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, 2000

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:        P.O. Box 1219
                101 Columbia Road
                Morristown, New Jersey  07960

Form 13F File Number: 28-1879

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:  Edward T. Tokar
Title: Vice President - Investments of Honeywell International Inc.
Phone: (973) 455-5681

Signature, Place, and Date of Signing:

/s/ Edward T. Tokar Morris Township, New Jersey  May 8, 2000
- -------------------
Edward T. Tokar

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 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).)

List of Other Managers Reporting for this Manager:

[If there are no entries in this list, omit this section.]

Form 13F File Number                  Name
NONE


                    Form 13F SUMMARY PAGE

Report Summary:



Number of Other Included Managers:         1

Form 13F Information Table Entry Total:    170

Form 13F Information Table Value Total:   $467,463
                                          (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.

No.      Form 13F File Number      Name
1.           28-7176               Allied Capital Management LLC


                              13F REPORT
                            MARCH 31, 2000
         NAME OF REPORTING MANAGER:  HONEYWELL INTERNATIONAL, INC.


                                                                           
                                                       VALUE    SHRS/  SH/  PUT   INVSTMN         VOTING  AUTHORITY
NAME OF ISSUER         TITLE OF CLASS      CUSIP      (X$1000) PRN AMT PRN  CAL   DSCRTN  MANAGR  SOLE   SHARE NONE

