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Section 1: 13F-HR

Form 13F Filer Information

Filer CIK
Filer CCC
File Number
09-30-2016
Period
Is this a LIVE or TEST Filing? LIVE TEST
Would you like a return copy? YES
Is this an electronic copy of an official filing submitted in paper format? YES

Submission Contact Information

Name
Phone
Email Address

Notification Information

Notify via Filing website only? YES

Notification will automatically be sent to the Login CIK, Submission Contact, and Primary Issuers. Specify additional addresses below.

Notification Email Addresses

United States
Securities and Exchange Commission
Washington, D.C. 20549

Form 13F

Form 13F Cover Page

Report for the Calendar Year or Quarter Ended:
09-30-2016
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:

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:
/s/ Harsh Bansal
Title:
Vice President - Investments
Phone:
973-455-4502

Signature, Place, and Date of Signing:

/s/ Harsh Bansal
[Signature]
Morris Plains,NJ
[City, State]
11-02-2016
[Date]

Report Type (Check only one.):

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

[Repeat as necessary.]

Do you wish to provide information pursuant to Special Instruction 5? Yes No

Additional Information

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:
1
Form 13F Information table Entry Total:
177
Form 13F Information table Value Total:
2871543
(thousands)

Confidential information has been omitted from the public Form 13F report and filed separately with the Commission.

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F 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 NumberName
1

[Repeat as necessary.]


028-07176




HONEYWELL CAPITAL MANAGEMENT LLC
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Section 2: INFORMATION TABLE

