SEC FORM 13F-HR

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:06-30-2014
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:HONEYWELL INTERNATIONAL INC
Address:101 Columbia Rd P O Box 4000
Morristown, NJ  07962
Form 13F File Number:028-01879

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:Harsh Bansal
Title:Vice President - Investments
Phone:973-455-4502
Signature, Place, and Date of Signing:
/s/ Harsh BansalMorristownNJ08-05-2014
[Signature][City, State][Date]
Report Type (Check only one.):
X13F 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:1
Form 13F Information Table Entry Total:176
Form 13F Information Table Value Total:4,349,384
(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 than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
No.Form 13F File NumberName
1028-07176HONEYWELL CAPITAL MANAGEMENT LLC

SEC FORM 13-F Information Table

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
EATON CORP PLCSHSG2918310327,746359,500SH DFND1359,50000
ENSCO PLCSHS CLASS AG3157S10634,653623,600SH DFND1623,60000
CHECK POINT SOFTWARE TECH LTORDM2246510416,369244,200SH DFND1244,20000
LYONDELLBASELL INDUSTRIES NSHS - A -N537451009,765100,000SH DFND1100,00000
NXP SEMICONDUCTORS N VCOMN6596X10924,123364,500SH DFND1364,50000
SENSATA TECHNOLOGIES HLDG NVSHSN7902X10623,830509,400SH DFND1509,40000
ABB LTDSPONSORED ADR00037520419,111830,200SH DFND1830,20000
AOL INCCOM00184X10517,309435,000SH DFND1435,00000
ABBOTT LABCOM00282410026,732653,600SH DFND1653,60000
ABBVIE INCCOM00287Y10915,521275,000SH DFND1275,00000
AGILENT TECHNOLOGIES INCCOM00846U10125,677447,020SH DFND1447,02000
ALEXANDRIA REAL ESTATE EQ INCOM0152711091,95725,200SH DFND125,20000
ALTERA CORPCOM02144110017,252496,318SH DFND1496,31800
ALTRIA GROUP INCCOM02209S10318,034430,000SH DFND1430,00000
AMAZON COM INCCOM02313510625,98280,000SH DFND180,00000
AMERICAN CAMPUS CMNTYS INCCOM0248351001,37736,000SH DFND136,00000
AMERICAN EXPRESS COCOM02581610919,828209,000SH DFND1209,00000
AMERICAN INTERNATIONAL GROUP INCCOM02687478433,294610,000SH DFND1610,00000
AMERN RLTY CAP PPTYS INCCOM02917T10476661,100SH DFND161,10000
AMERIPRISE FINL INCCOM03076C10618,120151,000SH DFND1151,00000
ANADARKO PETRO CORPCOM03251110724,959228,000SH DFND1228,00000
ANALOG DEVICES INCCOM03265410517,324320,400SH DFND1320,40000
APOLLO GLOBAL MGMT LLCCL A SHS03761230613,860500,000SH DFND1500,00000
APPLE INCCOM037833100142,0061,528,100SH DFND11,528,10000
AVALONBAY CMNTYS INCCOM0534841014,25629,930SH DFND129,93000
BAXTER INTL INCCOM0718131099,788135,375SH DFND1135,37500
BE AEROSPACE INCCOM073302101175,7311,900,000SH DFND11,900,00000
BEST BUY INCCOM08651610114,642472,164SH DFND1472,16400
BLACKSTONE GROUP L PCOM UNIT LTD09253U10831,805951,100SH DFND1951,10000
BOEING COCOM09702310566,096519,500SH DFND1519,50000
BOSTON PROPERTIES INCCOM1011211014,45237,670SH DFND137,67000
BROADCOM CORPCL A11132010715,806425,800SH DFND1425,80000
