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, 2003

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: Edward T. Tokar
Title: Vice President - Investments of Honeywell International Inc.
Phone(973) 455-5681
Signature, Place, and Date of Signing:

/s/ Edward T. Tokar  Morris Township, New Jersey May 13, 2003
-------------------
Edward T. Tokar

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:      141

Form 13F Information Table Value Total:   $356,323
                                          (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                   Allied Capital Management LLC







                                                        13F REPORT
                                                      MARCH 31, 2003
                                   NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL, INC.



COLUMN 1                        COLUMN 2  COLUMN 3    COLUMN 4   COLUMN 5
                                TITLE OF    CUSIP      VALUE     SHRS OR
NAME OF ISSUER                    CLASS    NUMBER    (x$1000)    PRN AMT   SH/PRN  PUT/CALL
------------------------------------------------------------------------ --------------------
                                                                  
ALTRIA GROUP INC                   COM    02209S103     4075     136,000     SH       N/A
AMBAC FINANCIAL GROUP              COM    023139108      505      10,000     SH       N/A
AMERICAN EAGLE OUTFITTERS          COM    02553E106      984      67,800     SH       N/A
AMERICAN GREETINGS CORP            COM    026375105     4736     361,500     SH       N/A
APOGEE ENTERPRISES INC             COM    037598109        1         100     SH       N/A
APRIA HEALTHCARE GROUP INC         COM    037933108     1063      45,500     SH       N/A
ASCENTIAL SOFTWARE CORP            COM    04362P108      280     100,000     SH       N/A
BP PLC                             ADR    055622104     1019      26,400     SH       N/A
BANK OF AMERICA                    COM    060505104     6951     104,000     SH       N/A
BARD CR                            COM    067383109     5789      91,800     SH       N/A
BARNES & Noble INC                 COM    067774109     1130      59,500     SH       N/A
BAUSCH & LOMB INC                  COM    071707103     6062     184,300     SH       N/A
BECTON DICKINSON                   COM    075887109     5734     166,500     SH       N/A
BELLSOUTH CORP                     COM    079860102     1300      60,000     SH       N/A
BERRY PETE                         COM    085789105      221      14,700     SH       N/A
BORDERS GROUP INC                  COM    099709107      385      26,200     SH       N/A
BRISTOL MYERS SQUIBB               COM    110122108     5261     249,000     SH       N/A
CIGNA CORP                         COM    125509109     5921     129,500     SH       N/A
CALLAWAY GOLF CO                   COM    131193104      330      27,800     SH       N/A
CAREMARK RX INC                    COM    141705103     5717     315,000     SH       N/A
CENT PKG CORP                      COM    154785109      110      11,000     SH       N/A
CHEVRONTEXACO CORP                 COM    166764100     4920      76,100     SH       N/A
COML FED CORP                      COM    201647104      504      23,200     SH       N/A
COMPUWARE CORP                     COM    205638109      156      46,100     SH       N/A
COMVERSE TECH INC                  COM    205862402      154      13,600     SH       N/A
CONAGRA FOODS                      COM    205887102     4980     248,000     SH       N/A
CONMED CORP                        COM    207410101      218      13,300     SH       N/A
CONOCOPHILIPS                      COM    20825C104     5578     104,074     SH       N/A
CONSTELLATION BRANDS INC           COM    21036P108     5777     254,500     SH       N/A
CONSTELLATION ENERGY GRP           COM    210371100     5269     190,000     SH       N/A
COUNTRYWIDE CR INDS INC            COM    222372104     5940     103,300     SH       N/A
COVANCE INC                        COM    222816100     4955     214,300     SH       N/A
CREDENCE SYS CORP                  COM    225302108      299      44,000     SH       N/A
CYPRESS SEMICONDUCTOR CORP         COM    232806109      246      35,700     SH       N/A
DEAN FOODS                         COM    242370104     5793     135,000     SH       N/A
DELPHI CORP                        COM    247126105     3908     572,200     SH       N/A
DIME CMNTY BANCORP INC             COM    253922108      507      22,200     SH       N/A
DOLLAR TREE STORES INC             COM    256747106     2579     129,600     SH       N/A