FORM 13F INFORMATION TABLE

Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8
Name of Issuer Title of Class CUSIP Value
(x$1000)
SHRS or
PRN AMT
SH/PRN PUT/CALL Investment
DISCRETION
Other
Manager
Voting Authority
Sole Shared None
ALLERGAN PLC. COM STK COM G0177J108 41325 179430 SH DFND 1 179430 0 0
COCA-COLA EUROPEAN PARTNERS PLC ORD GBP0.01 COM G25839104 10693 268000 SH DFND 1 268000 0 0
INGERSOLL-RAND PLC COM STK COM G47791101 19947 293600 SH DFND 1 293600 0 0
INVESCO LTD COM STK USD0.20 COM G491BT108 14572 466000 SH DFND 1 466000 0 0
MLP LAZARD LTD CL A COM G54050102 11293 310600 SH DFND 1 310600 0 0
MEDTRONIC PLC COMMON STOCK STOCK COM G5960L103 20555 237900 SH DFND 1 237900 0 0
TE CONNECTIVITY LTD COM H84989104 12438 193200 SH DFND 1 193200 0 0
MYLAN NV COM N59465109 24854 652000 SH DFND 1 652000 0 0
SENSATA TECHNOLOGIES HLDG NV COM N7902X106 12115 312400 SH DFND 1 312400 0 0
ROYAL CARIBBEAN CRUISES COM STK COM V7780T103 31951 426300 SH DFND 1 426300 0 0
BROADCOM LIMITED COM NPV COM Y09827109 12197 70700 SH DFND 1 70700 0 0
FLEX LTD FLEX LTD COM Y2573F102 13988 1027000 SH DFND 1 1027000 0 0
AT&T INC COM COM 00206R102 8934 220000 SH DFND 1 220000 0 0
ABBOTT LAB COM COM 002824100 49573 1172226 SH DFND 1 1172226 0 0
ACTIVISION BLIZZARD INC COM STK COM 00507V109 19709 444900 SH DFND 1 444900 0 0
AECOM COM 00766T100 18343 617000 SH DFND 1 617000 0 0
AETNA INC COM 00817Y108 16938 146712 SH DFND 1 146712 0 0
AKAMAI TECHNOLOGIES INC COM STK COM 00971T101 16612 313500 SH DFND 1 313500 0 0
AFFILIATED MANAGERS GROUP INC COM STK COM 008252108 21206 146550 SH DFND 1 146550 0 0
ALEXANDRIA REAL ESTATE EQUITIES INC COM COM 015271109 3154 29000 SH DFND 1 29000 0 0
ALEXION PHARMACEUTICALS INC COM COM 015351109 21567 176000 SH DFND 1 176000 0 0
ALLIANCE DATA SYS CORP COM COM 018581108 15039 70100 SH DFND 1 70100 0 0
ALPHABET INC CAP STK CL A CAP STK CL A COM 02079K305 77925 96915 SH DFND 1 96915 0 0
AMERICAN EXPRESS CO COM 025816109 13807 215600 SH DFND 1 215600 0 0
AMERICAN HOMES 4 RENT COMMON STOCK COM 02665T306 1785 82500 SH DFND 1 82500 0 0
AMERICAN INTERNATIONAL GROUP INC COM COM 026874784 29154 491300 SH DFND 1 491300 0 0
AMERIPRISE FINL INC COM COM 03076C106 17360 174000 SH DFND 1 174000 0 0
AMSURG CORP COM COM 03232P405 25747 384000 SH DFND 1 384000 0 0
ANADARKO PETRO CORP COM COM 032511107 17494 276100 SH DFND 1 276100 0 0
APARTMENT INVT & MGMT CO CL A COM 03748R101 3319 72290 SH DFND 1 72290 0 0
MLP APOLLO GLOBAL MGMT LLC CL A SHS COM 037612306 10284 572600 SH DFND 1 572600 0 0
APPLE INC COM STK COM 037833100 80051 708100 SH DFND 1 708100 0 0
APPLIED MATERIALS INC COM COM 038222105 14740 488900 SH DFND 1 488900 0 0
AUTOZONE INC COM COM 053332102 16519 21500 SH DFND 1 21500 0 0
AVALONBAY CMNTYS REIT COM 053484101 6109 34350 SH DFND 1 34350 0 0
BAKER HUGHES INC COM COM 057224107 13925 275900 SH DFND 1 275900 0 0
BANK OF AMERICA CORP COM 060505104 44671 2854400 SH DFND 1 2854400 0 0
BERKSHIRE HATHAWAY INC-CL B COM 084670702 11760 81400 SH DFND 1 81400 0 0
BIOGEN INC COMMON STOCK COM 09062X103 12650 40413 SH DFND 1 40413 0 0
MLP BLACKSTONE GROUP L P COM UNIT REPSTGLTD COM 09253U108 8680 340000 SH DFND 1 340000 0 0
BORG WARNER INC COM COM 099724106 14318 407000 SH DFND 1 407000 0 0
