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, 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 April 20, 2010
----------------
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:         155

Form 13F Information Table Value Total:         $2,130,320
                                                (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, 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 $  1,726    60,000   SH      N/A     DEFINED   DEFINED    60,000
ARCH CAPITAL GROUP LTD              ORD       G0450A105 $  3,431    45,000   SH      N/A     DEFINED   DEFINED    45,000
ACCENTURE PLC IRELAND           SHS CLASS A   G1151C101 $ 13,298   317,000   SH      N/A     DEFINED   DEFINED   317,000
COOPER INDUSTRIES PLC               SHS       G24140108 $ 29,622   617,900   SH      N/A     DEFINED   DEFINED   617,900
INVESCO LTD                         SHS       G491BT108 $  2,191   100,000   SH      N/A     DEFINED   DEFINED   100,000
LAZARD LTD                         SHS A      G54050102 $  9,568   268,000   SH      N/A     DEFINED   DEFINED   268,000
UTI WORLDWIDE INC                   ORD       G87210103 $  2,788   182,000   SH      N/A     DEFINED   DEFINED   182,000
TYCO INTERNATIONAL LTD              SHS       H89128104 $ 31,950   835,300   SH      N/A     DEFINED   DEFINED   835,300
CHECK POINT SOFTWARE TECH LT        ORD       M22465104 $  2,104    60,000   SH      N/A     DEFINED   DEFINED    60,000
AES CORP                            COM       00130H105 $  2,200   200,000   SH      N/A     DEFINED   DEFINED   200,000
AT&T INC                            COM       00206R102 $ 16,576   641,500   SH      N/A     DEFINED   DEFINED   641,500
ADOBE SYS INC                       COM       00724F101 $  8,988   254,100   SH      N/A     DEFINED   DEFINED   254,100
AECOM TECHNOLOGY CORP DELAWA        COM       00766T100 $  6,298   222,000   SH      N/A     DEFINED   DEFINED   222,000
AFFILIATED MANAGERS GROUP           COM       008252108 $ 28,329   358,600   SH      N/A     DEFINED   DEFINED   358,600
AIR PROD & CHEM INC                 COM       009158106 $ 21,823   295,100   SH      N/A     DEFINED   DEFINED   295,100
ALBEMARLE CORP                      COM       012653101 $  2,132    50,000   SH      N/A     DEFINED   DEFINED    50,000
ALLEGHENY TECHNOLOGIES INC          COM       01741R102 $  2,160    40,000   SH      N/A     DEFINED   DEFINED    40,000
AMERICAN TOWER CORP                CL A       029912201 $  2,557    60,000   SH      N/A     DEFINED   DEFINED    60,000
AMERICAN SUPERCONDUCTOR CORP        COM       030111108 $  2,890   100,000   SH      N/A     DEFINED   DEFINED   100,000
AMERIPRISE FINL INC                 COM       03076C106 $  3,583    79,000   SH      N/A     DEFINED   DEFINED    79,000
ANADARKO PETRO CORP                 COM       032511107 $ 16,110   221,200   SH      N/A     DEFINED   DEFINED   221,200
ANALOG DEVICES INC                  COM       032654105 $  1,441    50,000   SH      N/A     DEFINED   DEFINED    50,000
AON CORP                            COM       037389103 $  3,630    85,000   SH      N/A     DEFINED   DEFINED    85,000
APACHE CORP                         COM       037411105 $ 17,935   176,700   SH      N/A     DEFINED   DEFINED   176,700
APOLLO GROUP INC                   CL A       037604105 $ 25,172   410,700   SH      N/A     DEFINED   DEFINED   410,700
APPLE INC                           COM       037833100 $ 29,860   127,100   SH      N/A     DEFINED   DEFINED   127,100
APPLIED MATERIALS INC               COM       038222105 $  9,866   731,900   SH      N/A     DEFINED   DEFINED   731,900
BJS WHSL CLUB INC                   COM       05548J106 $  4,010   108,400   SH      N/A     DEFINED   DEFINED   108,400
BANK OF AMERICA CORP                COM       060505104 $ 35,566 1,992,500   SH      N/A     DEFINED   DEFINED 1,992,500
BANK NEW YORK MELLON CORP           COM       064058100 $ 12,543   406,200   SH      N/A     DEFINED   DEFINED   406,200
