UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2010
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  January 31, 2011
----------------
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:         144

Form 13F Information Table Value Total:         $2,534,106
                                                (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
                                December 31, 2010
             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                 INVESTMENT  OTHER      VOTING AUTHORITY
NAME OF ISSUER                  CLASS       NUMBER    (x$1000)     PRN AMT SH/PRN PUT/CALL DISCRETION MANAGERS    SOLE   SHARED NONE
--------------------------------------------------- ---------- ----------- ------ -------- ---------- -------- --------- ------ ----
                                                                                               
TELVENT GIT SA                   SHS      E90215109 $    1,849      70,000   SH      N/A     DEFINED   DEFINED    70,000
ARCH CAPITAL GROUP LTD           ORD      G0450A105 $    3,962      45,000   SH      N/A     DEFINED   DEFINED    45,000
ACCENTURE PLC IRELAND        SHS CLASS A  G1151C101 $   11,720     241,700   SH      N/A     DEFINED   DEFINED   241,700
BUNGE LIMITED                    COM      G16962105 $   12,842     196,000   SH      N/A     DEFINED   DEFINED   196,000
COOPER INDUSTRIES PLC            SHS      G24140108 $   30,859     529,400   SH      N/A     DEFINED   DEFINED   529,400
INVESCO LTD                      SHS      G491BT108 $   24,101   1,001,700   SH      N/A     DEFINED   DEFINED 1,001,700
LAZARD LTD                      SHS A     G54050102 $   24,796     627,900   SH      N/A     DEFINED   DEFINED   627,900
MARVELL TECHNOLOGY GROUP
  LTD                            ORD      G5876H105 $   18,365     990,000   SH      N/A     DEFINED   DEFINED   990,000
WARNER CHILCOTT PLC
  IRELAND                       SHS A     G94368100 $    3,683     163,246   SH      N/A     DEFINED   DEFINED   163,246
WEATHERFORD INTERNATIONAL
  LT                             REG      H27013103 $   24,676   1,082,300   SH      N/A     DEFINED   DEFINED 1,082,300
TYCO INTERNATIONAL LTD           SHS      H89128104 $   24,864     600,000   SH      N/A     DEFINED   DEFINED   600,000
CHECK POINT SOFTWARE TECH
  LT                             ORD      M22465104 $    3,701      80,000   SH      N/A     DEFINED   DEFINED    80,000
AK STL HLDG CORP                 COM      001547108 $    4,502     275,000   SH      N/A     DEFINED   DEFINED   275,000
ADOBE SYS INC                    COM      00724F101 $   14,467     470,000   SH      N/A     DEFINED   DEFINED   470,000
AECOM TECHNOLOGY CORP
  DELAWA                         COM      00766T100 $   22,152     792,000   SH      N/A     DEFINED   DEFINED   792,000
AFFILIATED MANAGERS GROUP
  INC                            COM      008252108 $   36,176     364,600   SH      N/A     DEFINED   DEFINED   364,600
AIR PROD & CHEM INC              COM      009158106 $   28,640     314,900   SH      N/A     DEFINED   DEFINED   314,900
ALBEMARLE CORP                   COM      012653101 $    2,789      50,000   SH      N/A     DEFINED   DEFINED    50,000
ALERE INC                        COM      01449J105 $   27,804     759,670   SH      N/A     DEFINED   DEFINED   759,670
ALLEGHENY TECHNOLOGIES INC       COM      01741R102 $    2,759      50,000   SH      N/A     DEFINED   DEFINED    50,000
ALLERGAN INC                     COM      018490102 $   10,731     156,270   SH      N/A     DEFINED   DEFINED   156,270
ALLIANCE DATA SYS CORP           COM      018581108 $    3,552      50,000   SH      N/A     DEFINED   DEFINED    50,000
