UNITED STATES 			 SECURITIES AND EXCHANGE COMMISSION 				 Washington, D.C. 20549 					 Form 13F 				 Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31, 2013 Check here if Amendment [ ]; Amendment Number: ____ This Amendment (Check only one.): [ ]is a restatement. 				 [ ]adds new holding entries. Institutional Investment Manager Filing this Report: Name:	 Noesis Capital Management Corp Address: Fountain Square, 2700 North Military Trail 	 Suite 210 	 Boca Raton, FL 33431 Form 13F File Number: 028-10542 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:	Nico Letschert Title:	CEO Phone:	561-999-9888 Signature, Place, and Date of Signing: 	Nico Letschert		Boca Raton, FL		05/07/13 	[Signature]		[City, State]		[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 is 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: 0 Form 13F Information Table Entry Total: 100 Form 13F Information Table Value Total: $186,150 (thousands) 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 that the Manager filing this report. [If there are no entries in this list, state "NONE" and omit the column headings and list entries.] NONE 						FORM 13F INFORMATIONAL TABLE NAME OF ISSUER		TITLE OF CLASS	CUSIP	VALUE	 SHRS/		SH/ PUT/ INV	OTHR	VOTNG AUTH 						 (x$1000) PRN AMT	PRN CALL DISC	MGRS	SOLE SHR NONE -------------		----------	------	 ------- -----		--- --- ---	---	--- --- ---- Aecom Technology Corp	COM		00766T100 462 14096	SH	Sole		13391 0 705 Allergan		COM		18490102 1401 12550	SH	Sole		11923 0 627 Alliance Data Systems	COM		18581108 1994 12320	SH	Sole		11704 0 616 Altria Group Inc	COM		02209S103 1273 37019	SH	Sole		35168 0 1851 Amdocs Limited		COM		G02602103 3966 109395	SH	Sole	 103925 0 5470 American Express Co	COM		25816109 6693 99216	SH	Sole	 94255 0 4961 Amgen Inc.		COM		31162100 299 2920	SH	Sole		 2774 0 146 Apple Inc		COM		37833100 948 2141	SH 	Sole		 2034 0 107 Ares Capital Corp	COM		04010L103 469 25922	SH 	Sole		24626 0 1296 Aspen Ins Hdg Pfd 7.4	PFD/FXD IN	G05384139 1608 58701	SH	Sole		55766 0 2935 AT&T Corp.		COM		00206R102 440 12000	SH	Sole		11400 0 600 Autodesk Inc.		COM		52769106 3552 86110	SH	Sole		81805 0 4305 Avon Products Inc	COM		54303102 361 17400	SH	Sole		16530 0 870 BP Prudhoe Bay Rylty Tr	OTH ASST	55630107 761 9110	SH	Sole		 8655 0	 455 Baidu Com Inc Adr	COM		56752108 641 7306	SH	Sole		 6941 0 365 Barclays Pfd 8.125%	PFD/FXD INC	06739H362 828 32390	SH	Sole		30771 0 1619 Barclays iPath MSCI Ind	ETF		06739F291 1077 18825	SH	Sole		17884 0 941 Baxter International	COM		71813109 4776 65745	SH	Sole		62458 0 3287 BCE Inc			COM		05534B760 1034 22150	SH	Sole		21043 0 1107 Berkshire Hathaway Cl A	COM		84670108 313 2	SH 	Sole		 2 0 0 Berkshire Hathaway Cl B	COM		84670702 480 4608	SH 	Sole		 4378 0 230 Blackrock MuniInv QualFdETF		09254P108 563 36200	SH	Sole		34390 0 1810 Bristol-Myer Squibb	COM		110122108 218 5297	SH	Sole		 5032 0 265 Caterpillar Inc.	COM		149123101 5441 62561	SH	Sole		59433 0 3128 Chevron Texaco Corp	COM		166764100 308 2592	SH	Sole	 2462 0 130 Cinemark Hldngs		COM		17243V102 276 9380	SH	Sole	 8911 0 469 Cisco Sys Inc		COM		17275R102 4208 201401	SH	Sole	 191331 0 10070 Coca Cola Co		COM		191216100 814 20141	SH	Sole		19134 0 1007 Companhia de Bebds ADR	COM		20441W203 1233 29137	SH	Sole		27680 0 1457 Danaher Corp		COM		235851102 240 3868	SH	Sole		 3675 0 193 Darden Restaurants	COM		237194105 1491 28855	SH	Sole		27412 0 1443 DNP Select Income Fd	ETF		23325P104 1320 130195	SH	Sole	 123685 0 6510 Du Pont EI De Nemour	COM		263534109 950 19318	SH	Sole		18352 0 966 East West Bancorp	COM		27579R104 4735 184459	SH	None	 175236 0 9223 Ecolab Inc.		