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:03-31-2017
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:115 TABOR ROAD
MORRIS PLAINS, NJ  07950
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 BansalMorris PlainsNJ05-01-2017
[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:182
Form 13F Information Table Value Total:3,100,496
(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
ALLERGAN PLCSHSG0177J10835,367148,030SH DFND1148,03000
AON PLCSHS CL AG0408V10216,617140,000SH DFND1140,00000
ARRIS INTERNATIONAL LTD COM USD0.01SHSG0551A10312,617477,000SH DFND1477,00000
COCA-COLA EUROPEAN PARTNERSSHSG2583910410,101268,000SH DFND1268,00000
INGERSOLL-RAND PLC COM STKSHSG4779110123,729291,800SH DFND1291,80000
WEATHERFORD INTERNATIONAL PLCORD SHSG4883310012,9241,943,400SH DFND11,943,40000
INVESCO LTDSHSG491BT10811,211366,000SH DFND1366,00000
LAZARD LTDSHS AG5405010225,744559,784SH DFND1559,78400
NIELSEN HOLDINGS PLCSHS EURG6518L10814,459350,000SH DFND1350,00000
TE CONNECTIVITY LTDREG SHSH8498910412,070161,900SH DFND1161,90000
MYLAN NVSHS EURON5946510915,549398,800SH DFND1398,80000
SENSATA TECHNOLOGIES HLDG NVSHSN7902X1069,852225,600SH DFND1225,60000
ROYAL CARIBBEAN CRUISES LTDCOMV7780T10318,150185,000SH DFND1185,00000
BROADCOM LTDSHSY0982710915,48070,700SH DFND170,70000
FLEX LTDORDY2573F10214,739877,300SH DFND1877,30000
ABBOTT LABCOM00282410035,591801,426SH DFND1801,42600
ACTIVISION BLIZZARD INCCOM00507V10914,016281,100SH DFND1281,10000
AECOMCOM00766T10025,653720,800SH DFND1720,80000
AETNA INCCOM00817Y10822,004172,512SH DFND1172,51200
AFFILIATED MANAGERS GROUP INCCOM00825210823,861145,550SH DFND1145,55000
AGRIUM INCCOM00891610812,250128,200SH DFND1128,20000
ALEXANDRIA REAL ESTATE EQUITIES INCCOM0152711092,37221,465SH DFND121,46500
ALEXION PHARMACEUTICALS INCCOM01535110922,951189,300SH DFND1189,30000
ALLIANCE DATA SYS CORPCOM01858110812,35049,600SH DFND149,60000
ALPHABET INCCAP STK CL A02079K30585,980101,415SH DFND1101,41500
AMERICAN CAMPUS CMNTYS INCCOM0248351002,71557,045SH DFND157,04500
AMERICAN HOMES 4 RENTCOM02665T3062,00887,450SH DFND187,45000
AMERIPRISE FINL INCCOM03076C10624,976192,600SH DFND1192,60000
AMETEK INC NEWCOM03110010023,550435,458SH DFND1435,45800
ANADARKO PETRO CORPCOM03251110719,474314,100SH DFND1314,10000
APARTMENT INVT & MGMT COCL A03748R1012,62959,280SH DFND159,28000
APOLLO GLOBAL MGMT LLCCL A SHS03761230610,870446,955SH DFND1446,95500
APPLE INCCOM03783310093,609651,600SH DFND1651,60000
ASTRAZENECA PLCSPONSORED ADR04635310814,480465,000SH DFND1465,00000
AUTOZONE INCCOM05333210228,70539,700SH DFND139,70000
AVALONBAY CMNTYS INCCOM0534841016,19233,725SH DFND133,72500
BANK OF AMERICA CORPCOM06050510447,2632,003,500SH DFND12,003,50000
BERKSHIRE HATHAWAY INC DELCL B NEW08467070213,45180,700SH DFND180,70000
BLACKSTONE GROUP L PCOM UNIT LTD09253U10836,6501,234,000SH DFND11,234,00000