BAXTER INTL INC                     COM       071813109 $ 29,577   508,200   SH      N/A     DEFINED   DEFINED   508,200
BE AEROSPACE INC                    COM       073302101 $  3,197   105,000   SH      N/A     DEFINED   DEFINED   105,000
BORG WARNER INC                     COM       099724106 $  2,291    60,000   SH      N/A     DEFINED   DEFINED    60,000
BROADCOM CORP                      CL A       111320107 $  9,460   285,100   SH      N/A     DEFINED   DEFINED   285,100
CME GROUP INC                       COM       12572Q105 $ 15,110    47,800   SH      N/A     DEFINED   DEFINED    47,800
CVS CAREMARK CORP                   COM       126650100 $ 22,744   622,100   SH      N/A     DEFINED   DEFINED   622,100
CAMERON INTL CORP                   COM       13342B105 $ 12,387   289,000   SH      N/A     DEFINED   DEFINED   289,000
CENTURYTEL INC                      COM       156700106 $  2,128    60,000   SH      N/A     DEFINED   DEFINED    60,000
CHEVRON CORP                        COM       166764100 $ 40,114   529,000   SH      N/A     DEFINED   DEFINED   529,000
CISCO SYSTEMS INC                   COM       17275R102 $ 39,219 1,506,700   SH      N/A     DEFINED   DEFINED 1,506,700
CITRIX SYS INC                      COM       177376100 $  2,848    60,000   SH      N/A     DEFINED   DEFINED    60,000
COMMSCOPE INC                       COM       203372107 $  2,802   100,000   SH      N/A     DEFINED   DEFINED   100,000
CON-WAY INC                         COM       205944101 $  2,107    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                 INVESTMENT  OTHER      VOTING AUTHORITY
NAME OF ISSUER                     CLASS        NUMBER  (x$1000)   PRN AMT SH/PRN PUT/CALL DISCRETION MANAGERS   SOLE    SHARED NONE
------------------------------------------------------- -------- --------- ------ -------- ---------- -------- --------- ------ ----
                                                                                               
CONSOL ENERGY INC                   COM       20854P109 $  3,413    80,000   SH      N/A     DEFINED   DEFINED    80,000
DAVITA INC                          COM       23918K108 $ 13,986   220,600   SH      N/A     DEFINED   DEFINED   220,600
DENTSPLY INTL INC NEW               COM       249030107 $  3,450    99,000   SH      N/A     DEFINED   DEFINED    99,000
DICKS SPORTING GOODS INC            COM       253393102 $ 18,431   705,900   SH      N/A     DEFINED   DEFINED   705,900
WALT DISNEY CO                      COM       254687106 $ 16,792   481,000   SH      N/A     DEFINED   DEFINED   481,000
DONNELLEY R R & SONS CO             COM       257867101 $  2,946   138,000   SH      N/A     DEFINED   DEFINED   138,000
DUN & BRADSTREET CORP DEL NE        COM       26483E100 $  2,605    35,000   SH      N/A     DEFINED   DEFINED    35,000
EMC CORP                            COM       268648102 $ 18,193 1,008,500   SH      N/A     DEFINED   DEFINED 1,008,500
ECOLAB INC                          COM       278865100 $ 17,198   391,300   SH      N/A     DEFINED   DEFINED   391,300
EL PASO CORP                        COM       28336L109 $  1,518   140,000   SH      N/A     DEFINED   DEFINED   140,000
EMERSON ELECTRIC CO                 COM       291011104 $ 10,697   212,500   SH      N/A     DEFINED   DEFINED   212,500
ENERGIZER HLDGS INC                 COM       29266R108 $ 20,880   332,700   SH      N/A     DEFINED   DEFINED   332,700
EXELON CORP                         COM       30161N101 $ 15,715   358,700   SH      N/A     DEFINED   DEFINED   358,700
EXXON MOBIL CORP                    COM       30231G102 $ 47,388   707,500   SH      N/A     DEFINED   DEFINED   707,500
F M C CORP                        COM NEW     302491303 $  4,238    70,000   SH      N/A     DEFINED   DEFINED    70,000
FEDEX CORP                          COM       31428X106 $ 12,189   130,500   SH      N/A     DEFINED   DEFINED   130,500
FIDELITY NATL INFORMATION SV        COM       31620M106 $ 16,136   688,400   SH      N/A     DEFINED   DEFINED   688,400
