0001104659-11-049875.txt : 20110901 0001104659-11-049875.hdr.sgml : 20110901 20110901104545 ACCESSION NUMBER: 0001104659-11-049875 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20110630 FILED AS OF DATE: 20110901 DATE AS OF CHANGE: 20110901 EFFECTIVENESS DATE: 20110901 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Cohen & Steers International Realty Fund, Inc. CENTRAL INDEX KEY: 0001309161 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-21677 FILM NUMBER: 111069986 BUSINESS ADDRESS: STREET 1: 280 PARK AVENUE STREET 2: 10TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 212-832-3232 MAIL ADDRESS: STREET 1: 280 PARK AVENUE STREET 2: 10TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 FORMER COMPANY: FORMER CONFORMED NAME: Cohen & Steers Global Realty Fund, Inc. DATE OF NAME CHANGE: 20041118 0001309161 S000001228 Series 1 C000003337 Class A IRFAX C000003338 Class B IRFBX C000003339 Class C IRFCX C000003340 Class I IRFIX N-CSRS 1 a11-16501_1ncsrs.htm N-CSRS

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number

811-21677

 

Cohen & Steers International Realty Fund, Inc.

(Exact name of registrant as specified in charter)

 

280 Park Avenue, New York, NY

 

10017

(Address of principal executive offices)

 

(Zip code)

 

Adam M. Derechin
Cohen & Steers Capital Management, Inc.
280 Park Avenue
New York, New York 10017

(Name and address of agent for service)

 

Registrant’s telephone number, including area code:

(212) 832-3232

 

 

Date of fiscal year end:

December 31

 

 

Date of reporting period:

June 30, 2011

 

 



 

Item 1. Reports to Stockholders.

 



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

To Our Shareholders:

We would like to share with you our report for the six months ended June 30, 2011. The net asset values (NAV) per share at that date were $11.14, $11.03 and $11.20 for Class A, Class C and Class I shares, respectively.

The total returns, including income and change in NAV, for the Fund and its comparative benchmarks were:

    Six Months Ended
June 30, 2011
 
Cohen & Steers International Realty Fund—Class A     1.78 %  
Cohen & Steers International Realty Fund—Class C     1.53 %  
Cohen & Steers International Realty Fund—Class I     1.95 %  
FTSE EPRA/NAREIT Developed Ex-U.S. Real Estate Index—Neta     3.09 %  
S&P 500 Indexa     6.02 %  

 

The performance data quoted represent 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. Current total returns of the Fund can be obtained by visiting our Web site at cohenandsteers.com. Performance quoted does not reflect the deduction of the maximum 4.5% initial sales charge on Class A shares or the 1% maximum contingent deferred sales charge on Class C shares. If such charges were included, returns would have been lower.

The Fund implements fair value pricing when the daily change in a specific U.S. market index exceeds a predetermined percentage. Fair value pricing adjusts the valuation of non-U.S. holdings to account for such index change following the close of foreign markets. This standard practice has been adopted by a majority of the fund industry to deter investors from arbitraging funds with a large percentage of non-U.S. holdings. In the event fair value pricing is implemented on the first and/or last day of a performance measurement period, the Fund's return may diverge from the relative performance of its benchmark index, which does not use fair value pricing. An investor cannot invest directly in an index.

Please note that distributions paid by the Fund to shareholders are subject to recharacterization for tax purposes and are taxable up to the amount of the Fund's investment company taxable income and net realized gains. Distributions in excess of the Fund's investment company taxable income and realized gains are a return of capital distributed from the Fund's assets.

a  The FTSE EPRA/NAREIT Developed Ex-U.S. Real Estate Index is an unmanaged portfolio of approximately 182 constituents from 20 countries and is net of dividend withholding taxes. The S&P 500 Index is an unmanaged index of common stocks that is frequently used as a general measure of stock market performance.


1



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Investment Review

International real estate securities achieved positive returns in the six months ended June 30, 2011. Europe generally benefited from continued improvement in real estate fundamentals, low capital costs and rising property values, while Asia Pacific struggled with natural disaster and policy tightening.

Real estate securities, along with financial markets in general, faced frequent volatility resulting from rising uncertainty about the global recovery. Stocks came under pressure in March following the earthquake in Japan, and then again in June amid renewed fears of a Greek default and disappointing U.S. economic reports. The period ended on a positive note following news of passage of an austerity plan by Greece's parliament and encouraging U.S. manufacturing data.

Europe gained despite sovereign concerns

The U.K. (+16.3% total returnb) had exceptional returns in the period, benefiting from strong rental growth in London and a development cycle that stands to benefit from accelerating demand. The macro environment was also supportive, with interest rates expected to continue running below inflation in the near term.

On the continent, investors were primarily focused on Greece's growing budget crisis. Fears of contagion weighed on companies with exposure to southern Europe, although this was somewhat mollified in late June as the market became hopeful that an agreement would be reached on a new financial assistance package. Northern economies remained in substantially better shape, although inflation was an increasing concern.

France (+12.9%) had generally robust performance across the board, benefiting from falling cap rates for many prime assets in northern Europe. The French retail sector also got a boost from signs that indexation would turn positive in 2012. Switzerland (+8.4%), Austria (+8.0%) and Finland (+5.6%) also did well, while the Netherlands (+2.4%) and Sweden (–2.2%) trailed.

Germany (+0.8%) had mostly strong returns except for Gagfah, whose shares declined sharply amid litigation with the City of Dresden. Berlin released its two-year residential Mietspiegel (rent index) at a higher-than-expected increase of 7.9% over 2009 levels, implying strong rental growth in what has been a supply-constrained market.

Asia Pacific roiled by natural disaster and policy tightening

In Hong Kong (–4.4%), developers declined as rising inflation and growing public discontent about housing affordability resulted in higher policy risk for curbing the residential market. Developers with exposure to China suffered to a greater degree, as policy tightening was even more stringent on the mainland. At the same time, the country's low unemployment and strong economic growth, combined with low commercial supply, helped landlords perform relatively better, especially those with portfolios that were perceived to be more defensive.

b  Country returns are in local currencies as measured by the FTSE EPRA/NAREIT Developed Real Estate Index.


2



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Japan (–9.6%) appeared to be on a recovery path until the March 9 earthquake, which inflected heavy damage in the northern region, but left Tokyo relatively unscathed. REITs outperformed early on, as investors flocked to the relative security of long-term leases in a high-risk environment. REITs were also beneficiaries of the Bank of Japan's asset-purchase program as part of the government's efforts to lower risk premiums. Developers declined sharply immediately following the quake, but outperformed in the second quarter, boosted by unexpected resilience in residential demand.

Australia (+2.9%) was a bright spot in the region, benefiting from the central bank's decision not to raise interest rates, despite rising inflation pressures. The decision was made possible by reduced economic activity resulting from the Queensland floods, as well as a strong Australian dollar and subdued consumer spending.

Singapore (–10.5%), similar to Hong Kong, was weighed down by the performance of developers, which saw heavy losses amid heightened inflation and policy tightening. Historic gains by the opposition party in the May election brought expectations of more tightening measures and an increased focus on low- and middle-income housing affordability. S-REITs did substantially better, benefiting from strong economic growth, low unemployment and rising retail spending. The country also executed a land swap with Malaysia, opening the area surrounding Marina Bay for development, including significant new office supply.

Strong returns from Canada

Canada (+12.2%) benefited from a positive macro environment, including low interest rates and a robust job market. The Calgary office and residential markets saw notable improvement amid an influx of capital to the oil-rich Alberta region. Also, Conservatives unexpectedly won a majority of seats in the May elections, giving them greater power to pass new tax cuts for businesses.

A Solid First Half for Non-Asia Real Estate Securities
Total return (%) by country, January 1-June 30, 2011


3



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Fund performance

The Fund had a positive return for the period, but underperformed its benchmark. Stock selection in Australia weighed on relative returns due in part to our allocation to residential developers that declined in anticipation of falling house prices. Stock selection in Hong Kong and Canada also detracted from returns. Our underweight in Switzerland was a negative factor due to relative performance of individual companies and substantial appreciation in the Swiss franc. Our out-of-index allocations to Russia and Brazil underperformed during the period.

Stock selection in Germany contributed positively to relative returns, due mostly to strong performance by Deutsche Wohnen. The Fund also benefited from our underweight in Japan early in the period, shifting to an overweight following the events in March, as we viewed the selloff as offering attractive entry points in companies with solid long-term growth prospects. Other contributors included our overweights in the U.K., Norway and Finland.

Investment Outlook

Fiscal challenges likely to weigh on Europe

While economic growth for the U.K. remains below potential, we believe property companies with heavy concentration in higher-growth London will continue to benefit from gains in employment and discretionary spending, particularly for prime assets. Office space in the West End remains in strong demand, and we're seeing greater competition among retailers for premium storefronts at the best malls.

The economic divide between northern and southern Europe will likely remain a meaningful factor for many years, as austerity measures in fiscally stressed countries stifle demand. Moreover, rising inflation may accelerate the European Central Bank's next rate hike, further complicating the efforts of these countries to close their budget gaps. We continue to favor companies with significant exposure to high-growth economies, such as Germany, Sweden and Finland.