XL CAP LTD                    CL A         G98255105      81     1,463  SH  N/A   DEFINED    1    1,463
AT & T CORP COM STK           COM          001957109      90     1,600  SH  N/A   DEFINED    1    1,600
AVX CORP                      COM          002444107   2,199    29,000  SH  N/A   DEFINED    1   29,000
ADAPTEC INC                   COM          00651F108   4,936   127,800  SH  N/A   DEFINED    1  127,800
ALLIED CAP CORP NEW           COM          01903Q108     737    42,240  SH  N/A   DEFINED    1   42,240
ALTERA CORP                   COM          021441100   1,919    21,500  SH  N/A   DEFINED    1   21,500
AMERICAN GEN CORP             COM          026351106   7,100   126,500  SH  N/A   DEFINED    1  126,500
AMER GREETINGS CORP           CL A         026375105      35     1,900  SH  N/A   DEFINED    1    1,900
AMERICAN MGMT SYS INC         COM          027352103   8,456   193,000  SH  N/A   DEFINED    1  193,000
AMERICAN PWR CONVERSION CORP  COM          029066107   6,003   140,000  SH  N/A   DEFINED    1  140,000
AMERICAN STD COS INC DEL      COM          029712106   7,193   194,400  SH  N/A   DEFINED    1  194,400
APPLEBEES INTL INC            COM          037899101     728    25,900  SH  N/A   DEFINED    1   25,900
ARROW ELECTRS INC             COM          042735100   8,072   229,000  SH  N/A   DEFINED    1  229,000
ATMOS ENERGY CORP             COM          049560105     273    16,650  SH  N/A   DEFINED    1   16,650
AVADO BRANDS INC              COM          05336P108     653   232,200  SH  N/A   DEFINED    1  232,200
BEI MED SYS INC               COM          05538E109       8     4,300  SH  N/A   DEFINED    1    4,300
BEI TECHNOLOGIES INC          COM          05538P104     232    13,100  SH  N/A   DEFINED    1   13,100
BACOU USA INC                 COM          056439102     709    45,400  SH  N/A   DEFINED    1   45,400
BALL CORP                     COM          058498106   5,067   146,600  SH  N/A   DEFINED    1  146,600
BANK N.Y. CO INC              COM          064057102     158     3,800  SH  N/A   DEFINED    1    3,800
BANTA CORP                    COM          066821109   1,562    85,000  SH  N/A   DEFINED    1   85,000
BARD C R INC                  COM          067383109   7,931   205,000  SH  N/A   DEFINED    1  205,000
BELL ATLANTIC CORP            COM          077853109      55       900  SH  N/A   DEFINED    1      900
BLACK & DECKER CORP           COM          091797100   7,644   203,500  SH  N/A   DEFINED    1  203,500
BON-TON STORES INC            COM          09776J101     102    33,500  SH  N/A   DEFINED    1   33,500
CFI PROSERVICES INC           COM          12525N100     108    15,900  SH  N/A   DEFINED    1   15,900
CIGNA CORP                    COM          125509109   6,893    91,000  SH  N/A   DEFINED    1   91,000
CADMUS COMMUNICATIONS CORP    COM          127587103      43     4,900  SH  N/A   DEFINED    1    4,900
CANADIAN PAC LTD NEW          COM          135923100   8,362   373,700  SH  N/A   DEFINED    1  373,700
CANANDAIGUA BRANDS INC        CL A         137219200   6,181   121,200  SH  N/A   DEFINED    1  121,200
CARDINAL HEALTH INC           COM          14149Y108   2,152    46,900  SH  N/A   DEFINED    1   46,900
CARDINAL HEALTH INC           COM          14149Y108     138     3,000  SH  N/A   DEFINED    1    3,000
CAREMARK RX INC               COM          141705103   3,727   890,000  SH  N/A   DEFINED    1  890,000
CARLISLE COMPANIES INC        COM          142339100      56     1,400  SH  N/A   DEFINED    1    1,400
CARMIKE CINEMAS INC CL A      CL A         143436103      13     2,400  SH  N/A   DEFINED    1    2,400
CARRIER ACCESS CORP           COM          144460102     943    17,700  SH  N/A   DEFINED    1   17,700
CELLSTAR CORP                 COM          150925105     183    22,825  SH  N/A   DEFINED    1   22,825
CENTRAL NEWSPAPERS INC        CL A         154647101      70     2,100  SH  N/A   DEFINED    1    2,100
CHAMPION ENTERPRISES INC      COM          158496109      42     7,300  SH  N/A   DEFINED    1    7,300
CHASE MANHATTAN CORP          COM          16161A108   3,723    42,700  SH  N/A   DEFINED    1   42,700
CHEVRON CORP                  COM          166751107   9,798   106,000  SH  N/A   DEFINED    1  106,000
CITIGROUP INC                 COM          172967101  12,430   207,600  SH  N/A   DEFINED    1  207,600
