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:12-31-2017
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 PlainsNJ02-09-2018
[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:164
Form 13F Information Table Value Total:46,612,846
(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
ADIENT PLCORD SHSG0084W10127,466349,000SH DFND1349,00000
ALLERGAN PLCSHSG0177J10839,640242,330SH DFND1242,33000
ATHENE HLDG LTDCL AG0684D10729,547571,400SH DFND1571,40000
WEATHERFORD INTL PLCORD SHSG488331008,9472,145,500SH DFND12,145,50000
JOHNSON CTLS INTL PLCSHSG5150210536,231950,700SH DFND1950,70000
NORWEGIAN CRUISE LINE HLDGSSHSG6672110432,940618,600SH DFND1618,60000
TRITON INTL LTDCL AG9078F1072476,600SH DFND16,60000
FLEX LTDORDY2573F10221,2011,178,500SH DFND11,178,50000
AT&T INCCOM00206R10227,224700,200SH DFND1700,20000
ABBOTT LABCOM00282410025,618448,896SH DFND1448,89600
ACTIVISION BLIZZARD INCCOM00507V10929,716469,300SH DFND1469,30000
AFFILIATED MANAGERS GROUP INCCOM00825210829,915145,750SH DFND1145,75000
AGRIUM INCCOM00891610822,287193,800SH DFND1193,80000
ALEXANDRIA REAL ESTATE EQ INCOM0152711094,11131,484SH DFND131,48400
ALEXION PHARMACEUTICALS INCCOM01535110927,446229,500SH DFND1229,50000
ALPHABET INCCAP STK CL A02079K305102,82897,615SH DFND197,61500
ALTRIA GROUP INCCOM02209S10317,138240,000SH DFND1240,00000
AMAZON COM INCCOM02313510674,84664,000SH DFND164,00000
AMERICAN CAMPUS CMNTYS INCCOM0248351002,00148,769SH DFND148,76900
AMERICAN EXPRESS COCOM02581610930,836310,500SH DFND1310,50000
AMERICAN HOMES 4 RENTCOM02665T3062,17999,754SH DFND199,75400
AMERIPRISE FINL INCCOM03076C10625,878152,700SH DFND1152,70000
AMETEK INC NEWCOM03110010029,413405,858SH DFND1405,85800
ANADARKO PETRO CORPCOM03251110730,291564,700SH DFND1564,70000
ANTERO RES CORPCOM03674X10644723,520SH DFND123,52000
APARTMENT INVT & MGMT COCL A03748R1012,16249,465SH DFND149,46500
APPLE INCCOM03783310066,440392,600SH DFND1392,60000
APPLE HOSPITALITY REIT INCCOM NEW03784Y2001,70987,130SH DFND187,13000
AUTOZONE INCCOM05333210214,44120,300SH DFND120,30000
AVALONBAY CMNTYSCOM0534841016,68937,493SH DFND137,49300
BANK OF AMERICA CORPCOM06050510468,1142,307,400SH DFND12,307,40000
BLACKSTONE GROUP L PCOM UNIT LTD09253U10832,6641,020,100SH DFND11,020,10000
BOSTON PROPERTIES INCCOM1011211015,17939,826SH DFND139,82600
BRANDYWINE RLTY TRSH BEN INT NEW1053682031,889103,842SH DFND1103,84200
BRIXMOR PPTY GROUP INCCOM11120U1051,20064,290SH DFND164,29000
CME GROUP INCCOM12572Q10535,052240,000SH DFND1240,00000
CAMDEN PPTY TRSH BEN INT1331311021,71218,597SH DFND118,59700
CANADIAN PAC RY LTDCOM13645T10032,933180,200SH DFND1180,20000
CELGENE CORPCOM15102010429,033278,200SH DFND1278,20000
CHEVRON CORPCOM16676410061,568491,800SH DFND1491,80000
CIENA CORPCOM NEW17177930919,884950,000SH DFND1950,00000
CIMAREX ENERGY COCOM17179810128,050229,900SH DFND1229,90000
CISCO SYSTEMS INCCOM17275R10234,489900,500SH DFND1900,50000
CITIGROUP INCCOM NEW17296742454,185728,200SH DFND1728,20000
COLONY NORTHSTAR INCCL A COM19625W10482572,268SH DFND172,26800
COMCAST CORPCL A20030N10138,800968,800SH DFND1968,80000
CONOCOPHILLIPSCOM20825C10433,911617,800SH DFND1617,80000
CORECIVIC INCCOM21871N1011,41462,866SH DFND162,86600
CORP OFFICE PPTYS TRCOM22002T10885929,434SH DFND129,43400
COSTCO WHOLESALE CORP NEWCOM22160K10548,763262,000SH DFND1262,00000
COUSINS PPTYS INCCOM22279510660064,865SH DFND164,86500
CUBESMARTCOM2296631091,06736,882SH DFND136,88200