FREEPORT-MCMORAN COPPER & GO        COM       35671D857 $ 14,076   168,500   SH      N/A     DEFINED   DEFINED   168,500
GFI GROUP INC                       COM       361652209 $  2,026   350,500   SH      N/A     DEFINED   DEFINED   350,500
GILEAD SCIENCES INC                 COM       375558103 $ 24,509   538,900   SH      N/A     DEFINED   DEFINED   538,900
GLOBAL PMTS INC                     COM       37940X102 $  2,733    60,000   SH      N/A     DEFINED   DEFINED    60,000
GOLDMAN SACHS GROUP INC             COM       38141G104 $ 28,103   164,700   SH      N/A     DEFINED   DEFINED   164,700
GOOGLE INC                         CL A       38259P508 $ 19,619    34,600   SH      N/A     DEFINED   DEFINED    34,600
HESS CORP                           COM       42809H107 $ 12,003   191,900   SH      N/A     DEFINED   DEFINED   191,900
HEWLETT PACKARD CO                  COM       428236103 $ 33,399   628,400   SH      N/A     DEFINED   DEFINED   628,400
HEXCEL CORP NEW                     COM       428291108 $  1,444   100,000   SH      N/A     DEFINED   DEFINED   100,000
HOST HOTELS & RESORTS INC           COM       44107P104 $  3,770   257,326   SH      N/A     DEFINED   DEFINED   257,326
ITT CORP INC                        COM       450911102 $ 28,038   523,000   SH      N/A     DEFINED   DEFINED   523,000
INTEL CORP                          COM       458140100 $ 29,633 1,331,200   SH      N/A     DEFINED   DEFINED 1,331,200
INTERNATIONAL BUSINESS MACHS        COM       459200101 $ 24,727   192,800   SH      N/A     DEFINED   DEFINED   192,800
INTL GAME TECH                      COM       459902102 $ 22,909 1,241,700   SH      N/A     DEFINED   DEFINED 1,241,700
INVESTMENT TECHNOLOGY GRP NE        COM       46145F105 $  4,673   280,000   SH      N/A     DEFINED   DEFINED   280,000
ITRON INC                           COM       465741106 $  1,814    25,000   SH      N/A     DEFINED   DEFINED    25,000
JPMORGAN CHASE & CO                 COM       46625H100 $ 47,806 1,068,300   SH      N/A     DEFINED   DEFINED 1,068,300
KRAFT FOODS INC                    CL A       50075N104 $ 14,246   471,100   SH      N/A     DEFINED   DEFINED   471,100
KROGER CO                           COM       501044101 $ 48,163 2,223,600   SH      N/A     DEFINED   DEFINED 2,223,600
LABORATORY CORP AMER HLDGS        COM NEW     50540R409 $ 25,264   333,700   SH      N/A     DEFINED   DEFINED   333,700
LAM RESH CORP                       COM       512807108 $  1,866    50,000   SH      N/A     DEFINED   DEFINED    50,000
LORILLARD INC                       COM       544147101 $  3,235    43,000   SH      N/A     DEFINED   DEFINED    43,000
LOWES COS INC                       COM       548661107 $ 25,660 1,058,600   SH      N/A     DEFINED   DEFINED 1,058,600
MEMC ELECTR MATLS INC               COM       552715104 $  5,672   370,000   SH      N/A     DEFINED   DEFINED   370,000
MCAFEE INC                          COM       579064106 $  2,809    70,000   SH      N/A     DEFINED   DEFINED    70,000
MC CORMICK & CO INC             COM NON VTG   579780206 $  1,726    45,000   SH      N/A     DEFINED   DEFINED    45,000
MCDERMOTT INTL INC                  COM       580037109 $  2,692   100,000   SH      N/A     DEFINED   DEFINED   100,000
MERCK & CO INC NEW                  COM       58933Y105 $ 23,663   633,547   SH      N/A     DEFINED   DEFINED   633,547
METLIFE INC                         COM       59156R108 $ 27,885   643,400   SH      N/A     DEFINED   DEFINED   643,400
MICROSOFT CORP                      COM       594918104 $ 52,054 1,778,400   SH      N/A     DEFINED   DEFINED 1,778,400
MICROCHIP TECHNOLOGY INC            COM       595017104 $  3,802   135,000   SH      N/A     DEFINED   DEFINED   135,000
MONSANTO CO NEW                     COM       61166W101 $ 16,327   228,600   SH      N/A     DEFINED   DEFINED   228,600
MOODYS CORP                         COM       615369105 $  2,231    75,000   SH      N/A     DEFINED   DEFINED    75,000
MORGAN STANLEY                    COM NEW     617446448 $ 21,932   748,800   SH      N/A     DEFINED   DEFINED   748,800
