UNITED STATES
                       SEUCRITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

Report for the Calendar Year or quarter Ended March 31, 2013

If amended report check here: [ ] Amendment Number:___

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

FCA Corp
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Name of Insitutional Investment Manager

FCA Corp

791 Town & Country Blvd, Suite 250    Houston       Texas        77024-3925
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Business Address    (Street)          (City)       (State)       (Zip Code)


13F File Number: 028-10019

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, and tables are considered integral parts of this form.

Person signing this Report on behalf of Reporting Manager:

William Levay                    Chief Compliance Officer           713-781-2856
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Name                                      Title                       Telephone


                                                /s/ William Levay
                                                --------------------------------
                                                Manual Signature of Person Duly
                                                Authorized to submit this Report

                                                Houston, TX    05-13-13
                                                --------------------------------
                                                Place and Date of Signing

Report Type:

[X]   13F Holdings Report
[ ]   13F Notice
[ ]   13F Combination Report



Report Summary:

Number of other included managers:               0
Form 13F information table entry total:        124
Form 13F table value total:               $137,459

List of other included Managers: None



FCA Corp
FORM 13F
31-Mar-13

                           FORM 13F INFORMATION TABLE



                                                                                                              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
--------------                    --------------  -----   --------  -------  ---  ----  -------  --------  -----   ------    ----
                                                                                            