COLUMN 1                               COLUMN 6   COLUMN 7      COLUMN 8
                                      INVESTMENT    OTHER   VOTING AUTHORITY
NAME OF ISSUER                        DISCRETION  MANAGERS         SOLE              SHARED     NONE
--------------------------------     -----------------------------------------     ---------------------
                                                                       
ALTRIA GROUP INC                       DEFINED     DEFINED           136,000
AMBAC FINANCIAL GROUP                  DEFINED     DEFINED            10,000
AMERICAN EAGLE OUTFITTERS              DEFINED     DEFINED            67,800
AMERICAN GREETINGS CORP                DEFINED     DEFINED           361,500
APOGEE ENTERPRISES INC                 DEFINED     DEFINED               100
APRIA HEALTHCARE GROUP INC             DEFINED     DEFINED            45,500
ASCENTIAL SOFTWARE CORP                DEFINED     DEFINED           100,000
BP PLC                                 DEFINED     DEFINED            26,400
BANK OF AMERICA                        DEFINED     DEFINED           104,000
BARD CR                                DEFINED     DEFINED            91,800
BARNES & Noble INC                     DEFINED     DEFINED            59,500
BAUSCH & LOMB INC                      DEFINED     DEFINED           184,300
BECTON DICKINSON                       DEFINED     DEFINED           166,500
BELLSOUTH CORP                         DEFINED     DEFINED            60,000
BERRY PETE                             DEFINED     DEFINED            14,700
BORDERS GROUP INC                      DEFINED     DEFINED            26,200
BRISTOL MYERS SQUIBB                   DEFINED     DEFINED           249,000
CIGNA CORP                             DEFINED     DEFINED           129,500
CALLAWAY GOLF CO                       DEFINED     DEFINED            27,800
CAREMARK RX INC                        DEFINED     DEFINED           315,000
CENT PKG CORP                          DEFINED     DEFINED            11,000
CHEVRONTEXACO CORP                     DEFINED     DEFINED            76,100
COML FED CORP                          DEFINED     DEFINED            23,200
COMPUWARE CORP                         DEFINED     DEFINED            46,100
COMVERSE TECH INC                      DEFINED     DEFINED            13,600
CONAGRA FOODS                          DEFINED     DEFINED           248,000
CONMED CORP                            DEFINED     DEFINED            13,300
CONOCOPHILIPS                          DEFINED     DEFINED           104,074
CONSTELLATION BRANDS INC               DEFINED     DEFINED           254,500
CONSTELLATION ENERGY GRP               DEFINED     DEFINED           190,000
COUNTRYWIDE CR INDS INC                DEFINED     DEFINED           103,300
COVANCE INC                            DEFINED     DEFINED           214,300
CREDENCE SYS CORP                      DEFINED     DEFINED            44,000
CYPRESS SEMICONDUCTOR CORP             DEFINED     DEFINED            35,700
DEAN FOODS                             DEFINED     DEFINED           135,000
DELPHI CORP                            DEFINED     DEFINED           572,200
DIME CMNTY BANCORP INC                 DEFINED     DEFINED            22,200
DOLLAR TREE STORES INC                 DEFINED     DEFINED           129,600