BOSTON PROPERTIES INCCOM1011211015,33340,275SH DFND140,27500
BRANDYWINE RLTY TRSH BEN INT NEW1053682031,835113,060SH DFND1113,06000
BRISTOL MYERS SQUIBB COCOM11012210835,733657,100SH DFND1657,10000
BRIXMOR PPTY GROUP INCCOM11120U1052,667124,300SH DFND1124,30000
CF INDS HLDGS INCCOM1252691007,035239,700SH DFND1239,70000
CMS ENERGY CORPCOM1258961005,593125,000SH DFND1125,00000
CVS HEALTH CORPCOM12665010064,943827,300SH DFND1827,30000
CANADIAN PAC RY LTDCOM13645T10019,100130,000SH DFND1130,00000
CARLYLE GROUP L PCOM UTS LTD PTN14309L1026,874430,965SH DFND1430,96500
CELGENE CORPCOM15102010431,468252,900SH DFND1252,90000
CENTENE CORP DELCOM15135B10115,157212,700SH DFND1212,70000
CHEVRON CORPCOM16676410058,076540,900SH DFND1540,90000
CIMAREX ENERGY COCOM17179810119,047159,400SH DFND1159,40000
CISCO SYSTEMS INCCOM17275R10210,140300,000SH DFND1300,00000
CITIGROUP INCCOM NEW17296742449,453826,700SH DFND1826,70000
COCA COLA COCOM19121610012,944305,000SH DFND1305,00000
CONOCOPHILLIPSCOM20825C10427,279547,000SH DFND1547,00000
CORECIVIC INCCOM21871N1011,54649,210SH DFND149,21000
COSTCO WHOLESALE CORP NEWCOM22160K10542,526253,600SH DFND1253,60000
CUBESMARTCOM2296631099,192354,070SH DFND1354,07000
CYPRESS SEMICONDUCTOR CORPCOM23280610911,008800,000SH DFND1800,00000
CYRUSONE INCCOM23283R1002,29444,575SH DFND144,57500
DCT INDL TR INCCOM2331532042,43950,685SH DFND150,68500
DELTA AIR LINES INC DELCOM NEW24736170221,872475,900SH DFND1475,90000
DIGITAL RLTY TR INCCOM2538681034,89145,976SH DFND145,97600
DISCOVER FINL SVCSCOM25470910818,178265,800SH DFND1265,80000
DOW CHEMICAL COCOM2605431039,531150,000SH DFND1150,00000
DUKE RLTY CORPCOM NEW2644115053,168120,585SH DFND1120,58500
DUKE ENERGY CORP NEW COM NEW COM NEWCOM26441C20410,661130,000SH DFND1130,00000
DUPONT FABROS TECHNOLOGY INCCOM26613Q1061,95439,400SH DFND139,40000
EOG RESOURCES INCCOM26875P10118,798192,700SH DFND1192,70000
EPR PPTYSCOM SH BEN INT26884U1092,24330,460SH DFND130,46000
EASTMAN KODAK CO*W EXP 09/03/201277461133013SH DFND11300
EASTMAN KODAK CO*W EXP 09/03/201277461141013SH DFND11300
ELECTR ARTS COMCOM28551210913,876155,000SH DFND1155,00000
ENVISION HEALTHCARE CORPCOM29414D10023,418381,900SH DFND1381,90000
EQUINIX INCCOM PAR $0.00129444U7007,29218,214SH DFND118,21400
EQUITY LIFESTYLE PPTYS INCCOM29472R1082,41031,270SH DFND131,27000
EQTY RESDNTL EFF 5/15/02COM29476L10714,947240,226SH DFND1240,22600
ESSEX PPTY TRCOM2971781053,93116,980SH DFND116,98000
EVERSOURCE ENERGYCOM30040W10811,815201,000SH DFND1201,00000
EXELON CORPCOM30161N10112,550348,800SH DFND1348,80000
EXTRA SPACE STORAGE INCCOM30225T1022,25330,280SH DFND130,28000
EXXON MOBIL CORPCOM30231G10219,658239,700SH DFND1239,70000
FACEBOOK INCCL A30303M10241,592292,800SH DFND1292,80000
FEDERAL REALTY INVT TRSH BEN INT NEW3137472062,47618,550SH DFND118,55000
FIDELITY NATL INFORMATION SVCS INCCOM31620M10612,612158,400SH DFND1158,40000