CYPRESS SEMICONDUCTOR CORPCOM23280610920,2141,326,400SH DFND11,326,40000
CYRUSONE INCCOM23283R1001,88031,586SH DFND131,58600
DCT INDL TR INCCOM2331532042,41341,053SH DFND141,05300
DDR CORPCOM23317H10272280,620SH DFND180,62000
DANAHER CORPCOM23585110259,451640,500SH DFND1640,50000
DELTA AIR LINES INC DELCOM NEW24736170226,678476,400SH DFND1476,40000
DIGITAL RLTY TR INCCOM2538681037,09462,280SH DFND162,28000
DOUGLAS EMMETT INCCOM25960P1091,24030,194SH DFND130,19400
DUKE RLTY CORPCOM NEW2644115053,601132,330SH DFND1132,33000
EOG RESOURCES INCCOM26875P10125,683238,000SH DFND1238,00000
EPR PPTYSCOM SH BEN INT26884U1091,78027,189SH DFND127,18900
EASTMAN KODAK CO*W EXP 09/03/201277461133013SH DFND11300
EASTMAN KODAK CO*W EXP 09/03/201277461141013SH DFND11300
EMERSON ELECTRIC COCOM29101110442,859615,000SH DFND1615,00000
ENVISION HEALTHCARE CORPCOM29414D10018,745542,400SH DFND1542,40000
EQUINIX INCCOM PAR $0.00129444U70010,08622,253SH DFND122,25300
EQUITY COMMONWEALTHCOM SH BEN INT2946281021,54550,640SH DFND150,64000
EQTY LIFESTYLE PPTYS INCCOM29472R1082,00522,518SH DFND122,51800
EQTY RESIDENTIALSH BEN INT29476L1075,88492,269SH DFND192,26900
ESSEX PPTY TRCOM2971781055,23621,692SH DFND121,69200
EXTRA SPACE STORAGE INCCOM30225T1023,38338,683SH DFND138,68300
FEDERAL RLTY INVT TRSH BEN INT NEW3137472063,62227,275SH DFND127,27500
FIDELITY NATL INFORMATION SVCS INCCOM31620M10621,979233,600SH DFND1233,60000
FOREST CITY RLTY TR INCCOM CL A3456051091,95881,249SH DFND181,24900
GGP INCCOM36174X1014,397187,985SH DFND1187,98500
GAMING & LEISURE PPTYS INCCOM36467J1083,10583,932SH DFND183,93200
GENERAL DYNAMICS CORPCOM36955010825,085123,300SH DFND1123,30000
GLOBAL PMTS INCCOM37940X10221,070210,200SH DFND1210,20000
GOLDMAN SACHS GROUP INCCOM38141G10436,380142,800SH DFND1142,80000
GRAMERCY PPTY TRCOM NEW3850023081,02238,325SH DFND138,32500
HCP INCCOM40414L1094,217161,676SH DFND1161,67600
HEALTHCARE RLTY TRCOM4219461042,00062,263SH DFND162,26300
HEALTHCARE TR AMER INCCL A NEW42225P5012,62987,521SH DFND187,52100
HELMERICH & PAYNE INCCOM42345210116,503255,300SH DFND1255,30000
HEMISPHERE MEDIA GROUP INCCL A42365Q10310,752930,913SH DFND1930,91300
HIGHWOODS PPTYS INCCOM4312841082,40047,142SH DFND147,14200
HOME DEPOT INCCOM43707610250,100264,336SH DFND1264,33600
HOSPITALITY PPTYS TRCOM SH BEN INT44106M10293131,178SH DFND131,17800
HOST HOTELS & RESORTS INCCOM44107P1044,753239,468SH DFND1239,46800
HUDSON PACIFIC PROPERTIES INCCOM4440971092,20064,220SH DFND164,22000
INTEL CORPCOM45814010026,588576,000SH DFND1576,00000
INTERCONTINENTAL EXCHANGE INCCOM45866F10447,621674,900SH DFND1674,90000
INTERNATIONAL BUSINESS MACHS CORPCOM45920010127,186177,200SH DFND1177,20000
INTL PAPER COCOM46014610321,606372,900SH DFND1372,90000
INVITATION HOMES INCCOM46187W1071,68371,425SH DFND171,42500
IRON MTN INC NEWCOM46284V1013,39389,936SH DFND189,93600
JBG SMITH PROPERTIESCOM46590V10096427,747SH DFND127,74700
JPMORGAN CHASE & COCOM46625H10042,776400,000SH DFND1400,00000
KANSAS CITY SOUTHERNCOM48517030221,991209,000SH DFND1209,00000
KEYCORP NEWCOM49326710833,4821,660,000SH DFND11,660,00000
KILROY RLTY CORPCOM49427F1082,56334,339SH DFND134,33900
KIMCO RLTY CORPCOM49446R1092,950162,550SH DFND1162,55000
LAMAR ADVERTISING CO NEWCL A5128161092,54934,334SH DFND134,33400
LASALLE HOTEL PPTYSCOM SH BEN INT51794210890332,186SH DFND132,18600
LAUDER ESTEE COS INCCL A51843910425,575201,000SH DFND1201,00000