                                                                  
DUANE READE INC                    COM    263578106      954      75,250     SH       N/A
DUPONT PHOTOMASKS INC              COM    26613X101     1047      52,200     SH       N/A
EGL INC                            COM    268484102      226      15,200     SH       N/A
EASTMAN KODAK                      COM    277461109     4144     140,000     SH       N/A
EL PASO CORP                       COM    28336L109     2481     410,000     SH       N/A
EQUANT                             ADR    294409107       47      10,000     SH       N/A
ESTERLINE TECHNOLOGIES CORP        COM    297425100      406      24,000     SH       N/A
FAIRCHILD SEMICONDUCTOR INTL INC   COM    303726103      868      83,000     SH       N/A
FED SIGNAL CORP                    COM    313855108      277      19,500     SH       N/A
FILENET CORP                       COM    316869106      183      17,400     SH       N/A
FISHER SCIENTIFIC INTL INC         COM    338032204     4921     176,000     SH       N/A
FOSSIL INC                         COM    349882100      102       5,900     SH       N/A
FURNITURE BRANDS INTL INC          COM    360921100      115       5,900     SH       N/A
GALLAGHER ARTHUR J & CO            COM    363576109     5762     234,700     SH       N/A
GAP INC                            COM    364760108     6026     415,900     SH       N/A
GARTNER INC                        COM    366651206     1244     165,200     SH       N/A
GENESIS HEALTH VENTURES INC        COM    37183F107      132       8,911     SH       N/A
GLOBAL INDS LTD                    COM    379336100      233      50,000     SH       N/A
GOODRICH CORP                      COM    382388106     2953     210,000     SH       N/A
GRANITE CONST INC                  COM    387328107      325      20,700     SH       N/A
HCA-HEALTHCARE CO                  COM    404119109     6411     155,000     SH       N/A
HEWLETT-PACKARD CO                 COM    428236103     6795     437,000     SH       N/A
HOME DEPOT                         COM    437076102     5995     246,100     SH       N/A
ITT INDS INC                       COM    450911102     4743      88,800     SH       N/A
INGRAM MICRO INC                   COM    457153104     4236     384,000     SH       N/A
INTL FLAVORS&FRANGRANCES           COM    459506101     3526     113,400     SH       N/A
INTERWOVEN INC                     COM    46114T102      467     256,800     SH       N/A
JP MORGAN CHASE                    COM    46625H100     5430     229,000     SH       N/A
JEFFERSON PILOT                    COM    475070108     3552      92,300     SH       N/A
JOHNSON & JOHNSON                  COM    478160104     5498      95,000     SH       N/A
JOHNSON CTLS INC                   COM    478366107     5563      76,800     SH       N/A
KEY CORP                           COM    493267108     5256     233,000     SH       N/A
KENOTE SYS INC                     COM    493308100      621      66,800     SH       N/A
LTX CORP                           COM    502392103       89      17,800     SH       N/A
LOCKHEED MARTIN CORP               COM    539830109     3376      71,000     SH       N/A
LUCENT TECHNOLOGIES                COM    549463107      514     349,900     SH       N/A
MBNA CORP                          COM    55262L100     4154     276,000     SH       N/A
MASCO CORP                         COM    574599106     4111     220,800     SH       N/A
MATTEL INC                         COM    577081102     7490     332,900     SH       N/A
MAYTAG CORP                        COM    578592107     3247     170,600     SH       N/A
MEDQUIST INC                       COM    584949101      413      24,200     SH       N/A
MENTOR GRAPHICS CORP               COM    587200106      957     107,100     SH       N/A
MOTOROLA INC                       COM    620076109     4979     602,800     SH       N/A
NAUTICA ENTERPRISES  INC           COM    639089101      211      21,800     SH       N/A
NEWELL RUBBERMAID                  COM    651229106     4167     147,000     SH       N/A
NOKIA                              ADR    654902204     1660     118,500     SH       N/A
NORDSTRONG INC                     COM    655664100      237      14,600     SH       N/A
NORFOLK SOUTHERN CORP              COM    655844108     4362     235,000     SH       N/A
NORTEL NETWORKS CORP               COM    656568102      197      94,600     SH       N/A




