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: September 30, 2011

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:  416-359-8598

Signature, Place, and Date of Signing:

    /s/ A.J. Silber               Toronto, CA                7/03/2012
------------------------    ------------------------  ------------------------
      [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).)



                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       3

Form 13F Information Table Entry Total:  141

Form 13F Information Table Value Total:  10679
                                         ----------
                                         (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.

     (2)    028-13827    AMP Capital Brookfield (US) LLC

     (3)    028-14362    Brookfield Asset Management Private Institutional
                         Capital Adviser (Canada) LP



Brookfield Asset Management Inc.
FORM 13F
As of September 30, 2011



                                                                                             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
--------------                --------------  --------- -------- --------- --- ---- ------- -------- --------- --------- -------
                                                                                        
Alerian MLP ETF..............     Alerian MLP 00162Q866    1332     87,400 SH       Defined   (1)(2)     87400
ALTRIA GROUP INC.............     COM         02209S103     540     20,125 SH       Defined      (1)     20125
American Water Works Co Inc..     COM         030420103    9123    302,300 SH       Defined   (1)(2)    302300
Aqua America Inc.............     COM         03836W103    4577    212,200 SH       Defined   (1)(2)    212200
AT&T INC.....................     COM         00206R102     754     26,440 SH       Defined      (1)     26440
AvalonBay Communities Inc....     COM         053484101   71422    626,232 SH       Defined   (1)(2)    516432            109800
Avatar Holdings Inc..........     COM         053494100    4020    491,405 SH       Defined   (1)(2)    251700            239705
B&G FOODS INC................     COM         05508R106     334     20,000 SH       Defined      (1)     20000
BANK MONTREAL QUE............     COM         063671101     195       3500 SH       Defined               3500
BANK NOVA SCOTIA
  HALIFAX....................     COM         064149107     176       3500 SH       Defined               3500
BANK OF AMERICA
  CORPORATION................     COM         060505104   11864    1938500 SH       Defined            1938500
BANK OF AMERICA                   *W EXP
  CORPORATION................     10/28/201   060505153     383     450000 SH       Defined             450000
Beazer Homes USA Inc.........     COM         07556Q105    1250    827,705 SH       Defined   (1)(2)    464478            363227
Boston Properties Inc........     COM         101121101  106932  1,200,139 SH       Defined   (1)(2)    910939            289200
Brandywine Realty Trust......     SH BEN
                                  INT NEW     105368203   57821  7,218,546 SH       Defined   (1)(2)   5772252           1446294
BREITBURN ENERGY                  COM UT
  PARTNERS LP................     LTD PTN     106776107     228     13,075 SH       Defined      (1)     13075
Brookdale Senior Living Inc..     COM         112463104  107200  8,548,658 SH       Defined   (1)(2)   6658859           1889799
BROOKFIELD INFRAST                LP INT
  PARTNERS...................     UNIT        G16252101    1191      48930 SH       Defined              48930
BROOKFIELD OFFICE
  PPTYS INC..................     COM         112900105 3433722  249362561 SH       Defined          249362561
Brookfield Properties Corp...     COM         112900105     511     37,100 SH       Defined   (1)(2)     37100
BROOKFIELD RESIDENTIAL
  PPTYS......................     COM         11283W104  488233   73418570 SH       Defined           73418570
Brookfield Residential
  Propert....................     COM         11283W104    5190    780,518 SH       Defined   (1)(2)    780518
Camden Property Trust........     SH BEN
                                  INT         133131102   66729  1,207,538 SH       Defined   (1)(2)   1009138            198400
CANADIAN NAT RES LTD.........     COM         136385101     176       6000 SH       Defined               6000
CDN IMPERIAL BK OF
  COMMERCE...................     COM         136069101     161       2300 SH       Defined               2300
Cemig SA.....................     SP ADR N-
                                  V PFD       204409601    7857    529,460 SH       Defined   (1)(2)    529460
CENTERPOINT ENERGY INC.......     COM         15189T107   16016     816340 SH       Defined   (1)(2)    816340
CENTURYLINK INC..............     COM         156700106     315      9,500 SH       Defined      (1)      9500
China Real Estate
  Information................     ADR         16948Q103    2391    485,900 SH       Defined   (1)(2)    218000            267900
CITIGROUP INC................     COM         172967424   11252     439200 SH       Defined             439200
CommonWealth REIT............     COM SH
                                  BEN INT     203233101    2648    139,600 SH       Defined   (1)(2)                      139600
Commonwealth REIT............     6.50% PFD
                                  CUM Co      203233408   12964    635,187 SH       Defined   (1)(2)    635187
CONSOLIDATED EDISON
  INC........................     COM         209115104     570     10,000 SH       Defined      (1)     10000
Coresite Realty Corp.........     COM         21870Q105   16201  1,129,020 SH       Defined   (1)(2)    469520            659500
Corporate Office Properties       SH BEN