CLEAN HARBORS INC             COM          184496107       4     1,500  SH  N/A   DEFINED    1    1,500
COAST DENTAL SVCS INC         COM          19034H102     102    42,800  SH  N/A   DEFINED    1   42,800
COLORADO MEDTECH INC          COM          19652U104      55     7,000  SH  N/A   DEFINED    1    7,000
COLUMBIA / HCA HEALTHCARE     COM          197677107   5,569   220,000  SH  N/A   DEFINED    1  220,000
COMPUTER TASK GROUP INC       COM          205477102     327    29,700  SH  N/A   DEFINED    1   29,700
CONCURRENT COMPUTER CORP      COM          206710204   1,004    79,100  SH  N/A   DEFINED    1   79,100
CONEXANT SYSTEMS INC          COM          207142100   2,016    28,400  SH  N/A   DEFINED    1   28,400
COOPER INDS INC               COM          216669101      46     1,300  SH  N/A   DEFINED    1    1,300
CROSSMANN CMNTYS INC          COM          22764E109     136     8,600  SH  N/A   DEFINED    1    8,600
CROWN CRAFTS INC              COM          228309100      46    35,300  SH  N/A   DEFINED    1   35,300
CYTYC CORP                    COM          232946103   1,946    40,330  SH  N/A   DEFINED    1   40,330
DT INDUSTRIES INC             COM          23333J108     608    47,700  SH  N/A   DEFINED    1   47,700
DATA BROADCASTING CORP        COM          237596101      36     4,700  SH  N/A   DEFINED    1    4,700
DELUXE CORP                   COM          248019101      58     2,200  SH  N/A   DEFINED    1    2,200
DEXTER CORP                   COM          252165105     122     2,300  SH  N/A   DEFINED    1    2,300
DOMINION RES INC VA NEW       COM          25746U109     223     5,795  SH  N/A   DEFINED    1    5,795
DONNELLEY R R + SONS CO       COM          257867101   3,030   144,700  SH  N/A   DEFINED    1  144,700
EEX CORP                      COM          26842V207     440   130,500  SH  N/A   DEFINED    1  130,500
ESS TECH INC                  COM          269151106     907    51,800  SH  N/A   DEFINED    1   51,800
EARTHLINK INC                 COM          270321102     651    33,468  SH  N/A   DEFINED    1   33,468
EASTMAN KODAK CO              COM          277461109   6,518   120,000  SH  N/A   DEFINED    1  120,000
ECHELON INTL CORP             COM          278747100     391    11,582  SH  N/A   DEFINED    1   11,582
ELECTROGLAS INC               COM          285324109   1,161    33,900  SH  N/A   DEFINED    1   33,900
ENCOMPASS SVCS CORP           COM          29255U104      88    15,238  SH  N/A   DEFINED    1   15,238
ENGELHARD CORP                COM          292845104      61     4,000  SH  N/A   DEFINED    1    4,000
ENESCO GROUP INC              COM          292973104     529    74,900  SH  N/A   DEFINED    1   74,900
ETHAN ALLEN INTERIORS INC     COM          297602104   5,113   204,500  SH  N/A   DEFINED    1  204,500
EXABYTE CORP                  COM          300615101     431    58,000  SH  N/A   DEFINED    1   58,000
FBL FINL GROUP INC            CL A         30239F106     350    23,300  SH  N/A   DEFINED    1   23,300
FNCL SEC ASSURN HLDGS LTD     COM          31769P100   1,325    18,040  SH  N/A   DEFINED    1   18,040
FINLAY ENTERPRISES INC        COM          317884203     294    23,900  SH  N/A   DEFINED    1   23,900
FOOTSTAR INC                  COM          344912100   2,989   105,800  SH  N/A   DEFINED    1  105,800
FORTUNE BRANDS INC            COM          349631101   7,288   291,500  SH  N/A   DEFINED    1  291,500
FURNITURE BRANDS INTL INC     COM          360921100   2,320   123,300  SH  N/A   DEFINED    1  123,300
GATX CORP                     COM          361448103      95     2,500  SH  N/A   DEFINED    1    2,500
GTE CORP                      COM          362320103      57       800  SH  N/A   DEFINED    1      800
GENERAL DYNAMICS CORP         COM          369550108   4,229    85,000  SH  N/A   DEFINED    1   85,000
GOLDEN W. FNCL CORP           COM          381317106     384    12,300  SH  N/A   DEFINED    1   12,300
GRACE W R & CO DEL NEW        COM          38388F108   5,263   408,800  SH  N/A   DEFINED    1  408,800
GREATER BAY BANCORP           COM          391648102     233     5,800  SH  N/A   DEFINED    1    5,800
HAGGAR CORP                   COM          405173105     305    22,200  SH  N/A   DEFINED    1   22,200
HEALTHCARE RECOVERIES INC     COM          42220K101      98    30,300  SH  N/A   DEFINED    1   30,300
HERBALIFE INTL INC CL B       CL B         426908307     435    33,000  SH  N/A   DEFINED    1   33,000
