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, 2007
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: Harsh Bansal
Title: Vice President - Investments of Honeywell International Inc.
Phone (973) 455-4502
Signature, Place, and Date of Signing:

/s/ Harsh Bansal Morris Township, New Jersey    May 14, 2007
----------------
Harsh Bansal

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:        153

Form 13F Information Table Value Total:       $1,766,725
                                              (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                    Honeywell Capital Management LLC






                                   13F REPORT
                                 March 31, 2007
             NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL INC.




COLUMN 1                         COLUMN 2    COLUMN 3   COLUMN 4     COLUMN 5             COLUMN 6  COLUMN 7          COLUMN 8
                                 TITLE OF      CUSIP      VALUE      SHRS OR   SH/ PUT/  INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                     CLASS      NUMBER    (x$1000)     PRN AMT   PRN CALL  DISCRETION MANAGERS    SOLE    SHARED  NONE
------------------------------ ----------------------  ----------------------  ---  ---- ----------  -------- --------  ------  ----
                                                                                               
COOPER INDUSTRIES INC               COM     G24182100  $    4,049      90,000  SH   N/A   DEFINED   DEFINED     90,000
LAZARD LTD                         SHS A    G54050102  $    3,011      60,000  SH   N/A   DEFINED   DEFINED     60,000
UTI WORLDWIDE INC                   ORD     G87210103  $    3,195     130,000  SH   N/A   DEFINED   DEFINED    130,000
UBS AG SHS                          COM     H89231338  $    8,915     150,000  SH   N/A   DEFINED   DEFINED    150,000
ROYAL CARIBBEAN CRUISES             COM     V7780T103  $   15,304     363,000  SH   N/A   DEFINED   DEFINED    363,000
AES CORP                            COM     00130H105  $    2,690     125,000  SH   N/A   DEFINED   DEFINED    125,000
AT&T INC                            COM     00206R102  $   27,601     700,000  SH   N/A   DEFINED   DEFINED    700,000
ABBOTT LAB                          COM     002824100  $    8,370     150,000  SH   N/A   DEFINED   DEFINED    150,000
ADVANCE AUTO PTS INC                COM     00751Y106  $    7,325     190,000  SH   N/A   DEFINED   DEFINED    190,000
ADVANCED MED OPTICS INC             COM     00763M108  $    2,418      65,000  SH   N/A   DEFINED   DEFINED     65,000
AFFILIATED MANAGERS GROUP INC       COM     008252108  $   16,903     156,000  SH   N/A   DEFINED   DEFINED    156,000
ALLSTATE CORP                       COM     020002101  $   12,012     200,000  SH   N/A   DEFINED   DEFINED    200,000
ALTRIA GROUP INC                    COM     02209S103  $   27,485     313,000  SH   N/A   DEFINED   DEFINED    313,000
AMERN INTL GROUP INC                COM     026874107  $   30,988     461,000  SH   N/A   DEFINED   DEFINED    461,000
AMERN MED SYS HLDGS INC             COM     02744M108  $    2,117     100,000  SH   N/A   DEFINED   DEFINED    100,000
APOLLO INVT CORP                    COM     03761U106  $    2,568     120,000  SH   N/A   DEFINED   DEFINED    120,000
ARCH COAL INC                       COM     039380100  $    8,900     290,000  SH   N/A   DEFINED   DEFINED    290,000
ARTHROCARE CORP                     COM     043136100  $    3,604     100,000  SH   N/A   DEFINED   DEFINED    100,000
ATWOOD OCEANICS INC                 COM     050095108  $    2,935      50,000  SH   N/A   DEFINED   DEFINED     50,000
AUTODESK INC                        COM     052769106  $   13,160     350,000  SH   N/A   DEFINED   DEFINED    350,000