1ST CENTURY BANCSHARES INC               COM     31943X102     155   27,700  SH         Sole                              27,700
3M CO                                    COM     88579Y101   1,279   12,041  SH         Sole                              12,041
ACETO CORP                               COM     004446100   2,599  234,775  SH         Sole                             234,775
AECOM TECHNOLOGY CORP                    COM     00766T100     328   10,000  SH         Defined             10000
AGCO CORP                                COM     001084102     261    5,000  SH         Defined              5000
ALAMO GROUP INC                          COM     011311107   3,091   80,464  SH         Sole                              80,464
ALMOST FAMILY INC                        COM     020409108   1,083   52,906  SH         Sole                              52,906
ALTO PALERMO S.A.-ADR                    ADR     02151P107     166   11,500  SH         Defined             11500
AMDOCS LTD                               ORD     G02602103     363   10,000  SH         Defined             10000
AMERICAN BUSINESS BANK                   COM     02475L105     946   32,405  SH         Sole                              32,405
AMGEN INC                                COM     031162100   2,117   20,786  SH         Sole                              20,786
ANALOG DEVICES INC                       COM     032654105   2,045   44,140  SH         Sole                              44,140
ANGLO AMERICAN PLC-UNSP ADR              ADR     03485P201     152   11,830  SH         Defined             11830
APPLE INC                                COM     037833100     227      509  SH         Sole                                 509
ARKEMA-SPONSORED ADR                     ADR     041232109     376    4,130  SH         Defined              4130
ARTESIAN RESOURCES CORP-CL A             COM     043113208   1,249   55,673  SH         Sole                              55,673
AUTOMATIC DATA PROCESSING                COM     053015103   2,784   42,876  SH         Sole                              42,876
BANCO SANTANDER SA-SPON ADR              ADR     05964H105     216   31,672  SH         Defined             31672
BG GROUP PLC-SPON ADR                    ADR     055434203     172   10,000  SH         Defined             10000
BOK FINANCIAL CORPORATION                COM     05561Q201     234    3,751  SH         Sole                               3,751
BOSTON PROPERTIES INC                    COM     101121101     253    2,500  SH         Defined              2500
BUNGE LTD                                COM     G16962105     480    6,500  SH         Defined              6500
CAMPUS CREST COMMUNITIES INC             COM     13466Y105     153   11,000  SH         Defined             11000
CEMEX SAB-SPONS ADR PART CER             ADR     151290889     171   14,037  SH         Defined             14037
CHASE CORP                               COM     16150R104   1,200   62,268  SH         Sole                              62,268
CHEMED CORP                              COM     16359R103     336    4,200  SH         Defined              4200
CHINA HOUSING & LAND DEVELOP             COM     16939V103      60   40,000  SH         Defined             40000
CIMAREX ENERGY CO                        COM     171798101   1,812   24,024  SH         Sole                              24,024
COCA-COLA CO/THE                         COM     191216100     390    9,688  SH         Sole                               9,688
COHU INC                                 COM     192576106   1,144  122,185  SH         Sole                             122,185
CONMED CORP                              COM     207410101     535   15,720  SH         Defined             15720
CONSUMER DISCRETIONARY SELT              COM     81369Y407   2,347   44,316  SH         Sole                              44,316
CONSUMER STAPLES SPDR                    COM     81369Y308   4,955  124,670  SH         Sole                             124,670
CULLEN/FROST BANKERS INC                 COM     229899109   1,363   21,801  SH         Sole                              21,801
DENTSPLY INTERNATIONAL INC               COM     249030107     369    8,700  SH         Defined              8700
DIAGEO PLC-SPONSORED ADR                 ADR     25243Q205     252    2,000  SH         Defined              2000
ENERGY SELECT SECTOR SPDR                COM     81369Y506   3,051   38,450  SH         Sole                              38,450
ENTERPRISE PRODUCTS PARTNERS             COM     293792107   2,328   38,714  SH         Sole                              38,714
EQUITY RESIDENTIAL                       COM     29476L107     314    5,700  SH         Defined              5700
EVEREST RE GROUP LTD                     COM     G3223R10    2,339   18,053  SH         Sole                              18,053
EXTRA SPACE STORAGE INC                  COM     30225T102     389    9,900  SH         Defined              9900
EXXON MOBIL CORP                         COM     30231G102   2,885   31,964  SH         Sole                              31,964
FIRST SEISMIC CORP                       COM     336397104      13  327,012  SH         Sole                             327,012
GAFISA SA-ADR                            ADR     362607301      47   12,000  SH         Defined             12000
GRUPO TELEVISA SA-SPON ADR               ADR     40049J206     399   15,000  SH         Defined             15000
GUGGENHEIM S&P 500 EQUAL WEIGHT(ETF)     COM     78355W106   3,839   64,423  SH         Sole                              64,423
GUGGENHEIM S&P 500 EQUAL WEIGHT
  HEALTHCARE(ETF)                        COM     78355W841   2,238   25,100  SH         Sole                              25,100
HOME INNS & HOTELS MANAG-ADR             ADR     43713W107     253    8,500  SH         Defined              8500
HOST HOTELS & RESORTS INC                COM     44107P104     268   15,317  SH         Defined             15317
HUNTINGTON BANCSHARES INC                COM     446150104     148   20,000  SH         Defined             20000
ICICI BANK LTD-SPON ADR                  ADR     45104G104     215    5,000  SH         Defined              5000
INGLES MARKETS INC-CLASS A               COM     457030104   3,158  146,957  SH         Sole                             146,957
INTEGRATED SILICON SOLUTION              COM     45812P107     202   22,000  SH         Defined             22000
INTEL CORP                               COM     458140100     852   39,025  SH         Sole                              39,025
INTERCONTINENTAL HOTELS-ADR              ADR     45857P400     284    9,333  SH         Defined              9333
INTEROIL CORP                            COM     460951106     304    4,000  SH         Defined              4000
INTL BUSINESS MACHINES CORP              COM     459200101     356    1,671  SH         Sole                               1,671
ISHARES COHEN & STEERS RLTY              COM     464287564   1,544   18,742  SH         Sole                              18,742
ISHARES CORE S&P MIDCAP ETF              COM     464287507   2,279   19,837  SH         Sole                              19,837
ISHARES DJ SELECT DIVIDEND               COM     464287168   2,931   46,264  SH         Sole                              46,264
ISHARES FTSE CHINA 25 INDEX              COM     464287184     309    8,370  SH         Sole                               8,370
ISHARES MSCI EAFE INDEX FUND             COM     464287465   4,328   73,433  SH         Sole                              73,433