HIBERNIA CORP                 CL A         428656102   1,581   150,600  SH  N/A   DEFINED    1  150,600
HONEYWELL INTL INC            COM          438516106   7,409   140,625  SH  N/A   DEFINED    1  140,625
HOUSEHOLD INTL INC            COM          441815107   9,164   245,600  SH  N/A   DEFINED    1  245,600
ICN PHARMACEUTICALS INC       COM          448924100   2,098    77,000  SH  N/A   DEFINED    1   77,000
HYPERION SOLUTIONS CORP       COM          44914M104   1,235    38,000  SH  N/A   DEFINED    1   38,000
IMATION CORP                  COM          45245A107   3,240   121,400  SH  N/A   DEFINED    1  121,400
INGERSOLL RAND CO             COM          456866102   3,443    77,800  SH  N/A   DEFINED    1   77,800
INTEG INC                     COM          458100104      96    32,000  SH  N/A   DEFINED    1   32,000
INTERNATIONAL BUSINESS MACHS  COM          459200101   8,968    76,000  SH  N/A   DEFINED    1   76,000
IPALCO ENTERPRISES INC        COM          462613100     714    36,600  SH  N/A   DEFINED    1   36,600
IVAX CORP                     COM          465823102  12,573   461,400  SH  N/A   DEFINED    1  461,400
JASON INC                     COM          471171108     780    74,300  SH  N/A   DEFINED    1   74,300
JO-ANN STORES INC             CL A         47758P109      71     8,500  SH  N/A   DEFINED    1    8,500
JOHNSON CTLS INC              COM          478366107      87     1,600  SH  N/A   DEFINED    1    1,600
KENDLE INTL INC               COM          48880L107     147    13,500  SH  N/A   DEFINED    1   13,500
KEYSPAN CORP                  COM          49337W100   5,879   212,800  SH  N/A   DEFINED    1  212,800
KULICKE & SOFFA INDS INC      COM          501242101   1,659    25,900  SH  N/A   DEFINED    1   25,900
LA Z BOY INC                  COM          505336107      81     5,300  SH  N/A   DEFINED    1    5,300
LEAR CORP                     COM          521865105   4,118   146,400  SH  N/A   DEFINED    1  146,400
LEXMARK INTL GROUP INC        CL A         529771107   1,110    10,500  SH  N/A   DEFINED    1   10,500
LIMITED INC                   COM          532716107   5,009   118,900  SH  N/A   DEFINED    1  118,900
LINCOLN ELEC HLDGS INC        COM          533900106   1,292    53,400  SH  N/A   DEFINED    1   53,400
M & F WORLDWIDE CORP          COM          552541104     176    40,300  SH  N/A   DEFINED    1   40,300
MGM GRAND INC                 COM          552953101      17       700  SH  N/A   DEFINED    1      700
M S CARRIERS INC              COM          553533100     313    13,300  SH  N/A   DEFINED    1   13,300
MAC-GRAY CORP                 COM          554153106      92    30,800  SH  N/A   DEFINED    1   30,800
MARSH + MCLENNAN COS INC      COM          571748102  10,094    91,500  SH  N/A   DEFINED    1   91,500
MAY DEPT STORES CO            COM          577778103      54     1,900  SH  N/A   DEFINED    1    1,900
MIDDLEBY CORP                 COM          596278101     150    26,400  SH  N/A   DEFINED    1   26,400
MIDWAY AIRLS CORP             COM          598126100     133    26,600  SH  N/A   DEFINED    1   26,600
MILLENNIUM PHARM INC          COM          599902103   5,436    41,856  SH  N/A   DEFINED    1   41,856
MTR CARGO INDS INC            COM          619907108     225    48,600  SH  N/A   DEFINED    1   48,600
OCULAR SCIENCES INC           COM          675744106     109     6,900  SH  N/A   DEFINED    1    6,900
PBOC HLDGS INC                COM          69316G108     220    24,400  SH  N/A   DEFINED    1   24,400
PALL CORP                     COM          696429307  10,344   461,000  SH  N/A   DEFINED    1  461,000
PERKINELMER INC               COM          714046109     173     2,600  SH  N/A   DEFINED    1    2,600
PICCADILLY CAFETERIAS INC     COM          719567109      35    11,800  SH  N/A   DEFINED    1   11,800
PRECISION RESPONSE CORP       COM          740314109     121     5,000  SH  N/A   DEFINED    1    5,000
PRINTRONIX INC                COM          742578107     453    22,800  SH  N/A   DEFINED    1   22,800
PROGRESS SOFTWARE CORP        COM          743312100   1,526    65,100  SH  N/A   DEFINED    1   65,100
PROMEDCO MGMT CO              COM          74342L105     206    84,600  SH  N/A   DEFINED    1   84,600
QUANTUM CORP                  COM DSSG     747906204   6,213   520,500  SH  N/A   DEFINED    1  520,500