CMS ENERGY CORPCOM12589610014,018450,000SH DFND1450,00000
CVS CAREMARK CORPCOM12665010049,646658,700SH DFND1658,70000
CA INCCOM12673P10514,657510,000SH DFND1510,00000
CAMDEN PPTY TRSH BEN INT13313110220,186283,710SH DFND1283,71000
CAMERON INTL CORPCOM13342B10530,591451,800SH DFND1451,80000
CANADIAN PAC RY LTDCOM13645T10016,19489,400SH DFND189,40000
CAPITAL ONE FINL CORPCOM14040H10534,139413,300SH DFND1413,30000
CARDINAL HLTH INCCOM14149Y10837,749550,600SH DFND1550,60000
CARLYLE GROUP L PCOM UTS LTD PTN14309L10231,114916,191SH DFND1916,19100
CATAMARAN CORPCOM14888710230,029680,000SH DFND1680,00000
CELGENE CORPCOM15102010437,083431,800SH DFND1431,80000
CHEVRON CORPCOM166764100106,855818,500SH DFND1818,50000
CINEMARK HLDGS INCCOM17243V10218,882534,000SH DFND1534,00000
CISCO SYSTEMS INCCOM17275R10261,4222,471,700SH DFND12,471,70000
CITIGROUP INCCOM NEW17296742448,3711,026,980SH DFND11,026,98000
CITRIX SYS INCCOM17737610027,778444,100SH DFND1444,10000
COLUMBIA PPTY TR INCCOM NEW1982872031,38153,100SH DFND153,10000
COMMUNITY HEALTH SYS INC NEWCOM20366810827,921615,400SH DFND1615,40000
CONAGRA FOODSCOM20588710220,034675,000SH DFND1675,00000
COSTCO WHSL CORP NEWCOM22160K10528,514247,600SH DFND1247,60000
CUBESMARTCOM2296631091,04256,900SH DFND156,90000
CUMMINS INCCOM23102110616,540107,200SH DFND1107,20000
DDR CORPCOM23317H1022,047116,100SH DFND1116,10000
DANAHER CORPCOM23585110229,429373,800SH DFND1373,80000
DICKS SPORTING GOODS INCCOM25339310219,647421,972SH DFND1421,97200
DIGITAL RLTY TR INCCOM2538681031,41724,300SH DFND124,30000
WALT DISNEY COCOM25468710623,244271,100SH DFND1271,10000
DISCOVERY COMMUNICATNS NEWCOM SER A25470F10436,174487,000SH DFND1487,00000
DOUGLAS EMMETT INCCOM25960P1091,21142,900SH DFND142,90000
DOW CHEMICAL CO CCOM26054310346,777909,000SH DFND1909,00000
DUKE REALTY CORPCOM NEW2644115051,69493,300SH DFND193,30000
DUKE ENERGY CORP NEWCOM NEW26441C20453,454720,500SH DFND1720,50000
EMC CORPCOM26864810239,4311,497,000SH DFND11,497,00000
EASTMAN CHEM COCOM27743210024,790283,800SH DFND1283,80000
EBAY INCCOM27864210327,458548,500SH DFND1548,50000
EQUITY LIFESTYLE PPTYSCOM29472R1081,29429,300SH DFND129,30000
EQUITY RESIDENTIALSH BEN INT29476L1075,07580,550SH DFND180,55000
ESSEX PPTY TR INCCOM2971781052,55213,800SH DFND113,80000
EXTRA SPACE STORAGE INCCOM30225T1021,51828,500SH DFND128,50000
EXXON MOBIL CORPCOM30231G10260,408600,000SH DFND1600,00000
FEDERAL REALTY INVT TRSH BEN INT NEW3137472062,15217,800SH DFND117,80000
FIDELITY NATL INFORMATION SVCOM31620M10622,597412,800SH DFND1412,80000
FLOWSERVE CORPCOM34354P10518,601250,182SH DFND1250,18200
FORD MTR CO DELCOM PAR $0.0134537086011,637675,000SH DFND1675,00000
FREEPORT-MCMORAN INCCOM35671D85734,573947,200SH DFND1947,20000
GEO GROUP INCCOM36156R1031,25435,100SH DFND135,10000
GNC HLDGS INC GNC HOLDINGS INCCOM36191G10718,885553,800SH DFND1553,80000
GALLAGHER ARTHUR J & COCOM36357610916,310350,000SH DFND1350,00000