AMERICAN EXPRESS CO              COM      025816109 $   39,916     930,000   SH      N/A     DEFINED   DEFINED   930,000
AMERICAN TOWER CORP             CL A      029912201 $   15,446     299,100   SH      N/A     DEFINED   DEFINED   299,100
AMERICAN SUPERCONDUCTOR
  CORP                           COM      030111108 $    3,717     130,000   SH      N/A     DEFINED   DEFINED   130,000
ANHEUSER BUSCH INBEV SA/NV  SPONSORED ADR 03524A108 $   17,127     300,000   SH      N/A     DEFINED   DEFINED   300,000
AON CORP                         COM      037389103 $    4,831     105,000   SH      N/A     DEFINED   DEFINED   105,000
APACHE CORP                      COM      037411105 $   17,336     145,400   SH      N/A     DEFINED   DEFINED   145,400
APPLE INC                        COM      037833100 $   47,062     145,900   SH      N/A     DEFINED   DEFINED   145,900
BANK OF AMERICA CORP             COM      060505104 $   29,043   2,177,100   SH      N/A     DEFINED   DEFINED 2,177,100
BAXTER INTL INC                  COM      071813109 $   35,555     702,400   SH      N/A     DEFINED   DEFINED   702,400
BROADCOM CORP                   CL A      111320107 $   12,878     295,700   SH      N/A     DEFINED   DEFINED   295,700
BUFFALO WILD WINGS INC           COM      119848109 $    7,533     171,800   SH      N/A     DEFINED   DEFINED   171,800
CME GROUP INC                    COM      12572Q105 $   15,959      49,600   SH      N/A     DEFINED   DEFINED    49,600
CSX CORP                         COM      126408103 $   12,017     186,000   SH      N/A     DEFINED   DEFINED   186,000
CVS CAREMARK CORP                COM      126650100 $   34,920   1,004,300   SH      N/A     DEFINED   DEFINED 1,004,300
CELANESE CORP DEL             COM SER A   150870103 $    2,059      50,000   SH      N/A     DEFINED   DEFINED    50,000
CELGENE CORP                     COM      151020104 $   22,101     373,700   SH      N/A     DEFINED   DEFINED   373,700
CHEVRON CORP                     COM      166764100 $   47,532     520,900   SH      N/A     DEFINED   DEFINED   520,900
CISCO SYSTEMS INC                COM      17275R102 $   29,038   1,435,400   SH      N/A     DEFINED   DEFINED 1,435,400
COLGATE-PALMOLIVE CO             COM      194162103 $   24,658     306,800   SH      N/A     DEFINED   DEFINED   306,800
CONSOL ENERGY INC                COM      20854P109 $   15,109     310,000   SH      N/A     DEFINED   DEFINED   310,000
CREE INC                         COM      225447101 $    1,977      30,000   SH      N/A     DEFINED   DEFINED    30,000
DIAMOND FOODS INC                COM      252603105 $    3,318      62,400   SH      N/A     DEFINED   DEFINED    62,400
DICKS SPORTING GOODS INC         COM      253393102 $   15,791     421,100   SH      N/A     DEFINED   DEFINED   421,100
DIGITAL RLTY TR INC              COM      253868103 $   21,131     410,000   SH      N/A     DEFINED   DEFINED   410,000
DONNELLEY R R & SONS CO          COM      257867101 $    2,411     138,000   SH      N/A     DEFINED   DEFINED   138,000
DUN & BRADSTREET CORP DEL
  NE                             COM      26483E100 $    2,873      35,000   SH      N/A     DEFINED   DEFINED    35,000
EL PASO CORP                     COM      28336L109 $    1,720     125,000   SH      N/A     DEFINED   DEFINED   125,000
EXELON CORP                      COM      30161N101 $   20,916     502,300   SH      N/A     DEFINED   DEFINED   502,300
EXXON MOBIL CORP                 COM      30231G102 $   57,077     780,600   SH      N/A     DEFINED   DEFINED   780,600
FMC CORP                       COM NEW    302491303 $    3,196      40,000   SH      N/A     DEFINED   DEFINED    40,000
FORD MTR CO DEL             COM PAR $0.01 345370860 $   10,074     600,000   SH      N/A     DEFINED   DEFINED   600,000