We retain our favorable outlook for the Paris office and residential markets, while Germany's thriving manufacturing sector and employment levels should continue to drive strong demand for office, retail and housing. In the Netherlands, we continue to see opportunities in smaller-city offices, which offer historically high yield spreads.

Asia Pacific fundamentals are strong, but inflation remains a concern

We have reduced our allocation to Hong Kong, as continued policy tightening, rising mortgage rates, and inflation are likely to negatively affect the residential market. Our focus remains on office and retail owners, which we believe are well positioned to benefit from solid economic growth and low unemployment. We continue to stay strongly underweight residential developers.


4



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

In Japan, we have shifted our allocation toward developers, as we believe strong recovery in condo sales will drive profit growth over the next 12 to 24 months, benefiting from normalization of home buying activity, government incentives and low interest rates. While we view J-REITs as less attractive on a relative basis, they have been successful at raising capital to fund acquisitions, which should help stabilize dividends in the future.

Australia's mining industries have benefited from the recent boom in commodities, but the rest of the country has suffered the headwinds of a strong Australian dollar and high interest rates. Despite this, we believe another interest rate hike is coming due to rising inflation pressures. We favor office owners over retail and residential companies.

Singapore should continue to see strong economic growth, but developers will likely suffer from tighter margins and decreased transaction volume due to tightening policies. In the office sector, the longer-term supply picture became clearer as details of the land swap deal with Malaysia were announced. We remain positive on demand and expect rents to grow alongside the economy, but the constant stream of supply over the next few years may cause rental growth to be more gradual.


5



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Sincerely,

   
MARTIN COHEN   ROBERT H. STEERS  
Co-chairman   Co-chairman  
   
JOSEPH M. HARVEY   SCOTT CROWE  
Portfolio Manager   Portfolio Manager  
   
GERIOS J.M. ROVERS   LUKE SULLIVAN  
Portfolio Manager   Portfolio Manager  

 

The views and opinions in the preceding commentary are as of the date stated and are subject to change. This material represents an assessment of the market environment at a specific point in time, should not be relied upon as investment advice and is not intended to predict or depict performance of any investment.

Visit Cohen & Steers online at cohenandsteers.com

For more information about any of our funds, visit cohenandsteers.com, where you will find daily net asset values, fund fact sheets and portfolio highlights. You can also access newsletters, education tools and market updates covering the global real estate, listed infrastructure, utilities, large cap value and preferred securities sectors.

In addition, our Web site contains comprehensive information about our firm, including our most recent press releases, profiles of our senior investment professionals and an overview of our investment approach.


6



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Performance Review (Unaudited)

Average Annual Total Returns For Periods Ended June 30, 2011

    Class A Shares   Class C Shares   Class I Shares  
1 Year (with sales charge)     24.52 %a     28.72 %b        
1 Year (without sales charge)     30.39 %     29.72 %     30.96 %  
5 Years (with sales charge)     –1.17 %a     –0.90 %        
5 Years (without sales charge)     –0.26 %     –0.90 %     0.09 %  
Since Inceptionc (with sales charge)     3.76 %a     3.88 %        
Since Inceptionc (without sales charge)     4.53 %     3.88 %     4.90 %  

The performance data quoted represent past performance. Past performance is no guarantee of future results. The investment return and 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. Performance information current to the most recent month-end can be obtained by visiting our Web site at cohenandsteers.com. The performance table does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. During certain periods presented above, the advisor waived fees and/or reimbursed expenses. Without this arrangement, performance would have been lower.

The expense ratios for each class of shares as disclosed in the May 1, 2011 prospectuses were as follows: Class A—1.61%; Class C—2.26% and Class I—1.26%.

a  Reflects a 4.50% front-end sales charge.

b  Reflects a contingent deferred sales charge of 1%.

c  Inception date of March 31, 2005.


7



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Expense Example (Unaudited)

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads) on purchase payments and redemption fees; and (2) ongoing costs including management fees; distribution and/or service (12b-1) fees; and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period January 1, 2011—June 30, 2011.

Actual Expenses

The first line of the following table provides information about actual account values and expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading entitled "Expenses Paid During Period" to estimate the expenses you paid on your account during this period.

Hypothetical Example for Comparison Purposes

The second line of the following table provides information about hypothetical account values and hypothetical expenses based on the Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing cost of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads) and redemption fees. Therefore, the second line of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.


8



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Expense Example (Unaudited) — (Continued)

    Beginning
Account Value
January 1, 2011
  Ending
Account Value
June 30, 2011
  Expenses Paid
During Perioda
January 1, 2011–
June 30, 2011
 
Class A  
Actual (1.78% return)   $ 1,000.00     $ 1,017.80     $ 8.00    
Hypothetical (5% annual return before expenses)   $ 1,000.00     $ 1,016.86     $ 8.00    
Class C  
Actual (1.53% return)   $ 1,000.00     $ 1,015.30     $ 11.24    
Hypothetical (5% annual return before expenses)   $ 1,000.00     $ 1,013.64     $ 11.23    
Class I  
Actual (1.95% return)   $ 1,000.00     $ 1,019.50     $ 6.26    
Hypothetical (5% annual return before expenses)   $ 1,000.00     $ 1,018.60     $ 6.26    

a  Expenses are equal to the Fund's Class A, Class C and Class I annualized expense ratio of 1.60%, 2.25% and 1.25%, respectively, multiplied by the average account value over the period, multiplied by 181/365 (to reflect the one-half year period).


9



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

JUNE 30, 2011

Top Ten Holdings
(Unaudited)

Security   Value   % of
Net
Assets
 
Sun Hung Kai Properties Ltd.   $ 91,294,043       6.2 %  
Mitsui Fudosan Co., Ltd.     89,680,412       6.1    
Unibail-Rodamco     80,897,988       5.5    
Westfield Group     76,910,686       5.3    
Mitsubishi Estate Co., Ltd.     64,576,784       4.4    
Hongkong Land Holdings Ltd. (USD)     56,384,141       3.9    
British Land Co., PLC     39,909,461       2.7    
GPT Group     37,202,886       2.5    
Brookfield Office Properties (USD)     36,985,884       2.5    
Hammerson PLC     36,770,603       2.5    

 

Country Breakdown

(Based on Net Assets)
(Unaudited)


10




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS

June 30, 2011 (Unaudited)

        Number
of Shares
  Value  
COMMON STOCK   99.0%              
AUSTRALIA   15.1%              
DIVERSIFIED   6.3%              
BGP Holdings PLC (EUR)a,b,c         55,752,507     $ 0    
Dexus Property Groupb         14,989,572       14,201,120    
FKP Property Groupb         10,707,771       8,074,875    
GPT Groupb         10,944,438       37,202,886    
Mirvac Groupb         5,714,039       7,685,351    
Stocklandb         6,861,195       25,166,712    
              92,330,944    
INDUSTRIAL   2.5%              
Goodman Groupb         47,880,428       36,298,315    
OFFICE   1.0%              
Commonwealth Property Office Fundb         14,620,281       14,763,245    
RETAIL   5.3%              
Westfield Groupb         8,251,745       76,910,686    
TOTAL AUSTRALIA             220,303,190    
AUSTRIA   0.9%              
DIVERSIFIED   0.5%              
CA Immobilien Anlagen AGb,c         377,654       6,853,806    
RETAIL   0.4%              
Atrium European Real Estate Ltd.b         1,029,421       6,779,116    
TOTAL AUSTRIA             13,632,922    
BRAZIL   0.9%              
HOTEL   0.3%              
BHG SA—Brazil Hospitality Groupc         352,139       4,535,286    
OFFICE   0.6%              
BR Properties SA         835,752       9,371,518    
TOTAL BRAZIL             13,906,804    

See accompanying notes to financial statements.
11



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS—(Continued)

June 30, 2011 (Unaudited)

        Number
of Shares
  Value  
CANADA   9.4%              
DIVERSIFIED   1.5%              
Dundee Real Estate Investment Trust, 144Ad         635,466     $ 21,413,909    
OFFICE   2.5%              
Brookfield Office Properties (USD)         1,918,355       36,985,884    
RESIDENTIAL   2.4%              
Boardwalk REIT         376,122       18,832,424    
Melcor Developments Ltd.         502,000       8,067,811    
Northern Property Real Estate Investment Trust         241,113       7,642,516    
              34,542,751    
RETAIL   3.0%              
Primaris Retail REIT         516,732       11,278,147    
RioCan REIT         1,241,421       33,389,456    
              44,667,603    
TOTAL CANADA             137,610,147    
FINLAND   1.0%              
DIVERSIFIED                
Sponda Oyjb         2,531,615       14,724,433    
FRANCE   7.5%              
DIVERSIFIED                
Gecina SAb         204,849       28,621,939    
Unibail-Rodamcob         350,131       80,897,988    
              109,519,927    
GERMANY   2.7%              
DIVERSIFIED   0.2%              
IVG Immobilien AGb,c         293,394       2,297,928    
OFFICE   0.6%              
Alstria Office REIT AG         558,881       8,428,795    
RESIDENTIAL   1.9%              
Deutsche Wohnen AG         1,619,557       28,183,200    
TOTAL GERMANY             38,909,923    

See accompanying notes to financial statements.
12



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS—(Continued)

June 30, 2011 (Unaudited)

