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

                          Form 13F

                     Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2011
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  August 3, 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:         171

Form 13F Information Table Value Total:         $2,920,144
                                                (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
                                 June 30, 2011
            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       HRS OR                  INVESTMENT  OTHER      VOTING AUTHORITY
NAME OF ISSUER                 CLASS        NUMBER    (x$1000)    PRN AMT  SH/PRN PUT/CALL DISCRETION MANAGERS   SOLE    SHARED NONE
---------------------------------------   --------- ---------- ----------- ------ -------- ---------- -------- --------- ------ ----
                                                                                               
ARCH CAPITAL GROUP              COM       G0450A105 $    4,309     135,000   SH      N/A    DEFINED   DEFINED    135,000
ACCENTURE PLC IRELAND       SHS CLASS A   G1151C101 $   14,579     241,300   SH      N/A    DEFINED   DEFINED    241,300
BUNGE LIMITED                   COM       G16962105 $   27,921     404,950   SH      N/A    DEFINED   DEFINED    404,950
COOPER INDUSTRIES PLC           SHS       G24140108 $   22,758     381,400   SH      N/A    DEFINED   DEFINED    381,400
COVIDIEN PLC                    SHS       G2554F113 $   21,034     395,150   SH      N/A    DEFINED   DEFINED    395,150
FRONTLINE LTD                   SHS       G3682E127 $    8,844     600,000   SH      N/A    DEFINED   DEFINED    600,000
INVESCO LTD                     SHS       G491BT108 $   26,716   1,141,700   SH      N/A    DEFINED   DEFINED  1,141,700
LAZARD LTD                     SHS A      G54050102 $    5,565     150,000   SH      N/A    DEFINED   DEFINED    150,000
MARVELL TECHNOLOGY
 GROUP LTD                      ORD       G5876H105 $   16,980   1,150,000   SH      N/A    DEFINED   DEFINED  1,150,000
WARNER CHILCOTT PLC
 IRELAND                       SHS A      G94368100 $    3,939     163,246   SH      N/A    DEFINED   DEFINED    163,246
WEATHERFORD
 INTERNATIONAL LT             REG SHS     H27013103 $   21,324   1,137,300   SH      N/A    DEFINED   DEFINED  1,137,300
NIELSEN HOLDINGS NV             COM       N63218106 $    1,714      55,000   SH      N/A    DEFINED   DEFINED     55,000
AVAGO TECHNOLOGIES LTD          SHS       Y0486S104 $    3,800     100,000   SH      N/A    DEFINED   DEFINED    100,000
AK STL HLDG CORP                COM       001547108 $    5,043     320,000   SH      N/A    DEFINED   DEFINED    320,000
ABBOTT LAB                      COM       002824100 $    5,525     105,000   SH      N/A    DEFINED   DEFINED    105,000
ADOBE SYS INC                   COM       00724F101 $   11,951     380,000   SH      N/A    DEFINED   DEFINED    380,000
AECOM TECHNOLOGY CORP           COM       00766T100 $   37,631   1,376,400   SH      N/A    DEFINED   DEFINED  1,376,400
AFFILIATED MANAGERS
 GROUP INC                      COM       008252108 $    6,087      60,000   SH      N/A    DEFINED   DEFINED     60,000
AIR PROD & CHEM INC             COM       009158106 $   39,656     414,900   SH      N/A    DEFINED   DEFINED    414,900
AKAMAI TECHNOLOGIES
 INC                            COM       00971T101 $    3,147     100,000   SH      N/A    DEFINED   DEFINED    100,000
ALBEMARLE CORP                  COM       012653101 $    2,768      40,000   SH      N/A    DEFINED   DEFINED     40,000
ALLEGHENY TECHNOLOGIES