LIBERTY PPTY TRSH BEN INT5311721041,05324,490SH DFND124,49000
LIFE STORAGE INCCOM53223X1076457,245SH DFND17,24500
MGM RESORTS INTERNATIONALCOM55295310124,909746,000SH DFND1746,00000
MACERICH COCOM5543821011,65525,199SH DFND125,19900
MEDICAL PPTYS TR INCCOM58463J3041,00272,728SH DFND172,72800
MERCK & CO INCCOM58933Y10539,057694,100SH DFND1694,10000
MICROSOFT CORPCOM59491810494,9841,110,400SH DFND11,110,40000
MICROCHIP TECHNOLOGY INCCOM59501710428,183320,700SH DFND1320,70000
MID-AMER APT CMNTYS INCCOM59522J1032,89028,744SH DFND128,74400
NATIONAL RETAIL PPTYS INCCOM6374171062,29053,086SH DFND153,08600
OMEGA HEALTHCARE INVS INCCOM6819361001,54856,210SH DFND156,21000
OUTFRONT MEDIA INCCOM69007J1061,10647,689SH DFND147,68900
PPG IND INCCOM69350610724,929213,400SH DFND1213,40000
PHILIP MORRIS INTL INCCOM71817210930,639290,000SH DFND1290,00000
PRAXAIR INCCOM74005P10423,016148,800SH DFND1148,80000
PROLOGIS INCCOM74340W1039,874153,061SH DFND1153,06100
PUB STORAGECOM74460D1098,27639,596SH DFND139,59600
QUALCOMM INCCOM74752510328,828450,300SH DFND1450,30000
RLJ LODGING TRCOM74965L1011,54470,284SH DFND170,28400
REALTY INCOME CORPCOM7561091044,68982,238SH DFND182,23800
REGENCY CTRS CORPCOM7588491033,92156,679SH DFND156,67900
REXFORD INDL RLTY INCCOM76169C1001,56253,579SH DFND153,57900
ROPER TECHNOLOGIES , INCCOM77669610627,221105,100SH DFND1105,10000
RYMAN HOSPITALITY PPTYS INCCOM78377T1071,48521,520SH DFND121,52000
SL GREEN RLTY CORPCOM78440X1013,41033,790SH DFND133,79000
SS&C TECHNOLOGIES HLDGS INCCOM78467J10020,357502,900SH DFND1502,90000
SALESFORCE COM INCCOM79466L30220,906204,500SH DFND1204,50000
SCHLUMBERGER LTDCOM80685710822,549334,600SH DFND1334,60000
SENIOR HSG PPTYS TRSH BEN INT81721M10988446,137SH DFND146,13700
SIMON PROPERTY GROUP INCCOM82880610915,38089,553SH DFND189,55300
SPIRIT AIRLS INCCOM84857710217,043380,000SH DFND1380,00000
SPIRIT RLTY CAP INC NEWCOM84860W1021,034120,494SH DFND1120,49400
STANLEY BLACK & DECKER INCCOM85450210131,596186,200SH DFND1186,20000
STARBUCKS CORPCOM85524410940,744709,462SH DFND1709,46200
STORE CAPITAL CORPORATIONCOM86212110073228,105SH DFND128,10500
SUN COMMUNITIES INCCOM8666741041,97021,232SH DFND121,23200
SUNSTONE HOTEL INVS INC NEWCOM8678921012,074125,484SH DFND1125,48400
TJX COS INC NEWCOM87254010954,975719,000SH DFND1719,00000
TANGER FACTORY OUTLET CTRS INCCOM87546510695035,834SH DFND135,83400
THERMO FISHER CORPCOM88355610243,672230,000SH DFND1230,00000
TRACTOR SUPPLY COCOM89235610622,799305,000SH DFND1305,00000
UDR INCCOM9026531043,64194,535SH DFND194,53500
UNITED PARCEL SVC INCCL B91131210628,942242,900SH DFND1242,90000
UNITED STS STL CORP NEWCOM91290910822,902650,800SH DFND1650,80000
UNITEDHEALTH GROUP INCCOM91324P10258,576265,700SH DFND1265,70000
URBAN EDGE PPTYSCOM91704F1041,68666,136SH DFND166,13600
VENTAS INCCOM92276F1006,559109,303SH DFND1109,30300
VANGUARD INDEX FDSREIT ETF9229085534,00248,232SH DFND148,23200
VEREIT INCCOM92339V1001,153147,980SH DFND1147,98000
VERIZON COMMUNICATIONSCOM92343V10427,804525,300SH DFND1525,30000
VISA INCCOM CL A92826C83958,412512,300SH DFND1512,30000
VMWARE INCCL A COM92856340221,304170,000SH DFND1170,00000
VORNADO RLTY TRCOM9290421093,88949,745SH DFND149,74500
VOYA FINL INCCOM92908910030,993626,500SH DFND1626,50000
W P CAREY INCCOM92936U1091,00314,564SH DFND114,56400
WELLS FARGO & CO NEWCOM94974610161,2161,009,000SH DFND11,009,00000
WELLTOWER INCCOM95040Q1046,660104,445SH DFND1104,44500