AVNET INC                           COM     053807103  $    6,325     175,000  SH   N/A   DEFINED   DEFINED    175,000
BAKER HUGHES INC                    COM     057224107  $   12,975     196,200  SH   N/A   DEFINED   DEFINED    196,200
BANK AMER CORP                      COM     060505104  $   35,969     705,000  SH   N/A   DEFINED   DEFINED    705,000
BED BATH BEYOND INC                 COM     075896100  $   21,411     533,000  SH   N/A   DEFINED   DEFINED    533,000
BERKLEY W R CORP                    COM     084423102  $    4,306     130,000  SH   N/A   DEFINED   DEFINED    130,000
BEST BUY INC                        COM     086516101  $   31,668     650,000  SH   N/A   DEFINED   DEFINED    650,000
BROADCOM CORP                      CL A     111320107  $    4,811     150,000  SH   N/A   DEFINED   DEFINED    150,000
CVS/CAREMARK CORP                   COM     126650100  $   11,061     324,000  SH   N/A   DEFINED   DEFINED    324,000
CAMERON INTL CORP                   COM     13342B105  $    3,140      50,000  SH   N/A   DEFINED   DEFINED     50,000
CAP 1 FNCL                          COM     14040H105  $   26,486     351,000  SH   N/A   DEFINED   DEFINED    351,000
CARTER INC                          COM     146229109  $   18,493     729,800  SH   N/A   DEFINED   DEFINED    729,800
CENTRAL GARDEN & PET CO             COM     153527106  $    5,391     365,000  SH   N/A   DEFINED   DEFINED    365,000
CENTRAL GARDEN & PET CO        CL A Non Vtg 153527205  $   15,582   1,060,000  SH   N/A   DEFINED   DEFINED  1,060,000
CHEESECAKE FACTORY INC              COM     163072101  $    3,331     125,000  SH   N/A   DEFINED   DEFINED    125,000
CHEVRON CORP                        COM     166764100  $   27,735     375,000  SH   N/A   DEFINED   DEFINED    375,000
CIRCUIT CY STORES INC               COM     172737108  $    3,891     210,000  SH   N/A   DEFINED   DEFINED    210,000
CISCO SYS INC                       COM     17275R102  $   11,489     450,000  SH   N/A   DEFINED   DEFINED    450,000
CITRIX SYS INC                      COM     177376100  $    9,449     295,000  SH   N/A   DEFINED   DEFINED    295,000
COLDWATER CREEK INC                 COM     193068103  $   12,209     602,000  SH   N/A   DEFINED   DEFINED    602,000
CONSECO INC COM                     COM     208464883  $    6,920     400,000  SH   N/A   DEFINED   DEFINED    400,000
CONSTELLATION BRANDS INC           CL A     21036P108  $   23,340   1,102,000  SH   N/A   DEFINED   DEFINED  1,102,000
CORNING INC                         COM     219350105  $   11,370     500,000  SH   N/A   DEFINED   DEFINED    500,000
COVENTRY HEALTH CARE INC            COM     222862104  $   24,830     443,000  SH   N/A   DEFINED   DEFINED    443,000
DRS TECHNOLOGIES INC                COM     23330X100  $    2,609      50,000  SH   N/A   DEFINED   DEFINED     50,000
DAVITA INC                          COM     23918K108  $    9,598     180,000  SH   N/A   DEFINED   DEFINED    180,000



                                   Page 1 of 4






                                   13F REPORT
                                 March 31, 2007
             NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL INC.




COLUMN 1                         COLUMN 2    COLUMN 3   COLUMN 4     COLUMN 5             COLUMN 6  COLUMN 7          COLUMN 8
                                 TITLE OF      CUSIP      VALUE      SHRS OR   SH/ PUT/  INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                     CLASS      NUMBER    (x$1000)     PRN AMT   PRN CALL  DISCRETION MANAGERS    SOLE    SHARED  NONE
------------------------------ ----------------------  ----------------------  ---  ---- ----------  -------- --------  ------  ----
                                                                                               