                                                             
DUANE READE INC                        DEFINED     DEFINED            75,250
DUPONT PHOTOMASKS INC                  DEFINED     DEFINED            52,200
EGL INC                                DEFINED     DEFINED            15,200
EASTMAN KODAK                          DEFINED     DEFINED           140,000
EL PASO CORP                           DEFINED     DEFINED           410,000
EQUANT                                 DEFINED     DEFINED            10,000
ESTERLINE TECHNOLOGIES CORP            DEFINED     DEFINED            24,000
FAIRCHILD SEMICONDUCTOR INTL INC       DEFINED     DEFINED            83,000
FED SIGNAL CORP                        DEFINED     DEFINED            19,500
FILENET CORP                           DEFINED     DEFINED            17,400
FISHER SCIENTIFIC INTL INC             DEFINED     DEFINED           176,000
FOSSIL INC                             DEFINED     DEFINED             5,900
FURNITURE BRANDS INTL INC              DEFINED     DEFINED             5,900
GALLAGHER ARTHUR J & CO                DEFINED     DEFINED           234,700
GAP INC                                DEFINED     DEFINED           415,900
GARTNER INC                            DEFINED     DEFINED           165,200
GENESIS HEALTH VENTURES INC            DEFINED     DEFINED             8,911
GLOBAL INDS LTD                        DEFINED     DEFINED            50,000
GOODRICH CORP                          DEFINED     DEFINED           210,000
GRANITE CONST INC                      DEFINED     DEFINED            20,700
HCA-HEALTHCARE CO                      DEFINED     DEFINED           155,000
HEWLETT-PACKARD CO                     DEFINED     DEFINED           437,000
HOME DEPOT                             DEFINED     DEFINED           246,100
ITT INDS INC                           DEFINED     DEFINED            88,800
INGRAM MICRO INC                       DEFINED     DEFINED           384,000
INTL FLAVORS&FRANGRANCES               DEFINED     DEFINED           113,400
INTERWOVEN INC                         DEFINED     DEFINED           256,800
JP MORGAN CHASE                        DEFINED     DEFINED           229,000
JEFFERSON PILOT                        DEFINED     DEFINED            92,300
JOHNSON & JOHNSON                      DEFINED     DEFINED            95,000
JOHNSON CTLS INC                       DEFINED     DEFINED            76,800
KEY CORP                               DEFINED     DEFINED           233,000
KENOTE SYS INC                         DEFINED     DEFINED            66,800
LTX CORP                               DEFINED     DEFINED            17,800
LOCKHEED MARTIN CORP                   DEFINED     DEFINED            71,000
LUCENT TECHNOLOGIES                    DEFINED     DEFINED           349,900
MBNA CORP                              DEFINED     DEFINED           276,000
MASCO CORP                             DEFINED     DEFINED           220,800
MATTEL INC                             DEFINED     DEFINED           332,900
MAYTAG CORP                            DEFINED     DEFINED           170,600
MEDQUIST INC                           DEFINED     DEFINED            24,200
MENTOR GRAPHICS CORP                   DEFINED     DEFINED           107,100
MOTOROLA INC                           DEFINED     DEFINED           602,800
NAUTICA ENTERPRISES  INC               DEFINED     DEFINED            21,800
NEWELL RUBBERMAID                      DEFINED     DEFINED           147,000
NOKIA                                  DEFINED     DEFINED           118,500
NORDSTRONG INC                         DEFINED     DEFINED            14,600
NORFOLK SOUTHERN CORP                  DEFINED     DEFINED           235,000
NORTEL NETWORKS CORP                   DEFINED     DEFINED            94,600