  Tr.........................     INT         22002T108   52230  2,398,087 SH       Defined   (1)(2)   1842687            555400
Crosstex Energy Inc..........     COM         22765Y104    2208    163,800 SH       Defined   (1)(2)    163800
Crown Castle International
  Cor........................     COM         228227104   11813    290,450 SH       Defined   (1)(2)    290450
D R HORTON INC...............     COM         23331A109    3390     375000 SH       Defined             375000
DDR Corp.....................     COM         23317H102   29975  2,749,979 SH       Defined   (1)(2)   2332913            417066
DIANA SHIPPING INC...........     COM         Y2066G104     371      50000 SH       Defined              50000
Digital Realty Trust Inc.....     COM         253868103   91597  1,660,566 SH       Defined   (1)(2)   1388966            271600
Douglas Emmett Inc...........     COM         25960P109   65192  3,812,377 SH       Defined   (1)(2)   2718377           1094000
DR HORTON....................     COM         23331A109     218     24,100 SH       Defined      (1)     24100
EASTERN INSURANCE
  HOLDINGS...................     COM         276534104    1629    123,900 SH       Defined      (1)    123900
EastGroup Properties Inc.....     COM         277276101   24513    642,700 SH       Defined   (1)(2)    227600            415100
El Paso Corp.................     COM         28336L109    3898    223,000 SH       Defined   (1)(2)    223000
El Paso Pipeline Partners LP.     COM UNIT
                                  LPI         283702108    5703    160,780 SH       Defined   (1)(2)    160780
Emeritus Corp................     COM         291005106   11674    827,937 SH       Defined   (1)(2)    356800            471137
Enbridge Energy Partners LP..     COM         29250R106    9617    350,100 SH       Defined   (1)(2)    350100
Enbridge Inc.................     COM         29250N105   28645    899,065 SH       Defined   (1)(2)    899065
Energy Transfer Equity LP....     COM UT
                                  LTD PTN     29273V100     476     13,700 SH       Defined   (1)(2)     13700
Energy Transfer Partners LP..     UNIT LTD
                                  PARTN       29273R109    5463    133,200 SH       Defined   (1)(2)    133200
Enterprise Products Partners
  L..........................     COM         293792107    2815     70,100 SH       Defined   (1)(2)     70100
Entertainment PPTYS TR.......     PFD C CNV
                                  5.75%       29380T402    1110     59,400 SH       Defined   (1)(2)     59400
Equity Lifestyle Properties
  In.........................     COM         29472R108   53583    854,592 SH       Defined   (1)(2)    672492            182100
Essex Property Trust Inc.....     COM         297178105   64353    536,100 SH       Defined   (1)(2)    395000            141100
Excel Trust Inc..............     COM         30068C109    4311    448,100 SH       Defined   (1)(2)    194200            253900
Forest City Enterprises Inc..     CL A        345550107   17076  1,601,830 SH       Defined   (1)(2)   1601830
FRONTIER
  COMMUNICATIONS
  CORP.......................     COM         35906A108     587     96,075 SH       Defined      (1)     96075
GENERAL GROWTH PPTYS
  INC NEW....................     COM         370023103 4280839  353788359 SH       Defined      (3)           353788359
General Growth Properties
  Inc........................     COM         370023103  104609  8,645,408 SH       Defined   (1)(2)   7375530           1269878
GENERAL MOTORS CO............     COM         37045V100     865     42,857 SH       Defined      (1)     42857
GENERAL MOTORS CO............     *W EXP
                                  07/10/201   37045V118     454     38,965 SH       Defined      (1)     38965
GENERAL MOTORS CO............     *W EXP
                                  07/10/201   37045V126     309     38,965 SH       Defined      (1)     38965
GENERAL MTRS CO..............     COM         37045V100   16928     838840 SH       Defined             838840
GENERAL MTRS CO..............     *W EXP
                                  07/10/201   37045V118      62       5308 SH       Defined               5308
GENERAL MTRS CO..............     *W EXP
                                  07/10/201   37045V126     518      65308 SH       Defined              65308
Grupo Aeroportuario del           SPON ADR
  Surest.....................     SER B       40051E202     219      4,400 SH       Defined   (1)(2)      4400
HCP INC......................     COM         40414L109     465     13,250 SH       Defined      (1)     13250
Health Care REIT Inc.........     COM         42217K106   61084  1,305,214 SH       Defined   (1)(2)   1097414            207800
HOVNANIAN ENTERPRISES
  INC........................     CL A        442487203      30     24,900 SH       Defined      (1)     24900
HOWARD HUGHES CORP...........     COM         44267D107  102076    2424618 SH       Defined      (3)             2424618
ISHARES TR...................     S&P 500
                                  INDEX       464287200    1774     15,607 SH       Defined      (1)     15607
ISHARES TR...................     MSCI
                                  EMERG
                                  MKT         464287234     644     18,359 SH       Defined      (1)     18359
ISHARES TR...................     S&P 500
                                  GRW         464287309     738     12,059 SH       Defined      (1)     12059
ISHARES TR...................     S&P 500
                                  VALUE       464287408     470      9,103 SH       Defined      (1)      9103
ISHARES TR...................     MSCI
                                  EAFE
                                  INDEX       464287465    1041     21,784 SH       Defined      (1)     21784





