Past performance is no guarantee of future results. The rate of return will vary and the principal value of an investment will fluctuate and shares, if sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.<\/em> "],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSNR":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.50% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSPF":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.59% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios - Net Expense Ratio - CSRE":["The Adviser has contractually agreed to limit certain fees and expenses (excluding interest, taxes, brokerage commissions and other expenses that are capitalized in accordance with generally accepted accounting principles, dividend, interest and brokerage expenses for short positions, acquired fund fees and expenses, and extraordinary expenses) to 0.70% until June 30, 2026. Performance would have been lower without limitations in effect."],"ETF Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"ETF Funds Landing - Overview":["The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"ETF Funds Landing - Performance":["For market price performance, please see the individual fund page under the Performance tab. <\/em>"],"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>","The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["Class C maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges.<\/em>","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>","For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. ","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge)."],"Funds Landing - Retirement Scorecards - fi360 ":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta","The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."," Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. ","The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta.","This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Class C maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy.","12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect.","The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents.","Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency.","Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
","The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"A":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>","For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","For fund governance documents, including committee charters and more, please visit Fund Governance page<\/a>.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus."],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge)."],"Funds Landing - Retirement Scorecards - fi360 ":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"C":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["Class C maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges.<\/em>","For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.","Maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Class C maximum 1.00% deferred sales charge; does not apply after one year; returns for other share classes will differ due to differing structures and sales charges.<\/em>","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>","Performance does not reflect the deduction of the applicable sales charge. If reflected, the sales charge would reduce the performance shown.<\/em>","Maximum sales charges: All funds have a maximum 4.5% sales charge, except Low Duration Preferred and Income Fund (2.0% maximum sales charge) and Preferred Securities and Income Fund (3.75% maximum sales charge).<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."]},"F":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"I":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"L":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."],"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"R":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["For fund governance documents, including committee charters and more, please visit
Fund Governance page<\/a>.","Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."]},"Z":{"Funds Landing - Expense Ratios":["The gross expense ratio reflects fund expenses prior to the deduction of any waiver or reimbursement. The net expense ratio reflects fund expenses after the deduction of any waiver or reimbursement. Information presented is as stated in the fee table of the fund\u2019s prospectus. If a fund has an active contractual expense limitation, the expiration date is shown above. Generally, a contractual agreement can only be amended or terminated by agreement of the Fund's Board of Directors and the Fund\u2019s advisor and will terminate automatically in the event of termination of the investment advisory agreement between the advisor and the Fund.<\/em>"],"Funds Landing - Overview":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Overview - SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yield reflect fee waivers in effect. Without such waivers, yields would be reduced. "],"Funds Landing - Overview - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Performance":["Share classes have different investment minimums, expense structures and sales charges, which are detailed in the Fund prospectus.","The performance data quoted represents past performance. Past performance is no guarantee of future results. The investment return and the principal value of an investment will fluctuate, and shares, if redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Annualized total returns of the open-end funds current to the most recent month-end can be obtained by clicking on the fund name above.<\/em>"],"Funds Landing - Retirement Scorecards - FiRM":["The FiRM default score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta"],"Funds Landing - Retirement Scorecards - RPAG":[" Retire Plan Advisory Group (RPAG) Scorecard System™<\/b> incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score."],"Funds Landing - Retirement Scorecards - fi360":["The fi360 Fiduciary Score®<\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/b> calculation. Regulatory oversight:<\/b> Unregistered investments are excluded by Fi360's calculations. <\/b>Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment:<\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers:<\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods. "],"Funds Landing - Retirement Scorecards":["This material is not being provided in a fiduciary capacity and is not intended to recommend any investment policy or investment strategy or to account for the specific objectives or circumstances of any investor. We consider the information to be accurate, but we do not represent that it is complete or should be relied upon as the sole source of appropriateness for investment. Cohen & Steers does not provide investment, tax or legal advice.
 
