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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 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   November 6, 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 holdingsfor 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:        162

Form 13F Information Table Value Total:       $1,810,978
                                              (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
                               September 30, 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
----------------------------------------------------------------------------------------------------------  --------- ------   -----
                                                                                              
AMDOCS                       ORD      G02602103   $  3,496      94,000  SH    N/A    DEFINED     DEFINED      94,000
COOPER INDUSTRIES INC       CL A      G24182100   $  4,598      90,000  SH    N/A    DEFINED     DEFINED      90,000
LAZARD LTD                  SHS A     G54050102   $ 14,162     334,000  SH    N/A    DEFINED     DEFINED     334,000
UTI WORLDWIDE INC ORD NPV    ORD      G87210103   $  3,447     150,000  SH    N/A    DEFINED     DEFINED     150,000
UBS AG                     SHS NEW    H89231338   $ 25,560     480,000  SH    N/A    DEFINED     DEFINED     480,000
CHECK POINT SOFTWARE TECH
 LT                          ORD      M22465104   $  2,014      80,000  SH    N/A    DEFINED     DEFINED      80,000
ROYAL CARIBBEAN CRUISES      COM      V7780T103   $  3,255      83,400  SH    N/A    DEFINED     DEFINED      83,400
AES CORP                     COM      00130H105   $  3,126     156,000  SH    N/A    DEFINED     DEFINED     156,000
AT&T INC                     COM      00206R102   $ 33,383     789,000  SH    N/A    DEFINED     DEFINED     789,000
ABBOTT LAB                   COM      002824100   $  9,142     170,500  SH    N/A    DEFINED     DEFINED     170,500
ADVANCE AUTO PTS INC         COM      00751Y106   $  7,819     233,000  SH    N/A    DEFINED     DEFINED     233,000
AFFILIATED MANAGERS GROUP
 INC                         COM      008252108   $ 15,174     119,000  SH    N/A    DEFINED     DEFINED     119,000
ALTRIA GROUP INC             COM      02209S103   $ 19,329     278,000  SH    N/A    DEFINED     DEFINED     278,000
AMERN INTL GROUP INC         COM      026874107   $ 28,954     428,000  SH    N/A    DEFINED     DEFINED     428,000
AMERN MED SYS HLDGS INC      COM      02744M108   $ 10,843     639,700  SH    N/A    DEFINED     DEFINED     639,700
APOLLO INVT CORP             COM      03761U106   $  2,496     120,000  SH    N/A    DEFINED     DEFINED     120,000
ARCH COAL INC                COM      039380100   $ 12,281     364,000  SH    N/A    DEFINED     DEFINED     364,000
ATWOOD OCEANICS INC          COM      050095108   $  3,981      52,000  SH    N/A    DEFINED     DEFINED      52,000
AUTODESK INC                 COM      052769106   $ 13,892     278,000  SH    N/A    DEFINED     DEFINED     278,000
BAKER HUGHES INC             COM      057224107   $ 16,267     180,000  SH    N/A    DEFINED     DEFINED     180,000
BANK AMER CORP               COM      060505104   $ 10,456     208,000  SH    N/A    DEFINED     DEFINED     208,000
BEAR STEARNS COS INC         COM      073902108   $  4,298      35,000  SH    N/A    DEFINED     DEFINED      35,000
BERKLEY W R CORP             COM      084423102   $  4,000     135,000  SH    N/A    DEFINED     DEFINED     135,000
BEST BUY INC                 COM      086516101   $ 32,122     698,000  SH    N/A    DEFINED     DEFINED     698,000
BRIGHTPOINT INC            COM NEW    109473405   $  1,951     130,000  SH    N/A    DEFINED     DEFINED     130,000
BROADCOM CORP                CL A     111320107   $  5,466     150,000  SH    N/A    DEFINED     DEFINED     150,000
CVS CAREMARK CORP            COM      126650100   $ 14,623     369,000  SH    N/A    DEFINED     DEFINED     369,000
CAMERON INTL CORP            COM      13342B105   $  4,799      52,000  SH    N/A    DEFINED     DEFINED      52,000