DENTSPLY INTL INC                   COM     249030107  $    1,474      45,000  SH   N/A   DEFINED   DEFINED     45,000
DIAMONDROCK HOSPITALITY CO          COM     252784301  $    3,990     210,000  SH   N/A   DEFINED   DEFINED    210,000
DONNELLEY R R & SONS CO             COM     257867101  $   10,977     300,000  SH   N/A   DEFINED   DEFINED    300,000
DREAMWORKS ANIMATION INC         CL A COM   26153C103  $    7,645     250,000  SH   N/A   DEFINED   DEFINED    250,000
EMC CORP                            COM     268648102  $   23,545   1,700,000  SH   N/A   DEFINED   DEFINED  1,700,000
ENSCO INTL INC                      COM     26874Q100  $   12,240     225,000  SH   N/A   DEFINED   DEFINED    225,000
ENDO PHARMACEUTICALS HLDGS INC      COM     29264F205  $    2,940     100,000  SH   N/A   DEFINED   DEFINED    100,000
ENERGEN CORP                        COM     29265N108  $    3,308      65,000  SH   N/A   DEFINED   DEFINED     65,000
ENTERGY CORP                        COM     29364G103  $    8,394      80,000  SH   N/A   DEFINED   DEFINED     80,000
EXELON CORP                         COM     30161N101  $   22,331     325,000  SH   N/A   DEFINED   DEFINED    325,000
EXXON MOBIL CORP                    COM     30231G102  $   18,108     240,000  SH   N/A   DEFINED   DEFINED    240,000
FMC CORP                            COM     302491303  $    2,263      30,000  SH   N/A   DEFINED   DEFINED     30,000
FEDEX CORP                          COM     31428X106  $   22,560     210,000  SH   N/A   DEFINED   DEFINED    210,000
FIDELITY NATL INFORMATION
  SVCS INC                          COM     31620M106  $   35,232     775,000  SH   N/A   DEFINED   DEFINED    775,000
GFI GROUP INC                       COM     361652209  $    2,379      35,000  SH   N/A   DEFINED   DEFINED     35,000
GENERAL ELEC CO                     COM     369604103  $   44,200   1,250,000  SH   N/A   DEFINED   DEFINED  1,250,000
GENZYME CORP                        COM     372917104  $    3,151      52,500  SH   N/A   DEFINED   DEFINED     52,500
GLOBAL PMTS INC                     COM     37940X102  $    1,362      40,000  SH   N/A   DEFINED   DEFINED     40,000
GUITAR CTR INC                      COM     402040109  $    4,061      90,000  SH   N/A   DEFINED   DEFINED     90,000
HARMAN INTL INDS INC                COM     413086109  $   17,294     180,000  SH   N/A   DEFINED   DEFINED    180,000
HARRIS CORP                         COM     413875105  $    2,548      50,000  SH   N/A   DEFINED   DEFINED     50,000
HARSCO CORP                         COM     415864107  $    4,486     100,000  SH   N/A   DEFINED   DEFINED    100,000
HARTFORD FINL SVCS CORP             COM     416515104  $   25,807     270,000  SH   N/A   DEFINED   DEFINED    270,000
HESS CORP                           COM     42809H107  $   13,313     240,000  SH   N/A   DEFINED   DEFINED    240,000
HEWLETT PACKARD CO                  COM     428236103  $   24,084     600,000  SH   N/A   DEFINED   DEFINED    600,000
IDEX CORP                           COM     45167R104  $    4,070      80,000  SH   N/A   DEFINED   DEFINED     80,000
ILL TOOL WKS INC                    COM     452308109  $   26,626     516,000  SH   N/A   DEFINED   DEFINED    516,000
INNKEEPERS USA TR                   COM     4576J0104  $    1,954     120,000  SH   N/A   DEFINED   DEFINED    120,000
INTEGRATED DEVICE
  TECHNOLOGY INC                    COM     458118106  $    3,084     200,000  SH   N/A   DEFINED   DEFINED    200,000
INVT TECH GROUP INC NEW             COM     46145F105  $    9,800     250,000  SH   N/A   DEFINED   DEFINED    250,000
INVITROGEN CORP                     COM     46185R100  $   10,184     160,000  SH   N/A   DEFINED   DEFINED    160,000
ITRON INC                           COM     465741106  $    1,951      30,000  SH   N/A   DEFINED   DEFINED     30,000
JPMORGAN CHASE & CO                 COM     46625H100  $   18,143     375,000  SH   N/A   DEFINED   DEFINED    375,000
J2 GLOBAL COMMUNICATONS INC         COM     46626E205  $    9,425     340,000  SH   N/A   DEFINED   DEFINED    340,000
JABIL CIRCUIT INC                   COM     466313103  $   16,700     780,000  SH   N/A   DEFINED   DEFINED    780,000
JACKSON HEWITT TX SVC INC           COM     468202106  $    1,931      60,000  SH   N/A   DEFINED   DEFINED     60,000
JARDEN CORP                         COM     471109108  $    3,064      80,000  SH   N/A   DEFINED   DEFINED     80,000
JOHNSON & JOHNSON                   COM     478160104  $   15,366     255,000  SH   N/A   DEFINED   DEFINED    255,000
JUNIPER NETWORKS INC                COM     48203R104  $    1,968     100,000  SH   N/A   DEFINED   DEFINED    100,000
KENEXA CORP                         COM     488879107  $    1,557      50,000  SH   N/A   DEFINED   DEFINED     50,000
KORN / FERRY INTL                   COM     500643200  $    2,982     130,000  SH   N/A   DEFINED   DEFINED    130,000
L-3 COMMUNICATIONS HLDG CORP        COM     502424104  $   23,617     270,000  SH   N/A   DEFINED   DEFINED    270,000
LEGG MASON INC                      COM     524901105  $   32,031     340,000  SH   N/A   DEFINED   DEFINED    340,000
MARSHALL & ILSLEY CORP              COM     571834100  $    4,168      90,000  SH   N/A   DEFINED   DEFINED     90,000
MATRIA HEALTHCARE INC               COM     576817209  $    2,372      90,000  SH   N/A   DEFINED   DEFINED     90,000