QUEST ED CORP                 COM          74835F102     706    81,897  SH  N/A   DEFINED    1   81,897
RADIAN GROUP INC              COM          750236101   9,349   196,300  SH  N/A   DEFINED    1  196,300
RAMSAY YOUTH SVCS INC         COM          75158K206      12     4,733  SH  N/A   DEFINED    1    4,733
READERS DIGEST ASSN INC       CL A NON VTG 755267101   7,153   202,200  SH  N/A   DEFINED    1  202,200
REGIS CORP MINN               COM          758932107   1,852   125,000  SH  N/A   DEFINED    1  125,000
REMEDYTEMP INC                CL A         759549108     332    15,000  SH  N/A   DEFINED    1   15,000
ROSLYN BANCORP INC            COM          778162107   1,063    59,700  SH  N/A   DEFINED    1   59,700
SCP POOL CORP                 COM          784028102     119     3,900  SH  N/A   DEFINED    1    3,900
SOS STAFFING SVCS INC         COM          78462X104      63    14,200  SH  N/A   DEFINED    1   14,200
SANFILIPPO JOHN B & SON INC   COM          800422107     155    36,500  SH  N/A   DEFINED    1   36,500
SENSORMATIC ELECTRS CORP      COM          817265101   7,279   324,400  SH  N/A   DEFINED    1  324,400
SHAW INDS INC                 COM          820286102   7,574   498,700  SH  N/A   DEFINED    1  498,700
SHERWIN-WILLIAMS CO           COM          824348106      77     3,500  SH  N/A   DEFINED    1    3,500
SMITH-GARDNER & ASSOCS        COM          832059109     271    15,382  SH  N/A   DEFINED    1   15,382
SPECIAL METALS CORP           COM          84741Y103      26     8,500  SH  N/A   DEFINED    1    8,500
SPECTRIAN CORP                COM          847608106     639    28,400  SH  N/A   DEFINED    1   28,400
SPRINGS INDS INC              CL A         851783100   4,818   126,800  SH  N/A   DEFINED    1  126,800
SUIZA FOODS CORP              COM          865077101   9,624   239,100  SH  N/A   DEFINED    1  239,100
SUN MICROSYSTEMS INC          COM          866810104  13,025   139,000  SH  N/A   DEFINED    1  139,000
SUPERVALU INC                 COM          868536103   8,103   427,900  SH  N/A   DEFINED    1  427,900
SYBASE INC                    COM          871130100   7,755   381,800  SH  N/A   DEFINED    1  381,800
SYMANTEC CORP                 COM          871503108  12,463   165,900  SH  N/A   DEFINED    1  165,900
SYSTEMAX INC                  COM          871851101     111    12,200  SH  N/A   DEFINED    1   12,200
TMP WORLDWIDE INC             COM          872941109   2,177    28,000  SH  N/A   DEFINED    1   28,000
TARGET CORP                   COM          87612E106   9,164   122,600  SH  N/A   DEFINED    1  122,600
TELEFLEX INC                  COM          879369106   5,310   150,100  SH  N/A   DEFINED    1  150,100
TELLABS INC                   COM          879664100   1,251    19,866  SH  N/A   DEFINED    1   19,866
TEMPLE INLAND INC             COM          879868107   6,750   135,500  SH  N/A   DEFINED    1  135,500
TRANSMONTAIGNE INC            COM          893934109     240    35,495  SH  N/A   DEFINED    1   35,495
TYCO INTL LTD NEW             COM          902124106  11,704   233,500  SH  N/A   DEFINED    1  233,500
TYSON FOODS INC               CL A         902494103      46     4,100  SH  N/A   DEFINED    1    4,100
UCBH HLDGS INC COM            COM          90262T308     340    15,800  SH  N/A   DEFINED    1   15,800
UST INC                       COM          902911106      42     2,700  SH  N/A   DEFINED    1    2,700
ULTRAMAR DIAMOND SHAMROCK     COM          904000106   9,762   384,700  SH  N/A   DEFINED    1  384,700
UNION PAC CORP                COM          907818108   7,966   203,600  SH  N/A   DEFINED    1  203,600
UNISYS CORP                   COM          909214108   5,461   212,600  SH  N/A   DEFINED    1  212,600
WARNER LAMBERT CO             COM          934488107   7,815    80,000  SH  N/A   DEFINED    1   80,000
WEBB DEL CORP                 COM          947423109     250    16,900  SH  N/A   DEFINED    1   16,900
WEBHIRE INC                   COM          94768W104     362    22,088  SH  N/A   DEFINED    1   22,088
WELLPOINT HEALTH NETWORKS INC COM          94973H108  10,488   150,100  SH  N/A   DEFINED    1  150,100
WESLEY JESSEN VISIONCARE INC  COM          951018100      83     2,300  SH  N/A   DEFINED    1    2,300
WHITEHALL JEWELLERS INC       COM          965063100     196     8,350  SH  N/A   DEFINED    1    8,350
ZALE CORP NEW                 COM          988858106   4,563    96,700  SH  N/A   DEFINED    1   96,700