MOSAIC CO                           COM       61945A107 $  9,116   150,000   SH      N/A     DEFINED   DEFINED   150,000
MYRIAD GENETICS INC                 COM       62855J104 $  3,532   146,853   SH      N/A     DEFINED   DEFINED   146,853
NII HLDGS INC                    CL B NEW     62913F201 $ 13,923   334,200   SH      N/A     DEFINED   DEFINED   334,200






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
------------------------------------------------------- -------- --------- ------ -------- ---------- -------- --------- ------ ----
                                                                                               
NASDAQ OMX GROUP                    COM       631103108 $ 22,774 1,078,300   SH      N/A     DEFINED   DEFINED 1,078,300
NEWELL RUBBERMAID INC               COM       651229106 $  4,975   327,310   SH      N/A     DEFINED   DEFINED   327,310
NOBLE ENERGY INC                    COM       655044105 $  4,380    60,000   SH      N/A     DEFINED   DEFINED    60,000
NORTHERN TRUST CORP                 COM       665859104 $  2,210    40,000   SH      N/A     DEFINED   DEFINED    40,000
NSTAR                               COM       67019E107 $  6,376   180,000   SH      N/A     DEFINED   DEFINED   180,000
NUANCE COMMUNICATIONS INC           COM       67020Y100 $  5,325   320,000   SH      N/A     DEFINED   DEFINED   320,000
OCCIDENTAL PETROLEUM CORP           COM       674599105 $ 15,243   180,300   SH      N/A     DEFINED   DEFINED   180,300
OMNICOM GROUP INC                   COM       681919106 $  3,493    90,000   SH      N/A     DEFINED   DEFINED    90,000
O REILLY AUTOMOTIVE INC             COM       686091109 $  2,711    65,000   SH      N/A     DEFINED   DEFINED    65,000
OWENS ILL INC                     COM NEW     690768403 $  2,132    60,000   SH      N/A     DEFINED   DEFINED    60,000
PG& E CORP                          COM       69331C108 $ 27,993   659,900   SH      N/A     DEFINED   DEFINED   659,900
PAYCHEX INC                         COM       704326107 $  1,535    50,000   SH      N/A     DEFINED   DEFINED    50,000
PEOPLES UTD FINL INC                COM       712704105 $  2,346   150,000   SH      N/A     DEFINED   DEFINED   150,000
PEPSICO INC                         COM       713448108 $ 41,165   622,200   SH      N/A     DEFINED   DEFINED   622,200
PHILIP MORRIS INTL INC              COM       718172109 $ 26,998   517,600   SH      N/A     DEFINED   DEFINED   517,600
PRIMERICA INC                       COM       74164M108 $    300    20,000   SH      N/A     DEFINED   DEFINED    20,000
PROCTER & GAMBLE CO                 COM       742718109 $ 25,302   399,900   SH      N/A     DEFINED   DEFINED   399,900
PRUDENTIAL FINL INC                 COM       744320102 $ 25,725   425,200   SH      N/A     DEFINED   DEFINED   425,200
PSYCHIATRIC SOLUTIONS INC           COM       74439H108 $  2,733    91,700   SH      N/A     DEFINED   DEFINED    91,700
QLOGIC CORP                         COM       747277101 $  7,308   360,000   SH      N/A     DEFINED   DEFINED   360,000
QUALCOMM INC                        COM       747525103 $ 26,009   619,400   SH      N/A     DEFINED   DEFINED   619,400
QUEST DIAGNOSTICS INC               COM       74834L100 $  3,497    60,000   SH      N/A     DEFINED   DEFINED    60,000
QUESTAR CORP                        COM       748356102 $ 10,122   234,300   SH      N/A     DEFINED   DEFINED   234,300
ROCKWELL COLLINS INC                COM       774341101 $ 25,631   409,500   SH      N/A     DEFINED   DEFINED   409,500
ROPER INDS INC NEW                  COM       776696106 $ 14,871   257,100   SH      N/A     DEFINED   DEFINED   257,100
SAIC INC                            COM       78390X101 $  2,283   129,000   SH      N/A     DEFINED   DEFINED   129,000
SEI INVTS CO                        COM       784117103 $  3,999   182,000   SH      N/A     DEFINED   DEFINED   182,000
ST JUDE MED INC                     COM       790849103 $ 21,527   524,400   SH      N/A     DEFINED   DEFINED   524,400