The fi360 Fiduciary Score®<\/sup><\/b> should not be used as the sole source of information in an investment decision. The following factors and thresholds are used in the Fi360 Fiduciary Score®<\/sup><\/b> calculation. Regulatory oversight: <\/b> Unregistered investments are excluded by Fi360's calculations. Minimum track record:<\/b> Investments have at least three years of history to be scored. Stability of the organization:<\/b> The same portfolio management team has been in place for at least two years. Assets in the investment: <\/b> The investment should have at least $75 million under management (across all share classes.) Composition consistent with asset class:<\/b> At least 80% of the investment's underlying securities should be consistent with the broad asset class. Style consistency:<\/b> The product must be highly correlated to the asset class of the investment option. Expense ratios\/fees relative to peers:<\/b> The product's fees should not be in the bottom quartile of their peer group. Risk-adjusted performance relative to peers:<\/b> The product's risk-adjusted performance (calculated using Sharpe ratio and alpha) should be above the peer group median manager's risk-adjusted performance. Performance relative to peers: <\/b> The product's performance should be above the peer group's median manager return for 1-, 3-, and 5-year cumulative periods.
 
The Retire Plan Advisory Group (RPAG)<\/b> score methodology incorporates both quantitative and qualitative factors into evaluating fund managers and their investment strategies. To be 1 scored, there is a fund history requirement (5 years for active strategies and 3 years for passive strategies). The scoring system is built around pass\/fail criteria, on a scale of 0\u201310 (with 10 being the best). Eighty percent of the score is quantitative, and 20% is qualitative. For active and asset allocation strategies, the scorecard factors are weighted 30% to style, 30% to risk\/return, and 20% to qualitative factors (manager tenure, expense ratio relative to category average, and strength of statistics). For active asset allocation and passive strategies, other significant factors may be taken into account when considering a fund\u2019s qualitative score.
 
The FiRM score<\/b> is based on an evaluation of 10 equally weighted factors, representing the most popular evaluation factors used by FiRM customers. Each factor is assessed using a meets\/does not meet assessment, and is evaluated using data as of the most recently completed calendar quarter. The default criteria do not include an overall meets\/does not meet evaluation, nor a Watch\/Replace evaluation. Instead, it is up to the advisor or plan sponsor to consider this score, score history and other qualitative factors to make that decision. Evaluation criteria included in the default criteria include: Manager Tenure and Fund Age >\/=3 years, Total net assets >100 Million, 3 and 5 year performance >\/= 50% of peers, 5 year Up Capture>Down Capture, 3 and 5 year Sharpe Ratio >\/=50% of peers, 3 year Beta."],"Funds Landing - Yields":["Performance data quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect. Please refer to the Expense Ratios tab for waiver information.<\/em>"],"Funds Landing - Yields - Distribution Yield":["12-Month Distribution Yield is calculated by adding each fund\u2019s trailing 12-month income distributions, and dividing the sum by the fund\u2019s most recent month ended NAV. Note that the number of income distributions is based on the fund\u2019s distribution payment frequency (i.e., monthly, quarterly or semi-annually) as disclosed in the fund\u2019s prospectus. A fund may pay distributions in excess of its net investment company taxable income and, to the extent this occurs, the distribution yield quoted will include a return of capital. The estimated return of capital for each distribution is available in the fund\u2019s Section 19 Notice available in the Literature section. However, please note that distributions are subject to recharacterization for tax purposes and the final tax treatment of these distributions will be reported to shareholders after the close of each calendar year on form 1099-DIV. 12-Month Distribution Yield will fluctuate from month to month, and is not equivalent to the subsidized or unsubsidized 30-day SEC yield of the fund. You should consult each fund\u2019s prospectus for additional information about the Fund\u2019s dividends and distributions policy."],"Funds Landing - Yields - 30-Day SEC Yield":["The SEC yield is calculated by dividing annualized net investment income per share during a 30-day period by the maximum offering price per share as of the close of that period. SEC yield reflects the rate at which the fund is earning income on its current portfolio of securities. Since certain distributions received by the funds from real estate investment trusts (REITs) and master limited partnerships (MLPs) may consist of dividend income, return of capital and capital gains, and the character of these distributions cannot be determined until after the end of the year, the SEC yield has been adjusted for the funds that invest significantly in REITs based on estimates of return of capital and capital gains. The SEC 30-Day Yield is computed under an SEC standardized formula and is based on the maximum offer price per share. Subsidized yields reflect fee waivers in effect. Without such waivers, yields would be reduced. Unsubsidized yields do not reflect fee waivers in effect."]},"WX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"VX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"V":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"LX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"KX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"IX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"FX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"CX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"AX":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."],"SICAV Landing - Performance":["Performance returns stated net of fees. Current performance may be lower or higher than the performance quoted. The investment return and the principal value of an investment will fluctuate and shares, when redeemed, may be worth more or less than their original cost. Periods greater than 12 months are annualized. Returns are historical and include change in share price and reinvestment of all distributions.
 