BSTN PPTYS INC COM 101121101 5489 40275 SH DFND 1 40275 0 0
BRANDYWINE RLTY TR SH BEN INT NEW REIT COM 105368203 1996 127800 SH DFND 1 127800 0 0
BRISTOL MYERS SQUIBB CO COM COM 110122108 55937 1037400 SH DFND 1 1037400 0 0
CF INDS HLDGS INC COM COM 125269100 14296 587100 SH DFND 1 587100 0 0
CMS ENERGY CORP COM COM 125896100 5251 125000 SH DFND 1 125000 0 0
CVS HEALTH CORP COM COM 126650100 49033 551000 SH DFND 1 551000 0 0
CANADIAN PAC RY LTD COM NPV COM 13645T100 13880 90900 SH DFND 1 90900 0 0
CARDINAL HLTH INC COM 14149Y108 13970 179800 SH DFND 1 179800 0 0
MLP CARLYLE GROUP L P COM COM 14309L102 6751 433565 SH DFND 1 433565 0 0
CARNIVAL CORP COM PAIRED COM 143658300 16599 340000 SH DFND 1 340000 0 0
CENTENE CORP DEL COM COM 15135B101 23885 356700 SH DFND 1 356700 0 0
CELGENE CORP COM COM 151020104 37160 355500 SH DFND 1 355500 0 0
CHEVRON CORP COM COM 166764100 56040 544500 SH DFND 1 544500 0 0
CISCO SYSTEMS INC COM 17275R102 9516 300000 SH DFND 1 300000 0 0
CITIGROUP INC COM NEW COM NEW COM 172967424 45468 962700 SH DFND 1 962700 0 0
CITIZENS FINL GROUP INC COM COM 174610105 3432 138900 SH DFND 1 138900 0 0
COCA COLA CO COM COM 191216100 29201 690000 SH DFND 1 690000 0 0
COMCAST CORP NEW-CL A COM 20030N101 24818 374100 SH DFND 1 374100 0 0
CORRECTIONS CORP AMER COM 22025Y407 704 50775 SH DFND 1 50775 0 0
COSTCO WHOLESALE CORP NEW COM COM 22160K105 37563 246300 SH DFND 1 246300 0 0
CYRUSONE INC COM COM 23283R100 1651 34700 SH DFND 1 34700 0 0
CUBESMART COM 229663109 1674 61400 SH DFND 1 61400 0 0
DCT INDL TR INC COM 233153204 1869 38500 SH DFND 1 38500 0 0
DDR CORP COM COM 23317H102 2615 150000 SH DFND 1 150000 0 0
DELL TECHNOLOGIES INC COM CL V COM CL V COM 24703L103 4433 92745 SH DFND 1 92745 0 0
DELTA AIR LINES INC DEL COM NEW COM NEW COM 247361702 17287 439200 SH DFND 1 439200 0 0
DIGITAL RLTY TR INC COM COM 253868103 3812 39251 SH DFND 1 39251 0 0
WALT DISNEY CO COM 254687106 19324 208100 SH DFND 1 208100 0 0
DISCOVER FINL SVCS COM STK COM 254709108 15138 267700 SH DFND 1 267700 0 0
DOW CHEMICAL CO COM COM 260543103 11143 215000 SH DFND 1 215000 0 0
DUKE RLTY CORP COM NEW REIT COM 264411505 3048 111515 SH DFND 1 111515 0 0
DUKE ENERGY CORP NEW COM NEW COM NEW COM 26441C204 8564 107000 SH DFND 1 107000 0 0
EOG RESOURCES INC COM COM 26875P101 17234 178200 SH DFND 1 178200 0 0
EPR PPTYS COM SH BEN INT COM SH BEN INT COM 26884U109 2685 34100 SH DFND 1 34100 0 0
EASTMAN KODAK CO WT EXP 09-03-2018 COM 277461133 0 13 SH DFND 1 13 0 0
EASTMAN KODAK CO WT EXP 9-3-2018 COM 277461141 0 13 SH DFND 1 13 0 0
EQUINIX INC COM PAR $0.001 COM 29444U700 6288 17454 SH DFND 1 17454 0 0
EQTY LIFESTYLE PPTYS INC REIT COM 29472R108 2802 36310 SH DFND 1 36310 0 0
EQTY RESDNTL EFF 5/15/02 COM 29476L107 5687 88406 SH DFND 1 88406 0 0
ESSEX PPTY TR REIT COM 297178105 4191 18820 SH DFND 1 18820 0 0
EVERSOURCE ENERGY COM COM 30040W108 10890 201000 SH DFND 1 201000 0 0
EXTRA SPACE STORAGE INC COM COM 30225T102 2682 33780 SH DFND 1 33780 0 0
EXXON MOBIL CORP COM COM 30231G102 43614 499700 SH DFND 1 499700 0 0
FMC CORP COM (NEW) COM 302491303 5704 118000 SH DFND 1 118000 0 0
FACEBOOK INC CL A CL A COM 30303M102 20536 160100 SH DFND 1 160100 0 0