ISHARES MSCI EAFE SMALL CAP              COM     464288273   2,067   47,070  SH         Sole                              47,070
ISHARES MSCI EMERGING MKT IN             COM     464287234   1,802   42,141  SH         Sole                              42,141
ISHARES MSCI SOUTH AFRICA                COM     464286780     236    3,700  SH         Defined              3700
ISHARES S&P GBL NUCLEAR ENGY             COM     464288232   1,077   33,090  SH         Sole                              33,090
ISHARES S&P GLBL HEALTHCARE              COM     464287325   2,734   37,145  SH         Sole                              37,145
ISHARES S&P GLBL TELECOMM SE             COM     464287275     211    3,525  SH         Sole                               3,525
ISHARES S&P LATIN AMERICA 40             COM     464287390     445   10,214  SH         Sole                              10,214
JAMES HARDIE IND PLC-SP ADR              ADR     47030M106     469    9,000  SH         Defined              9000
JOHN HANCOCK FINANCIAL OPPOR             COM     409735206   1,853   88,686  SH         Sole                              88,686
JOHNSON & JOHNSON                        COM     478160104   2,456   30,151  SH         Sole                              30,151
JOHNSON CONTROLS INC                     COM     478366107     210    6,000  SH         Defined              6000
KMG CHEMICALS INC                        COM     482564101   2,220  113,866  SH         Sole                             113,866
KVH INDUSTRIES INC                       COM     482738101     407   30,000  SH         Defined             30000
LASALLE HOTEL PROPERTIES                 COM     517942108     279   11,000  SH         Defined             11000
LIFEPOINT HOSPITALS INC                  COM     53219L109     218    4,500  SH         Defined              4500
LOWE'S COS INC                           COM     548661107     367    9,673  SH         Sole                               9,673
MARKET VECTORS AFRICA INDEX              COM     57060U787     253    8,340  SH         Defined              8340
MARKET VECTORS INDIA S/C                 COM     57060U563     376   43,070  SH         Sole                              43,070
MARRIOTT INTERNATIONAL -CL A             CALL    571903202     213    5,035  SH         Defined              5035
METLIFE INC                              COM     59156R108   1,787   46,971  SH         Sole                              46,971
MICROFINANCIAL INC                       COM     595072109   3,899  451,564  SH         Sole                             451,564
MILLER INDUSTRIES INC/TENN               COM NEW 600551204     225   14,000  SH         Defined             14000
NESTLE SA-SPONS ADR FOR REG              ADR     641069406   2,353   32,515  SH         Sole                              32,515
NESTLE SA-SPONS ADR FOR REG              ADR     641069406     562    7,750  SH         Defined              7750
NEW YORK COMMUNITY BANCORP               COM     649445103     144   10,000  SH         Defined             10000
NEXTERA ENERGY INC                       COM     65339F101   1,973   25,465  SH         Sole                              25,465
NICE SYSTEMS LTD-SPONS ADR               ADR     653656108     368   10,000  SH         Defined             10000
NIDEC CORPORATION-ADR                    ADR     654090109     210   14,000  SH         Defined             14000
NORFOLK SOUTHERN CORP                    COM     655844108     308    4,000  SH         Defined              4000
NORTHWEST NATURAL GAS CO                 COM     667655104     219    5,000  SH         Defined              5000
NOVARTIS AG-ADR                          ADR     66987V109   1,926   27,095  SH         Sole                              27,095
PENTAIR LTD-REGISTERED                   COM     H6169Q108     568   10,760  SH         Defined             10760
PHILIP MORRIS INTERNATIONAL              COM     718172109     270    2,925  SH         Sole                               2,925
POWERSHARES GLOBAL WATER                 COM     73936T623   2,105  110,117  SH         Sole                             110,117
PROTECTIVE LIFE CORP                     COM     743674103   2,602   72,680  SH         Sole                              72,680
PRUDENTIAL PLC-ADR                       ADR     74435K204     437   13,500  SH         Defined             13500
RGC RESOURCES INC                        COM     74955L103     533   28,224  SH         Sole                              28,224
ROYCE MICRO-CAP TRUST INC                COM     780915104   1,220  113,921  SH         Sole                             113,921
ROYCE VALUE TRUST                        COM     780910105   3,903  259,349  SH         Sole                             259,349
RYMAN HOSPITALITY PROPERTIES             COM     78377T107     271    5,924  SH         Defined              5924
SBA COMMUNICATIONS CORP-CL A             COM     78388J106     216    3,000  SH         Defined              3000
SIEMENS AG-SPONS ADR                     ADR     826197501     323    3,000  SH         Defined              3000
SL GREEN REALTY CORP                     COM     78440X101     258    3,000  SH         Defined              3000
SPDR MORGAN STANLEY TECHNOLO             COM     78464A102   1,930   26,380  SH         Sole                              26,380
SPDR S&P MIDCAP 400 ETF TRST             COM     78467Y107     346    1,650  SH         Sole                               1,650
SPDR S&P OIL & GAS EXP & PR              COM     78464A730   2,611   43,120  SH         Sole                              43,120
STARWOOD HOTELS & RESORTS                COM     85590A401     319    5,000  SH         Defined              5000
STRYKER CORP                             COM     863667101   1,240   19,025  SH         Sole                              19,025
TENNECO INC                              COM     880349105     236    6,000  SH         Defined              6000
TEVA PHARMACEUTICAL-SP ADR               ADR     881624209     238    6,000  SH         Defined              6000
TORTOISE ENERGY INFRASTRUCTU             COM     89147L100   3,135   63,246  SH         Sole                              63,246
TOTAL SA-SPON ADR                        ADR     89151E109     249    5,200  SH         Defined              5200
UDR INC                                  COM     902653104     286   11,852  SH         Sole                              11,852
UNILEVER N V  -NY SHARES                 COM     904784709     369    9,000  SH         Defined              9000
UNITED FIRE GROUP INC                    COM     910340108   1,583   62,201  SH         Sole                              62,201
VALMONT INDUSTRIES                       COM     920253101   2,609   16,580  SH         Sole                              16,580
VERIZON COMMUNICATIONS INC               COM     92343V104     340    6,931  SH         Sole                               6,931
VODAFONE GROUP PLC-SP ADR                ADR     92857W209     224    7,875  SH         Defined              7875
WGL HOLDINGS INC                         COM     92924F106   1,846   41,880  SH         Sole                              41,880
WILLIAMS COS INC                         COM     969457100   3,677   98,891  SH         Sole                              98,891
WP CAREY INC                             COM     92936U109     337    5,000  SH         Defined              5000
WPX ENERGY INC                           COM     98212B103     373   23,163  SH         Sole                              23,163