================================================================================

                                 UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            WASHINGTON, D.C. 20549

                                   FORM 13F-HR

                              FORM 13F-HR COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2012

Check here if Amendment [X]; Amendment Number: 1

   This Amendment (Check only one):    [_] is a restatement
                                       [X] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name:    Brookfield Asset Management Inc.
Address: Brookfield Place
         181 Bay Street, Suite 300
         Toronto, Ontario  M5J 2T3


Form 13F File Number:028-14349

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:    A.J. Silber
Title:   Vice President, Legal Affairs
Phone:   416-417-7272


Signature, Place, and Date of Signing:

    /s/  A.J. Silber               Toronto, CA                    10/24/2012
------------------------       --------------------           ------------------
      [Signature]                    [Place]                       [Date]

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
    are reported in this report.)

[_] 13F NOTICE. (Check here if no holdings reported are in this report, and all
    holdings are reported by other reporting manager(s).)

[_] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

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                             FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:      2

Form 13F Information Table Entry Total: 159

Form 13F Information Table Value Total: 13964797
                                        (thousands)


Confidential information has been omitted from the form 13F and filed separately
with the Securities and Exchange Commission.

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


   No.    13F File Number     Name

   (1)     028-13826          Brookfield Investment Management Inc.
   (3)     028-14362          Brookfield Asset Management Private
                              Institutional Capital Adviser(Canada)LP



Brookfield Asset Management Inc.
FORM 13F
As of June 30, 2012



                                                                                        Voting Authority
                                                                                       ------------------
                                                       Value     Shares/   Sh/ Put/ Invstmt   Other
NAME OF ISSUER              TITLE OF CLASS    CUSIP   (X$1000)   PRN AMT   PRN CALL DSCRETN MANAGERS    SOLE      SHARED     NONE
                                                                                           