FEDERAL RLTY INVT TR SH BEN INT NEW SH BEN INT NEW COM 313747206 3340 21700 SH DFND 1 21700 0 0
FIDELITY NATL INFORMATION SVCS INC COM STK COM 31620M106 16600 215500 SH DFND 1 215500 0 0
FIREEYE INC COM COM 31816Q101 11277 765600 SH DFND 1 765600 0 0
1ST INDL RLTY TR INC COM COM 32054K103 2527 89550 SH DFND 1 89550 0 0
GALLAGHER ARTHUR J & CO COM COM 363576109 5087 100000 SH DFND 1 100000 0 0
GAMING & LEISURE PPTYS INC COM COM 36467J108 2489 74400 SH DFND 1 74400 0 0
GENERAL DYNAMICS CORP COM COM 369550108 23864 153800 SH DFND 1 153800 0 0
GENERAL ELECTRIC CO COM 369604103 27295 921500 SH DFND 1 921500 0 0
GENERAL GROWTH PPTYS INC NEW COM COM 370023103 4638 168050 SH DFND 1 168050 0 0
GOLDMAN SACHS GROUP INC COM COM 38141G104 28948 179500 SH DFND 1 179500 0 0
HCP INC COM REIT COM 40414L109 3655 96316 SH DFND 1 96316 0 0
HD SUPPLY HLDGS INC. COM COM 40416M105 16310 510000 SH DFND 1 510000 0 0
HEALTHCARE RLTY TR COM 421946104 2516 73868 SH DFND 1 73868 0 0
HIGHWOODS PPTYS INC COM COM 431284108 2272 43600 SH DFND 1 43600 0 0
HOME DEPOT INC COM COM 437076102 32947 256036 SH DFND 1 256036 0 0
HOSPITALITY PPTYS TR COM SH BEN INT COM SH BEN INT COM 44106M102 2021 68000 SH DFND 1 68000 0 0
HOST HOTELS & RESORTS INC REIT COM 44107P104 3130 201040 SH DFND 1 201040 0 0
INTEL CORP COM COM 458140100 20785 550600 SH DFND 1 550600 0 0
INTERCONTINENTAL EXCHANGE INC COM COM 45866F104 15488 57500 SH DFND 1 57500 0 0
INTERNATIONAL BUSINESS MACHS CORP COM COM 459200101 9531 60000 SH DFND 1 60000 0 0
INTL PAPER CO COM COM 460146103 24139 503100 SH DFND 1 503100 0 0
INTUIT COM COM 461202103 15555 141400 SH DFND 1 141400 0 0
IRON MTN INC NEW COM COM 46284V101 3179 84700 SH DFND 1 84700 0 0
JPMORGAN CHASE & CO COM COM 46625H100 9989 150000 SH DFND 1 150000 0 0
JUNIPER NETWORKS INC COM COM 48203R104 11631 483400 SH DFND 1 483400 0 0
MLP KKR & CO L P DEL COM UNITS COM 48248M102 10210 716000 SH DFND 1 716000 0 0
KS CY SOUTHN COM 485170302 19625 210300 SH DFND 1 210300 0 0
KILROY RLTY CORP COM COM 49427F108 2363 34080 SH DFND 1 34080 0 0
KIMCO RLTY CORP COM COM 49446R109 3636 125590 SH DFND 1 125590 0 0
KROGER CO COM COM 501044101 21488 724000 SH DFND 1 724000 0 0
L BRANDS INC COM COM 501797104 11182 158000 SH DFND 1 158000 0 0
LKQ CORP COM LKQ CORP COM 501889208 11113 313400 SH DFND 1 313400 0 0
LEIDOS HLDGS INC COM COM 525327102 9911 229000 SH DFND 1 229000 0 0
LEXINGTON RLTY TR COM COM 529043101 1162 112800 SH DFND 1 112800 0 0
ELI LILLY & CO COM COM 532457108 11477 143000 SH DFND 1 143000 0 0
LOWES COS INC COM COM 548661107 46063 637900 SH DFND 1 637900 0 0
MACERICH CO REIT COM 554382101 2016 24925 SH DFND 1 24925 0 0
MASTERCARD INC CL A COM 57636Q104 23692 232800 SH DFND 1 232800 0 0
MERCK & CO INC NEW COM COM 58933Y105 8925 143000 SH DFND 1 143000 0 0
MICROSOFT CORP COM COM 594918104 73152 1270000 SH DFND 1 1270000 0 0
MICROCHIP TECHNOLOGY INC COM COM 595017104 30026 483200 SH DFND 1 483200 0 0
MICRON TECH INC COM COM 595112103 10508 591000 SH DFND 1 591000 0 0
MID-AMER APT CMNTYS INC COM COM 59522J103 3035 32290 SH DFND 1 32290 0 0
MONDELEZ INTL INC COM COM 609207105 42996 979400 SH DFND 1 979400 0 0
MONSANTO CO NEW COM COM 61166W101 5928 58000 SH DFND 1 58000 0 0