 INC                            COM       01741R102 $    3,174      50,000   SH      N/A    DEFINED   DEFINED     50,000
ALTRIA GROUP INC                COM       02209S103 $   22,174     839,600   SH      N/A    DEFINED   DEFINED    839,600
AMERICAN EXPRESS CO             COM       025816109 $   35,725     691,000   SH      N/A    DEFINED   DEFINED    691,000
AMERICAN TOWER CORP            CL A       029912201 $   18,268     349,100   SH      N/A    DEFINED   DEFINED    349,100
ANADARKO PETRO CORP             COM       032511107 $   11,514     150,000   SH      N/A    DEFINED   DEFINED    150,000
ANNALY CAP MGMT INC             COM       035710409 $   14,648     812,000   SH      N/A    DEFINED   DEFINED    812,000
APACHE CORP                     COM       037411105 $   25,073     203,200   SH      N/A    DEFINED   DEFINED    203,200
APPLE INC                       COM       037833100 $   63,072     187,900   SH      N/A    DEFINED   DEFINED    187,900
BMC SOFTWARE INC                COM       055921100 $    5,470     100,000   SH      N/A    DEFINED   DEFINED    100,000
BAXTER INTL INC                 COM       071813109 $    5,790      97,000   SH      N/A    DEFINED   DEFINED     97,000
BROADCOM CORP                  CL A       111320107 $   18,502     550,000   SH      N/A    DEFINED   DEFINED    550,000
BRUKER CORP                     COM       116794108 $    5,166     253,711   SH      N/A    DEFINED   DEFINED    253,711
CME GROUP INC                   COM       12572Q105 $   23,190      79,530   SH      N/A    DEFINED   DEFINED     79,530
CSX CORP                        COM       126408103 $   35,397   1,350,000   SH      N/A    DEFINED   DEFINED  1,350,000
CARNIVAL CORP               PAIRED CTF    143658300 $   35,184     935,000   SH      N/A    DEFINED   DEFINED    935,000
CATALYST HEALTH
 SOLUTIONS INC                  COM       14888B103 $    3,070      55,000   SH      N/A    DEFINED   DEFINED     55,000
CELANESE CORP DEL            COM SER A    150870103 $    3,199      60,000   SH      N/A    DEFINED   DEFINED     60,000
CELGENE CORP                    COM       151020104 $   25,739     426,700   SH      N/A    DEFINED   DEFINED    426,700
CENTURYLINK INC                 COM       156700106 $   11,725     290,000   SH      N/A    DEFINED   DEFINED    290,000
CHEESECAKE FACTORY INC          COM       163072101 $    4,379     139,583   SH      N/A    DEFINED   DEFINED    139,583
CHEVRON CORP                    COM       166764100 $   56,737     551,700   SH      N/A    DEFINED   DEFINED    551,700
CHICAGO BRIDGE & IRON
 CO N V                   NY REGISTRY SH  167250109 $    1,945      50,000   SH      N/A    DEFINED   DEFINED     50,000
CITIGROUP INC                 COM NEW     172967424 $   24,984     600,000   SH      N/A    DEFINED   DEFINED    600,000
COCA COLA CO                    COM       191216100 $    7,402     110,000   SH      N/A    DEFINED   DEFINED    110,000
COLGATE-PALMOLIVE CO            COM       194162103 $   18,409     210,600   SH      N/A    DEFINED   DEFINED    210,600
CONS EDISON INC                 COM       209115104 $    6,708     126,000   SH      N/A    DEFINED   DEFINED    126,000
CREE INC                        COM       225447101 $    1,680      50,000   SH      N/A    DEFINED   DEFINED     50,000
DECKERS OUTDOOR CORP            COM       243537107 $    6,611      75,000   SH      N/A    DEFINED   DEFINED     75,000
DIGITAL RLTY TR INC             COM       253868103 $   24,836     402,000   SH      N/A    DEFINED   DEFINED    402,000
DISCOVERY
 COMMUNICATIONS NEW          COM SER A    25470F104 $   20,168     492,389   SH      N/A    DEFINED   DEFINED    492,389
DONNELLEY R R & SONS
 CO                             COM       257867101 $   13,001     663,000   SH      N/A    DEFINED   DEFINED    663,000