        Number
of Shares
  Value  
HONG KONG   18.4%              
DIVERSIFIED   10.2%              
Hang Lung Properties Ltd.b         3,709,000     $ 15,297,905    
Hysan Development Co., Ltd.b         2,609,000       12,993,282    
Sun Hung Kai Properties Ltd.b         6,262,080       91,294,043    
Wharf Holdings Ltd.b         4,152,800       28,959,624    
              148,544,854    
HOTEL   0.4%              
Shangri-La Asia Ltd.b         2,563,358       6,306,301    
OFFICE   3.9%              
Hongkong Land Holdings Ltd. (USD)b         7,906,771       56,384,141    
RESIDENTIAL   2.7%              
China Overseas Land & Investment Ltd.b         14,811,340       31,901,735    
Country Garden Holdings Co.b         17,324,000       7,609,173    
              39,510,908    
RETAIL   1.2%              
Link REITb         5,172,000       17,700,752    
TOTAL HONG KONG             268,446,956    
INDONESIA   0.4%              
RESIDENTIAL                
Summarecon Agung Tbk PTb         44,159,246       5,884,028    
JAPAN   18.0%              
DIVERSIFIED   15.0%              
Mitsubishi Estate Co., Ltd.b         3,679,600       64,576,784    
Mitsui Fudosan Co., Ltd.b         5,207,049       89,680,412    
Nomura Real Estate Holdingsb         1,103,400       18,397,151    
Sumitomo Realty & Development Co., Ltd.b         1,312,000       29,322,705    
Tokyu Land Corp.b         2,461,563       10,458,165    
United Urban Investment Corp.b         6,305       7,260,769    
              219,695,986    

See accompanying notes to financial statements.
13



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS—(Continued)

June 30, 2011 (Unaudited)

        Number
of Shares
  Value  
OFFICE   2.0%              
Nippon Building Fundb         1,792     $ 17,511,563    
ORIX JREITb         2,103       11,621,214    
              29,132,777    
RESIDENTIAL   1.0%              
Advance Residence Investmentb         6,971       14,590,080    
TOTAL JAPAN             263,418,843    
NETHERLANDS   0.5%            
RETAIL                
Corio NVb         101,136       6,697,918    
NORWAY   0.8%  
OFFICE                
Norwegian Property ASAb         5,673,978       11,866,647    
PHILIPPINES   1.0%              
RETAIL                
SM Prime Holdingsb         53,858,200       14,685,955    
RUSSIA   0.3%              
DIVERSIFIED                
AFI Development PLC GDRc         5,010,637       4,509,573    
SINGAPORE   6.4%              
HOTEL   0.8%              
CDL Hospitality Trustsb         6,679,000       11,211,193    
INDUSTRIAL   2.2%              
Global Logistic Properties Ltd.b,c         19,436,991       32,653,544    
OFFICE   1.5%              
CapitaCommercial Trustb         18,426,237       21,796,965    
RETAIL   1.9%              
CapitaMall Trustb         14,885,000       22,688,688    
CapitaMalls Asia Ltd.b         4,967,495       5,964,031    
              28,652,719    
TOTAL SINGAPORE             94,314,421    

See accompanying notes to financial statements.
14



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS—(Continued)

June 30, 2011 (Unaudited)

        Number
of Shares
  Value  
SWEDEN   2.9%              
DIVERSIFIED                
Castellum ABb         1,238,349     $ 18,542,611    
Fabege ABb         1,532,475       15,403,062    
Klovern AB         1,629,727       8,141,936    
              42,087,609    
SWITZERLAND   0.5%              
OFFICE                
PSP Swiss Property AGb,c         80,600       7,656,739    
UNITED KINGDOM   12.3%              
DIVERSIFIED   7.6%              
British Land Co., PLCb         4,081,948       39,909,461    
Hammerson PLCb         4,756,102       36,770,603    
Land Securities Group PLCb         2,575,331       35,230,644    
              111,910,708    
INDUSTRIAL   2.2%              
Segro PLCb         6,382,955       32,003,173    
OFFICE   2.5%              
Derwent London PLCb         420,846       12,333,015    
Great Portland Estates PLCb         3,382,657       23,677,790    
              36,010,805    
TOTAL UNITED KINGDOM             179,924,686    
TOTAL COMMON STOCK
(Identified cost—$1,200,048,630)
            1,448,100,721    
SHORT-TERM INVESTMENTS   0.3%              
MONEY MARKET FUNDS                
BlackRock Liquidity Funds: FedFund, 0.01%e         750,000       750,000    
Federated Government Obligations Fund, 0.01%e         3,500,346       3,500,346    
TOTAL SHORT-TERM INVESTMENTS
(Identified cost—$4,250,346)
            4,250,346    

See accompanying notes to financial statements.
15



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

SCHEDULE OF INVESTMENTS—(Continued)

June 30, 2011 (Unaudited)

            Value  
TOTAL INVESTMENTS (Identified cost—$1,204,298,976)     99.3 %         $ 1,452,351,067    
OTHER ASSETS IN EXCESS OF LIABILITIES     0.7             9,947,400    
NET ASSETS     100.0 %         $ 1,462,298,467    

 

Glossary of Portfolio Abbreviations

EUR  Euro Currency

GDR  Global Depositary Receipt

REIT  Real Estate Investment Trust

USD  United States Dollar

Note: Percentages indicated are based on the net assets of the Fund.

a  Illiquid security. Aggregate holdings equal 0.0% of net assets of the Fund.

b  Fair valued security. This security has been valued at its fair value as determined in good faith under procedures established by and under the general supervision of the Fund's Board of Directors. Aggregate fair value securities represent 85.3% of the net assets of the Fund, all of which have been fair valued pursuant to foreign fair value pricing procedures approved by the Board of Directors.

c  Non-income producing security.

d  Resale is restricted to qualified institutional investors. Aggregate holdings equal 1.5% of net assets of the Fund, of which 0.0% are illiquid.

e  Rate quoted represents the seven day yield of the fund.

See accompanying notes to financial statements.
16




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

STATEMENT OF ASSETS AND LIABILITIES

June 30, 2011 (Unaudited)

ASSETS:  
Investments in securities, at value (Identified cost—$1,204,298,976)   $ 1,452,351,067    
Cash     96,983    
Foreign currency, at value (Identified cost—$1,320,822)     1,324,247    
Receivable for:  
Investment securities sold     13,120,565    
Fund shares sold     5,548,063    
Dividends     4,033,509    
Other assets     13,224    
Total Assets     1,476,487,658    
LIABILITIES:  
Payable for:  
Dividends declared     4,573,432    
Fund shares redeemed     4,205,605    
Investment securities purchased     3,440,508    
Investment advisory fees     1,125,993    
Administration fees     71,115    
Distribution fees     12,212    
Shareholder servicing fees     4,355    
Directors' fees     3,989    
Other liabilities     751,982    
Total Liabilities     14,189,191    
NET ASSETS   $ 1,462,298,467    
NET ASSETS consist of:  
Paid-in capital   $ 2,832,076,222    
Dividends in excess of net investment income     (64,213,257 )  
Accumulated net realized loss     (1,553,654,654 )  
Net unrealized appreciation     248,090,156    
    $ 1,462,298,467    

 

See accompanying notes to financial statements.
17



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

STATEMENT OF ASSETS AND LIABILITIES—Continued

June 30, 2011 (Unaudited)

CLASS A SHARES:  
NET ASSETS   $ 314,746,714    
Shares issued and outstanding ($0.001 par value common stock outstanding)     28,245,401    
Net asset value and redemption price per share   $ 11.14    
Maximum offering price per share ($11.14 ÷ 0.955)a   $ 11.66    
CLASS C SHARES:  
NET ASSETS   $ 196,213,572    
Shares issued and outstanding ($0.001 par value common stock outstanding)     17,781,380    
Net asset value and offering price per shareb   $ 11.03    
CLASS I SHARES:  
NET ASSETS   $ 951,338,181    
Shares issued and outstanding ($0.001 par value common stock outstanding)     84,957,244    
Net asset value, offering, and redemption price per share   $ 11.20    

 

a  On investments of $100,000 or more, the offering price is reduced.

b  Redemption price per share is equal to the net asset value per share less any applicable deferred sales charge of 1% on shares held for less than one year.