GAP INCCOM36476010824,535590,200SH DFND1590,20000
GENERAL ELECTRIC COCOM36960410321,024800,000SH DFND1800,00000
GENERAL GROWTH PPTYS INC NEWCOM3700231033,506148,800SH DFND1148,80000
GEN MTRS COCOM37045V10044,1841,217,200SH DFND11,217,20000
GOLDMAN SACHS GROUP INCCOM38141G10430,139180,000SH DFND1180,00000
GOOGLE INCCL A38259P50866,419113,600SH DFND1113,60000
GOOGLE INCCL C38259P70639,46468,600SH DFND168,60000
HCP INCCOM40414L1093,65488,300SH DFND188,30000
HALLIBURTON COCOM40621610116,900238,000SH DFND1238,00000
HARTFORD FINL SVCS GROUP INCCOM41651510430,900862,900SH DFND1862,90000
HEALTHCARE RLTY TRCOM42194610471328,050SH DFND128,05000
HEALTH CARE REIT INCCOM42217K10622,824364,200SH DFND1364,20000
HOME DEPOT INCCOM43707610288,1011,088,200SH DFND11,088,20000
HOST HOTELS & RESORTS INCCOM44107P1044,272194,100SH DFND1194,10000
INTUITIVE SURGICAL INCCOM NEW46120E60223,72057,600SH DFND157,60000
ISHARESNASDAQ BIOTEC ETF46428755619,27775,000SH DFND175,00000
JPMORGAN CHASE & COCOM46625H10086,5681,502,400SH DFND11,502,40000
JOHNSON & JOHNSONCOM47816010413,601130,000SH DFND1130,00000
KKR & CO L P DELCOM UNITS48248M10210,180418,400SH DFND1418,40000
KANSAS CITY SOUTHERNCOM NEW48517030234,952325,100SH DFND1325,10000
KILROY RLTY CORPCOM49427F1081,98731,900SH DFND131,90000
KIMBERLY-CLARK CORPCOM49436810321,555193,806SH DFND1193,80600
KIMCO RLTY CORPCOM49446R1092,365102,900SH DFND1102,90000
KOHLS CORPCOM50025510413,642258,965SH DFND1258,96500
LAS VEGAS SANDS CORPCOM51783410755,214724,400SH DFND1724,40000
LASALLE HOTEL PPTYSCOM SH BEN INT5179421081,64246,520SH DFND146,52000
LAUDER ESTEE COST INCCL A51843910424,290327,100SH DFND1327,10000
LIBERTY PPTY TRSH BEN INT5311721041,58241,700SH DFND141,70000
MSC INDL DIRECT INCCL A55353010617,263180,500SH DFND1180,50000
MACERICH COCOM5543821012,50337,500SH DFND137,50000
MARATHON OIL CORPCOM56584910615,868397,500SH DFND1397,50000
MASCO CORPCOM57459910619,021856,801SH DFND1856,80100
MASTERCARD INCCL A57636Q10431,959435,000SH DFND1435,00000
MATTEL INCCOM57708110218,511475,000SH DFND1475,00000
MC DONALDS CORPCOM58013510114,607145,000SH DFND1145,00000
MCKESSON CORPCOM58155Q10330,762165,200SH DFND1165,20000
MERCK & CO INC NEWCOM58933Y10539,234678,200SH DFND1678,20000
METLIFE INCCOM59156R10820,635371,400SH DFND1371,40000
MICROSOFT CORPCOM59491810479,2761,901,100SH DFND11,901,10000
MICROCHIP TECHNOLOGY INCCOM59501710419,524400,000SH DFND1400,00000
MONDELEZ INTL INCCOM60920710523,544626,000SH DFND1626,00000
MONSANTO CO NEWCOM61166W10120,021160,500SH DFND1160,50000
NATIONAL RETAIL PPTYS INCCOM63741710682622,200SH DFND122,20000
NIKE INCCL B65410610332,439418,300SH DFND1418,30000
NOBLE ENERGY INCCOM65504410533,308430,000SH DFND1430,00000
NORTHEAST UTILITIESCOM66439710633,642711,700SH DFND1711,70000
OCCIDENTAL PETROLEUM CORPCOM67459910543,300421,900SH DFND1421,90000
ORACLE CORPCOM68389X10529,619730,800SH DFND1730,80000