CAP 1 FNCL                   COM      14040H105   $ 11,360     171,000  SH    N/A    DEFINED     DEFINED     171,000
CARDINAL HLTH INC            COM      14149Y108   $ 19,259     308,000  SH    N/A    DEFINED     DEFINED     308,000
CARTER INC                   COM      146229109   $ 10,418     522,200  SH    N/A    DEFINED     DEFINED     522,200
CENTRAL GARDEN & PET CO     CL A      153527205   $  9,263   1,031,500  SH    N/A    DEFINED     DEFINED   1,031,500
                           NON-VTG
CHEESECAKE FACTORY INC       COM      163072101   $  3,474     148,000  SH    N/A    DEFINED     DEFINED     148,000
CHEVRON CORP                 COM      166764100   $ 35,748     382,000  SH    N/A    DEFINED     DEFINED     382,000
CHILDRENS PL RETAIL
 STORES INC                  COM      168905107   $  6,398     263,521  SH    N/A    DEFINED     DEFINED     263,521
CHUBB CORP                   COM      171232101   $  5,900     110,000  SH    N/A    DEFINED     DEFINED     110,000
CIRCUIT CY STORES INC        COM      172737108   $  1,724     218,000  SH    N/A    DEFINED     DEFINED     218,000
CISCO SYS INC                COM      17275R102   $ 23,574     712,000  SH    N/A    DEFINED     DEFINED     712,000
CITRIX SYS INC               COM      177376100   $ 14,112     350,000  SH    N/A    DEFINED     DEFINED     350,000
COACH INC                    COM      189754104   $  1,654      35,000  SH    N/A    DEFINED     DEFINED      35,000
COLDWATER CREEK INC          COM      193068103   $  1,455     134,000  SH    N/A    DEFINED     DEFINED     134,000
COMCAST CORP                 CL A     20030N101   $ 13,299     550,000  SH    N/A    DEFINED     DEFINED     550,000
CONSECO INC                COM NEW    208464883   $  5,000     312,500  SH    N/A    DEFINED     DEFINED     312,500
CONSTELLATION BRANDS INC     CL A     21036P108   $  6,561     271,000  SH    N/A    DEFINED     DEFINED     271,000
CORNING INC                  COM      219350105   $ 21,569     875,000  SH    N/A    DEFINED     DEFINED     875,000
COSTCO WHSL CORP             COM      22160K105   $ 10,126     165,000  SH    N/A    DEFINED     DEFINED     165,000
COVENTRY HEALTH CARE INC     COM      222862104   $ 11,820     190,000  SH    N/A    DEFINED     DEFINED     190,000
CYTEC IND                    COM      232820100   $ 13,062     191,000  SH    N/A    DEFINED     DEFINED     191,000
DRS TECHNOLOGIES INC         COM      23330X100   $  2,756      50,000  SH    N/A    DEFINED     DEFINED      50,000
DANAHER CORP DEL             COM      235851102   $ 10,339     125,000  SH    N/A    DEFINED     DEFINED     125,000
DAVITA INC                   COM      23918K108   $ 12,257     194,000  SH    N/A    DEFINED     DEFINED     194,000
DIAMONDROCK HOSPITALITY
CO                           COM      252784301   $  3,795     218,000  SH    N/A    DEFINED     DEFINED     218,000
DONNELLEY R R & SONS CO      COM      257867101   $ 10,237     280,000  SH    N/A    DEFINED     DEFINED     280,000
DREAMWORKS ANIMATION SKG
 INC                         CL A     26153C103   $  7,255     217,100  SH    N/A    DEFINED     DEFINED     217,100
EMC CORP                     COM      268648102   $ 21,840   1,050,000  SH    N/A    DEFINED     DEFINED   1,050,000
ENSCO INTL INC               COM      26874Q100   $ 15,708     280,000  SH    N/A    DEFINED     DEFINED     280,000
ECOLAB INC                   COM      278865100   $ 10,762     228,000  SH    N/A    DEFINED     DEFINED     228,000
EMBRAER-EMPRESA            SP ADR
 BRASILEIRA DE             COM SHS    29081M102   $  1,449      33,000  SH    N/A    DEFINED     DEFINED      33,000
EMERSON ELEC CO              COM      291011104   $ 23,044     433,000  SH    N/A    DEFINED     DEFINED     433,000
ENDO PHARMACEUTICALS
 HLDGS INC                   COM      29264F205   $  3,225     104,000  SH    N/A    DEFINED     DEFINED     104,000
ENERGEN CORP                 COM      29265N108   $  4,455      78,000  SH    N/A    DEFINED     DEFINED      78,000