See accompanying notes to financial statements.
18



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

STATEMENT OF OPERATIONS

For the Six Months Ended June 30, 2011 (Unaudited)

Investment Income:  
Dividend income (net of $2,365,003 of foreign withholding tax)   $ 28,655,949    
Expenses:  
Investment advisory fees     6,671,860    
Distribution fees—Class A     397,588    
Distribution fees—Class C     770,733    
Custodian fees and expenses     799,452    
Administration fees     548,280    
Transfer agent fees and expenses     439,447    
Shareholder servicing fees—Class A     159,035    
Shareholder servicing fees—Class C     256,911    
Professional fees     73,693    
Shareholder reporting expenses     70,109    
Registration and filing fees     59,661    
Directors' fees and expenses     57,719    
Line of credit fees     24,013    
Miscellaneous     43,024    
Total Expenses     10,371,525    
Net Investment Income     18,284,424    
Net Realized and Unrealized Gain (Loss):  
Net realized gain (loss) on:  
Investments     40,188,356    
Foreign currency transactions     (569,714 )  
Net realized gain     39,618,642    
Net change in unrealized appreciation (depreciation) on:  
Investments     (31,870,311 )  
Foreign currency translations     56,033    
Net change in unrealized appreciation (depreciation)     (31,814,278 )  
Net realized and unrealized gain     7,804,364    
Net Increase in Net Assets Resulting from Operations   $ 26,088,788    

 

See accompanying notes to financial statements.
19



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

STATEMENT OF CHANGES IN NET ASSETS (Unaudited)

    For the
Six Months Ended
June 30, 2011
  For the
Year Ended
December 31, 2010
 
Change in Net Assets:  
From Operations:  
Net investment income   $ 18,284,424     $ 27,909,783    
Net realized gain     39,618,642       13,073,400    
Net change in unrealized appreciation (depreciation)     (31,814,278 )     122,270,448    
Net increase in net assets resulting from operations     26,088,788       163,253,631    
Dividends to Shareholders from Net Investment Income:  
Class A     (3,833,854 )     (22,839,494 )  
Class C     (1,731,383 )     (14,267,748 )  
Class I     (13,193,786 )     (53,912,657 )  
Total dividends to shareholders     (18,759,023 )     (91,019,899 )  
Capital Stock Transactions:  
Increase (decrease) in net assets from Fund share
transactions
    77,683,694       (59,565,364 )  
Total increase in net assets     85,013,459       12,668,368    
Net Assets:  
Beginning of period     1,377,285,008       1,364,616,640    
End of perioda   $ 1,462,298,467     $ 1,377,285,008    

 

a  Includes dividends in excess of net investment income of $64,213,257 and $63,738,658, respectively.

See accompanying notes to financial statements.
20




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

FINANCIAL HIGHLIGHTS (Unaudited)

The following table includes selected data for a share outstanding throughout each period and other performance information derived from the financial statements. It should be read in conjunction with the financial statements and notes thereto.

    Class A  
    For the Six
Months Ended
  For Year Ended December 31,  
Per Share Operating Performance:   June 30, 2011   2010   2009   2008   2007   2006  
Net asset value, beginning of period   $ 11.08     $ 10.48     $ 8.41     $ 16.17     $ 18.48     $ 13.28    
Income from investment operations:  
Net investment incomea     0.14       0.22 b      0.18       0.25       0.25       0.20 c   
Net realized and unrealized
gain (loss)
    0.06       1.13       2.77       (7.87 )     (1.09 )     5.59    
Total from investment
operations
    0.20       1.35       2.95       (7.62 )     (0.84 )     5.79    
Less dividends and distributions to
shareholders from:
 
Net investment income     (0.14 )     (0.75 )     (0.88 )           (0.95 )     (0.50 )  
Net realized gain                             (0.53 )     (0.09 )  
Tax return of capital                       (0.14 )              
Total dividends and
distributions to
shareholders
    (0.14 )     (0.75 )     (0.88 )     (0.14 )     (1.48 )     (0.59 )  
Redemption fees retained by the Fund     0.00 d      0.00 d      0.00 d      0.00 d      0.01       0.00 d   
Net increase (decrease) in
net asset value
    0.06       0.60       2.07       (7.76 )     (2.31 )     5.20    
Net asset value, end of period   $ 11.14     $ 11.08     $ 10.48     $ 8.41     $ 16.17     $ 18.48    
Total investment returne     1.78 %f     13.48 %     35.48 %     –47.43 %     –4.64 %     43.88 %  
Ratios/Supplemental Data:  
Net assets, end of period (in millions)   $ 314.7     $ 330.3     $ 423.1     $ 372.5     $ 1,475.2     $ 921.0    
Ratio of expenses to average
daily net assets
    1.60 %g,h     1.61 %g     1.66 %g     1.54 %     1.46 %     1.61 %  
Ratio of net investment income to
average daily net assets
    2.45 %g,h     2.10 %g     1.92 %     1.87 %     1.31 %     1.26 %  
Portfolio turnover rate     51 %f     84 %     190 %     88 %     67 %     30 %  

a  Calculation based on average shares outstanding.

b  25.2% of gross income was attributable to dividends paid by Unibail-Rodamco.

c  18.1% of gross income was attributable to a special dividend paid by Great Eagle Holdings Ltd.

d  Amount is less than $0.005.

e  Does not reflect sales charges, which would reduce return.

f  Not annualized.

g  Reflects Fund level ratio for non-class specific expenses plus class specific expenses.

h  Annualized.

See accompanying notes to financial statements.
21



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

FINANCIAL HIGHLIGHTS (Unaudited)—(Continued)

    Class C  
    For the Six
Months Ended
  For Year Ended December 31,  
Per Share Operating Performance:   June 30, 2011   2010   2009   2008   2007   2006  
Net asset value, beginning of period   $ 10.97     $ 10.42     $ 8.36     $ 16.13     $ 18.44     $ 13.26    
Income from investment operations:  
Net investment incomea     0.10       0.14 b      0.12       0.16       0.12       0.10 c   
Net realized and unrealized
gain (loss)
    0.06       1.13       2.75       (7.84 )     (1.07 )     5.58    
Total from investment
operations
    0.16       1.27       2.87       (7.68 )     (0.95 )     5.68    
Less dividends and distributions to
shareholders from:
 
Net investment income     (0.10 )     (0.72 )     (0.81 )           (0.84 )     (0.41 )  
Net realized gain                             (0.53 )     (0.09 )  
Tax return of capital                       (0.09 )              
Total dividends and
distributions to
shareholders
    (0.10 )     (0.72 )     (0.81 )     (0.09 )     (1.37 )     (0.50 )  
Redemption fees retained by the Fund     0.00 d      0.00 d      0.00 d      0.00 d      0.01       0.00 d   
Net increase (decrease) in
net asset value
    0.06       0.55       2.06       (7.77 )     (2.31 )     5.18    
Net asset value, end of period   $ 11.03     $ 10.97     $ 10.42     $ 8.36     $ 16.13     $ 18.44    
Total investment returne     1.53 %f,g     12.72 %     34.69 %     –47.83 %     –5.23 %     42.99 %  
Ratios/Supplemental Data:  
Net assets, end of period (in millions)   $ 196.2     $ 220.5     $ 254.6     $ 281.0     $ 1,074.9     $ 688.1    
Ratio of expenses to average
daily net assets
    2.25 %h,i     2.26 %h     2.31 %h     2.19 %     2.12 %     2.26 %  
Ratio of net investment income to
average daily net assets
    1.77 %h,i     1.40 %h     1.29 %     1.23 %     0.63 %     0.63 %  
Portfolio turnover rate     51 %f     84 %     190 %     88 %     67 %     30 %  

 

a  Calculation based on average shares outstanding.

b  25.2% of gross income was attributable to dividends paid by Unibail-Rodamco.

c  18.1% of gross income was attributable to a special dividend paid by Great Eagle Holdings Ltd.

d  Amount is less than $0.005.

e  Does not reflect sales charges, which would reduce return.

f  Not annualized.

g  The net asset value (NAV) disclosed in this report reflects adjustments in accordance with accounting principles generally accepted in the United States of America and as such, differs from the NAV reported on June 30, 2011. The total return reported is based on the unadjusted NAV which was the official NAV for executing transactions on June 30, 2011.

h  Reflects Fund level ratio for non-class specific expenses plus class specific expenses.

i  Annualized.

See accompanying notes to financial statements.
22



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

FINANCIAL HIGHLIGHTS (Unaudited)—(Continued)

    Class I  
    For the Six
Months Ended
  For Year Ended December 31,  
Per Share Operating Performance:   June 30, 2011   2010   2009   2008   2007   2006  
Net asset value, beginning of period   $ 11.14     $ 10.51     $ 8.43     $ 16.19     $ 18.50     $ 13.28    
Income from investment operations:  
Net investment incomea     0.16       0.25 b      0.21       0.31       0.30       0.26 c   
Net realized and unrealized
gain (loss)
    0.06       1.15       2.78       (7.90 )     (1.08 )     5.59    
Total from investment
operations
    0.22       1.40       2.99       (7.59 )     (0.78 )     5.85    
Less dividends and distributions to
shareholders from:
 
Net investment income     (0.16 )     (0.77 )     (0.91 )           (1.01 )     (0.54 )  
Net realized gain                             (0.53 )     (0.09 )  
Tax return of capital                       (0.17 )              
Total dividends and
distributions
to shareholders
    (0.16 )     (0.77 )     (0.91 )     (0.17 )     (1.54 )     (0.63 )  
Redemption fees retained by the Fund     0.00 d      0.00 d      0.00 d      0.00 d      0.01       0.00 d   
Net increase (decrease) in
net asset value
    0.06       0.63       2.08       (7.76 )     (2.31 )     5.22    
Net asset value, end of period   $ 11.20     $ 11.14     $ 10.51     $ 8.43     $ 16.19     $ 18.50    
Total investment return     1.95 %e     13.95 %     35.96 %     –47.26 %     –4.32 %     44.45 %  
Ratios/Supplemental Data:  
Net assets, end of period (in millions)   $ 951.3     $ 826.5     $ 686.9     $ 528.0     $ 1,136.0     $ 711.5    
Ratio of expenses to average
daily net assets
    1.25 %f,g     1.26 %f     1.31 %f     1.19 %     1.12 %     1.25 %  
Ratio of net investment income to
average daily net assets
    2.85 %f,g     2.41 %f     2.23 %     2.36 %     1.61 %     1.60 %  
Portfolio turnover rate     51 %e     84 %     190 %     88 %     67 %     30 %  

 

a  Calculation based on average shares outstanding.

b  25.2% of gross income was attributable to dividends paid by Unibail-Rodamco.

c  18.1% of gross income was attributable to a special dividend paid by Great Eagle Holdings Ltd.

d  Amount is less than $0.005.

e  Not annualized.

f  Reflects Fund level ratio for non-class specific expenses.

g  Annualized.

