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, 2008
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   April 24, 2008
----------------
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:       $1,619,307
                                              (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, 2008
                                       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   $10,358     258,000   SH    N/A    DEFINED  DEFINED    258,000
INVESCO LTD                             SHS       G491BT108   $12,180     500,000   SH    N/A    DEFINED  DEFINED    500,000
LAZARD LTD                             SHS A      G54050102   $12,262     321,000   SH    N/A    DEFINED  DEFINED    321,000
UTI WORLDWIDE INC                       ORD       G87210103   $ 3,414     170,000   SH    N/A    DEFINED  DEFINED    170,000
WILLIS GROUP HOLDINGS LTD               SHS       G96655108   $ 9,713     289,000   SH    N/A    DEFINED  DEFINED    289,000
CHECK POINT SOFTWARE TECH LT            ORD       M22465104   $ 2,800     125,000   SH    N/A    DEFINED  DEFINED    125,000
AES CORP                                COM       00130H105   $ 3,334     200,000   SH    N/A    DEFINED  DEFINED    200,000
AT&T INC                                COM       00206R102   $32,019     836,000   SH    N/A    DEFINED  DEFINED    836,000
ABBOTT LAB                              COM       002824100   $14,863     269,500   SH    N/A    DEFINED  DEFINED    269,500
AFFILIATED MANAGERS GROUP               COM       008252108   $13,611     150,000   SH    N/A    DEFINED  DEFINED    150,000
AKAMAI TECHNOLOGIES INC                 COM       00971T101   $ 7,040     250,000   SH    N/A    DEFINED  DEFINED    250,000
ALBEMARLE CORP                          COM       012653101   $ 1,826      50,000   SH    N/A    DEFINED  DEFINED     50,000
ALLIANCEBERNSTEIN HOLDINGS LP      UNIT LTD PARTN 01881G106   $ 9,507     150,000   SH    N/A    DEFINED  DEFINED    150,000
ALLSCRIPTS HEALTHCARE SOLUTIONS INC     COM       01988P108   $ 2,436     236,000   SH    N/A    DEFINED  DEFINED    236,000
ALTRIA GROUP INC                        COM       02209S103   $ 5,106     230,000   SH    N/A    DEFINED  DEFINED    230,000
AMERICAN MED SYS HLDGS                  COM       02744M108   $ 9,211     649,100   SH    N/A    DEFINED  DEFINED    649,100
AMERIPRISE FINL INC                     COM       03076C106   $ 3,007      58,000   SH    N/A    DEFINED  DEFINED     58,000
APOLLO INVT CORP                        COM       03761U106   $ 2,010     127,000   SH    N/A    DEFINED  DEFINED    127,000
APPLE INC                               COM       037833100   $ 8,610      60,000   SH    N/A    DEFINED  DEFINED     60,000
ATWOOD OCEANICS INC                     COM       050095108   $ 2,752      30,000   SH    N/A    DEFINED  DEFINED     30,000
AUTODESK INC                            COM       052769106   $ 9,255     294,000   SH    N/A    DEFINED  DEFINED    294,000
BAKER HUGHES INC                        COM       057224107   $11,303     165,000   SH    N/A    DEFINED  DEFINED    165,000
BE AEROSPACE INC                        COM       073302101   $ 2,097      60,000   SH    N/A    DEFINED  DEFINED     60,000
BEST BUY INC                            COM       086516101   $17,123     413,000   SH    N/A    DEFINED  DEFINED    413,000
BRIGHTPOINT INC                       COM NEW     109473405   $ 1,212     145,000   SH    N/A    DEFINED  DEFINED    145,000
BROADCOM CORP                           CL A      111320107   $ 4,933     256,000   SH    N/A    DEFINED  DEFINED    256,000
CVS CAREMARK CORP                       COM       126650100   $19,242     475,000   SH    N/A    DEFINED  DEFINED    475,000
CABOT CORP                              COM       127055101   $ 1,400      50,000   SH    N/A    DEFINED  DEFINED     50,000
CAMERON INTL CORP                       COM       13342B105   $12,076     290,000   SH    N/A    DEFINED  DEFINED    290,000
CARDINAL HLTH INC                       COM       14149Y108   $22,369     426,000   SH    N/A    DEFINED  DEFINED    426,000
CENTRAL GARDEN & PET CO             CL A NON-VTG  153527205   $ 1,554     350,000   SH    N/A    DEFINED  DEFINED    350,000