FIREEYE INCCOM31816Q1019,599761,200SH DFND1761,20000
FLEETCOR TECHNOLOGIES INCCOM33904110518,050119,200SH DFND1119,20000
GGP INCCOM36174X1013,763162,350SH DFND1162,35000
GAMING & LEISURE PPTYS INCCOM36467J1082,86785,775SH DFND185,77500
GENERAL DYNAMICS CORPCOM36955010823,063123,200SH DFND1123,20000
GENERAL ELECTRIC COCOM36960410314,948501,600SH DFND1501,60000
GENERAL MILLS INCCOM37033410426,082442,000SH DFND1442,00000
GLOBAL PMTS INCCOM37940X10216,943210,000SH DFND1210,00000
GOLDMAN SACHS GROUP INCCOM38141G10428,141122,500SH DFND1122,50000
HCP INCCOM40414L1094,239135,506SH DFND1135,50600
HD SUPPLY HLDGS INCCOM40416M10520,826506,400SH DFND1506,40000
HP INCCOM40434L10510,728600,000SH DFND1600,00000
HEALTHCARE RLTY TRCOM4219461042,40173,868SH DFND173,86800
HELMERICH & PAYNE INCCOM42345210115,644235,000SH DFND1235,00000
HEMISPHERE MEDIA GROUP INCCL A42365Q10310,938930,913SH DFND1930,91300
HIGHWOODS PPTYS INCCOM4312841082,33647,550SH DFND147,55000
HOME DEPOT INCCOM43707610237,256253,736SH DFND1253,73600
HOST HOTELS & RESORTS INCCOM44107P1043,498187,450SH DFND1187,45000
HUDSON PACIFIC PROPERTIES INCCOM4440971092,29566,240SH DFND166,24000
INTEL CORPCOM4581401007,214200,000SH DFND1200,00000
INTERCONTINENTAL EXCHANGE INCCOM45866F10429,893499,300SH DFND1499,30000
INTL PAPER COCOM46014610325,009492,500SH DFND1492,50000
INTUITCOM46120210316,401141,400SH DFND1141,40000
IRON MTN INC NEWCOM46284V1013,02184,700SH DFND184,70000
KKR & CO L P DELCOM UNITS48248M10213,053716,000SH DFND1716,00000
KANSAS CITY SOUTHERNCOM NEW48517030217,907208,800SH DFND1208,80000
KELLOGG COCOM4878361087,261100,000SH DFND1100,00000
KILROY RLTY CORPCOM49427F1082,78138,580SH DFND138,58000
KIMCO RLTY CORPCOM49446R1092,811127,240SH DFND1127,24000
KIRBY CORPCOM49726610611,253159,500SH DFND1159,50000
KROGER COCOM50104410121,377724,900SH DFND1724,90000
L BRANDS INCCOM50179710431,180662,001SH DFND1662,00100
LKQ CORPCOM50188920813,060446,200SH DFND1446,20000
LAMAR ADVERTISING CO NEWCL A5128161091,71822,985SH DFND122,98500
LAS VEGAS SANDS CORPCOM51783410722,828400,000SH DFND1400,00000
LASALLE HOTEL PPTYSCOM SH BEN INT5179421081,54453,335SH DFND153,33500
ESTEE LAUDER COMPANIES INCCL A51843910419,570230,800SH DFND1230,80000
LILLY ELI & COCOM53245710829,691353,000SH DFND1353,00000
LOWES COS INCCOM54866110752,080633,500SH DFND1633,50000
MACERICH COCOM55438210190314,025SH DFND114,02500
MASTERCARD INCORPORATEDCL A57636Q10431,638281,300SH DFND1281,30000
MERCK & CO INCCOM58933Y10533,428526,100SH DFND1526,10000
MICROSOFT CORPCOM59491810464,437978,400SH DFND1978,40000
MICROCHIP TECHNOLOGY INCCOM59501710425,498345,600SH DFND1345,60000
MID-AMER APT CMNTYS INCCOM59522J1033,08330,300SH DFND130,30000
MONDELEZ INTL INCCOM60920710516,034372,200SH DFND1372,20000
NATIONAL RETAIL PPTYS INCCOM6374171062,45056,160SH DFND156,16000
NIKE INCCL B65410610319,081342,388SH DFND1342,38800