See accompanying notes to financial statements.
23




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)

Note 1. Significant Accounting Policies

Cohen & Steers International Realty Fund, Inc. (the Fund) was incorporated under the laws of the State of Maryland on November 23, 2004 and is registered under the Investment Company Act of 1940, as amended, as a nondiversified, open-end management investment company. The Fund's investment objective is total return. The authorized shares of the Fund are divided into three classes designated Class A, C and I shares. Each of the Fund's shares has equal dividend, liquidation and voting rights (except for matters relating to distributions and shareholder servicing of such shares).

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of its financial statements. The policies are in conformity with accounting principles generally accepted in the United States of America (GAAP). The preparation of the financial statements in accordance with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of income and expenses during the reporting period. Actual results could differ from those estimates.

Portfolio Valuation: Investments in securities that are listed on the New York Stock Exchange are valued, except as indicated below, at the last sale price reflected at the close of the New York Stock Exchange on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the closing bid and asked prices on such day or, if no asked price is available, at the bid price.

Securities not listed on the New York Stock Exchange but listed on other domestic or foreign securities exchanges are valued in a similar manner. Securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined as reflected on the tape at the close of the exchange representing the principal market for such securities. If after the close of a foreign market, but prior to the close of business on the day the securities are being valued, market conditions change significantly, certain foreign securities may be fair valued pursuant to procedures established by the Board of Directors.

Readily marketable securities traded in the over-the-counter market, including listed securities whose primary market is believed by Cohen & Steers Capital Management, Inc. (the advisor) to be over-the-counter, are valued at the official closing prices as reported by sources as the Board of Directors deem appropriate to reflect their fair market value. If there has been no sale on such day, the securities are valued at the mean of the closing bid and asked prices on such day, or if no asked price is available, at the bid price. However, certain fixed-income securities may be valued on the basis of prices provided by a pricing service when such prices are believed by the advisor, pursuant to delegation by the Board of Directors, to reflect the fair market value of such securities.

Securities for which market prices are unavailable, or securities for which the advisor determines that the bid and/or asked price or a counterparty valuation price does not reflect market value, will be valued at fair value


24



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

pursuant to procedures approved by the Fund's Board of Directors. Circumstances in which market prices may be unavailable include, but are not limited to, when trading in a security is suspended, the exchange on which the security is traded is subject to an unscheduled close or disruption or material events occur after the close of the exchange on which the security is principally traded. In these circumstances, the Fund determines fair value in a manner that fairly reflects the market value of the security on the valuation date based on consideration of any information or factors it deems appropriate. These may include, but are not limited to, recent transactions in comparable securities, information relating to the specific security and developments in the markets.

The Fund's use of fair value pricing may cause the net asset value of Fund shares to differ from the net asset value that would be calculated using market quotations. Fair value pricing involves subjective judgments and it is possible that the fair value determined for a security may be materially different than the value that could be realized upon the sale of that security.

Short-term debt securities with a maturity date of 60 days or less are valued at amortized cost, which approximates value. Investments in open-end mutual funds are valued at their closing net asset value.

Fair value is defined as the price that the Fund would receive to sell an investment or pay to transfer a liability in an orderly transaction with an independent buyer in the principal market, or in the absence of a principal market the most advantageous market for the investment or liability. The hierarchy of inputs that are used in determining the fair value of the Fund's investments is summarized below.

•  Level 1—quoted prices in active markets for identical investments

•  Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, credit risk, etc.)

•  Level 3—significant unobservable inputs (including the Fund's own assumptions in determining the fair value of investments)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

When foreign fair value pricing procedures are utilized, securities are categorized as Level 2. The utilization of these procedures results in transfers between Level 1 and Level 2. 85.3% of net assets of the Fund were fair valued pursuant to foreign fair value pricing procedures approved by the Board of Directors. The following is a summary of the inputs used as of June 30, 2011 in valuing the Fund's investments carried at value:

    Total   Quoted Prices In
Active Market for
Identical Assets
(Level 1)
  Significant
Other Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)*
 
Common Stock—Brazil   $ 13,906,804     $ 13,906,804     $          
Common Stock—Canada     137,610,147       137,610,147                


25



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

    Total   Quoted Prices In
Active Market for
Identical Assets
(Level 1)
  Significant
Other Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)*
 
Common Stock—Germany   $ 38,909,923     $ 36,611,995     $ 2,297,928          
Common Stock—Russia     4,509,573       4,509,573                
Common Stock—Sweden     42,087,609       8,141,936       33,945,673          
Common Stock—Other Countries     1,211,076,665             1,211,076,665          
Money Market Funds     4,250,346             4,250,346          
Total Investments   $ 1,452,351,067     $ 200,780,455     $ 1,251,570,612          

 

*  BGP Holdings PLC was acquired via a spinoff and has been fair valued at zero pursuant to the Fund's fair value procedures and classified as a Level 3 security. Its likelihood of having value in the future is remote.

Security Transactions, Investment Income and Expense Allocations: Security transactions are recorded on trade date. Realized gains and losses on investments sold are recorded on the basis of identified cost. Interest income is recorded on the accrual basis. Discounts are accreted and premiums are amortized over the life of the respective securities. Dividend income is recorded on the ex-dividend date, except for certain dividends on foreign securities, which are recorded as soon as the Fund is informed after the ex-dividend date. Income, expenses (other than expenses attributable to a specific class), and realized and unrealized gains or losses on investments are allocated to each class of shares based on its relative net assets.

Foreign Currency Translations: The books and records of the Fund are maintained in U.S. dollars as follows: (1) the foreign currency market value of investment securities, other assets and liabilities and foreign currency contracts are translated at the exchange rates prevailing at the end of the period; and (2) purchases, sales, income and expenses are translated at the exchange rates prevailing on the respective dates of such transactions. The resultant exchange gains and losses are recorded as realized and unrealized gain/loss on foreign exchange transactions. Pursuant to U.S. federal income tax regulations, certain foreign exchange gains/losses included in realized and unrealized gain/loss are included in or are a reduction of ordinary income for federal income tax purposes. The Fund does not isolate that portion of the results of operations arising as a result of changes in the foreign exchange rates from the changes in the market prices of the securities.

Foreign Securities: The Fund may directly purchase securities of foreign issuers. Investing in securities of foreign issuers involves special risks not typically associated with investing in securities of U.S. issuers. The risks include possible revaluation of currencies, the ability to repatriate funds, less complete financial information about companies and possible future adverse political and economic developments. Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of securities of comparable U.S. issuers.

 


26



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

Dividends and Distributions to Shareholders: Dividends from net investment income and capital gain distributions are determined in accordance with U.S. federal income tax regulations, which may differ from GAAP. Dividends from net investment income, if any, are declared and paid semi-annually. Net realized capital gains, unless offset by any available capital loss carryforward, are typically distributed to shareholders at least annually. Dividends and distributions to shareholders are recorded on the ex-dividend date and are automatically reinvested in full and fractional shares of the Fund based on the net asset value per share at the close of business on the payable date unless the shareholder has elected to have them paid in cash. Distributions paid by the Fund are subject to recharacterization for tax purposes.

Income Taxes: It is the policy of the Fund to continue to qualify as a regulated investment company, if such qualification is in the best interest of the shareholders, by complying with the requirements of Subchapter M of the Internal Revenue Code applicable to regulated investment companies, and by distributing substantially all of its taxable earnings to its shareholders. Accordingly, no provision for federal income or excise tax is necessary. Dividend and interest income from holdings in non-U.S. securities is recorded net of non-U.S. taxes paid. Gains realized by the Fund on the sale of securities in certain non-U.S. markets are subject to non-U.S. taxes. The Fund records a liability based on any unrealized gains on securities held in these markets in order to estimate the potential non-U.S. taxes due upon the sale of these securities. Management has analyzed the Fund's tax positions taken on federal income tax returns as well as its tax positions in non-U.S. jurisdictions where it trades for all open tax years and has concluded that as of June 30, 2011, no additional provisions for income tax would be required in the Fund's financial statements. The Fund's tax positions for the tax years for which the applicable statutes of limitations have not expired are subject to examination by the Internal Revenue Service, state departments of revenue and by foreign tax authorities.

Note 2. Investment Advisory and Administration Fees and Other Transactions with Affiliates

Investment Advisory Fees: The advisor serves as the Fund's investment advisor pursuant to an investment advisory agreement (the investment advisory agreement). Under the terms of the investment advisory agreement, the advisor provides the Fund with day-to-day investment decisions and generally manages the Fund's investments in accordance with the stated policies of the Fund, subject to the supervision of the Board of Directors.