7 Days Group
  Holdings Ltd             ADR              81783J101    1069       101200 SH       Defined       (1)    101200
AK STEEL HOLDING
  CORP                     COM              001547108    1761       300000 SH       Defined       (1)    300000
American Water Works
 Co Inc                    COM              030420103   13355       389600 SH       Defined       (1)    389600
AMERICAN WATER
  WORKS CO INC             COM              03027X100   63508       908426 SH       Defined       (1)    908426
AT&T                       COM              00206R102     303         8500 SH       Defined       (1)      8500
AV HOMES INC               COM              00234P102    8579       588429 SH       Defined       (1)    320902              267527
AVALONBAY
  COMMUNITIES INC          COM              053484101   16482       116500 SH       Defined       (1)     46000               70500
B&G FOODS INC              COM              05508R106     532        20000 SH       Defined       (1)     20000
BANK MONTREAL QUE          COM              063671101     191         3500 SH       Defined                3500
BANK NOVA SCOTIA
  HALIFAX                  COM              064149107     181         3500 SH       Defined                3500
BANK OF AMERICA
 CORP                      *W EXP 10/26/201 060505153     360       450000 SH       Defined       (1)    450000
BANK OF AMERICA
  CORPORATION              COM              060505104   45837      5603500 SH       Defined             5603500
BEAZER HOMES
  USA INC                  COM              07556Q105    8704      2678005 SH       Defined       (1)   1411778             1266227
BOARDWALK PIPLINE
  PARTNERS LP              UT LTD PARTNER   096627104    5625       203600 SH       Defined       (1)    203600
Brandywine Realty Trust    SH BEN INT NEW   105368203   17756      1438894 SH       Defined       (1)    641400              797494
BREITBURN ENERGY
  PARTNERS LP              COM UT LTD PTN   106776107     217        13075 SH       Defined       (1)     13075
Brookdale Senior
  Living Inc               COM              112463104   72356      4078695 SH       Defined       (1)   2057282             2021413
BROOKDALE SR
  LIVING INC               COM              112463104    1100        62000 SH       Defined                                   62000
Brookfield Canada Office
  Prope                    TR UNIT          112823109     975        36100 SH       Defined       (1)     36100
BROOKFIELD INFRAST
  PARTNERS LP INT UNIT     COM              G16252101    1643       48,930 SH       Defined               48930
BROOKFIELD OFFICE
  PPTYS INC                COM              112900105 4343896  249,362,561 SH       Defined           249362561
Brookfield Properties
  Corp                     COM              112900105    1415        81200 SH       Defined       (1)     81200
BROOKFIELD
  RESIDENTIAL PPTYS        COM              11283W104  832677   73,493,112 SH       Defined            73493112
Brookfield Residential
  Propert                  COM              11283W104    4771       437690 SH       Defined       (1)    437690
Camden Property Trust      SH BEN INT       133131102   21764       321620 SH       Defined       (1)    147620              174000
Canadian Imperial Bank
  of Commerce              COM              136069101     162         2300 SH       Defined                2300
CANADIAN NATL
  RY CO                    COM              136385101     161         6000 SH       Defined                6000
CEDAR FAIR L P             COM              150185106     472        15755 SH       Defined                                   15755
CELESTICA INC              SUB VTG SHS      15101Q108    6264       862866 SH       Defined       (1)    862866
CenterPoint Energy Inc     COM              15189T107   20252       979800 SH       Defined       (1)    979800
CENTURYLINK INC            COM              156700106     375         9500 SH       Defined       (1)      9500
CGI GROUP INC              CL A SUB VTG     39945C109   21536       894763 SH       Defined       (1)    894763
Chesapeake Midstream
  Partners                 UNIT             16524K108   10846       398600 SH       Defined       (1)    398600
CITIGROUP INC              COM NEW          172967424     100         3653 SH       Defined       (1)      3653
CITIGROUP INC              COM NEW          172967424   31548      1150950 SH       Defined             1150950
Commonwealth REIT          6.50% PFD CUM CO 203233408    7509       342085 SH       Defined       (1)    251500               90585
Consolidated Edison Inc    COM              209115104   14832       238500 SH       Defined       (1)    238500
Crown Castle
  International Cor        COM              228227104   26400       450050 SH       Defined       (1)    450050
DDR Corp                   COM              23317H102   29942      2045241 SH       Defined       (1)    885075             1160166
DIANA SHIPPING
  INC DSX                  COM              Y2066G104     389       50,000 SH       Defined                                   50000
Douglas Emmett Inc         COM              25960P109   27369      1184800 SH       Defined       (1)    548400              636400
DuPont Fabros
  Technology Inc           COM              26613Q106    3867       135400 SH       Defined       (1)     71400               64000
E-House China
  Holdings Ltd             ADR              26852W103    8199      1490800 SH       Defined       (1)   1045160              445640
Emeritus Corp              COM              291005106   11350       674402 SH       Defined       (1)    302800              371602
Enbridge Energy
  Partners LP              COM              29250R106   10797       350900 SH       Defined       (1)    350900
Enbridge Inc               COM              29250N105   62063      1551907 SH       Defined       (1)   1551907
ENDEAVOUR SILVER
  CORP                     COM              29258Y103    6451       794489 SH       Defined       (1)    794489
Energen Corp               COM              29265N108     505        11200 SH       Defined       (1)     11200