GLOBAL PMTS INC                  COM      37940X102 $    3,466      75,000   SH      N/A     DEFINED   DEFINED    75,000
GOOGLE INC                      CL A      38259P508 $   42,647      71,800   SH      N/A     DEFINED   DEFINED    71,800
GUESS INC                        COM      401617105 $   27,493     581,000   SH      N/A     DEFINED   DEFINED   581,000
HANESBRANDS INC                  COM      410345102 $    7,620     300,000   SH      N/A     DEFINED   DEFINED   300,000
HERTZ GLOBAL HLDGS INC           COM      42805T105 $   13,100     904,100   SH      N/A     DEFINED   DEFINED   904,100
HESS CORP                        COM      42809H107 $   11,152     145,700   SH      N/A     DEFINED   DEFINED   145,700
HEWLETT PACKARD CO               COM      428236103 $   44,218   1,050,300   SH      N/A     DEFINED   DEFINED 1,050,300
HHGREGG INC                      COM      42833L108 $    7,856     375,000   SH      N/A     DEFINED   DEFINED   375,000
HOST HOTELS & RESORTS INC        COM      44107P104 $    4,598     257,326   SH      N/A     DEFINED   DEFINED   257,326
IPC THE HOSPITALIST CO           COM      44984A105 $    4,805     123,163   SH      N/A     DEFINED   DEFINED   123,163
ITT CORP INC                     COM      450911102 $   30,514     585,560   SH      N/A     DEFINED   DEFINED   585,560
ICONIX BRAND GROUP INC           COM      451055107 $    2,897     150,000   SH      N/A     DEFINED   DEFINED   150,000
ILL TOOL WKS INC                 COM      452308109 $   33,284     623,300   SH      N/A     DEFINED   DEFINED   623,300
INTEL CORP                       COM      458140100 $   30,695   1,459,600   SH      N/A     DEFINED   DEFINED 1,459,600
INTERNATIONAL BUSINESS
  MACHS CORP                     COM      459200101 $   26,842     182,900   SH      N/A     DEFINED   DEFINED   182,900
INVESTMENT TECHNOLOGY GRP
  NE                             COM      46145F105 $    3,110     190,000   SH      N/A     DEFINED   DEFINED   190,000
ITRON INC                        COM      465741106 $    3,327      60,000   SH      N/A     DEFINED   DEFINED    60,000
JPMORGAN CHASE & CO              COM      46625H100 $   53,559   1,262,600   SH      N/A     DEFINED   DEFINED 1,262,600
KELLOGG CO                       COM      487836108 $   35,457     694,150   SH      N/A     DEFINED   DEFINED   694,150
KROGER CO                        COM      501044101 $   21,345     954,600   SH      N/A     DEFINED   DEFINED   954,600
LIFE TECHNOLOGIES CORP           COM      53217V109 $   47,888     862,850   SH      N/A     DEFINED   DEFINED   862,850
LINCOLN NATL CORP                COM      534187109 $    2,781     100,000   SH      N/A     DEFINED   DEFINED   100,000
MEMC ELECTR MATLS INC            COM      552715104 $    4,166     370,000   SH      N/A     DEFINED   DEFINED   370,000
MASTERCARD INC                  CL A      57636Q104 $    9,838      43,900   SH      N/A     DEFINED   DEFINED    43,900
MATTEL INC                       COM      577081102 $   21,298     837,500   SH      N/A     DEFINED   DEFINED   837,500
MCDERMOTT INTL INC               COM      580037109 $    4,138     200,000   SH      N/A     DEFINED   DEFINED   200,000
MC DONALDS CORP                  COM      580135101 $   27,634     360,000   SH      N/A     DEFINED   DEFINED   360,000
MEDCO HEALTH SOLUTIONS INC       COM      58405U102 $   52,964     864,433   SH      N/A     DEFINED   DEFINED   864,433
MERCK & CO INC NEW               COM      58933Y105 $   22,844     633,861   SH      N/A     DEFINED   DEFINED   633,861
METLIFE INC                      COM      59156R108 $   33,983     764,700   SH      N/A     DEFINED   DEFINED   764,700