CERNER COR                              COM       156782104   $ 2,945      79,000   SH    N/A    DEFINED  DEFINED     79,000
CHEESECAKE FACTORY INC                  COM       163072101   $ 2,615     120,000   SH    N/A    DEFINED  DEFINED    120,000
CHEVRON CORP                            COM       166764100   $30,303     355,000   SH    N/A    DEFINED  DEFINED    355,000
CISCO SYS INC                           COM       17275R102   $25,415   1,055,000   SH    N/A    DEFINED  DEFINED  1,055,000
CITRIX SYS INC                          COM       177376100   $ 9,210     314,000   SH    N/A    DEFINED  DEFINED    314,000
COACH INC                               COM       189754104   $ 4,583     152,000   SH    N/A    DEFINED  DEFINED    152,000
COMCAST CORP NEW                        CL A      20030N101   $ 5,164     267,000   SH    N/A    DEFINED  DEFINED    267,000
CORNING INC                             COM       219350105   $23,078     960,000   SH    N/A    DEFINED  DEFINED    960,000
COSTCO WHSL CORP NEW                    COM       22160K105   $17,932     276,000   SH    N/A    DEFINED  DEFINED    276,000
COVENTRY HEALTH CARE INC                COM       222862104   $ 7,949     197,000   SH    N/A    DEFINED  DEFINED    197,000
CYTEC IND                               COM       232820100   $11,201     208,000   SH    N/A    DEFINED  DEFINED    208,000
DANAHER CORP                            COM       235851102   $16,042     211,000   SH    N/A    DEFINED  DEFINED    211,000
DAVITA INC                              COM       23918K108   $ 8,883     186,000   SH    N/A    DEFINED  DEFINED    186,000






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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
DIAGEO P L C                        SPON ADR NEW  25243Q205   $14,150     174,000   SH    N/A    DEFINED  DEFINED    174,000
DIAMONDROCK HOSPITALITY CO              COM       252784301   $ 2,927     231,000   SH    N/A    DEFINED  DEFINED    231,000
DICKS SPORTING GOODS INC                COM       253393102   $ 8,891     332,000   SH    N/A    DEFINED  DEFINED    332,000
DONNELLEY R R & SONS CO                 COM       257867101   $10,730     354,000   SH    N/A    DEFINED  DEFINED    354,000
EMC CORP                                COM       268648102   $16,133   1,125,000   SH    N/A    DEFINED  DEFINED  1,125,000
ENSCO INTL INC                          COM       26874Q100   $12,524     200,000   SH    N/A    DEFINED  DEFINED    200,000
ECOLAB INC                              COM       278865100   $ 8,686     200,000   SH    N/A    DEFINED  DEFINED    200,000
EHEALTH INC                             COM       28238P109   $   136       6,177   SH    N/A    DEFINED  DEFINED      6,177
EL PASO CORP                            COM       28336L109   $ 1,747     105,000   SH    N/A    DEFINED  DEFINED    105,000
EMBARQ CORP                             COM       29078E105   $ 1,885      47,000   SH    N/A    DEFINED  DEFINED     47,000
EMERSON ELECTRIC                        COM       291011104   $23,981     466,000   SH    N/A    DEFINED  DEFINED    466,000
ENERGEN CORP                            COM       29265N108   $ 2,492      40,000   SH    N/A    DEFINED  DEFINED     40,000
ENTERGY CORP NEW                        COM       29364G103   $11,453     105,000   SH    N/A    DEFINED  DEFINED    105,000
EQUIFAX INC                             COM       294429105   $ 1,999      58,000   SH    N/A    DEFINED  DEFINED     58,000
EXELON CORP                             COM       30161N101   $25,275     311,000   SH    N/A    DEFINED  DEFINED    311,000
FMC CORP                              COM NEW     302491303   $ 2,775      50,000   SH    N/A    DEFINED  DEFINED     50,000
FEDEX CORP                              COM       31428X106   $18,904     204,000   SH    N/A    DEFINED  DEFINED    204,000
FIDELITY NATL INFORMATION SV            COM       31620M106   $25,554     670,000   SH    N/A    DEFINED  DEFINED    670,000
FIRSTENERGY CORP                        COM       337932107   $ 4,117      60,000   SH    N/A    DEFINED  DEFINED     60,000
FDRY NETWORKS INC                       COM       35063R100   $ 1,540     133,000   SH    N/A    DEFINED  DEFINED    133,000