ENTERGY CORP NEW             COM      29364G103   $ 10,829     100,000  SH    N/A    DEFINED     DEFINED     100,000
EXELON CORP                  COM      30161N101   $ 25,020     332,000  SH    N/A    DEFINED     DEFINED     332,000
FMC CORP                     COM      302491303   $  3,225      62,000  SH    N/A    DEFINED     DEFINED      62,000
FEDEX CORP                   COM      31428X106   $ 22,940     219,000  SH    N/A    DEFINED     DEFINED     219,000
FIDELITY NATL INFORMATION
 SVCS INC                    COM      31620M106   $ 28,929     652,000  SH    N/A    DEFINED     DEFINED     652,000
FDRY NETWORKS INC            COM      35063R100   $  2,026     114,000  SH    N/A    DEFINED     DEFINED     114,000
GENERAL ELEC CO              COM      369604103   $ 52,785   1,275,000  SH    N/A    DEFINED     DEFINED   1,275,000
GENZYME CORP                 COM      372917104   $ 10,223     165,000  SH    N/A    DEFINED     DEFINED     165,000
GLOBAL PMTS INC              COM      37940X102   $  3,317      75,000  SH    N/A    DEFINED     DEFINED      75,000
GRUPO TELEVISA SA DE CV    SP ADR
                           REP ORD    40049J206   $ 11,457     474,000  SH    N/A    DEFINED     DEFINED     474,000
HARSCO CORP                  COM      415864107   $  2,371      40,000  SH    N/A    DEFINED     DEFINED      40,000
HARTFORD FINL SVCS CORP      COM      416515104   $ 18,880     204,000  SH    N/A    DEFINED     DEFINED     204,000
HESS CORP                    COM      42809H107   $ 19,560     294,000  SH    N/A    DEFINED     DEFINED     294,000
HEWLETT PACKARD CO           COM      428236103   $ 25,990     522,000  SH    N/A    DEFINED     DEFINED     522,000
HOST HOTELS & RESORTS INC    COM      44107P104   $ 11,736     523,000  SH    N/A    DEFINED     DEFINED     523,000
IDEX CORP                    COM      45167R104   $  3,639     100,000  SH    N/A    DEFINED     DEFINED     100,000
ILL TOOL WKS INC             COM      452308109   $  5,964     100,000  SH    N/A    DEFINED     DEFINED     100,000
INTEGRATED DEVICE
 TECHNOLOGY INC              COM      458118106   $  3,220     208,000  SH    N/A    DEFINED     DEFINED     208,000
INVT TECH GROUP INC          COM      46145F105   $ 11,734     273,000  SH    N/A    DEFINED     DEFINED     273,000
JPMORGAN CHASE & CO          COM      46625H100   $ 22,332     487,380  SH    N/A    DEFINED     DEFINED     487,380
J2 GLOBAL COMMUNICATONS
 INC                         COM      46626E205   $  5,793     177,000  SH    N/A    DEFINED     DEFINED     177,000
JABIL CIRCUIT INC            COM      466313103   $ 17,336     759,000  SH    N/A    DEFINED     DEFINED     759,000
KENEXA CORP                  COM      488879107   $  2,155      70,000  SH    N/A    DEFINED     DEFINED      70,000
KORN / FERRY INTL            COM      500643200   $  2,146     130,000  SH    N/A    DEFINED     DEFINED     130,000
L-3 COMMUNICATIONS
 HLDG CORP                   COM      502424104   $ 15,321     150,000  SH    N/A    DEFINED     DEFINED     150,000
LEGG MASON INC               COM      524901105   $ 23,264     276,000  SH    N/A    DEFINED     DEFINED     276,000
LOWES COS INC                COM      548661107   $  4,904     175,000  SH    N/A    DEFINED     DEFINED     175,000
MARSHALL & ILSLEY CORP       COM      571834100   $  3,414      78,000  SH    N/A    DEFINED     DEFINED      78,000
MARRIOTT INTL INC            CL A     571903202   $  8,694     200,000  SH    N/A    DEFINED     DEFINED     200,000
MATRIA HEALTHCARE INC        COM      576817209   $  2,459      94,000  SH    N/A    DEFINED     DEFINED      94,000
MAXIM INTEGRATED PRODS
 INC                         COM      57772K101   $ 16,143     550,000  SH    N/A    DEFINED     DEFINED     550,000
MCGRAW HILL COMPANIES INC    COM      580645109   $  7,637     150,000  SH    N/A    DEFINED     DEFINED     150,000
MEDTRONIC INC                COM      585055106   $ 12,579     223,000  SH    N/A    DEFINED     DEFINED     223,000
MERRILL LYNCH & CO INC       COM      590188108   $  4,277      60,000  SH    N/A    DEFINED     DEFINED      60,000