                                                                   
OMNICOM GROUP INC                  COM    681919106     1083      20,000     SH       N/A
ORBITAL SCIENCES                   COM    668074107        8       4,659     SH       N/A
PMI GROUP INC                      COM    69344M101      202       7,900     SH       N/A
PENTAIR INC                        COM    709631105     3952     111,800     SH       N/A
PFIZER INC                         COM    717081103     6824     219,000     SH       N/A
PLAYTEX PRODS INC                  COM    72813P100      626      77,700     SH       N/A
POPULAR INC                        COM    733174106     6101     179,500     SH       N/A
POWERWAVE TECHNOLOGOES INC         COM    739363109       76      22,400     SH       N/A
PROGRESS SOFTWARE                  COM    743312100     1343      74,800     SH       N/A
PROVIDENT FINL SVCS INC            COM    74386T105      791      50,000     SH       N/A
RF MICRO DEVICES INC               COM    749941100      110      18,200     SH       N/A
RADIAN GROUP INC                   COM    750236101     2363      70,800     SH       N/A
RADIO ONE INC                      COM    75040P108      224      16,900     SH       N/A
REINS GROUP INC                    COM    759351109      428      16,300     SH       N/A
RELIANCE STL & ALUM CO             COM    759509102      352      23,300     SH       N/A
REYNOLDS & REYNOLDS CO             COM    761695105      245       9,700     SH       N/A
RYANS FAMILY STEAK HSES INC        COM    783519101      334      31,800     SH       N/A
SBC COMMUNICATIONS INC             COM    78387G103     4614     230,000     SH       N/A
SK TELECOM                         ADR    78440P108     3457     253,799     SH       N/A
ST PAUL COS INC                    COM    792860108     5864     184,400     SH       N/A
SAKS INC                           COM    79377W108      504      65,500     SH       N/A
SANMINA CORP                       COM    800907107       97      24,100     SH       N/A
SARA LEE CORP                      COM    803111103     5704     305,000     SH       N/A
SCHULMAN A INC                     COM    808194104      371      25,500     SH       N/A
SEALED AIR CORP                    COM    81211K209     1968      42,800     SH       N/A
SMITH A O CORP                     COM    831865209      172       6,400     SH       N/A
SOLECTRONG CORP                    COM    834182107      153      50,700     SH       N/A
SOTHEBYS HDLGS INC                 COM    835898107      554      60,400     SH       N/A
SPRINT PCS CORP                    COM    852061506     2790     640,000     SH       N/A
STERIS CORP                        COM    859152100     1889      72,200     SH       N/A
STEWART ENTERPRISES                COM    860370105      176      65,000     SH       N/A
STORAGE TECHNOLOGY CORP            COM    862111200     5815     287,600     SH       N/A
SUPERVALU INC                      COM    868536103     3494     225,400     SH       N/A
SWIFT ENERGY                       COM    870738101      281      33,000     SH       N/A
SWIFT TRANSN INC                   COM    870756103      595      37,200     SH       N/A
TECUMSEH PRODS                     COM    878895200      344       8,400     SH       N/A
TELIASONERA                        ADR    87960M106     1265      90,000     SH       N/A
TENET HEALTHCARE CORP              COM    88033G100     2756     165,000     SH       N/A
TEVA PHARMACEUTICALS               ADR    881624209     7539     181,000     SH       N/A
TOLL BROS INC                      COM    889478103      355      18,400     SH       N/A
TOYS R US INC                      COM    892335100     4508     538,600     SH       N/A
UNION PACIFIC CORP                 COM    907818108     4620      84,000     SH       N/A
UNUMPROVIDENT CORP                 COM    91529Y106     1512     154,300     SH       N/A
US ONCOLOGY INC                    COM    90338W103      188      26,500     SH       N/A
VALUEVISION MEDIA                  COM    92047K107       21       2,100     SH       N/A
VISHAY INTERTECHNOLOGY             COM    928298108     3642     357,800     SH       N/A
WAUSAU-MOSINEE PAPER CORP          COM    943315101      241      23,600     SH       N/A
WELLPOINT HEALTH NETWORKS INC      COM    94973H108     6109      79,600     SH       N/A
WESTERN DIGITAL CORP               COM    958102105     5121     565,200     SH       N/A