PNC FINANCIAL SERVICES GROUPCOM69347510525,166282,600SH DFND1282,60000
PVH CORPCOM69365610032,998283,000SH DFND1283,00000
PEPSICO INCCOM71344810834,262383,500SH DFND1383,50000
PHILIP MORRIS INTLCOM71817210916,019190,000SH DFND1190,00000
PRECISION CASTPARTS CORPCOM74018910527,621109,435SH DFND1109,43500
T ROWE PRICE GROUP INCCOM74144T10827,822329,600SH DFND1329,60000
PROCTER & GAMBLE COCOM7427181099,824125,000SH DFND1125,00000
PROLOGIS INC COMCOM74340W1035,132124,900SH DFND1124,90000
PRUDENTIAL FINL INCCOM74432010215,863178,700SH DFND1178,70000
PUB STORAGECOM74460D1094,91828,700SH DFND128,70000
QUALCOMM INCCOM74752510333,628424,600SH DFND1424,60000
QUESTAR CORPCOM74835610225,8611,042,800SH DFND11,042,80000
RLJ LODGING TRCOM74965L1011,32645,900SH DFND145,90000
REALTY INCOME CORPCOM7561091042,05746,300SH DFND146,30000
REGAL ENTMT GROUPCL A75876610914,243675,000SH DFND1675,00000
REGENCY CTRS CORPCOM7588491031,23622,200SH DFND122,20000
REPUBLIC SVCS INCCOM76075910015,188400,000SH DFND1400,00000
RESMED INCCOM76115210720,419403,300SH DFND1403,30000
ROCKWOOD HLDGS INCCOM77441510315,198200,000SH DFND1200,00000
ROPER INDS INC NEWCOM77669610637,028253,600SH DFND1253,60000
SL GREEN RLTY CORPCOM78440X1012,60423,800SH DFND123,80000
SANOFISPONSORED ADR80105N10545,362853,147SH DFND1853,14700
SCHLUMBERGER LTDCOM80685710830,643259,800SH DFND1259,80000
SIMON PROPERTY GROUP INCCOM82880610926,023156,500SH DFND1156,50000
SMITH A O CORPCOM83186520923,223468,400SH DFND1468,40000
SOUTHWESTERN ENERGY COCOM84546710918,287402,000SH DFND1402,00000
STARBUCKS CORPCOM85524410937,377483,031SH DFND1483,03100
STARWOOD HOTELS&RESORTS WRLDCOM85590A40125,337313,500SH DFND1313,50000
STRATEGIC HOTELS & RESORTS INC COMCOM86272T10669159,000SH DFND159,00000
SUNSTONE HOTEL INVS INC NEWCOM86789210191461,200SH DFND161,20000
TJX COS INC NEWCOM87254010931,412591,000SH DFND1591,00000
TRW AUTOMOTIVE HLDGS CORPCOM87264S10631,562352,569SH DFND1352,56900
TANGER FACTORY OUTLET CTRS INCCOM8754651061,32537,900SH DFND137,90000
TARGET CORPCOM87612E10618,063311,700SH DFND1311,70000
TAUBMAN CTRS INCCOM8766641031,19815,800SH DFND115,80000
THERMO FISHER CORPCOM88355610233,642285,100SH DFND1285,10000
TWENTY-FIRST CENTY FOX INCCL A90130A10128,496810,700SH DFND1810,70000
UDR INCCOM9026531042,14274,800SH DFND174,80000
ADR UNILEVER N VN Y SHS NEW90478470954,6781,249,500SH DFND11,249,50000
UNION PAC CORPCOM90781810845,765458,800SH DFND1458,80000
UNITED TECHNOLOGIES CORPCOM91301710928,262244,800SH DFND1244,80000
VENTAS INCCOM92276F1004,00062,400SH DFND162,40000
VERIZON COMMUNICATIONSCOM92343V10463,4721,297,200SH DFND11,297,20000
VISA INCCOM CL A92826C83930,974147,000SH DFND1147,00000
VORNADO RLTY TRSH BEN INT9290421094,00237,500SH DFND137,50000
WAL-MART STORES INCCOM93114210329,127388,000SH DFND1388,00000
WASHINGTON PRIME GROUP INCCOM9396471031,46678,250SH DFND178,25000
WELLS FARGO & CO NEWCOM94974610154,5101,037,100SH DFND11,037,10000