FRKLN RES INC                           COM       354613101   $ 9,214      95,000   SH    N/A    DEFINED  DEFINED     95,000
FREEPORT-MCMORAN COPPER & GOLD INC      COM       35671D857   $ 4,811      50,000   SH    N/A    DEFINED  DEFINED     50,000
GENERAL ELEC CO                         COM       369604103   $40,267   1,088,000   SH    N/A    DEFINED  DEFINED  1,088,000
GENZYME CORP                            COM       372917104   $ 9,616     129,000   SH    N/A    DEFINED  DEFINED    129,000
GOOGLE INC                              CL A      38259P508   $ 6,607      15,000   SH    N/A    DEFINED  DEFINED     15,000
GRUPO TELEVISA SA DE CV            SP ADR REP ORD 40049J206   $12,265     506,000   SH    N/A    DEFINED  DEFINED    506,000
HCC INS HLDGS INC                       COM       404132102   $ 2,269     100,000   SH    N/A    DEFINED  DEFINED    100,000
HANSEN NAT CORP                         COM       411310105   $ 2,542      72,000   SH    N/A    DEFINED  DEFINED     72,000
HARSCO CORP                             COM       415864107 l $ 2,381      43,000   SH    N/A    DEFINED  DEFINED     43,000
HARTFORD FINL SVCS GROUP INC            COM       416515104   $19,322     255,000   SH    N/A    DEFINED  DEFINED    255,000
HESS CORP                               COM       42809H107   $11,904     135,000   SH    N/A    DEFINED  DEFINED    135,000
HEWLETT PACKARD CO                      COM       428236103   $25,798     565,000   SH    N/A    DEFINED  DEFINED    565,000
HOST HOTELS & RESORTS INC               COM       44107P104   $ 9,027     567,000   SH    N/A    DEFINED  DEFINED    567,000
ITT CORP INC                            COM       450911102   $15,802     305,000   SH    N/A    DEFINED  DEFINED    305,000
IDEX CORP                               COM       45167R104   $ 4,020     131,000   SH    N/A    DEFINED  DEFINED    131,000
INGRAM MICRO INC CL A                   CL A      457153104   $ 3,166     200,000   SH    N/A    DEFINED  DEFINED    200,000
INTEGRA LIFESCIENCES HLDGS C          COM NEW     457985208   $ 3,651      84,000   SH    N/A    DEFINED  DEFINED     84,000
INTEL CORP                              COM       458140100   $ 7,413     350,000   SH    N/A    DEFINED  DEFINED    350,000
INTERCONTINENTALEXCHANGE INC            COM       45865V100   $ 2,610      20,000   SH    N/A    DEFINED  DEFINED     20,000
INVESTMENT TECHNOLOGY GRP NE            COM       46145F105   $ 9,375     203,000   SH    N/A    DEFINED  DEFINED    203,000
JPMORGAN CHASE & CO                     COM       46625H100   $27,660     644,000   SH    N/A    DEFINED  DEFINED    644,000
JACKSON HEWITT TAX SVC INC              COM       468202106   $ 1,032      90,000   SH    N/A    DEFINED  DEFINED     90,000
KROGER CO                               COM       501044101   $11,709     461,000   SH    N/A    DEFINED  DEFINED    461,000
LABORATORY CORP AMER HLDGS            COM NEW     50540R409   $10,978     149,000   SH    N/A    DEFINED  DEFINED    149,000
LEGG MASON INC                          COM       524901105   $ 5,598     100,000   SH    N/A    DEFINED  DEFINED    100,000
LIFE TIME FITNESS INC                   COM       53217R207   $ 4,057     130,000   SH    N/A    DEFINED  DEFINED    130,000
LOWES COS INC                           COM       548661107   $ 5,964     260,000   SH    N/A    DEFINED  DEFINED    260,000
MARRIOTT INTL INC NEW                   CL A      571903202   $ 7,216     210,000   SH    N/A    DEFINED  DEFINED    210,000
MAXIM INTEGRATED PRODS INC              COM       57772K101   $ 8,156     400,000   SH    N/A    DEFINED  DEFINED    400,000
MEDTRONIC INC                           COM       585055106   $ 4,934     102,000   SH    N/A    DEFINED  DEFINED    102,000
MERRILL LYNCH & CO INC                  COM       590188108   $ 3,055      75,000   SH    N/A    DEFINED  DEFINED     75,000
METAVANTE TECHNOLOGIES INC              COM       591407101   $ 1,359      68,000   SH    N/A    DEFINED  DEFINED     68,000
MICROSOFT CORP                          COM       594918104   $37,771   1,330,900   SH    N/A    DEFINED  DEFINED  1,330,900