                                                            
OMNICOM GROUP INC                      DEFINED     DEFINED            20,000
ORBITAL SCIENCES                       DEFINED     DEFINED             4,659
PMI GROUP INC                          DEFINED     DEFINED             7,900
PENTAIR INC                            DEFINED     DEFINED           111,800
PFIZER INC                             DEFINED     DEFINED           219,000
PLAYTEX PRODS INC                      DEFINED     DEFINED            77,700
POPULAR INC                            DEFINED     DEFINED           179,500
POWERWAVE TECHNOLOGOES INC             DEFINED     DEFINED            22,400
PROGRESS SOFTWARE                      DEFINED     DEFINED            74,800
PROVIDENT FINL SVCS INC                DEFINED     DEFINED            50,000
RF MICRO DEVICES INC                   DEFINED     DEFINED            18,200
RADIAN GROUP INC                       DEFINED     DEFINED            70,800
RADIO ONE INC                          DEFINED     DEFINED            16,900
REINS GROUP INC                        DEFINED     DEFINED            16,300
RELIANCE STL & ALUM CO                 DEFINED     DEFINED            23,300
REYNOLDS & REYNOLDS CO                 DEFINED     DEFINED             9,700
RYANS FAMILY STEAK HSES INC            DEFINED     DEFINED            31,800
SBC COMMUNICATIONS INC                 DEFINED     DEFINED           230,000
SK TELECOM                             DEFINED     DEFINED           253,799
ST PAUL COS INC                        DEFINED     DEFINED           184,400
SAKS INC                               DEFINED     DEFINED            65,500
SANMINA CORP                           DEFINED     DEFINED            24,100
SARA LEE CORP                          DEFINED     DEFINED           305,000
SCHULMAN A INC                         DEFINED     DEFINED            25,500
SEALED AIR CORP                        DEFINED     DEFINED            42,800
SMITH A O CORP                         DEFINED     DEFINED             6,400
SOLECTRONG CORP                        DEFINED     DEFINED            50,700
SOTHEBYS HDLGS INC                     DEFINED     DEFINED            60,400
SPRINT PCS CORP                        DEFINED     DEFINED           640,000
STERIS CORP                            DEFINED     DEFINED            72,200
STEWART ENTERPRISES                    DEFINED     DEFINED            65,000
STORAGE TECHNOLOGY CORP                DEFINED     DEFINED           287,600
SUPERVALU INC                          DEFINED     DEFINED           225,400
SWIFT ENERGY                           DEFINED     DEFINED            33,000
SWIFT TRANSN INC                       DEFINED     DEFINED            37,200
TECUMSEH PRODS                         DEFINED     DEFINED             8,400
TELIASONERA                            DEFINED     DEFINED            90,000
TENET HEALTHCARE CORP                  DEFINED     DEFINED           165,000
TEVA PHARMACEUTICALS                   DEFINED     DEFINED           181,000
TOLL BROS INC                          DEFINED     DEFINED            18,400
TOYS R US INC                          DEFINED     DEFINED           538,600
UNION PACIFIC CORP                     DEFINED     DEFINED            84,000
UNUMPROVIDENT CORP                     DEFINED     DEFINED           154,300
US ONCOLOGY INC                        DEFINED     DEFINED            26,500
VALUEVISION MEDIA                      DEFINED     DEFINED             2,100
VISHAY INTERTECHNOLOGY                 DEFINED     DEFINED           357,800
WAUSAU-MOSINEE PAPER CORP              DEFINED     DEFINED            23,600
WELLPOINT HEALTH NETWORKS INC          DEFINED     DEFINED            79,600
WESTERN DIGITAL CORP                   DEFINED     DEFINED           565,200







                                                                    
INGERSOLL RAND CO                  COM    G4776G101     5063     131,200     SH       N/A
TOMMY HILFIGER                     COM    G8915Z102      342      47,300     SH       N/A
TRANSOCEAN INC                     COM    G90078109     4511     220,600     SH       N/A
ROYAL CARIBBEAN CRUISES            COM    V7780T103     4359     290,000     SH       N/A
FLEXTRONICS INTL LTD               COM    Y2573F102      209      24,000     SH       N/A
                  GRAND TOTAL                         356323  18,401,493




                                                            
INGERSOLL RAND CO                      DEFINED     DEFINED           131,200
TOMMY HILFIGER                         DEFINED     DEFINED            47,300
TRANSOCEAN INC                         DEFINED     DEFINED           220,600
ROYAL CARIBBEAN CRUISES                DEFINED     DEFINED           290,000
FLEXTRONICS INTL LTD                   DEFINED     DEFINED            24,000