MICROSOFT CORP                   COM      594918104 $   57,454   2,057,800   SH      N/A     DEFINED   DEFINED 2,057,800
MICROCHIP TECHNOLOGY INC         COM      595017104 $    3,421     100,000   SH      N/A     DEFINED   DEFINED   100,000
MICRON TECH INC                  COM      595112103 $   10,426   1,300,000   SH      N/A     DEFINED   DEFINED 1,300,000
MOLSON COORS BREWING CO         CL B      60871R209 $    7,278     145,000   SH      N/A     DEFINED   DEFINED   145,000
MONSANTO CO NEW                  COM      61166W101 $   11,818     169,700   SH      N/A     DEFINED   DEFINED   169,700
MOODYS CORP COM                  COM      615369105 $    3,318     125,000   SH      N/A     DEFINED   DEFINED   125,000
MORGAN STANLEY                 COM NEW    617446448 $   47,707   1,753,300   SH      N/A     DEFINED   DEFINED 1,753,300
MOSAIC CO                        COM      61945A107 $   20,159     264,000   SH      N/A     DEFINED   DEFINED   264,000
MYLAN INC                        COM      628530107 $    5,198     246,000   SH      N/A     DEFINED   DEFINED   246,000
NII HLDGS INC                 CL B NEW    62913F201 $   15,024     336,400   SH      N/A     DEFINED   DEFINED   336,400
NABORS INDS INC            NOTE 0.94% 5/1 629568AP1 $    4,981   5,000,000   SH      N/A     DEFINED   DEFINED 5,000,000
NASDAQ OMX GROUP                 COM      631103108 $   28,611   1,206,700   SH      N/A     DEFINED   DEFINED 1,206,700
NATL FUEL GAS CO                 COM      636180101 $    3,281      50,000   SH      N/A     DEFINED   DEFINED    50,000
NETLOGIC MICROSYSTEMS INC        COM      64118B100 $    1,571      50,000   SH      N/A     DEFINED   DEFINED    50,000
NEWS CORP                       CL A      65248E104 $   23,296   1,600,000   SH      N/A     DEFINED   DEFINED 1,600,000
NORDSTROM INC                    COM      655664100 $   11,655     275,000   SH      N/A     DEFINED   DEFINED   275,000
NORTHERN TR CORP                 COM      665859104 $    2,216      40,000   SH      N/A     DEFINED   DEFINED    40,000
NSTAR                            COM      67019E107 $    5,063     120,000   SH      N/A     DEFINED   DEFINED   120,000
NUANCE COMMUNICATIONS INC        COM      67020Y100 $    6,961     382,900   SH      N/A     DEFINED   DEFINED   382,900
NUVASIVE INC                     COM      670704105 $   25,496     993,978   SH      N/A     DEFINED   DEFINED   993,978
OCCIDENTAL PETROLEUM CORP        COM      674599105 $   19,414     197,900   SH      N/A     DEFINED   DEFINED   197,900
OFFICEMAX INC DEL                COM      67622P101 $    2,211     124,900   SH      N/A     DEFINED   DEFINED   124,900
OMNICOM GROUP INC                COM      681919106 $   20,610     450,000   SH      N/A     DEFINED   DEFINED   450,000
OWENS ILL INC                  COM NEW    690768403 $    3,070     100,000   SH      N/A     DEFINED   DEFINED   100,000
PG& E CORP                       COM      69331C108 $   36,832     769,900   SH      N/A     DEFINED   DEFINED   769,900
PENSKE AUTOMOTIVE GROUP
  INC                            COM      70959W103 $    5,902     338,800   SH      N/A     DEFINED   DEFINED   338,800
PEOPLES UTD FINL INC             COM      712704105 $    2,102     150,000   SH      N/A     DEFINED   DEFINED   150,000
PEPSICO INC                      COM      713448108 $   41,047     628,300   SH      N/A     DEFINED   DEFINED   628,300
PHILIP MORRIS INTL INC           COM      718172109 $   11,525     196,900   SH      N/A     DEFINED   DEFINED   196,900
PRIDE INTL INC DEL               COM      74153Q102 $    2,475      75,000   SH      N/A     DEFINED   DEFINED    75,000
PRUDENTIAL FINL INC              COM      744320102 $   25,973     442,400   SH      N/A     DEFINED   DEFINED   442,400