                                   Page 2 of 4






                                   13F REPORT
                                 March 31, 2007
             NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL INC.




COLUMN 1                         COLUMN 2    COLUMN 3   COLUMN 4     COLUMN 5             COLUMN 6  COLUMN 7          COLUMN 8
                                 TITLE OF      CUSIP      VALUE      SHRS OR   SH/ PUT/  INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                     CLASS      NUMBER    (x$1000)     PRN AMT   PRN CALL  DISCRETION MANAGERS    SOLE    SHARED  NONE
------------------------------ ----------------------  ----------------------  ---  ---- ----------  -------- --------  ------  ----
                                                                                               
MAXIM INTEGRATED PRODS INC          COM     57772K101  $   17,640     600,000  SH   N/A   DEFINED   DEFINED    600,000
MERRILL LYNCH & CO INC              COM     590188108  $    4,900      60,000  SH   N/A   DEFINED   DEFINED     60,000
MICROSOFT CORP                      COM     594918104  $   32,051   1,150,000  SH   N/A   DEFINED   DEFINED  1,150,000
MICROCHIP TECHNOLOGY INC            COM     595017104  $    3,020      85,000  SH   N/A   DEFINED   DEFINED     85,000
MICRON TECH INC                     COM     595112103  $   11,476     950,000  SH   N/A   DEFINED   DEFINED    950,000
MILLIPORE CORP                      COM     601073109  $    2,899      40,000  SH   N/A   DEFINED   DEFINED     40,000
MORGAN STANLEY                      COM     617446448  $   16,540     210,000  SH   N/A   DEFINED   DEFINED    210,000
NASDAQ STK MKT INC                  COM     631103108  $   11,176     380,000  SH   N/A   DEFINED   DEFINED    380,000
NATL FINL PARTNERS CORP             COM     63607P208  $   12,431     265,000  SH   N/A   DEFINED   DEFINED    265,000
NEUSTAR INC                        CL A     64126X201  $    2,844     100,000  SH   N/A   DEFINED   DEFINED    100,000
NEWS CORP CL A                      COM     65248E104  $    8,092     350,000  SH   N/A   DEFINED   DEFINED    350,000
NOKIA CORP                          ADR     654902204  $   25,212   1,100,000  SH   N/A   DEFINED   DEFINED  1,100,000
NSTAR                               COM     67019E107  $    4,566     130,000  SH   N/A   DEFINED   DEFINED    130,000
NUANCE COMMUNICATIONS INC           COM     67020Y100  $    2,756     180,000  SH   N/A   DEFINED   DEFINED    180,000
OCCIDENTAL PETE CORP                COM     674599105  $   25,395     515,000  SH   N/A   DEFINED   DEFINED    515,000
OMNICARE INC                        COM     681904108  $   26,924     677,000  SH   N/A   DEFINED   DEFINED    677,000
OMNICOM GROUP INC                   COM     681919106  $   20,681     202,000  SH   N/A   DEFINED   DEFINED    202,000
O REILLY AUTOMOTIVE INC             COM     686091109  $    2,979      90,000  SH   N/A   DEFINED   DEFINED     90,000
PNC FINANCIAL SERVICES GROUP        COM     693475105  $    8,996     125,000  SH   N/A   DEFINED   DEFINED    125,000