                                                                        
ISHARES TR.................... S&P
                               MIDCAP
                               400       464287507   2139    27,433 SH    Defined    (1)   27433
ISHARES TR.................... RUSELL
                               1000      464287622   1162    18,582 SH    Defined    (1)   18582
ISHARES TR.................... S&P
                               SMLCP
                               VALU      464287879   1134    19,167 SH    Defined    (1)   19167
ISHARES TR.................... S&P
                               SMLCP
                               GROW      464287887   1238    19,199 SH    Defined    (1)   19199
ITC Holdings Corp............. COM       465685105   9175   118,500 SH    Defined (1)(2)  118500
JPMORGAN CHASE & CO........... *W EXP
                               10/28/201 46634E114    931    100000 SH    Defined         100000
JPMORGAN CHASE & CO........... COM       46625H100   7786    258500 SH    Defined         258500
KB Home....................... COM       48666K109   5845   997,500 SH    Defined (1)(2)  480500   517000
Kinder Morgan Management
  LLC......................... SHS       49455U100   7871   134,116 SH    Defined (1)(2)  134116
LAS VEGAS SANDS CORP.......... COM       517834107    935     24400 SH    Defined          24400
LENNAR CORP................... CL A      526057104   4450    328630 SH    Defined         328630
Lennar Corp................... CL A      526057104  34341 2,536,262 SH    Defined (1)(2) 2345962   190300
LENNAR CORP................... CL B      526057302    583     57070 SH    Defined          57070
LOWES COS INC................. COM       548661107    803     41500 SH    Defined          41500
Marriott International Inc/DE. CL A      571903202    460    16,900 SH    Defined (1)(2)   16900
MERCK & CO INC................ COM       58933Y105    511    15,625 SH    Defined    (1)   15625
MITEL NETWORKS CORP........... COM       60671Q104    837    395000 SH    Defined         395000
National Grid PLC............. SPON
                               ADR
                               NEW       636274300  15072   303,865 SH    Defined (1)(2)  303865
NISKA GAS STORAGE              UNIT
  PARTNERS LLC................ LTD
                               LIABI     654678101    146    12,500 SH    Defined    (1)   12500
NiSource Inc.................. COM       65473P105   5679   265,600 SH    Defined (1)(2)  265600
NORTH AMERN ENERGY
  PARTNERS.................... COM       656844107   4107    705598 SH    Defined         705598
Northeast Utilities........... COM       664397106   6024   179,007 SH    Defined (1)(2)  179007
NorthWestern Corp............. COM
                               NEW       668074305   3718   116,400 SH    Defined (1)(2)  116400
NuStar Energy LP.............. UNIT
                               COM       67058H102   3555    68,000 SH    Defined (1)(2)   68000
Oiltanking Partners LP........ UNIT
                               LTD       678049107    682    28,560 SH    Defined (1)(2)   28560
Omega Healthcare Investors
  Inc......................... COM       681936100  29065 1,824,553 SH    Defined (1)(2) 1547962   276591
PAA Natural Gas Storage LP.... COM
                               UNIT
                               LTD       693139107   4059   249,000 SH    Defined (1)(2)  249000
Parkway Properties Inc/Md..... COM       70159Q104   5505   499,962 SH    Defined (1)(2)  260600   239362
Pennsylvania Real Estate       SH BEN
  Inves....................... INT       709102107  11433 1,479,051 SH    Defined (1)(2)  575200   903851
PHILIP MORRIS INTL INC........ COM       718172109    505     8,090 SH    Defined    (1)    8090