Energy Transfer
  Equity LP                COM UT LTD PTN   29273V100   14140       344700 SH       Defined       (1)    344700
Energy Transfer
  Partners LP              UNIT LTD PARTN   29273R109    5988       135500 SH       Defined       (1)    135500
Enterprise Products
  Partners L               COM              293792107   19282       376300 SH       Defined       (1)    376300
Entertainment PPTYS TR     CONV PFD 9% SR E 29380T600    7194       263505 SH       Defined       (1)    229505               34000
EQT Corp                   COM              26884L109     681        12700 SH       Defined       (1)     12700
Equity Lifestyle
  Properties In            COM              29472R108     766        11100 SH       Defined       (1)     11100
Equity Residential         SH BEN INT       29476L107     368         5900 SH       Defined       (1)      5900
Essex Property Trust Inc   COM              297178105   28875       187600 SH       Defined       (1)     63500              124100
Exterran Partners LP       COM UNITS        30225N105    6252       325100 SH       Defined       (1)    325100
FERRELLGAS
  PARTNERS LP              UNIT LTD PART    315293100     127         6750 SH       Defined       (1)      6750
First Industrial Realty
  Trust                    COM              32054K103   20100      1592730 SH       Defined       (1)    535900             1056830
FIRSTSERVICE CORP          SUB VTG SHS      33761N109    6862       240950 SH       Defined       (1)    240950
FRONTIER COMMUNICATIONS
  CORP                     COM              35906A108     210        54895 SH       Defined       (1)     54895
GENERAL GROWTH
  PPTYS INC NEW            COM              370023103 6434533    357662764 SH       Defined       (2)           357,662,764
General Growth
  Properties Inc           COM              370023103   20760      1147603 SH       Defined       (1)    427725              719878
GENERAL MTRS CO            COM              37045V100   12869       652564 SH       Defined              652564
GENERAL MTRS CO            *W EXP 07/10/201 37045V118     479        43445 SH       Defined               43445
GENERAL MTRS CO            *W EXP 07/10/201 37045V126     295        43445 SH       Defined               43445
Glimcher Realty Trust      SH BEN INT       379302102     846        82731 SH       Defined       (1)     43500               39231
Health Care REIT Inc       COM              42217K106   45696       783800 SH       Defined       (1)    269100              514700
HOWARD HUGHES
  CORP                     COM              44267D107  148896      2424618 SH       Defined       (2)             2,424,618
Hudson Pacific
  Properties Inc           COM              444097109   19794      1136918 SH       Defined       (1)    540483              596435
HUNTSMAN CORP              COM              447011107    1542       119175 SH       Defined       (1)    119175
Hyatt Hotels Corp          COM CL A         448579102    3567        96000 SH       Defined       (1)     50600               45400
Inergy LP                  UNIT LTD PARTN   456615103   19478      1046100 SH       Defined       (1)   1046100
IRSA Inversiones y
  Representac              GLOBL DEP RCPT   450047204    1478       208425 SH       Defined       (1)    208425
ISHARES                    S&P 500 INDEX    464287200    2134        15607 SH       Defined       (1)     15607
ISHARES                    MSCI EMRG MKT    464287234     718        18359 SH       Defined       (1)     18359
ISHARES                    S&P 500 GRW      464287309     886        12059 SH       Defined       (1)     12059
ISHARES                    S&P 500 VALUE    464287408     567         9103 SH       Defined       (1)      9103
ISHARES                    MSCI EAFE INDEX  464287465    1181        23640 SH       Defined       (1)     23640
ISHARES                    S&P MIDCAP 400   464287507    2583        27433 SH       Defined       (1)     27433
ISHARES                    RUSSELL 100      464287622    1398        18582 SH       Defined       (1)     18582
ISHARES                    S&P SMLCO VALU   464287879    1425        19167 SH       Defined       (1)     19167
ISHARES                    S&P SMLCP GROW   464287887    1550        19199 SH       Defined       (1)     19199
iStar Financial Inc        COM              45031U101   10203      1581867 SH       Defined       (1)    835400              746467
JP MORGAN
  CHASE  & CO              *W EXP 0/26/201  46634E114     977       100000 SH       Defined       (1)    100000
JP MORGAN
  CHASE & CO               COM              46625H100   26101       730500 SH       Defined       (1)    730500
JUST ENERGY
  GROUP INC                COM              48213W101     363        33368 SH       Defined               33368
KB Home                    COM              48666K109    7490       764300 SH       Defined       (1)    404000              360300
Kilroy Realty Corp         COM              49427F108   29428       607900 SH       Defined       (1)    261500              346400
Kinder Morgan Inc          COM              49456B101   46533      1444226 SH       Defined       (1)   1444226
Kinder Morgan Inc          *W EXP 05/25/201 49456B119    1762       815680 SH       Defined       (1)    815680
Kinder Morgan
  Management LLC           SHS              49455U100    9762       132966 SH       Defined       (1)    132966
LAS VEGAS SAND
  CORP LVS                 COM              517834107     274        6,300 SH       Defined                                    6300
LEAR CORP                  COM              521865204     817       21,660 SH       Defined                                   21660
Lennar Corp                CL A             526057104    2680        86700 SH       Defined       (1)     86700
Liberty Property Trust     SH BEN INT       531172104   40937      1111200 SH       Defined       (1)    462900              648300
LOWE'S COMPANIES
  INC                      COM              548661107    1173       41,500 SH       Defined                                   41500