DUN & BRADSTREET CORP
 DEL NE                         COM       26483E100 $    2,644      35,000   SH      N/A    DEFINED   DEFINED     35,000
EL PASO CORP                    COM       28336L109 $    2,020     100,000   SH      N/A    DEFINED   DEFINED    100,000
EMERSON ELECTRIC CO             COM       291011104 $   36,563     650,000   SH      N/A    DEFINED   DEFINED    650,000
ENERGIZER HLDGS INC             COM       29266R108 $    5,130      70,900   SH      N/A    DEFINED   DEFINED     70,900
ENSCO PLC                  SPONSORED ADR  29358Q109 $    1,910      35,835   SH      N/A    DEFINED   DEFINED     35,835
EXELON CORP                     COM       30161N101 $   21,519     502,300   SH      N/A    DEFINED   DEFINED    502,300
EXPRESS SCRIPTS INC             COM       302182100 $   57,597   1,067,000   SH      N/A    DEFINED   DEFINED  1,067,000
EXXON MOBIL CORP                COM       30231G102 $   71,476     878,300   SH      N/A    DEFINED   DEFINED    878,300
F M C CORP                    COM NEW     302491303 $    3,441      40,000   SH      N/A    DEFINED   DEFINED     40,000
FEDEX CORP                      COM       31428X106 $   23,713     250,000   SH      N/A    DEFINED   DEFINED    250,000
6th 3RD BANCORP                 COM       316773100 $    3,251     255,000   SH      N/A    DEFINED   DEFINED    255,000
FLOWSERVE CORP                  COM       34354P105 $    3,297      30,000   SH      N/A    DEFINED   DEFINED     30,000
FORD MTR CO DEL            COM PAR $0.01  345370860 $   43,756   3,173,000   SH      N/A    DEFINED   DEFINED  3,173,000
FREEPORT-MCMORAN
 COPPER & GOLD INC              COM       35671D857 $   15,870     300,000   SH      N/A    DEFINED   DEFINED    300,000
GAYLORD ENTMT CO NEW            COM       367905106 $    4,650     155,000   SH      N/A    DEFINED   DEFINED    155,000
GENERAL MILLS INC               COM       370334104 $    3,796     102,000   SH      N/A    DEFINED   DEFINED    102,000
GOLDMAN SACHS GROUP INC         COM       38141G104 $   21,627     162,500   SH      N/A    DEFINED   DEFINED    162,500
GOOGLE INC                     CL A       38259P508 $   51,853     102,400   SH      N/A    DEFINED   DEFINED    102,400
GUESS INC                       COM       401617105 $   25,665     610,200   SH      N/A    DEFINED   DEFINED    610,200
HEALTH CARE REIT INC            COM       42217K106 $    8,389     160,000   SH      N/A    DEFINED   DEFINED    160,000
HERTZ GLOBAL HLDGS INC          COM       42805T105 $   30,714   1,934,100   SH      N/A    DEFINED   DEFINED  1,934,100
HESS CORP                       COM       42809H107 $   10,893     145,700   SH      N/A    DEFINED   DEFINED    145,700
HEWLETT PACKARD CO              COM       428236103 $   22,069     606,300   SH      N/A    DEFINED   DEFINED    606,300
HHGREGG INC                     COM       42833L108 $    2,289     170,800   SH      N/A    DEFINED   DEFINED    170,800
HORNBECK OFFSHORE SVCS
 INC N                          COM       440543106 $    6,380     232,000   SH      N/A    DEFINED   DEFINED    232,000
HOSPIRA INC                     COM       441060100 $   51,237     904,295   SH      N/A    DEFINED   DEFINED    904,295
ITT CORP INC                    COM       450911102 $   23,310     395,560   SH      N/A    DEFINED   DEFINED    395,560
ICONIX BRAND GROUP INC          COM       451055107 $    3,630     150,000   SH      N/A    DEFINED   DEFINED    150,000
ILL TOOL WKS INC                COM       452308109 $   50,745     898,300   SH      N/A    DEFINED   DEFINED    898,300
INGRAM MICRO INC               CL A       457153104 $    2,721     150,000   SH      N/A    DEFINED   DEFINED    150,000