QLOGIC CORP                      COM      747277101 $    1,191      70,000   SH      N/A     DEFINED   DEFINED    70,000
QEP RES INC                      COM      74733V100 $    3,631     100,000   SH      N/A     DEFINED   DEFINED   100,000
QUALCOMM INC                     COM      747525103 $   33,782     682,600   SH      N/A     DEFINED   DEFINED   682,600
QUANTA SVCS INC                  COM      74762E102 $   20,896   1,049,000   SH      N/A     DEFINED   DEFINED 1,049,000
QUESTAR CORP                     COM      748356102 $    2,612     150,000   SH      N/A     DEFINED   DEFINED   150,000
ROCKWELL COLLINS INC             COM      774341101 $   34,123     585,700   SH      N/A     DEFINED   DEFINED   585,700
ROPER INDS INC NEW               COM      776696106 $    4,586      60,000   SH      N/A     DEFINED   DEFINED    60,000
ST JUDE MED INC                  COM      790849103 $   20,180     472,041   SH      N/A     DEFINED   DEFINED   472,041
SCHLUMBERGER LTD COM             COM      806857108 $   21,512     257,634   SH      N/A     DEFINED   DEFINED   257,634
SEALED AIR CORP NEW              COM      81211K100 $   17,321     680,600   SH      N/A     DEFINED   DEFINED   680,600
SKYWEST INC                      COM      830879102 $    1,562     100,000   SH      N/A     DEFINED   DEFINED   100,000
SOUTHERN CO                      COM      842587107 $   28,531     746,300   SH      N/A     DEFINED   DEFINED   746,300
SOUTHWESTERN ENERGY CO           COM      845467109 $   25,119     671,100   SH      N/A     DEFINED   DEFINED   671,100
STAPLES INC                      COM      855030102 $      920      40,400   SH      N/A     DEFINED   DEFINED    40,400
STATE STR CORP                   COM      857477103 $   23,235     501,400   SH      N/A     DEFINED   DEFINED   501,400
SYMANTEC CORP                    COM      871503108 $   24,943   1,490,000   SH      N/A     DEFINED   DEFINED 1,490,000
SYNOPSYS INC                     COM      871607107 $    3,498     130,000   SH      N/A     DEFINED   DEFINED   130,000
TARGET CORP                      COM      87612E106 $   31,201     518,900   SH      N/A     DEFINED   DEFINED   518,900
TEVA PHARMACEUTICAL INDS
  LTD                            ADR      881624209 $   45,218     867,400   SH      N/A     DEFINED   DEFINED   867,400
THERMO FISHER CORP               COM      883556102 $   24,010     433,700   SH      N/A     DEFINED   DEFINED   433,700
THOMAS & BETTS CORP              COM      884315102 $    2,415      50,000   SH      N/A     DEFINED   DEFINED    50,000
TOWERS WATSON & CO              CL A      891894107 $    2,874      55,200   SH      N/A     DEFINED   DEFINED    55,200
TRAVELERS COS INC                COM      89417E109 $    9,231     165,700   SH      N/A     DEFINED   DEFINED   165,700
URS CORP NEW                     COM      903236107 $    7,074     170,000   SH      N/A     DEFINED   DEFINED   170,000
ULTRA PETROLEUM CORP             COM      903914109 $   15,382     322,000   SH      N/A     DEFINED   DEFINED   322,000
UNITED PARCEL SERVICE INC       CL B      911312106 $   24,655     339,700   SH      N/A     DEFINED   DEFINED   339,700
UNITED TECHNOLOGIES CORP         COM      913017109 $   36,439     462,900   SH      N/A     DEFINED   DEFINED   462,900
VERIZON COMMUNICATIONS           COM      92343V104 $   28,502     796,600   SH      N/A     DEFINED   DEFINED   796,600
WESTERN UNION CO                 COM      959802109 $   21,356   1,150,000   SH      N/A     DEFINED   DEFINED 1,150,000
XILINX INC                       COM      983919101 $    3,188     110,000   SH      N/A     DEFINED   DEFINED   110,000
                                                    $2,534,106 $69,695,282