PROGRESS ENERGY INC........... COM       743263105    581    11,225 SH    Defined    (1)   11225
ProLogis...................... COM       74340W103  92748 3,824,655 SH    Defined (1)(2) 3180555   644100
PS Business Parks Inc......... COM       69360J107   8006   161,600 SH    Defined (1)(2)   85600    76000
Public Storage................ COM       74460D109 242133 2,174,520 SH    Defined (1)(2) 1810020   364500
Ramco0Gershenson Series D      PERP
  7.25........................ PFD-CV    751452608   2930    77,000 SH    Defined (1)(2)   77000
Rayonier Inc.................. COM       754907103  40178 1,092,081 SH    Defined (1)(2)  880481   211600
Regency Energy Partners LP.... COM
                               UNITS L
                               P         75885Y107   3739   166,900 SH    Defined (1)(2)  166900
ROYAL BK CDA MONTREAL
  QUE......................... COM       780087102    229      5000 SH    Defined           5000
RYLAND GROUP INC.............. COM       783764103   2396    225000 SH    Defined         225000
RYLAND GROUP INC.............. COM       783764103    143    13,400 SH    Defined    (1)   13400
Sabra Healthcare REIT Inc..... COM       78573L106   3003   314,802 SH    Defined (1)(2)  142900   171902
SANDERSON FARMS INC........... COM       800013104    808     17000 SH    Defined          17000
SBA Communications Corp....... COM       78388J106   8320   241,300 SH    Defined (1)(2)  241300
Sempra Energy................. COM       816851109   9424   182,984 SH    Defined (1)(2)  182984
Simon Property Group Inc...... COM       828806109 263538 2,396,238 SH    Defined (1)(2) 1977022   419216
SL Green Realty Corp.......... COM       78440X101  57437   987,743 SH    Defined (1)(2)  795443   192300
SPDR S&P MIDCAP 400 ETF        UTSER1
  TRUST....................... S&PCRP    78467Y107   2223    15,640 SH    Defined    (1)   15640
SPDR TRUST SERIES I........... TR UNIT   78462F103   1952    17,252 SH    Defined    (1)   17252
Spectra Energy Corp........... COM       847560109  26672 1,087,330 SH    Defined (1)(2) 1087330
Starwood Hotels & Resorts
  Worl........................ COM       85590A401  58168 1,498,400 SH    Defined (1)(2) 1181800   316600
Sunstone Hotel INVS INC....... CV 8%
                               CUM
                               PDF-D     867892507   1966    92,100 SH    Defined (1)(2)   92100
Targa Resources Corp.......... COM       87612G101   3933   132,200 SH    Defined (1)(2)  132200
Targa Resources Partners LP... COM
                               UNIT      87611X105   3939   119,800 SH    Defined (1)(2)  119800
TECUMSEH PRODS CO............. CL B      878895101   3455    500000 SH    Defined         500000
Tesoro Logistics LP........... COM
                               UNIT LP   88160T107    595    25,000 SH    Defined (1)(2)   25000
TORONTO DOMINION BK
  ONT......................... COM       891160509    305      4300 SH    Defined           4300
TRANSCANADA CORP.............. COM       89353D107    445     11000 SH    Defined          11000
TransCanada Corp.............. COM       89353D107  31536   778,638 SH    Defined (1)(2)  778638
VENTAS INC.................... COM       92276F100  70261 1,422,287 SH    Defined (1)(2) 1184424   237863
VERIZON
  COMMUNICATIONS INC.......... COM       92343V104    795    21,600 SH    Defined    (1)   21600
Vornado Realty Trust.......... SH BEN
                               INT       929042109   1949    26,124 SH    Defined (1)(2)   26124
Weingarten Realty Investors... SH BEN
                               INT       948741103  48501 2,291,011 SH    Defined (1)(2) 1956974   334037
Williams Cos Inc/The.......... COM       969457100   6774   278,300 SH    Defined (1)(2)  278300
WINDSTREAM CORP............... COM       97381W104    560    48,000 SH    Defined    (1)   48000