INSITUFORM TECHNOLOGIES
 INC                           CL A       457667103 $    3,670     175,000   SH      N/A    DEFINED   DEFINED    175,000
INTERCONTINENTAL
 EXCHANGE INC                   COM       45865V100 $    3,991      32,000   SH      N/A    DEFINED   DEFINED     32,000
INTERNATIONAL BUSINESS
 MACHS CORP                     COM       459200101 $   22,799     132,900   SH      N/A    DEFINED   DEFINED    132,900
INTREPID POTASH INC             COM       46121Y102 $    3,250     100,000   SH      N/A    DEFINED   DEFINED    100,000
INVESCO MORTGAGE
 CAPITAL INC                    COM       46131B100 $    4,670     221,000   SH      N/A    DEFINED   DEFINED    221,000
JPMORGAN CHASE & CO             COM       46625H100 $   64,571   1,577,200   SH      N/A    DEFINED   DEFINED  1,577,200
JOHNSON & JOHNSON               COM       478160104 $    7,982     120,000   SH      N/A    DEFINED   DEFINED    120,000
KINDRED HEALTHCARE INC          COM       494580103 $    4,552     212,000   SH      N/A    DEFINED   DEFINED    212,000
KOHLS CORP                      COM       500255104 $   27,756     555,000   SH      N/A    DEFINED   DEFINED    555,000
KRAFT FOODS INC                CL A       50075N104 $    5,742     163,000   SH      N/A    DEFINED   DEFINED    163,000
LAS VEGAS SANDS CORP            COM       517834107 $   43,265   1,025,000   SH      N/A    DEFINED   DEFINED  1,025,000
LEAR CORP                     COM NEW     521865204 $    5,348     100,000   SH      N/A    DEFINED   DEFINED    100,000
LIFE TECHNOLOGIES CORP          COM       53217V109 $   12,645     242,850   SH      N/A    DEFINED   DEFINED    242,850
MEMC ELECTR MATLS INC           COM       552715104 $    3,241     380,000   SH      N/A    DEFINED   DEFINED    380,000
MASTERCARD INC                 CL A       57636Q104 $   13,229      43,900   SH      N/A    DEFINED   DEFINED     43,900
MCDERMOTT INTL INC              COM       580037109 $    1,981     100,000   SH      N/A    DEFINED   DEFINED    100,000
MC DONALDS CORP                 COM       580135101 $   53,037     629,000   SH      N/A    DEFINED   DEFINED    629,000
MCGRAW-HILL COS                 COM       580645109 $   27,656     659,900   SH      N/A    DEFINED   DEFINED    659,900
MEAD JOHNSON NUTRITION
 CO                             COM       582839106 $   13,543     200,488   SH      N/A    DEFINED   DEFINED    200,488
MEDASSETS INC                   COM       584045108 $    3,874     290,000   SH      N/A    DEFINED   DEFINED    290,000
MEDNAX INC                      COM       58502B106 $   21,873     302,990   SH      N/A    DEFINED   DEFINED    302,990
MERCK & CO INC NEW              COM       58933Y105 $    8,823     250,000   SH      N/A    DEFINED   DEFINED    250,000
METLIFE INC                     COM       59156R108 $   48,288   1,100,700   SH      N/A    DEFINED   DEFINED  1,100,700
MICROSOFT CORP                  COM       594918104 $   61,394   2,361,300   SH      N/A    DEFINED   DEFINED  2,361,300
MICROCHIP TECHNOLOGY
 INC                            COM       595017104 $    9,478     250,000   SH      N/A    DEFINED   DEFINED    250,000
MICRON TECH INC                 COM       595112103 $   14,736   1,970,000   SH      N/A    DEFINED   DEFINED  1,970,000
MONSANTO CO NEW                 COM       61166W101 $   19,564     269,700   SH      N/A    DEFINED   DEFINED    269,700
MOSAIC CO NEW                   COM       61945C103 $   32,510     480,000   SH      N/A    DEFINED   DEFINED    480,000
MYLAN INC                       COM       628530107 $    7,376     299,000   SH      N/A    DEFINED   DEFINED    299,000
NII HLDGS INC                CL B NEW     62913F201 $   18,495     436,400   SH      N/A    DEFINED   DEFINED    436,400