PANTRY INC                          COM     698657103  $    3,618      80,000  SH   N/A   DEFINED   DEFINED     80,000
PATTERSON COS INC                   COM     703395103  $   13,664     385,000  SH   N/A   DEFINED   DEFINED    385,000
PEPSICO INC                         COM     713448108  $   22,691     357,000  SH   N/A   DEFINED   DEFINED    357,000
PEROT SYS CORP CDT                  COM     714265105  $    2,681     150,000  SH   N/A   DEFINED   DEFINED    150,000
PHARMACEUTICAL PROD DEV INC         COM     717124101  $   20,551     610,000  SH   N/A   DEFINED   DEFINED    610,000
POOL CORP                           COM     73278L105  $    3,580     100,000  SH   N/A   DEFINED   DEFINED    100,000
PRIDE INTL INC DEL                  COM     74153Q102  $    2,709      90,000  SH   N/A   DEFINED   DEFINED     90,000
PROASSURANCE CORP                   COM     74267C106  $    8,696     170,000  SH   N/A   DEFINED   DEFINED    170,000
PRUDENTIAL FINL INC                 COM     744320102  $   22,114     245,000  SH   N/A   DEFINED   DEFINED    245,000
QUALCOMM INC                        COM     747525103  $   14,291     335,000  SH   N/A   DEFINED   DEFINED    335,000
QUEST DIAGNOSTICS INC               COM     74834L100  $   13,714     275,000  SH   N/A   DEFINED   DEFINED    275,000
QUESTAR CORP                        COM     748356102  $   15,166     170,000  SH   N/A   DEFINED   DEFINED    170,000
QUIKSILVER INC                      COM     74838C106  $    1,740     150,000  SH   N/A   DEFINED   DEFINED    150,000
RED ROBIN GOURMET
  BURGERS INC                       COM     75689M101  $    3,494      90,000  SH   N/A   DEFINED   DEFINED     90,000
ROPER INDS INC                      COM     776696106  $    2,744      50,000  SH   N/A   DEFINED   DEFINED     50,000
SLM CORP                            COM     78442P106  $   21,064     515,000  SH   N/A   DEFINED   DEFINED    515,000
SANDISK CORP                        COM     80004C101  $    7,008     160,000  SH   N/A   DEFINED   DEFINED    160,000
SIGMA-ALDRICH CORP                  COM     826552101  $    6,228     150,000  SH   N/A   DEFINED   DEFINED    150,000
SKYWEST INC                         COM     830879102  $    4,025     150,000  SH   N/A   DEFINED   DEFINED    150,000
SOUTHERN CO                         COM     842587107  $    3,665     100,000  SH   N/A   DEFINED   DEFINED    100,000
S.W. AIRL CO                        COM     844741108  $   12,495     850,000  SH   N/A   DEFINED   DEFINED    850,000
SPRINT NEXTEL CORP                COM FON   852061100  $    4,740     250,000  SH   N/A   DEFINED   DEFINED    250,000
STAPLES INC                         COM     855030102  $   13,850     536,000  SH   N/A   DEFINED   DEFINED    536,000
SYMMETRY MED INC                    COM     871546206  $    2,613     160,000  SH   N/A   DEFINED   DEFINED    160,000
TD AMERITRADE HLDG CORP             COM     87236Y108  $   12,499     840,000  SH   N/A   DEFINED   DEFINED    840,000
TARGET CORP                         COM     87612E106  $   21,156     357,000  SH   N/A   DEFINED   DEFINED    357,000