MICROCHIP TECHNOLOGY INC                COM       595017104   $ 3,306     101,000   SH    N/A    DEFINED  DEFINED    101,000






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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
MICRON TECH INC                         COM       595112103   $ 9,982   1,672,000   SH    N/A    DEFINED  DEFINED  1,672,000
MOLSON COORS BREWING CO                 CL B      60871R209   $ 4,206      80,000   SH    N/A    DEFINED  DEFINED     80,000
MORGAN STANLEY                          COM       617446448   $24,130     528,000   SH    N/A    DEFINED  DEFINED    528,000
NII HLDGS INC                         CL B NEW    62913F201   $ 8,421     265,000   SH    N/A    DEFINED  DEFINED    265,000
NYMEX HLDGS INC                         COM       62948N104   $ 6,344      70,000   SH    N/A    DEFINED  DEFINED     70,000
NASDAQ OMX GROUP                        COM       631103108   $ 2,049      53,000   SH    N/A    DEFINED  DEFINED     53,000
NATL FINL PARTNERS CORP                 COM       63607P208   $ 7,962     354,300   SH    N/A    DEFINED  DEFINED    354,300
NEUSTAR INC                             CL A      64126X201   $ 2,913     110,000   SH    N/A    DEFINED  DEFINED    110,000
NEWS CORP                               CL A      65248E104   $18,094     965,000   SH    N/A    DEFINED  DEFINED    965,000
NORDSTROM INC                           COM       655664100   $ 9,914     304,100   SH    N/A    DEFINED  DEFINED    304,100
NORTHERN TRUST CORP                     COM       665859104   $ 4,267      64,200   SH    N/A    DEFINED  DEFINED     64,200
NSTAR                                   COM       67019E107   $ 4,960     163,000   SH    N/A    DEFINED  DEFINED    163,000
NUANCE COMMUNICATIONS INC               COM       67020Y100   $ 2,002     115,000   SH    N/A    DEFINED  DEFINED    115,000
NVIDIA CORP                             COM       67066G104   $ 1,979     100,000   SH    N/A    DEFINED  DEFINED    100,000
OCCIDENTAL PETE CORP                    COM       674599105   $16,097     220,000   SH    N/A    DEFINED  DEFINED    220,000
OCEANEERING INTL INC                    COM       675232102   $ 3,150      50,000   SH    N/A    DEFINED  DEFINED     50,000
OMNICOM GROUP INC                       COM       681919106   $ 4,418     100,000   SH    N/A    DEFINED  DEFINED    100,000
O REILLY AUTOMOTIVE INC                 COM       686091109   $13,405     470,000   SH    N/A    DEFINED  DEFINED    470,000
PG& E CORP                              COM       69331C108   $ 3,866     105,000   SH    N/A    DEFINED  DEFINED    105,000
PATTERSON COS INC                       COM       703395103   $16,771     462,000   SH    N/A    DEFINED  DEFINED    462,000
PEOPLES UTD FINL INC                    COM       712704105   $ 2,943     170,000   SH    N/A    DEFINED  DEFINED    170,000
PEPSICO INC                             COM       713448108   $28,014     388,000   SH    N/A    DEFINED  DEFINED    388,000
PETROLEO BRASILEIRO SA PETRO       SPONSORED ADR  71654V408   $ 4,084      40,000   SH    N/A    DEFINED  DEFINED     40,000
PETSMART INC                            COM       716768106   $13,293     650,300   SH    N/A    DEFINED  DEFINED    650,300
PHILIP MORRIS INTL INC                  COM       718172109   $11,634     230,000   SH    N/A    DEFINED  DEFINED    230,000
POLYCOM INC                             COM       73172K104   $ 1,488      66,000   SH    N/A    DEFINED  DEFINED     66,000
PRIDE INTL INC DEL                      COM       74153Q102   $ 6,291     180,000   SH    N/A    DEFINED  DEFINED    180,000
PROCTER & GAMBLE CO                     COM       742718109   $25,785     368,000   SH    N/A    DEFINED  DEFINED    368,000
PRUDENTIAL FINL INC                     COM       744320102   $24,570     314,000   SH    N/A    DEFINED  DEFINED    314,000
PSYCHIATRIC SOLUTIONS INC               COM       74439H108   $ 3,562     105,000   SH    N/A    DEFINED  DEFINED    105,000
QUALCOMM INC                            COM       747525103   $23,985     585,000   SH    N/A    DEFINED  DEFINED    585,000
QUEST DIAGNOSTICS INC                   COM       74834L100   $17,021     376,000   SH    N/A    DEFINED  DEFINED    376,000