NYSE EURONEXT                   COM       629491101 $    2,056      60,000   SH      N/A    DEFINED   DEFINED     60,000
NASDAQ OMX GROUP                COM       631103108 $    3,163     125,000   SH      N/A    DEFINED   DEFINED    125,000
NETLOGIC MICROSYSTEMS
 INC                            COM       64118B100 $    3,638      90,000   SH      N/A    DEFINED   DEFINED     90,000
NEWS CORP                      CL A       65248E104 $   19,470   1,100,000   SH      N/A    DEFINED   DEFINED  1,100,000
NEXTERA ENERGY INC              COM       65339F101 $   37,464     652,000   SH      N/A    DEFINED   DEFINED    652,000
NORTHERN TR CORP                COM       665859104 $    2,758      60,000   SH      N/A    DEFINED   DEFINED     60,000
NSTAR                           COM       67019E107 $    8,230     179,000   SH      N/A    DEFINED   DEFINED    179,000
NUANCE COMMUNICATIONS
 INC                            COM       67020Y100 $   21,343     994,100   SH      N/A    DEFINED   DEFINED    994,100
NXSTAGE MED INC                 COM       67072V103 $      268      12,852   SH      N/A    DEFINED   DEFINED     12,852
OCCIDENTAL PETROLEUM
 CORP                           COM       674599105 $   20,590     197,900   SH      N/A    DEFINED   DEFINED    197,900
OCEANEERING INTL INC            COM       675232102 $    4,050     100,000   SH      N/A    DEFINED   DEFINED    100,000
OMNICOM GROUP INC               COM       681919106 $   21,672     450,000   SH      N/A    DEFINED   DEFINED    450,000
ORACLE CORP                     COM       68389X105 $   28,977     880,500   SH      N/A    DEFINED   DEFINED    880,500
PG& E CORP                      COM       69331C108 $    5,632     134,000   SH      N/A    DEFINED   DEFINED    134,000
PEOPLES UTD FINL INC
 COM                            COM       712704105 $   19,273   1,434,000   SH      N/A    DEFINED   DEFINED  1,434,000
PEPSICO INC                     COM       713448108 $   53,809     764,000   SH      N/A    DEFINED   DEFINED    764,000
PFIZER INC                      COM       717081103 $    5,603     272,000   SH      N/A    DEFINED   DEFINED    272,000
PROCTER & GAMBLE CO             COM       742718109 $   16,280     256,100   SH      N/A    DEFINED   DEFINED    256,100
PRUDENTIAL FINL INC             COM       744320102 $   28,132     442,400   SH      N/A    DEFINED   DEFINED    442,400
QEP RES INC                     COM       74733V100 $    3,346      80,000   SH      N/A    DEFINED   DEFINED     80,000
QUALCOMM INC                    COM       747525103 $   38,748     682,300   SH      N/A    DEFINED   DEFINED    682,300
QUESTAR CORP                    COM       748356102 $    6,199     350,000   SH      N/A    DEFINED   DEFINED    350,000
REPUBLIC SVCS INC               COM       760759100 $    3,085     100,000   SH      N/A    DEFINED   DEFINED    100,000
REYNOLDS AMERICAN INC           COM       761713106 $    7,077     191,000   SH      N/A    DEFINED   DEFINED    191,000
ROCKWELL COLLINS INC            COM       774341101 $   45,077     730,700   SH      N/A    DEFINED   DEFINED    730,700
ROPER INDS INC NEW              COM       776696106 $    4,998      60,000   SH      N/A    DEFINED   DEFINED     60,000
ST JUDE MED INC                 COM       790849103 $   22,269     467,041   SH      N/A    DEFINED   DEFINED    467,041
SALIX PHARMACEUTICALS
 INC                            COM       795435106 $    3,286      82,500   SH      N/A    DEFINED   DEFINED     82,500
SANDISK CORP                    COM       80004C101 $    2,490      60,000   SH      N/A    DEFINED   DEFINED     60,000
SANDISK CORP              NOTE 1.000% 5/1 80004CAC5 $    3,890   4,000,000   SH      N/A    DEFINED   DEFINED  4,000,000