                                                       Value     Shares/   Sh/ Put/ Invstmt   Other
NAME OF ISSUER              TITLE OF CLASS    CUSIP   (X$1000)   PRN AMT   PRN CALL DSCRETN MANAGERS    SOLE      SHARED     NONE
                                                                                           
Marathon Petroleum
  Corporation              COM              56585A102     853        19000 SH       Defined       (1)     19000
MarkWest Energy
Partners LP                UNIT LTD PARTN   570759100   11336       229900 SH       Defined       (1)    229900
MGM Resorts
  International            COM              552953101    5002       448200 SH       Defined       (1)    236100              212100
MITEL NETWORKS
  CORP                     COM              60671Q104     610       138000 SH       Defined       (1)    138000
NISKA GAS STORAGE
PARTNERS LLC               UNIT LTD LIABI   654678101     151        12500 SH       Defined       (1)     12500
NiSource Inc               COM              65473P105   11484       464000 SH       Defined       (1)    464000
NORTH AMERICAN
  ENERGY  PARTNERS         COM              656844107    1821       705698 SH       Defined       (1)    705698
Northeast Utilities        COM              664397106   15842       408200 SH       Defined       (1)    408200
NorthWestern Corp          COM NEW          668074305    5252       143100 SH       Defined       (1)    143100
NuStar Energy LP           UNIT COM         67058H102    3665        68000 SH       Defined       (1)     68000
Oneok Inc                  COM              682680103   25614       605400 SH       Defined       (1)    605400
OPEN TEXT CORP             COM              683715106   10983       220100 SH       Defined       (1)    220100
ORACLE
  CORPORATION              COM              68389X105     226         7600 SH       Defined       (1)      7600
PAA Natural Gas
  Storage LP               COM UNIT LTD     693139107    3172       177500 SH       Defined       (1)    177500
Parkway Properties
  Inc/Md                   COM              70159Q104   11994      1048454 SH       Defined       (1)    538700              509754
Pembina Pipeline Corp      COM              706327103   15016       586588 SH       Defined       (1)    586588
Pennsylvania Real Estate
  Inves                    SH BEN INT       709102107   11063       738485 SH       Defined       (1)    276700              461785
PG & E Corporation         COM              69331C108   40901       903500 SH       Defined       (1)    903500
Plains All American
  Pipeline L               UNIT LTD PARTN   726503105   10101       125000 SH       Defined       (1)    125000
PRECISION DRILLING
  CORP                     COM 2010         74022D308    4715       680425 SH       Defined       (1)    680425
ProLogis                   COM              74340W103   19589       589500 SH       Defined       (1)    294400              295100
Public Storage             COM              74460D109   89347       618702 SH       Defined       (1)    250934              367768
Ramco-Gershenson
  PPTYS TR                 PERP PFD-D CV    751452608    2035        40700 SH       Defined       (1)     40700
Rayonier Inc               COM              754907103   15151       337431 SH       Defined       (1)    156731              180700
Regency Centers Corp       COM              758849103     271         5700 SH       Defined       (1)      5700
ROUSE PPTYS INC            COM              779287101  358307     26580603 SH       Defined       (2)            26,580,603
ROYAL BK CDA
  MONTREAL QUE             COM              780087102     253         5000 SH       Defined                5000
SBA Communications
  Corp                     COM              78388J106   22985       402900 SH       Defined       (1)    402900
Sempra Energy              COM              816851109   30733       446184 SH       Defined       (1)    446184
SILVER STANDARD