                                   Page 3 of 4






                                   13F REPORT
                                 March 31, 2007
             NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL INC.




COLUMN 1                         COLUMN 2    COLUMN 3   COLUMN 4     COLUMN 5             COLUMN 6  COLUMN 7          COLUMN 8
                                 TITLE OF      CUSIP      VALUE      SHRS OR   SH/ PUT/  INVESTMENT  OTHER        VOTING AUTHORITY
NAME OF ISSUER                     CLASS      NUMBER    (x$1000)     PRN AMT   PRN CALL  DISCRETION MANAGERS    SOLE    SHARED  NONE
------------------------------ ----------------------  ----------------------  ---  ---- ----------  -------- --------  ------  ----
                                                                                               
TELEDYNE TECHNOLOGIES INC           COM     879360105  $    1,872      50,000  SH   N/A   DEFINED   DEFINED     50,000
TEMPUR-PEDIC INTL INC               COM     88023U101  $      209       8,033  SH   N/A   DEFINED   DEFINED      8,033
TEVA PHARMACEUTICAL INDS            ADR     881624209  $    8,459     226,000  SH   N/A   DEFINED   DEFINED    226,000
TRACTOR SUP CO                      COM     892356106  $   11,073     215,000  SH   N/A   DEFINED   DEFINED    215,000
TRINITY IND INC                     COM     896522109  $    2,725      65,000  SH   N/A   DEFINED   DEFINED     65,000
TWEEN BRANDS INC                    COM     901166108  $   13,109     367,000  SH   N/A   DEFINED   DEFINED    367,000
UNION PAC CORP                      COM     907818108  $    7,109      70,000  SH   N/A   DEFINED   DEFINED     70,000
UNITED SURGICAL PARTNERS INT        COM     913016309  $    2,311      75,000  SH   N/A   DEFINED   DEFINED     75,000
UNITED TECHNOLOGIES CORP            COM     913017109  $   21,028     323,500  SH   N/A   DEFINED   DEFINED    323,500
UNITEDHEALTH GROUP INC              COM     91324P102  $   20,129     380,000  SH   N/A   DEFINED   DEFINED    380,000
VERIZON COMMUNICATIONS              COM     92343V104  $   18,960     500,000  SH   N/A   DEFINED   DEFINED    500,000
VIRGIN MEDIA INC                    COM     92769L101  $   39,929   1,581,355  SH   N/A   DEFINED   DEFINED  1,581,355
WELLPOINT INC                       COM     94973V107  $   14,598     180,000  SH   N/A   DEFINED   DEFINED    180,000
WESTN DIGITAL CORP                  COM     958102105  $    2,101     125,000  SH   N/A   DEFINED   DEFINED    125,000
WILLIAMS SONOMA INC                 COM     969904101  $    2,447      69,000  SH   N/A   DEFINED   DEFINED     69,000
WYETH                               COM     983024100  $   15,309     306,000  SH   N/A   DEFINED   DEFINED    306,000
ZIMMER HLDGS INC                    COM     98956P102  $   23,146     271,000  SH   N/A   DEFINED   DEFINED    271,000
ZIONS BANCORP                       COM     989701107  $    4,226      50,000  SH   N/A   DEFINED   DEFINED     50,000

         GRAND TOTAL                                   $1,766,725  45,488,388






                                   Page 4 of 4