SCHLUMBERGER LTD                COM       806857108 $   11,750     136,000   SH      N/A    DEFINED   DEFINED    136,000
SKYWEST INC                     COM       830879102 $    1,807     120,000   SH      N/A    DEFINED   DEFINED    120,000
SOUTHERN CO                     COM       842587107 $   24,482     606,300   SH      N/A    DEFINED   DEFINED    606,300
SOUTHWESTERN ENERGY CO          COM       845467109 $   15,291     356,600   SH      N/A    DEFINED   DEFINED    356,600
STARBUCKS CORP                  COM       855244109 $   16,641     421,400   SH      N/A    DEFINED   DEFINED    421,400
STATE STR CORP                  COM       857477103 $   22,608     501,400   SH      N/A    DEFINED   DEFINED    501,400
SYMANTEC CORP                   COM       871503108 $   28,397   1,440,000   SH      N/A    DEFINED   DEFINED  1,440,000
SYNOPSYS INC                    COM       871607107 $    2,571     100,000   SH      N/A    DEFINED   DEFINED    100,000
TECH DATA CORP                  COM       878237106 $    3,667      75,000   SH      N/A    DEFINED   DEFINED     75,000
TEVA PHARMACEUTICAL
 INDS LTD                       ADR       881624209 $   32,037     664,400   SH      N/A    DEFINED   DEFINED    664,400
THERMO FISHER                   COM       883556102 $   13,438     208,700   SH      N/A    DEFINED   DEFINED    208,700
THOMAS & BETTS CORP             COM       884315102 $    1,885      35,000   SH      N/A    DEFINED   DEFINED     35,000
TIDEWATER INC                   COM       886423102 $   21,416     398,002   SH      N/A    DEFINED   DEFINED    398,002
TIME WARNER INC               COM NEW     887317303 $    6,765     186,000   SH      N/A    DEFINED   DEFINED    186,000
TRAVELERS COS INC               COM       89417E109 $    5,996     102,700   SH      N/A    DEFINED   DEFINED    102,700
TREEHOUSE FOODS INC             COM       89469A104 $      819      15,000   SH      N/A    DEFINED   DEFINED     15,000
URS CORP NEW                    COM       903236107 $   22,723     507,889   SH      N/A    DEFINED   DEFINED    507,889
ULTRA PETROLEUM CORP            COM       903914109 $   21,274     464,500   SH      N/A    DEFINED   DEFINED    464,500
UNITED PARCEL SERVICE
 INC                           CL B       911312106 $   30,609     419,700   SH      N/A    DEFINED   DEFINED    419,700
UNITED STATES STL CORP
 NEW                            COM       912909108 $    2,302      50,000   SH      N/A    DEFINED   DEFINED     50,000
UNITED TECHNOLOGIES
 CORP                           COM       913017109 $   28,934     326,900   SH      N/A    DEFINED   DEFINED    326,900
VERIZON COMMUNICATIONS          COM       92343V104 $   18,488     496,600   SH      N/A    DEFINED   DEFINED    496,600
VISA INC                     COM CL A     92826C839 $   35,895     426,000   SH      N/A    DEFINED   DEFINED    426,000
WAL-MART STORES INC             COM       931142103 $    4,836      91,000   SH      N/A    DEFINED   DEFINED     91,000
WASTE MGMT INC DEL              COM       94106L109 $    7,678     206,000   SH      N/A    DEFINED   DEFINED    206,000
WELLS FARGO & CO NEW            COM       949746101 $   36,759   1,310,000   SH      N/A    DEFINED   DEFINED  1,310,000
WESTERN UNION CO                COM       959802109 $   28,042   1,400,000   SH      N/A    DEFINED   DEFINED  1,400,000
WHITING PETE CORP               COM       966387102 $    1,707      30,000   SH      N/A    DEFINED   DEFINED     30,000
XILINX INC                      COM       983919101 $    2,735      75,000   SH      N/A    DEFINED   DEFINED     75,000
                                                    $2,920,144 $74,924,661