NOVARTIS A GSPONSORED ADR66987V10911,883160,000SH DFND1160,00000
OCCIDENTAL PETROLEUM CORPCOM67459910522,480354,800SH DFND1354,80000
PNC FINANCIAL SERVICES GROUPCOM69347510518,757156,000SH DFND1156,00000
PPG IND INCCOM69350610720,301193,200SH DFND1193,20000
PEPSICO INCCOM71344810823,211207,500SH DFND1207,50000
PERKINELMER INCCOM71404610913,191227,200SH DFND1227,20000
PFIZER INCCOM7170811037,697225,000SH DFND1225,00000
PHILIP MORRIS INTL INCCOM7181721097,79069,000SH DFND169,00000
PRAXAIR INCCOM74005P10414,078118,700SH DFND1118,70000
T ROWE PRICE GROUP INCCOM74144T1088,382123,000SH DFND1123,00000
PROLOGIS INCCOM74340W1037,570145,915SH DFND1145,91500
PUB STORAGECOM74460D1096,22128,420SH DFND128,42000
RANGE RES CORPCOM75281A10912,696436,300SH DFND1436,30000
REALTY INCOME CORPCOM7561091044,49275,460SH DFND175,46000
REGENCY CTRS CORPCOM7588491033,83557,767SH DFND157,76700
REGENERON PHARMACEUTICALS INCCOM75886F10712,78833,000SH DFND133,00000
REXFORD INDL RLTY INCCOM76169C1001,60371,190SH DFND171,19000
ROPER TECHNOLOGIES INCCOM77669610629,982145,200SH DFND1145,20000
SL GREEN RLTY CORPCOM78440X1013,33231,250SH DFND131,25000
SALESFORCE COM INCCOM79466L30219,798240,000SH DFND1240,00000
SCHLUMBERGER LTDCOM80685710819,431248,800SH DFND1248,80000
SIMON PROPERTY GROUP INCCOM82880610936,589212,690SH DFND1212,69000
SOUTHERN COCOM84258710711,400229,000SH DFND1229,00000
STANLEY BLACK & DECKER INCCOM85450210113,287100,000SH DFND1100,00000
STARBUCKS CORPCOM85524410936,976633,262SH DFND1633,26200
STERICYCLE INCCOM85891210817,158207,000SH DFND1207,00000
SUN COMMUNITIES INCCOM8666741041,86623,230SH DFND123,23000
SUNSTONE HOTEL INVS INC NEWCOM8678921011,651107,697SH DFND1107,69700
TJX COS INC NEWCOM87254010920,822263,300SH DFND1263,30000
TARGET CORPCOM87612E10636,707665,100SH DFND1665,10000
THERMO FISHER CORPCOM88355610228,385184,800SH DFND1184,80000
TOLL BROS INCCOM88947810313,465372,900SH DFND1372,90000
TOTAL S ASPONSORED ADR89151E10910,084200,000SH DFND1200,00000
UNDER ARMOUR INCCL C90431120612,490682,501SH DFND1682,50100
UNITED PARCEL SVC INCCL B91131210643,199402,600SH DFND1402,60000
UNITED STATES STL CORP NEWCOM9129091086,762200,000SH DFND1200,00000
UNITEDHEALTH GROUP INCCOM91324P10235,262215,000SH DFND1215,00000
URBAN EDGE PPTYSCOM91704F1041,91072,620SH DFND172,62000
V F CORPCOM9182041085,22295,000SH DFND195,00000
VENTAS INCCOM92276F1004,53169,660SH DFND169,66000
VANGUARD INDEX FDSREIT ETF92290855342,823518,500SH DFND1518,50000
VERIZON COMMUNICATIONSCOM92343V10432,906675,000SH DFND1675,00000
VISA INCCOM CL A92826C83933,468376,600SH DFND1376,60000
VORNADO RLTY TRCOM9290421094,35743,440SH DFND143,44000
VOYA FINL INCCOM92908910017,105450,600SH DFND1450,60000
WEINGARTEN RLTY INVSSH BEN INT9487411031,80354,000SH DFND154,00000
WELLS FARGO & CO NEWCOM94974610140,565728,800SH DFND1728,80000
WELLTOWER INCCOM95040Q1046,34489,585SH DFND189,58500