NATIONAL RETAIL PPTYS INC COM STK COM 637417106 2856 56160 SH DFND 1 56160 0 0
NIKE INC CL B COM 654106103 15163 288000 SH DFND 1 288000 0 0
ADR NOVARTIS AG COM 66987V109 6712 85000 SH DFND 1 85000 0 0
OCCIDENTAL PETROLEUM CORP COM 674599105 28154 386100 SH DFND 1 386100 0 0
OUTFRONT MEDIA INC COM COM 69007J106 2045 86450 SH DFND 1 86450 0 0
PNC FINANCIAL SERVICES GROUP COM STK COM 693475105 33423 371000 SH DFND 1 371000 0 0
PPG IND INC COM COM 693506107 19060 184400 SH DFND 1 184400 0 0
PEBBLEBROOK HOTEL TR COM STK COM 70509V100 1279 48075 SH DFND 1 48075 0 0
PEPSICO INC COM COM 713448108 35807 329200 SH DFND 1 329200 0 0
PFIZER INC COM COM 717081103 13548 400000 SH DFND 1 400000 0 0
PHILIP MORRIS INTL COM STK NPV COM 718172109 36749 378000 SH DFND 1 378000 0 0
PHYSICIANS RLTY TR COM COM 71943U104 2130 98900 SH DFND 1 98900 0 0
PRAXAIR INC COM COM 74005P104 14427 119400 SH DFND 1 119400 0 0
PROLOGIS INC COM COM 74340W103 8117 151600 SH DFND 1 151600 0 0
PRUDENTIAL FINL INC COM COM 744320102 25981 318200 SH DFND 1 318200 0 0
PUB STORAGE COM COM 74460D109 7709 34550 SH DFND 1 34550 0 0
QTS RLTY TR INC COM CL A COM CL A COM 74736A103 1360 25730 SH DFND 1 25730 0 0
RANGE RES CORP COM COM 75281A109 14338 370000 SH DFND 1 370000 0 0
RLTY INC CORP COM COM 756109104 5051 75460 SH DFND 1 75460 0 0
REGENCY CTRS CORP COM COM 758849103 2912 37577 SH DFND 1 37577 0 0
ROPER TECHNOLOGIES , INC COM 776696106 26641 146000 SH DFND 1 146000 0 0
SL GREEN RLTY CORP COM STK COM 78440X101 3702 34250 SH DFND 1 34250 0 0
MFC SPDR SER TR S&P BIOTECH ETF COM 78464A870 25588 386000 SH DFND 1 386000 0 0
SANOFI SPONSORED ADR COM 80105N105 15849 415000 SH DFND 1 415000 0 0
SCHLUMBERGER LTD COM COM COM 806857108 16499 209800 SH DFND 1 209800 0 0
SIMON PROPERTY GROUP INC COM COM 828806109 16319 78830 SH DFND 1 78830 0 0
SOUTHERN CO COM STK COM 842587107 11748 229000 SH DFND 1 229000 0 0
STARBUCKS CORP COM COM 855244109 30706 567162 SH DFND 1 567162 0 0
SUNSTONE HOTEL INVS INC NEW COM COM 867892101 1525 119197 SH DFND 1 119197 0 0
TJX COS INC COM NEW COM 872540109 27534 368200 SH DFND 1 368200 0 0
THERMO FISHER CORP COM 883556102 24893 156500 SH DFND 1 156500 0 0
TOLL BROS INC COM COM 889478103 18579 622200 SH DFND 1 622200 0 0
UNITED PARCEL SVC INC CL B COM 911312106 34864 318800 SH DFND 1 318800 0 0
URBAN EDGE PPTYS COM COM 91704F104 2260 80300 SH DFND 1 80300 0 0
VALERO ENERGY CORP COM STK NEW COM 91913Y100 7579 143000 SH DFND 1 143000 0 0
VENTAS INC REIT COM 92276F100 6639 94000 SH DFND 1 94000 0 0
VERIZON COMMUNICATIONS COM COM 92343V104 9097 175000 SH DFND 1 175000 0 0
VISA INC COM CL A STK COM 92826C839 24744 299200 SH DFND 1 299200 0 0
VORNADO RLTY TR COM COM 929042109 3899 38520 SH DFND 1 38520 0 0
VOYA FINL INC COM COM 929089100 15476 537000 SH DFND 1 537000 0 0
WELLS FARGO & CO NEW COM STK COM 949746101 51383 1160400 SH DFND 1 1160400 0 0
WELLTOWER INC COM REIT COM 95040Q104 7130 95365 SH DFND 1 95365 0 0
WESTN DIGITAL CORP COM COM 958102105 7689 131500 SH DFND 1 131500 0 0
WILLIAMS SONOMA INC COM COM 969904101 8142 159400 SH DFND 1 159400 0 0
TARGET CORP COM STK COM 87612E106 37815 550600 SH DFND 1 550600 0 0
ADR TOTAL SA COM 89151E109 9540 200000 SH DFND 1 200000 0 0
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