QUESTAR CORP                            COM       748356102   $16,968     300,000   SH    N/A    DEFINED  DEFINED    300,000
ROCKWELL COLLINS INC                    COM       774341101   $18,002     315,000   SH    N/A    DEFINED  DEFINED    315,000
ROPER INDS INC NEW                      COM       776696106   $12,126     204,000   SH    N/A    DEFINED  DEFINED    204,000
SEI INVTS CO                            COM       784117103   $ 2,716     110,000   SH    N/A    DEFINED  DEFINED    110,000
SANDISK CORP                            COM       80004C101   $ 3,747     166,000   SH    N/A    DEFINED  DEFINED    166,000
SCHERING-PLOUGH CORP                    COM       806605101   $ 7,364     511,000   SH    N/A    DEFINED  DEFINED    511,000
SEALED AIR CORP NEW                     COM       81211K100   $12,751     505,000   SH    N/A    DEFINED  DEFINED    505,000
SMITH INTL INC                          COM       832110100   $ 6,423     100,000   SH    N/A    DEFINED  DEFINED    100,000
SOUTHERN CO                             COM       842587107   $12,463     350,000   SH    N/A    DEFINED  DEFINED    350,000
STAPLES INC                             COM       855030102   $27,328   1,236,000   SH    N/A    DEFINED  DEFINED  1,236,000
STATE STR CORP                          COM       857477103   $ 4,266      54,000   SH    N/A    DEFINED  DEFINED     54,000
SYNOPSYS INC                            COM       871607107   $ 5,223     230,000   SH    N/A    DEFINED  DEFINED    230,000
TD AMERITRADE HLDG CORP                 COM       87236Y108   $ 3,632     220,000   SH    N/A    DEFINED  DEFINED    220,000
TJX COS INC NEW                         COM       872540109   $ 4,167     126,000   SH    N/A    DEFINED  DEFINED    126,000
TAIWAN SEMICONDUCTOR MFG LTD       SPONSORED ADR  874039100   $ 6,162     600,000   SH    N/A    DEFINED  DEFINED    600,000
TECH DATA CORP                          COM       878237106   $ 2,624      80,000   SH    N/A    DEFINED  DEFINED     80,000
TEVA PHARMACEUTICAL INDS LTD            ADR       881624209   $ 9,007     195,000   SH    N/A    DEFINED  DEFINED    195,000
TEXTRON INC                             COM       883203101   $11,472     207,000   SH    N/A    DEFINED  DEFINED    207,000
THERMO FISHER CORP                      COM       883556102   $21,144     372,000   SH    N/A    DEFINED  DEFINED    372,000
TOTAL SA                           SPONSORED ADR  89151E109   $33,304     450,000   SH    N/A    DEFINED  DEFINED    450,000
TRADESTATION GROUP INC                  COM       89267P105   $ 1,108     130,000   SH    N/A    DEFINED  DEFINED    130,000
URS CORP NEW                            COM       903236107   $ 1,961      60,000   SH    N/A    DEFINED  DEFINED     60,000






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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
ULTA SALON COSMETCS & FRAG I            COM       90384S303   $   866      61,679   SH    N/A    DEFINED  DEFINED     61,679
UNITED NAT FOODS INC                    COM       911163103   $ 2,750     147,000   SH    N/A    DEFINED  DEFINED    147,000
UNITED TECHNOLOGIES CORP                COM       913017109   $30,074     437,000   SH    N/A    DEFINED  DEFINED    437,000
VCA ANTECH INC                          COM       918194101   $12,307     450,000   SH    N/A    DEFINED  DEFINED    450,000
VERIZON COMMUNICATIONS                  COM       92343V104   $21,688     595,000   SH    N/A    DEFINED  DEFINED    595,000
WATERS CORP                             COM       941848103   $16,431     295,000   SH    N/A    DEFINED  DEFINED    295,000
WELLPOINT INC                           COM       94973V107   $ 5,516     125,000   SH    N/A    DEFINED  DEFINED    125,000
WESCO INTL INC                          COM       95082P105   $ 1,825      50,000   SH    N/A    DEFINED  DEFINED     50,000
WESTN DIGITAL CORP                      COM       958102105   $ 2,163      80,000   SH    N/A    DEFINED  DEFINED     80,000
WILLIAMS CO INC                         COM       969457100   $ 9,432     286,000   SH    N/A    DEFINED  DEFINED    286,000

                                                           $1,619,307  44,938,256