MICROSOFT CORP               COM      594918104   $ 33,113   1,124,000  SH    N/A    DEFINED     DEFINED   1,124,000
MICROCHIP TECHNOLOGY INC     COM      595017104   $  3,196      88,000  SH    N/A    DEFINED     DEFINED      88,000
MICRON TECH INC              COM      595112103   $ 18,737   1,688,000  SH    N/A    DEFINED     DEFINED   1,688,000
MILLIPORE CORP               COM      601073109   $  4,700      62,000  SH    N/A    DEFINED     DEFINED      62,000
MORGAN STANLEY               COM      617446448   $ 18,963     301,000  SH    N/A    DEFINED     DEFINED     301,000
NII HLDGS INC                CL B
                             NEW      62913F201   $  2,465      30,000  SH    N/A    DEFINED     DEFINED      30,000
NASDAQ STK MKT INC           COM      631103108   $  3,203      85,000  SH    N/A    DEFINED     DEFINED      85,000
NATL FINL PARTNERS CORP      COM      63607P208   $ 14,464     273,000  SH    N/A    DEFINED     DEFINED     273,000
NELNET INC                   CL A     64031N108   $  1,423      78,000  SH    N/A    DEFINED     DEFINED      78,000
NEUSTAR INC                  CL A     64126X201   $  3,566     104,000  SH    N/A    DEFINED     DEFINED     104,000
NEWS CORP                    CL A     65248E104   $ 19,395     882,000  SH    N/A    DEFINED     DEFINED     882,000
NOKIA CORP                 SPONSORED
                             ADR      654902204   $ 17,069     450,000  SH    N/A    DEFINED     DEFINED     450,000
NORDSTROM INC                COM      655664100   $  8,398     179,100  SH    N/A    DEFINED     DEFINED     179,100
NOVARTIS AG                SPONSORED
                             ADR      66987V109   $ 21,270     387,000  SH    N/A    DEFINED     DEFINED     387,000
NSTAR                        COM      67019E107   $  5,082     146,000  SH    N/A    DEFINED     DEFINED     146,000
NUANCE COMMUNICATIONS INC    COM      67020Y100   $  2,008     104,000  SH    N/A    DEFINED     DEFINED     104,000
OCCIDENTAL PETE CORP         COM      674599105   $ 32,040     500,000  SH    N/A    DEFINED     DEFINED     500,000
OMNICARE INC                 COM      681904108   $ 17,857     539,000  SH    N/A    DEFINED     DEFINED     539,000
OMNICOM GROUP INC            COM      681919106   $ 15,725     327,000  SH    N/A    DEFINED     DEFINED     327,000
O REILLY AUTOMOTIVE INC      COM      686091109   $  4,744     142,000  SH    N/A    DEFINED     DEFINED     142,000
PNC FINANCIAL SERVICES
 GROUP                       COM      693475105   $ 18,591     273,000  SH    N/A    DEFINED     DEFINED     273,000
PANERA BREAD CO              CL A     69840W108   $ 12,240     300,000  SH    N/A    DEFINED     DEFINED     300,000
PANTRY INC COM               COM      698657103   $  2,973     116,000  SH    N/A    DEFINED     DEFINED     116,000
PATTERSON COS INC            COM      703395103   $ 12,471     323,000  SH    N/A    DEFINED     DEFINED     323,000
PEPSICO INC                  COM      713448108   $ 24,469     334,000  SH    N/A    DEFINED     DEFINED     334,000
PEROT SYS CORP CDT           CL A     714265105   $  2,993     177,000  SH    N/A    DEFINED     DEFINED     177,000
PHARMACEUTICAL PROD DEV
 INC                         COM      717124101   $ 16,267     459,000  SH    N/A    DEFINED     DEFINED     459,000
PHASE FORWARD INC COM        COM      71721R406   $    452      22,567  SH    N/A    DEFINED     DEFINED      22,567
PIPER JAFFRAY COS            COM      724078100   $  1,662      31,000  SH    N/A    DEFINED     DEFINED      31,000
POOL CORP COM STK            COM      73278L105   $  2,598     104,000  SH    N/A    DEFINED     DEFINED     104,000
PRIDE INTL INC               COM      74153Q102   $  3,801     104,000  SH    N/A    DEFINED     DEFINED     104,000
PROCTER & GAMBLE CO          COM      742718109   $ 29,402     418,000  SH    N/A    DEFINED     DEFINED     418,000
PRUDENTIAL FINL INC          COM      744320102   $ 20,297     208,000  SH    N/A    DEFINED     DEFINED     208,000
