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 holdings entries Institutional Investment Manager Filing this Report: Name:	UAS Asset Management Address:	441 Lexington Avenue #1220 	New York, NY 10017 Form 13F File Number: 028-11585 The institutional investment manger 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:	Ali Granmayeh Title:	Managing Director Phone:	212-983-5822 Signature,	Place, 	and Date of Signing: ALI GRANMAYEH	New York, NY	May 14, 2013 Report Type (Check only one): 	[ X ] 13F HOLDINGS REPORT 	[ ] 13F NOTICE 	[ ] 13F COMBINATION REPORT List of Other Managers Reporting for this Manager: NONE FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers:	0 Form 13F Information Table Entry Total:	34 Form 13F Information Table Value Total:	$146,408 List of Other Included Mangers:	N/A 					 FORM 13F INFORMATION TABLE 3/31/2013			Value	SHARES /	SH /	PUT /	INVSTMT	OTHER		VOTING AUTHORITY NAME OF ISSUER	TITLE OF CLASS	Cusip	"(X $1,000)"	PRN AMT	PRN	CALL	DISCRETN	MANAGERS	SOLE	SHARED	NONE ABBOTT LABS COM	COM	002824100	" 3,474 "	"98,360"	SH		SOLE			" 98,360 " AMERICAN EXPRESS COMPANY	COM	025816109	" 5,045 "	"74,788"	SH		SOLE			" 74,788 " AMERICAN INTL GROUP INC COM NEW	COM	026874784	" 13,789 "	"355,215"	SH		SOLE			" 355,215 " BANK AMER CORP COM	COM	060505104	" 9,774 "	"802,440"	SH		SOLE			" 802,440 " BANK OF NEW YORK MELLON CORP COM	COM	064058100	" 3,719 "	"132,865"	SH		SOLE			" 132,865 " BERKSHIRE HATHAWAY INC DEL CL A	COM	084670108	 469 	3	SH		SOLE			 3 BERKSHIRE HATHAWAY INC DEL CL B NEW	COM	084670702	" 13,482 "	"129,385"	SH		SOLE			" 129,385 " BRISTOL MYERS SQUIBB CO COM	COM	110122108	" 10,347 "	"251,191"	SH		SOLE			" 251,191 " COCA COLA COMPANY	COM	191216100	" 8,291 "	"205,011"	SH		SOLE			" 205,011 " CONAGRA FOODS INC COM	COM	205887102	" 1,562 "	"43,625"	SH		SOLE			" 43,625 " DUNKIN BRANDS GROUP INC COM	COM	265504100	" 4,514 "	"122,387"	SH		SOLE			" 122,387 " FANUC CORPORATION ADR ISIN#US3073051027	SPON ADR	307305102	 260 	"10,200"	SH		SOLE			" 10,200 " FISERV INC COM	COM	337738108	" 1,048 "	"11,925"	SH		SOLE			" 11,925 " GENERAL MTRS CO COM	COM	37045V100	" 3,560 "	"127,955"	SH		SOLE			" 127,955 " GENUINE PARTS CO	COM	372460105	" 1,242 "	"15,920"	SH		SOLE			" 15,920 " HEINEKEN N V SPONS ADR LEVEL 1 ISIN#US4230	SPON ADR	423012301	" 3,217 "	"85,475"	SH		SOLE			" 85,475 " INTEL CORP COM	COM	458140100	 273 	"12,500"	SH		SOLE			" 12,500 " INTERNATIONAL BUSINESS MACHS CORP COM	COM	459200101	" 1,745 "	"8,181"	SH		SOLE			" 8,181 " JOHNSON & JOHNSON COM	COM	478160104	" 5,759 "	"70,634"	SH		SOLE			" 70,634 " MICROSOFT CORP COM	COM	594918104	 286 	"10,000"	SH		SOLE			" 10,000 " PEPSICO INC COM	COM	713448108	" 10,918 "	"138,013"	SH		SOLE			" 138,013 " PERNOD RICARD S A ADR ISIN#US1742642070	SPON ADR	714264207	" 1,171 "	"46,900"	SH		SOLE			" 46,900 " PING AN INS GROUP CO CHINA LTD SPON ADR RE	SPON ADR	72341E304	 662 	"42,650"	SH		SOLE			" 42,650 " PROCTER & GAMBLE CO COM	COM	742718109	" 10,141 "	"131,603"	SH		SOLE			" 131,603 " RECKITT BENCKISER PLC SPONSORED ADR ISIN#U	SPON ADR	756255204	" 1,252 "	"87,392"	SH		SOLE			" 87,392 " SANOFI SPONS ADR ISIN#US80105N1054	SPON ADR	80105N105	" 3,819 "	"74,770"	SH		SOLE			" 74,770 " SWATCH GROUP AG ADR ISIN#US8701231065	SPON ADR	870123106	" 3,305 "	"113,410"	SH		SOLE			" 113,410 " SYSCO CORP	COM	871829107	" 4,761 "	"135,370"	SH		SOLE			" 135,370 " UNILEVER PLC SPON ADR NEW ISIN#US904767704	SPON ADR	904767704	" 1,613 "	"38,175"	SH		SOLE		" 38,175 " USG CORP (NEW) COMMON STOCK	COM	903293405	" 2,333 "	"88,235"	SH		SOLE			" 88,235 " VALEANT PHARMACEUTICALS INTL INC CDA COM I	COM	91911K102	" 1,407 "	"18,749"	SH		SOLE			" 18,749 " WAL MART STORES INC COM	COM	931142103	" 1,104 "	"14,747"	SH		SOLE			" 14,747 " WASHINGTON POST CO CL B	COM	939640108	" 1,911 "	"4,275"	SH		SOLE			" 4,275 " WELLS FARGO & CO NEW COM	COM	949746101	" 10,155 "	"274,523"	SH		SOLE			" 274,523 "	" 292,203 "