COM		278865100 3672 45800	SH	Sole		43510 0 2290 Emc Corp-Mass		COM		268648102 788 32988	SH	Sole		31339 0 1649 Energy Slct Sector SPDR	ETF		81369Y506 2705 34110	SH	Sole		32405 0 1705 Energy Transfer Prtnrs	LP		29273R109 711 14028	SH	Sole		13327 0 701 Enterprise Prdcts Prtn	LP		293792107 950 15749	SH	Sole		14962 0 787 Express Scripts Hldg	COM		302182100 1735 30108	SH	Sole		28603 0 1505 Exxon Mobil		COM		30231G102 718 7971	SH	Sole		 7572 0 399 Flaherty & Crumrine Pfd	ETF		338480106 1067 72000	SH	Sole		68400 0 3600 Fluor Corporation	COM		343412102 3399 51240	SH	Sole		48678 0 2562 Fresenius Medical Care	COM		358029106 341 10075	SH	Sole		 9571 0 504 Gartner Inc		COM		366651107 1499 27555	SH	Sole		26177 0 1378 General Electric	COM		369604103 893 38645	SH	Sole		36713 0 1932 Genuine Parts		COM		372460105 2031 26039	SH	Sole		24737 0 1302 Gilead Sciences Inc	COM		375558103 726 14844	SH	Sole		14102 0 742 Google Inc.		COM		38259P508 6829 8599	SH	Sole		 8169 0 430 Home Depot		COM		437076102 285 4089	SH	Sole		 3885 0 204 Honda Motor Co-ADR	COM		438128308 3383 88425	SH	Sole	 84004 0 4421 HSBC Hldgs PLC-ADR	COM		404280406 7735 145007	SH	Sole	 137757 0 7250 HSBC Hldgs Pfd 6.2%	PFD/FXD INC	404280604 1461 57750	SH	Sole		54863 0 2887 Internatl Bus Machines	COM		459200101 2036 9543	SH	Sole		 9066 0 477 iShares H-Yld Crp	ETF		464288513 1711 18130	SH	Sole		17224 0 906 iShares MSCI Emg Mkt IndETF		464287234 1559 36443	SH	Sole		34621 0 1822 iShares MSCI Japan	ETF		464286848 1336 123720	SH	Sole	 117534 0 6186 iShares MSCI Taiwan	ETF		464286731 1936 145120	SH	Sole	 137864 0 7256 iShares Russ 1000 	ETF		464287598 1201 14800	SH	Sole	 14060 0 740 iShares Russell 2000	ETF		464287655 504 5340	SH	Sole	 5073 0 267 iShares S&P US Pfd Indx	ETF		464288687 800 19755	SH	Sole		18767 0 988 iShares Silver Trust	ETF		46428Q109 920 33558	SH	Sole		31880 0	 1678 John Bean Techs Corp	COM		477839104 217 10471	SH	Sole		 9947 0	 524 Johnson & Johnson	COM		478160104 523 6420	SH	Sole		 6099 0	 316 JPMorgan Chase & Co	COM		46625H100 8127 171231	SH	Sole	 162669 0	 8562 Kayne Anderson MLP	ETF		486606106 2275 65515	SH	Sole		62239 0	 3276 Kimberly-Clark Corp	COM		494368103 228 2322	SH	Sole		 2206 0	 116 Lowes Companies Inc.	COM		548661107 3114 82114	SH	Sole		78008 0	 4106 Magellan Midstream Prns	COM		559080106 1493 27950	SH	Sole		26553 0	 1397 Medtronic Inc		COM		585055106 1666 35472	SH	Sole		33698 0	 1774 Merck & Co Inc		COM		58933Y105 496 11225	SH	Sole		10664 0	 561 Nextera Energy Inc	COM		65339F101 228 2929	SH	Sole		 2783 0	 146 Nike Inc.		COM		654106103 4558 77244	SH	Sole		73382 0	 3862 Norfolk Southern Corp	COM		655844108 494 6410	SH	Sole		 6090 0	 320 Nuveen Multi-Strt In&Gw	ETF		67073B106 730 71075	SH	Sole		67521 0	 3554 Omnicomm Sys Inc	COM		68212U104 1436 7179382	SH	Sole	 6820413 0 358969 Oracle Corporation 	COM		68389X105 272 8401	SH	Sole		 7981 0	 420 PepsiCo Inc.		COM		713448108 4160 52580	SH	Sole		49951 0	 2629 Pfizer Inc		COM		717081103 2083 72172	SH	Sole		68563 0	 3609 Philip Morris		COM		718172109 292 3151	SH	Sole		 2993 0	 158 Pimco Total Return	COM		72201R775 404 3680	SH	Sole		 3496 0	 184 Potash Corp.		COM		73755L107 3217 81955	SH	Sole		77857 0	 4098 Praxair Inc		COM		74005P104 2951 26455	SH	Sole		25132 0	 1323 Priceline.com		COM		741503403 1356 1970	SH	Sole		 1872 0	 98 Procter & Gamble Co	COM		742718109 575 7459	SH	Sole		 7086 0	 373 Qualcomm Inc		COM		747525103 423 6320	SH	Sole		 6004 0	 316 Raymond James Finl Inc	COM		754730109 1037 22490	SH	Sole		21366 0	 1124 Sally Beauty Holding	COM		79546E104 1500 51040	SH	Sole	 48488 0 2552 Sector SPDR Utilities	ETF		81369Y886 1711 43750	SH	Sole		41563 0 2187 SPD Regional Bank	ETF		78464A698 989 31105	SH	Sole		29550 0 1555 SPDR Gold Trust		OTHER ASSETS	78463V107 1408 9115	SH	Sole		 8659 0 456 SPDR S&P Intl Small Cap	ETF		78463X871 3091 100835	SH	Sole		95793 0 5042 Staples Inc.		COM		855030102 4688 349300	SH	Sole	 331835 0 17465 Stryker Corporation	COM		863667101 6305 96648	SH	Sole		91816 0 4832 Taitron Compnts Inc	COM		874028103 749 748890	SH	Sole	 711446 0 37444 TJX Cos Inc		COM		872540109 1321 28255	SH	Sole		26842 0 1413 United Parcel Service	COM		911312106 5489 63905	SH	Sole		60710 0 3195 Walt Disney Company	COM		254687106 7081 124669	SH	Sole	 118436 0 6233 WD-40 Company		COM		929236107 896 16356	SH	Sole		15538 0 818 Wisdom Tree India Earn	ETF		97717W422 463 25755	SH	Sole		24467 0 1288