SCHLUMBERGER LTD                    COM       806857108 $ 10,960   172,700   SH      N/A     DEFINED   DEFINED   172,700
SEALED AIR CORP NEW                 COM       81211K100 $ 10,019   475,300   SH      N/A     DEFINED   DEFINED   475,300
SMITH INTL INC                      COM       832110100 $  2,997    70,000   SH      N/A     DEFINED   DEFINED    70,000
SOUTHERN CO                         COM       842587107 $ 25,881   780,500   SH      N/A     DEFINED   DEFINED   780,500
SOUTHWESTERN ENERGY CO              COM       845467109 $  2,443    60,000   SH      N/A     DEFINED   DEFINED    60,000
STAPLES INC                         COM       855030102 $ 21,989   940,100   SH      N/A     DEFINED   DEFINED   940,100
STATE STR CORP                      COM       857477103 $ 21,198   469,600   SH      N/A     DEFINED   DEFINED   469,600
SYNOPSYS INC                        COM       871607107 $  2,684   120,000   SH      N/A     DEFINED   DEFINED   120,000
TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100 $ 14,722 1,403,407   SH      N/A     DEFINED   DEFINED 1,403,407
TALECRIS BIOTHERAPEUTICS HLD        COM       874227101 $  2,948   148,000   SH      N/A     DEFINED   DEFINED   148,000
TARGET CORP                         COM       87612E106 $ 24,738   470,300   SH      N/A     DEFINED   DEFINED   470,300
TEVA PHARMACEUTICAL INDS LTD        ADR       881624209 $ 19,063   302,200   SH      N/A     DEFINED   DEFINED   302,200
THERMO FISHER CORP                  COM       883556102 $ 25,298   491,800   SH      N/A     DEFINED   DEFINED   491,800
TOLL BROS INC                       COM       889478103 $ 18,375   883,400   SH      N/A     DEFINED   DEFINED   883,400
TOWERS WATSON & CO                 CL A       891894107 $  1,929    40,600   SH      N/A     DEFINED   DEFINED    40,600
TRANSOCEAN INC                Note 1.625%12/1 893830AU3 $  5,614 5,600,000   SH      N/A     DEFINED   DEFINED 5,600,000
TRAVELERS COS INC                   COM       89417E109 $ 12,751   236,400   SH      N/A     DEFINED   DEFINED   236,400
URS CORP NEW                        COM       903236107 $  5,584   112,552   SH      N/A     DEFINED   DEFINED   112,552
UNION PAC CORP                      COM       907818108 $ 15,987   218,100   SH      N/A     DEFINED   DEFINED   218,100
UNITED PARCEL SVC INC              CL B       911312106 $ 19,986   310,300   SH      N/A     DEFINED   DEFINED   310,300
UNITED TECHNOLOGIES CORP            COM       913017109 $ 30,879   419,500   SH      N/A     DEFINED   DEFINED   419,500
UNITEDHEALTH GROUP INC              COM       91324P102 $  7,873   241,000   SH      N/A     DEFINED   DEFINED   241,000
URBAN OUTFITTERS INC                COM       917047102 $  2,472    65,000   SH      N/A     DEFINED   DEFINED    65,000
VCA ANTECH INC                      COM       918194101 $ 16,515   589,200   SH      N/A     DEFINED   DEFINED   589,200
V F CORP                            COM       918204108 $ 33,799   421,700   SH      N/A     DEFINED   DEFINED   421,700
VALERO ENERGY CORP NEW              COM       91913Y100 $  1,478    75,000   SH      N/A     DEFINED   DEFINED    75,000






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
--------------------------------------------------- ---------- ----------- ------ -------- ---------- -------- --------- ------ ----
                                                                                               
VERIZON COMMUNICATIONS              COM   92343V104 $   32,329   1,042,200   SH      N/A     DEFINED   DEFINED 1,042,200
VIACOM INC NEW                     CL B   92553P201 $   18,259     531,100   SH      N/A     DEFINED   DEFINED   531,100
WILLIAMS CO INC                     COM   969457100 $   12,853     556,400   SH      N/A     DEFINED   DEFINED   556,400
XILINX INC                          COM   983919101 $    2,550     100,000   SH      N/A     DEFINED   DEFINED   100,000
                                                    $2,130,320  61,382,795