For the services provided to the Fund, the advisor receives a fee, accrued daily and paid monthly, at the annual rate of 0.95% of the average daily net assets of the Fund up to and including $1.5 billion and 0.85% of the average daily net assets above $1.5 billion.


27



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

Under subadvisory agreements between the advisor and each of Cohen & Steers Asia Limited, Cohen & Steers UK Limited and Cohen & Steers Europe S.A. (collectively the subadvisors), affiliates of the advisor, the subadvisors are responsible for managing the Fund's investments in certain non-U.S. real estate securities. For their services provided under the subadvisory agreement, the advisor (not the Fund) pays the subadvisors. The advisor allocates 50% of the advisory fee received from the Fund among itself and each subadvisor based on the portion of the Fund's average assets managed by the advisor and each subadvisor.

Administration Fees: The Fund has entered into an administration agreement with the advisor under which the advisor performs certain administrative functions for the Fund and receives a fee, accrued daily and paid monthly, at the annual rate of 0.06% of the Fund's average daily net assets. For the six months ended June 30, 2011, the Fund paid the advisor $421,381 in fees under this administration agreement. Additionally, the Fund pays State Street Bank and Trust Company as co-administrator under a fund accounting and administration agreement.

Distribution Fees: Shares of the Fund are distributed by Cohen & Steers Securities, LLC (the distributor), an affiliated entity of the advisor. The Fund has adopted a distribution plan (the plan) pursuant to Rule 12b-1 under the Investment Company Act of 1940. The plan provides that the Fund will pay the distributor a fee accrued daily and paid monthly at an annual rate of up to 0.25% of the average daily net assets attributable to the Class A shares and up to 0.75% of the average daily net assets attributable to the Class C shares.

For the six months ended June 30, 2011, the Fund has been advised that the distributor received $25,263 in sales commissions from the sale of Class A shares and that the distributor also received $3,870 of contingent deferred sales charges relating to redemptions of Class C shares. The distributor has advised the Fund that proceeds from the contingent deferred sales charges on Class C shares are paid to the distributor and are used by the distributor to defray its expenses related to providing distribution related services to the Fund in connection with the sale of this class, including payments to dealers and other financial intermediaries for selling this class and interest and other financing costs associated with this class.

Shareholder Servicing Fees: For shareholder services, the Fund pays the distributor a fee, accrued daily and paid monthly, at an annual rate of up to 0.10% of the average daily net asset value of the Fund's Class A shares and up to 0.25% of the average daily net asset value of the Fund's Class C shares. The distributor is responsible for paying qualified financial institutions for shareholder services.


28



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

Directors' and Officers' Fees: Certain directors and officers of the Fund are also directors, officers, and/or employees of the advisor. The Fund does not pay compensation to any affiliated directors and officers except for the Chief Compliance Officer, who received $11,272 from the Fund for the six months ended June 30, 2011.

Note 3. Purchases and Sales of Securities

Purchases and sales of securities, excluding short-term investments, for the six months ended June 30, 2011, totaled $793,311,470 and $720,539,112, respectively.

Note 4. Income Tax Information

As of June 30, 2011, the federal tax cost and net unrealized appreciation on securities were as follows:

Cost for federal income tax purposes   $ 1,204,298,976    
Gross unrealized appreciation   $ 254,701,515    
Gross unrealized depreciation     (6,649,424 )  
Net unrealized appreciation   $ 248,052,091    

 

As of December 31, 2010, the Fund had a net capital loss carryforward of $1,476,306,863, of which $844,140,494 will expire on December 31, 2016, $572,102,309 will expire on December 31, 2017 and $60,064,060 will expire on December 31, 2018. This carryforward may be used to offset future capital gains to the extent provided by regulations. Included in the net capital loss carryforward is $1,433,503 of capital loss carryforwards that were acquired from the Fund's merger with Cohen & Steers European Realty Shares, Inc. ("EUR"). Federal tax rules limit the Fund's use of these capital loss carryforwards. The Regulated Investment Company Modernization Act of 2010 (the "Act") requires that capital loss carryforwards incurred after the effective date of the Act be used before those previously incurred, thereby increasing the chances that all or a portion of these losses will not be able to be utilized prior to their expiration. In addition, the Fund incurred capital losses of $2,166,505 after October 31, 2010, that it has elected to treat as arising in the following fiscal year.


29



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

Note 5. Capital Stock

The Fund is authorized to issue 800 million shares of capital stock, at a par value of $0.001 per share. The Board of Directors of the Fund may increase or decrease the aggregate number of shares of common stock that the Fund has authority to issue. Transactions in Fund shares were as follows:

    For the
Six Months Ended
June 30, 2011
  For the
Year Ended
December 31, 2010
 
    Shares   Amount   Shares   Amount  
Class A:  
Sold     3,113,931     $ 34,605,555       8,245,371     $ 85,516,699    
Issued as reinvestment of
dividends
    267,300       2,977,721       1,605,038       16,581,041    
Redeemed     (4,942,499 )     (54,823,349 )     (20,426,184 )     (218,373,943 )  
Redemption fees retained
by the Funda
          2,843             33,881    
Net decrease     (1,561,268 )   $ (17,237,230 )     (10,575,775 )   $ (116,242,322 )  
Class C:  
Sold     581,399     $ 6,406,561       1,432,704     $ 14,976,373    
Issued as reinvestment of
dividends
    93,688       1,034,313       822,710       8,411,857    
Redeemed     (2,992,655 )     (32,846,065 )     (6,604,871 )     (68,072,801 )  
Redemption fees retained
by the Funda
          1,885             19,886    
Net decrease     (2,317,568 )   $ (25,403,306 )     (4,349,457 )   $ (44,664,685 )  
Class I:  
Sold     17,313,768     $ 193,644,026       22,789,678     $ 244,978,970    
Issued as reinvestment of
dividends
    908,353       10,173,557       4,416,921       46,073,491    
Redeemed     (7,486,865 )     (83,500,796 )     (18,346,760 )     (189,769,079 )  
Redemption fees retained
by the Funda
          7,443             58,261    
Net increase     10,735,256     $ 120,324,230       8,859,839     $ 101,341,643    

 

a  A 2% redemption fee may be charged on shares sold within 60 days of the time of purchase. Redemption fees are paid directly to the Fund. Effective March 1, 2011, the Fund no longer charges redemption fees.


30



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

NOTES TO FINANCIAL STATEMENTS (Unaudited)—(Continued)

Note 6. Borrowings

The Fund, in conjunction with other Cohen & Steers funds, is a party to a $200,000,000 syndicated credit agreement (the credit agreement) with State Street Bank and Trust Company, as administrative agent and operations agent, and the lenders identified in the credit agreement, which expires January 27, 2012. The Fund pays a commitment fee of 0.125% per annum on its proportionate share of the unused portion of the credit agreement. (For the period January 1, 2011 through January 28, 2011, the commitment fee was 0.15%).

During the six months ended June 30, 2011, the Fund did not borrow under the credit agreement.

Note 7. Other

In the normal course of business, the Fund enters into contracts that provide general indemnifications. The Fund's maximum exposure under these arrangements is dependent on claims that may be made against the Fund in the future and, therefore, cannot be estimated; however, based on experience, the risk of material loss from such claims is considered remote.

Note 8. Subsequent Events

Events and transactions occurring after June 30, 2011 and through the date that the financial statements were issued, have been evaluated in the preparation of the financial statements and no additional disclosure is required.


31




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

OTHER INFORMATION

A description of the policies and procedures that the Fund uses to determine how to vote proxies relating to portfolio securities is available (i) without charge, upon request, by calling 800-330-7348, (ii) on our Web site at cohenandsteers.com or (iii) on the Securities and Exchange Commission's Web site at http://www.sec.gov. In addition, the Fund's proxy voting record for the most recent 12-month period ended June 30 is available by August 31 of each year (i) without charge, upon request, by calling 800-330-7348 or (ii) on the SEC's Web site at http://www.sec.gov.

The Fund files its complete schedule of portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Fund's Forms N-Q are available (i) without charge, upon request by calling 800-330-7348, or (ii) on the SEC's Web site at http://www.sec.gov. In addition, the Forms N-Q may be reviewed and copied at the SEC's Public Reference Room in Washington, DC. Information on the operation of the Public Reference Room may be obtained by calling 800-SEC-0330.

Please note that the distributions paid by the Fund to shareholders are subject to recharacterization for tax purposes. The Fund may also pay distributions in excess of the Fund's net investment company taxable income and this excess could be a tax free return of capital distributed from the Fund's assets. The final tax treatment of all distributions is reported to shareholders on their 1099-DIV forms, which are mailed after the close of each calendar year.

APPROVAL OF INVESTMENT ADVISORY AGREEMENT

The Board of Directors of the Fund, including a majority of the directors who are not parties to the Fund's investment advisory and subadvisory agreements (the "Advisory Agreements"), or interested persons of any such party ("Independent Directors"), has the responsibility under the 1940 Act to approve the Fund's Advisory Agreements for their initial two year term and their continuation annually thereafter at a meeting of the Board of Directors called for the purpose of voting on the approval or continuation. At a telephonic meeting held on June 14, 2011 and at a meeting held in person on June 21-22, 2011, the Advisory Agreements were discussed and were unanimously continued for a term ending June 30, 2012 by the Fund's Board of Directors, including the Independent Directors. The Independent Directors were represented by independent counsel who assisted them in their deliberations during the meeting and executive session.