  RESOURCES INC            COM              82823L106    3978       353947 SH       Defined       (1)    353947
Simon Property
  Group Inc                COM              828806109   93990       603819 SH       Defined       (1)    240903              362916
SL Green Realty Corp       COM              78440X101   51272       638983 SH       Defined       (1)    267000              371983
Southwest Gas Corp         COM              844895102   13497       309200 SH       Defined       (1)    309200
SPDR S&P MIDCAP 400
  ETF TRUST                UTSERI S&PCRP    78467Y107    2679        15640 SH       Defined       (1)     15640
SPDR TRUST SERIES I        TR UNIT          78462F103    2348        17252 SH       Defined       (1)     17252
Spectra Energy Corp        COM              847560109   33358      1147900 SH       Defined       (1)   1147900
SUN LIFE FIN OF
  CANADA                   COM              866796105    3878       175100 SH       Defined       (1)    175100
Sunoco Logistics
  Partners LP              COM              86764L108     664        18300 SH       Defined       (1)     18300
Sunstone Hotel
  Investors Inc            COM              867892101    5005       455400 SH       Defined       (1)    272800              182600
Sunstone Hotel
  Investors Inc            CV 8% SUM PFD-D  867892507     204         8100 SH       Defined       (1)      8100
TAHOE RESOURCES INC        COM              873868103    8307       990500 SH       Defined       (1)    990500
TECK COMINCO LIMITED       CL B             878742204    2295        72800 SH       Defined       (1)     72800
TECUMSEH PRODS CO          COM              878895101    2450      500,000 SH       Defined              500000
Tesoro Logistics LP        COM UNIT LP      88160T107    3997       117900 SH       Defined       (1)    117900
The Williams
  Companies, Inc.          COM              969457100   16012       555600 SH       Defined       (1)    555600
Toll Brothers Inc          COM              889478103    8916       299900 SH       Defined       (1)    162000              137900
TORONTO DOMINION
  BK ONT                   COM              891160509     333         4300 SH       Defined                4300
TransCanada Corp           COM              89353D107   54767      1304980 SH       Defined       (1)   1304980
TRANSCANADA CORP           COM              89353D107     377         9000 SH       Defined                9000
TRW AUTOMOTIVE
  HLDGS CORP               COM              87264S106    3915       106500 SH       Defined              106500
TRW AUTOMOTIVE
HOLDINGS CORP              COM              87264S106    3915       106500 SH       Defined       (1)    106500
UDR Inc                    COM              902653104   23601       913336 SH       Defined       (1)    297500              615836
VALEANT PHARMACEUTICALS
  INTERN                   COM              91911K102   10185       396173 SH       Defined       (1)    396173
Ventas Inc                 COM              92276F100   35714       565813 SH       Defined       (1)    218700              347113
VERIZON COMMUNICATIONS INC COM              92343V104     333         7500 SH       Defined       (1)      7500
Weingarten Realty
  Investors                SH BEN INT       948741103   10844       411700 SH       Defined       (1)    174800              236900
Weyerhaeuser Co            COM              962166104   38687      1730200 SH       Defined       (1)    791500              938700
WGL Holdings Inc           COM              92924F106    7469       187900 SH       Defined       (1)    187900
Williams Partners LP       COM UNIT L P     96950F104    6031       115442 SH       Defined       (1)    115442
WINDSTREAM CORP            COM              97381W104     276        28550 SH       Defined       (1)     28550
Winthrop Realty Trust      SH BENINT NEW    976391300    4077       335286 SH       Defined       (1)    111300              223986
WYNN RESORTS LTD           COM              983134107    5259        50700 SH       Defined       (1)     50700