If the currency in which the past performance is displayed differs from the currency of the country in which an investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor's local currency."],"SICAV Landing - Pricing":["The Net Asset Value (or \u201cNAV\u201d) per share of each class for all sub-funds is determined by dividing the value of the total assets of the sub-fund less the liabilities by the total number of shares of the class outstanding on the valuation date. There is no guarantee that any historical trend illustrated in this report will be repeated in the future, and there is no way to predict when such a trend will begin. If the currency in which the fund information is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations, valuations shown may be higher or lower if converted into the investor\u2019s local currency.
 
\r\n\r\n• Cohen & Steers SICAV European Real Estate Securities Fund is denominated in Euros.
 
\r\n\r\n• Cohen & Steers SICAV Global Real Estate Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Listed Infrastructure Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Global Preferred Securities Fund is denominated in U.S. Dollars.
 
\r\n\r\n• Cohen & Steers SICAV Diversified Real Assets Fund is denominated in U.S. Dollars.
 
"]},"ALL":{"SICAV Landing - Overview - SFDR Article":["Please see individual fund pages for SFDR disclosure documents."]}},"assetClasses":[{"term_id":203,"name":"Energy","slug":"energy","term_group":0,"term_taxonomy_id":203,"taxonomy":"funds-asset-class","description":"","parent":0,"count":1,"filter":"raw","term_order":"0"},{"term_id":155,"name":"Infrastructure","slug":"infrastructure","term_group":0,"term_taxonomy_id":155,"taxonomy":"funds-asset-class","description":"","parent":0,"count":3,"filter":"raw","term_order":"0"},{"term_id":159,"name":"Midstream energy & MLPs","slug":"midstream-energy-mlps","term_group":0,"term_taxonomy_id":159,"taxonomy":"funds-asset-class","description":"","parent":0,"count":0,"filter":"raw","term_order":"0"},{"term_id":206,"name":"MP","slug":"mp","term_group":0,"term_taxonomy_id":206,"taxonomy":"funds-asset-class","description":"","parent":0,"count":24,"filter":"raw","term_order":"0"},{"term_id":157,"name":"Multi-strategy","slug":"multi-strategy","term_group":0,"term_taxonomy_id":157,"taxonomy":"funds-asset-class","description":"","parent":0,"count":4,"filter":"raw","term_order":"0"},{"term_id":209,"name":"Natural Resource Equities","slug":"natural-resource-equities","term_group":0,"term_taxonomy_id":209,"taxonomy":"funds-asset-class","description":"","parent":0,"count":1,"filter":"raw","term_order":"0"},{"term_id":156,"name":"Preferred securities","slug":"preferred-securities","term_group":0,"term_taxonomy_id":156,"taxonomy":"funds-asset-class","description":"","parent":0,"count":10,"filter":"raw","term_order":"0"},{"term_id":158,"name":"Real assets","slug":"real-assets","term_group":0,"term_taxonomy_id":158,"taxonomy":"funds-asset-class","description":"","parent":0,"count":2,"filter":"raw","term_order":"0"},{"term_id":154,"name":"Real estate","slug":"real-estate","term_group":0,"term_taxonomy_id":154,"taxonomy":"funds-asset-class","description":"","parent":0,"count":11,"filter":"raw","term_order":"0"}]}