In considering whether to continue the Advisory Agreements, the Board of Directors reviewed materials provided by the Fund's investment advisor (the "Investment Advisor") and Fund counsel which included, among other things, fee, expense and performance information compared to peer funds ("Peer Funds") and performance comparisons to a larger category universe, prepared by an independent data provider; summary information prepared by the Investment Advisor; and a memorandum outlining the legal duties of the Board of Directors. The Board of Directors also spoke directly with representatives of the independent data provider and met with investment advisory personnel. In addition, the Board of Directors considered information provided from time to time by the Investment Advisor throughout the year at meetings of the Board of Directors, including presentations by portfolio


32



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

managers relating to the investment performance of the Fund and the investment strategies used in pursuing the Fund's objective. In particular, the Board of Directors considered the following:

(i) The nature, extent and quality of services provided by the Investment Advisor and the Subadvisors: The Board of Directors reviewed the services that the Investment Advisor and the sub-investment advisors (the "Subadvisors") provide to the Fund, including, but not limited to, making the day-to-day investment decisions for the Fund, and, for the Investment Advisor, generally managing the Fund's investments in accordance with the stated policies of the Fund. The Board of Directors also discussed with officers and portfolio managers of the Fund the types of transactions that were being done on behalf of the Fund. Additionally, the Board of Directors took into account the services provided by the Investment Advisor and the Subadvisors to other funds, including those that have investment objectives and strategies similar to the Fund. The Board of Directors next considered the education, background and experience of the Investment Advisor's and Subadvisors' personnel, noting particularly that the favorable history and reputation of the portfolio managers for the Fund has had, and would likely continue to have, a favorable impact on the Fund. The Board of Directors further noted the Investment Advisor's and Subadvisors' ability to attract qualified and experienced personnel. After consideration of the above factors, among others, the Board of Directors concluded that the nature, extent and quality of services provided by the Investment Advisor and the Subadvisors are adequate and appropriate.

(ii) Investment performance of the Fund and the Investment Advisor and Subadvisors: The Board of Directors considered the investment performance of the Fund versus Peer Funds and compared to a relevant benchmark. The Board of Directors noted that the Fund underperformed the medians of the Peer Funds for the one- and five-year periods and performed at the peer group median for the three-year period ended March 31, 2011. The Board of Directors also noted that the Fund had underperformed its benchmark for the one-, three- and five-year periods ended March 31, 2011. The Board of Directors engaged in discussions with the Investment Advisor regarding the contributors and detractors to the Fund's performance during the periods. The Board of Directors also considered supplemental information provided by the Investment Advisor, including a narrative summary of various factors affecting performance and the Investment Advisor's performance in managing other real estate funds. The Board of Directors determined to closely monitor the Fund's performance and requested that the Investment Advisor provide updates for this purpose.

(iii) Cost of the services to be provided and profits to be realized by the Investment Advisor from the relationship with the Fund: Next, the Board of Directors considered the advisory fees and administrative fees payable by the Fund, as well as the Fund's expense ratio. As part of its analysis, the Board of Directors gave consideration to the fee and expense analyses provided by the independent data provider. The Board of Directors noted that actual management fees and net expense ratio were higher than the medians of the Peer Funds, and the contractual management fees were at the peer group median for the Peer Funds. The Board of Directors noted that the Fund has a breakpoint of 10 basis points on assets over $1.5 billion; however, the reduced fee is not currently applicable. The Board of Directors considered that although the actual management fees and net expense ratios were higher than the medians for the Peer Funds, the range of fees and expenses among the Peer Funds was condensed and a number of Peer Funds were waiving fees or reimbursing expenses. The Board of Directors then


33



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

considered the administrative services provided by the Investment Advisor, including compliance and accounting services, and further noted that the Fund pays an administration fee to the Investment Advisor. The Board of Directors concluded that the Fund's expense structure is generally satisfactory and determined to monitor the Fund's expenses.

The Board of Directors also reviewed information regarding the profitability to the Investment Advisor of its relationship with the Fund. The Board of Directors considered the level of the Investment Advisor's profits and whether the profits were reasonable for the Investment Advisor. Since the Subadvisors are paid by the Investment Advisor and not by the Fund and are subsidiaries of the Investment Advisor, and the Board of Directors considered the profitability of the Investment Advisor as a whole, the Board of Directors did not consider the Subadvisors' separate profitability to be relevant to their considerations. The Board of Directors took into consideration other benefits to be derived by the Investment Advisor in connection with the Advisory Agreements, noting particularly the research and related services, within the meaning of Section 28(e) of the Securities Exchange Act of 1934, as amended, that the Investment Advisor receives by allocating the Fund's brokerage transactions. The Board of Directors also considered the fees received by the Investment Advisor under the Administration Agreement, and noted the significant services received, such as compliance, accounting and operational services and furnishing office space and facilities for the Fund, and providing persons satisfactory to the Board of Directors to serve as officers of the Fund, and that these services were beneficial to the Fund. The Board of Directors concluded that the profits realized by the Investment Advisor from its relationship with the Fund were reasonable and consistent with fiduciary duties.

(iv) The extent to which economies of scale would be realized as the Fund grows and whether fee levels would reflect such economies of scale: The Board of Directors noted that the Fund's advisory fee schedule contains a breakpoint of 10 basis points once the Fund's assets reach $1.5 billion. The Board of Directors considered the Fund's asset size and determined that there were not at this time significant economies of scale that were not being shared with shareholders.

(v) Comparison of services rendered and fees paid to those under other investment advisory contracts, such as contracts of the same and other investment advisers or other clients: As discussed above in (iii), the Board of Directors compared the fees paid under the Advisory Agreements to those under other investment advisory contracts of other investment advisers managing Peer Funds. The Board of Directors also considered the services rendered, fees paid and profitability under the Advisory Agreements to the Investment Advisor's other advisory contracts with institutional and other clients with similar investment mandates, including subadvised mutual funds and proprietary funds. The Board of Directors also considered the entrepreneurial risk and financial exposure assumed by the Investment Advisor in developing and managing the Fund that the Investment Advisor does not have with institutional and other clients. The Board of Directors determined that on a comparative basis the fees under the Advisory Agreements were reasonable in relation to the services provided.

No single factor was cited as determinative to the decision of the Board of Directors. Rather, after weighing all of the considerations and conclusions discussed above, the Board of Directors, including the Independent Directors, unanimously approved the continuation of the Advisory Agreements.


34



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Cohen & Steers Privacy Policy

Facts   What Does Cohen & Steers Do With Your Personal Information?  
Why?   Financial companies choose how they share your personal information. Federal law gives consumers the right to limit some but not all sharing. Federal law also requires us to tell you how we collect, share, and protect your personal information. Please read this notice carefully to understand what we do.  
What?   The types of personal information we collect and share depend on the product or service you have with us. This information can include:
• Social Security number and account balances
• Transaction history and account transactions
• Purchase history and wire transfer instructions
 
How?   All financial companies need to share customers' personal information to run their everyday business. In the section below, we list the reasons financial companies can share their customers' personal information; the reasons Cohen & Steers chooses to share; and whether you can limit this sharing.  

 

Reasons we can share your personal information   Does Cohen & Steers
share?
  Can you limit this
sharing?
 
For our everyday business purposes—
such as to process your transactions, maintain your account(s), respond to court orders and legal investigations, or reports to credit bureaus
  Yes   No  
For our marketing purposes—
to offer our products and services to you
  Yes   No  
For joint marketing with other financial companies—   no   We don't share  
For our affiliates' everyday business purposes—
information about your transactions and experiences
  No   We don't share  
For our affiliates' everyday business purposes—
information about your creditworthiness
  No   We don't share  
For our affiliates to market to you—   no   We don't share  
For non-affiliates to market to you—   no   We don't share  

 

Questions?  Call 800.330.7348


35



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Cohen & Steers Privacy Policy—(Continued)

Who we are      
Who is providing this notice?   Cohen & Steers Capital Management, Inc., Cohen & Steers Asia Limited, Cohen & Steers UK Limited, Cohen & Steers Europe SA, Cohen & Steers Securities, LLC, Cohen & Steers Private Funds, and Cohen & Steers Open and Closed-End Funds (collectively, "Cohen & Steers").  
What we do      
How does Cohen & Steers protect my personal information?   To protect your personal information from unauthorized access and use, we use security measures that comply with federal law. These measures include computer safeguards and secured files and buildings. We restrict access to your information to those employees who need it to perform their jobs, and also require companies that provide services on our behalf to protect your information.  
How does Cohen & Steers collect my personal information?   We collect your personal information, for example, when you
• Open an account or buy securities from us
• Provide account information or give us your contact information
• Make deposits or withdrawals from your account
We also collect your personal information from other companies.
 
Why can't I limit all sharing?   Federal law gives you the right to limit only
• sharing for affiliates' everyday business purposes—information about your creditworthiness
• affiliates from using your information to market to you
• sharing for non-affiliates to market to you
State law and individual companies may give you additional rights to limit sharing.
 
Definitions      
Affiliates   Companies related by common ownership or control. They can be financial and nonfinancial companies.
• Cohen & Steers does not share with affiliates.
 