QLOGIC CORP                  COM      747277101   $  6,456     480,000  SH    N/A    DEFINED     DEFINED     480,000
QUALCOMM INC                 COM      747525103   $ 18,383     435,000  SH    N/A    DEFINED     DEFINED     435,000
QUEST DIAGNOSTICS INC        COM      74834L100   $ 17,735     307,000  SH    N/A    DEFINED     DEFINED     307,000
QUESTAR CORP                 COM      748356102   $ 14,756     280,900  SH    N/A    DEFINED     DEFINED     280,900
ROCKWELL COLLINS INC         COM      774341101   $ 11,686     160,000  SH    N/A    DEFINED     DEFINED     160,000
SEI INVTS CO                 COM      784117103   $  1,364      50,000  SH    N/A    DEFINED     DEFINED      50,000
SANDISK CORP                 COM      80004C101   $  8,375     152,000  SH    N/A    DEFINED     DEFINED     152,000
SEALED AIR CORP              COM      81211K100   $  5,368     210,000  SH    N/A    DEFINED     DEFINED     210,000
SIGMA-ALDRICH CORP           COM      826552101   $  3,900      80,000  SH    N/A    DEFINED     DEFINED      80,000
SKYWEST INC                  COM      830879102   $  3,776     150,000  SH    N/A    DEFINED     DEFINED     150,000
SOUTHERN CO                  COM      842587107   $  9,433     260,000  SH    N/A    DEFINED     DEFINED     260,000
S.W. AIRL CO                 COM      844741108   $ 12,580     850,000  SH    N/A    DEFINED     DEFINED     850,000
SPRINT NEXTEL CORP           COM      852061100   $  4,750     250,000  SH    N/A    DEFINED     DEFINED     250,000
STAPLES INC                  COM      855030102   $ 22,758   1,059,000  SH    N/A    DEFINED     DEFINED   1,059,000
STATE STR CORP               COM      857477103   $ 19,085     280,000  SH    N/A    DEFINED     DEFINED     280,000
SYMMETRY MED INC             COM      871546206   $  3,246     194,400  SH    N/A    DEFINED     DEFINED     194,400
SYNOPSYS INC                 COM      871607107   $  4,333     160,000  SH    N/A    DEFINED     DEFINED     160,000
TARGET CORP                  COM      87612E106   $ 14,558     229,000  SH    N/A    DEFINED     DEFINED     229,000
TECH DATA CORP               COM      878237106   $  3,771      94,000  SH    N/A    DEFINED     DEFINED      94,000
TEVA PHARMACEUTICAL INDS     ADR      881624209   $  7,871     177,000  SH    N/A    DEFINED     DEFINED     177,000
TOTAL SA                  SPONSORED
                             ADR      89151E109   $ 16,206     200,000  SH    N/A    DEFINED     DEFINED     200,000
TRACTOR SUP CO               COM      892356106   $  2,673      58,000  SH    N/A    DEFINED     DEFINED      58,000
URS CORP NEW                 COM      903236107   $  1,976      35,000  SH    N/A    DEFINED     DEFINED      35,000
UNITED NAT FOODS INC         COM      911163103   $  2,967     109,000  SH    N/A    DEFINED     DEFINED     109,000
UNITED TECHNOLOGIES CORP     COM      913017109   $ 31,427     390,500  SH    N/A    DEFINED     DEFINED     390,500
VERIZON COMMUNICATIONS       COM      92343V104   $ 24,885     562,000  SH    N/A    DEFINED     DEFINED     562,000
WELLPOINT INC                COM      94973V107   $ 17,836     226,000  SH    N/A    DEFINED     DEFINED     226,000
WESCO INTL INC               COM      95082P105   $  2,491      58,000  SH    N/A    DEFINED     DEFINED      58,000
WESTN DIGITAL CORP           COM      958102105   $  2,532     100,000  SH    N/A    DEFINED     DEFINED     100,000
WILLIAMS CO INC              COM      969457100   $  3,542     104,000  SH    N/A    DEFINED     DEFINED     104,000
WILLIAMS SONOMA INC          COM      969904101   $  2,349      72,000  SH    N/A    DEFINED     DEFINED      72,000
WYETH                        COM      983024100   $ 16,662     374,000  SH    N/A    DEFINED     DEFINED     374,000
ZIMMER HLDGS INC             COM      98956P102   $  5,912      73,000  SH    N/A    DEFINED     DEFINED      73,000
ZIONS BANCORP                COM      989701107   $  3,571      52,000  SH    N/A    DEFINED     DEFINED      52,000

                                               $ 1,810,978 $45,067,268