Non-affiliates   Companies not related by common ownership or control. They can be financial and nonfinancial companies
• Cohen & Steers does not share with non-affiliates so they can market to you.
 
Joint marketing   A formal agreement between nonaffiliated financial companies that together market financial products or services to you.
• Cohen & Steers does not jointly market.
 


36




COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

Cohen & Steers Investment Solutions

COHEN & STEERS
GLOBAL REALTY SHARES

  •  Designed for investors seeking total return, investing primarily in global real estate equity securities

  •  Symbols: CSFAX, CSFBX*, CSFCX, CSSPX

COHEN & STEERS
INSTITUTIONAL GLOBAL REALTY SHARES

  •  Designed for institutional investors seeking total return, investing primarily in global real estate securities

  •  Symbol: GRSIX

COHEN & STEERS REALTY INCOME FUND

  •  Designed for investors seeking total return, investing primarily in real estate securities with an emphasis on both income and capital appreciation

  •  Symbols: CSEIX, CSBIX*, CSCIX, CSDIX

COHEN & STEERS
INTERNATIONAL REALTY FUND

  •  Designed for investors seeking total return, investing primarily in international real estate securities

  •  Symbols: IRFAX, IRFCX, IRFIX

COHEN & STEERS
EMERGING MARKETS REAL ESTATE FUND

  •  Designed for investors seeking total return, investing primarily in emerging market real estate securities

  •  Symbols: APFAX, APFCX, APFIX

COHEN & STEERS REALTY SHARES

  •  Designed for investors seeking total return, investing primarily in REITs

  •  Symbol: CSRSX

COHEN & STEERS
INSTITUTIONAL REALTY SHARES

  •  Designed for institutional investors seeking total return, investing primarily in REITs

  •  Symbol: CSRIX

COHEN & STEERS
GLOBAL INFRASTRUCTURE FUND

  •  Designed for investors seeking total return, investing primarily in global infrastructure securities

  •  Symbols: CSUAX, CSUBX*, CSUCX, CSUIX

COHEN & STEERS
DIVIDEND VALUE FUND

  •  Designed for investors seeking high current income and long-term growth of income and capital appreciation, investing primarily in dividend paying common stocks and preferred stocks

  •  Symbols: DVFAX, DVFCX, DVFIX

COHEN & STEERS
PREFERRED SECURITIES AND INCOME FUND

  •  Designed for investors seeking total return (high current income and capital appreciation), investing primarily in preferred and debt securities

  •  Symbols: CPXAX, CPXCX, CPXIX

Distributed by Cohen & Steers Securities, LLC.

COHEN & STEERS
GLOBAL REALTY MAJORS ETF

  •  Designed for investors who seek a relatively low-cost "passive" approach for investing in a portfolio of real estate equity securities of companies in a specified index

  •  Symbol: GRI

Distributed by ALPS Distributors, Inc.

ISHARES COHEN & STEERS
REALTY MAJORS INDEX FUND

  •  Designed for investors who seek a relatively low-cost "passive" approach for investing in a portfolio of real estate equity securities of companies in a specified index

  •  Symbol: ICF

Distributed by SEI Investments Distribution Co.

*  Class B shares are no longer offered except through dividend reinvestment and permitted exchanges by existing Class B shareholders.

Please consider the investment objectives, risks, charges and expenses of the fund carefully before investing. A prospectus containing this and other information can be obtained by calling 800-330-7348 or by visiting cohenandsteers.com. Please read the prospectus carefully before investing.


37



COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

OFFICERS AND DIRECTORS

Robert H. Steers
Director and co-chairman

Martin Cohen
Director and co-chairman

Michael G. Clark
Director

Bonnie Cohen
Director

George Grossman
Director

Richard E. Kroon
Director

Richard J. Norman
Director

Frank K. Ross
Director

Willard H. Smith Jr.
Director

C. Edward Ward, Jr.
Director

Adam M. Derechin
President and chief executive officer

Joseph M. Harvey
Vice president

Scott Crowe
Vice president

Francis C. Poli
Secretary

James Giallanza
Treasurer and chief financial officer

Lisa D. Phelan
Chief compliance officer

KEY INFORMATION

Investment Advisor

Cohen & Steers Capital Management, Inc.
280 Park Avenue
New York, NY 10017
(212) 832-3232

Fund Co-administrator and Custodian

State Street Bank and Trust Company
One Lincoln Street
Boston, MA 02111

Transfer Agent

Boston Financial Data Services, Inc.
30 Dan Road
Canton, MA 02021
(800) 437-9912

Legal Counsel

Stroock & Stroock & Lavan LLP
180 Maiden Lane
New York, NY 10038

Distributor

Cohen & Steers Securities, LLC
280 Park Avenue
New York, NY 10017

Nasdaq Symbol: Class A—IRFAX
C—IRFCX
I— IRFIX

Web site: cohenandsteers.com

This report is authorized for delivery only to shareholders of Cohen & Steers International Realty Fund, Inc. unless accompanied or preceded by the delivery of a currently effective prospectus setting forth details of the Fund. Past performance is no guarantee of future results and your investment may be worth more or less at the time you sell.


38




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COHEN & STEERS

INTERNATIONAL REALTY FUND

280 PARK AVENUE

NEW YORK, NY 10017

SEMIANNUAL REPORT

JUNE 30, 2011

IRFAXSAR




 

Item 2. Code of Ethics.

 

Not applicable.

 

Item 3. Audit Committee Financial Expert.

 

Not applicable.

 

Item 4. Principal Accountant Fees and Services.

 

Not applicable.

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable.

 

Item 6. Schedule of Investments.

 

Included in Item 1 above.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 8.  Portfolio Managers of Closed-End Investment Companies.

 

Not applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not applicable.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

Not applicable.

 

Item 11. Controls and Procedures.

 

(a) The registrant’s principal executive officer and principal financial officer have concluded that the registrant’s disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the registrant in this Form N-CSR was recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms, based upon such officers’ evaluation of these controls and procedures as of a date within 90 days of the filing date of this report.

 



 

(b) There were no changes in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 12. Exhibits.

 

(a)(1) Not applicable.

 

(a)(2) Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940.

 

(a)(3) Not applicable.

 

(b) Certifications of chief executive officer and chief financial officer as required by Rule 30a- 2(b) under the Investment Company Act of 1940.

 



 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

COHEN & STEERS INTERNATIONAL REALTY FUND, INC.

 

 

By:

/s/ Adam M. Derechin

 

Name: Adam M. Derechin

Title: President and Chief Executive Officer

 

 

 

 

 

Date: August 31, 2011

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

 

By:

/s/ Adam M. Derechin

 

Name:

Adam M. Derechin

 

Title:

President and Chief Executive Officer

 

 

(Principal Executive Officer)

 

 

 

By:

/s/ James Giallanza

 

Name:

James Giallanza

 

Title:

Treasurer and Chief Financial Officer

 

 

(Principal Financial Officer)

 

 

 

 

 

Date: August 31, 2011

 

 


EX-99.CERT 2 a11-16501_1ex99dcert.htm EX-99.CERT

EX-99.CERT

 

EXHIBIT 12 (a)(2)

RULE 30a-2(a) CERTIFICATIONS

 

I, Adam M. Derechin, certify that:

 

1.                                       I have reviewed this report on Form N-CSR of Cohen & Steers International Realty Fund, Inc.;

 

2.                                       Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                       Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4.                                       The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)          designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)         designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)          evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 



 

(d)         disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

5.                                       The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a)          all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b)         any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

Date: August 31, 2011

 

 

 

/s/ Adam M. Derechin

 

Adam M. Derechin

 

Principal Executive Officer

 



 

EXHIBIT 12 (a)(2)

RULE 30a-2(a) CERTIFICATIONS

 

I, James Giallanza, certify that:

 

1.                                       I have reviewed this report on Form N-CSR of Cohen & Steers International Realty Fund, Inc.;

 

2.                                       Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                       Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4.                                       The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)          designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)         designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)          evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)         disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period

 



 

covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

5.                                       The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a)          all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b)         any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

Date: August 31, 2011

 

 

 

 

 

/s/ James Giallanza

 

James Giallanza

 

Principal Financial Officer

 


EX-99.906CERT 3 a11-16501_1ex99d906cert.htm EX-99.906CERT

EX-99.906CERT

 

EXHIBIT 12 (b)

RULE 30a-2(b) CERTIFICATIONS

 

In connection with the Report of Cohen & Steers International Realty Fund, Inc. (the “Company”) on Form N-CSR as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Adam M. Derechin, Principal Executive Officer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)                                  The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable; and

 

(2)                                  The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

 

/s/ Adam M. Derechin

 

Adam M. Derechin

 

Principal Executive Officer

 

Date: August 31, 2011

 



 

EXHIBIT 12 (b)

RULE 30a-2(b) CERTIFICATIONS

 

In connection with the Report of Cohen & Steers International Realty Fund, Inc. (the “Company”) on Form N-CSR as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, James Giallanza, Principal Financial Officer of the Company, certify, pursuant to 18 U.S.C. §1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)                                  The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable; and

 

(2)                                  The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

 

 

/s/ James Giallanza

 

James Giallanza

 

Principal Financial Officer

 

Date: August 31, 2011

 


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