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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2006
Check here if Amendment [ ]; Amendment Number: ____
    This Amendment (Check only one.): [ ] is a restatement.
                                      [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
Name:           Honeywell International Inc.
Address:        P.O. Box 1219
                101 Columbia Road
                Morristown, New Jersey  07960
Form 13F File Number: 28-1879

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Harsh Bansal
Title: Vice President - Investments of Honeywell International Inc.
Phone (973) 455-4502
Signature, Place, and Date of Signing:

/s/ Harsh Bansal Morris Township, New Jersey   November 6, 2006
---------------
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:        97

Form 13F Information Table Value Total:       $1,145,224
                                              (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.    Form 13F File Number      Name
1.     28-7176                   Honeywell Capital Management LLC






                                   13F REPORT
                               September 30, 2006
             NAME OF REPORTING MANAGER: HONEYWELL INTERNATIONAL INC.




COLUMN 1                             COLUMN 2       COLUMN 3   COLUMN 4        COLUMN 5                       COLUMN 6   COLUMN 7
                                     TITLE OF        CUSIP        VALUE         SHRS OR                     INVESTMENT    OTHER
NAME OF ISSUER                         CLASS         NUMBER     (x$1000)        PRN AMT   SH/PRN  PUT/CALL  DISCRETION   MANAGERS
-------------------------------------------------------------------------- ------------ ------------------------------------------
                                                                                                 
ENDURANCE SPECIALTY HOLDINGS            SHS        G30397106       4584         130,000      SH      N/A      DEFINED    DEFINED
INGERSOLL RAND CO                       CLA        G4776G101      12913         340,000      SH      N/A      DEFINED    DEFINED
AT&T INC                                COM        00206R102      23427         719,500      SH      N/A      DEFINED    DEFINED
ABBOTT LAB CO                           COM        002824100       4958         102,100      SH      N/A      DEFINED    DEFINED
AFFILIATED MANAGERS GROUP               COM        008252108       6007          60,000      SH      N/A      DEFINED    DEFINED
ALLIANCEBERNSTEIN HLDG             UNIT LTD PRTN   01881G106       6899         100,000      SH      N/A      DEFINED    DEFINED
ALLSTATE CORP                           COM        020002101      12232         195,000      SH      N/A      DEFINED    DEFINED
ALTRIA GROUP INC                        COM        02209S103      22177         289,700      SH      N/A      DEFINED    DEFINED
AMERICAN EXPRESSS CO                    COM        025816109       6169         110,000      SH      N/A      DEFINED    DEFINED
AMERICAN INTL GROUP                     COM        026874107      27167         410,000      SH      N/A      DEFINED    DEFINED
AMGEN INC                               COM        031162100       5722          80,000      SH      N/A      DEFINED    DEFINED
ANALOG DEVICES INC                      COM        032654105       4409         150,000      SH      N/A      DEFINED    DEFINED
APPLE COMPUTER INC                      COM        037833100       3081          40,000      SH      N/A      DEFINED    DEFINED
BAKER HUGHES INC                        COM        057224107       3410          50,000      SH      N/A      DEFINED    DEFINED
BANK OF AMERICA CORP                    COM        060505104      27177         507,321      SH      N/A      DEFINED    DEFINED
BARD C R INC                            COM        067383109       8055         107,400      SH      N/A      DEFINED    DEFINED
BED BATH BEYOND INC                     COM        075896100      18939         495,000      SH      N/A      DEFINED    DEFINED
BEST BUY INC                            COM        086516101      25173         470,000      SH      N/A      DEFINED    DEFINED
CAP 1 FINANCIAL                         COM        14040H105      23204         295,000      SH      N/A      DEFINED    DEFINED
CAREMARK RX INC                         COM        141705103       8330         147,000      SH      N/A      DEFINED    DEFINED
CARTER INC                              COM        146229109       5542         210,000      SH      N/A      DEFINED    DEFINED
CENT GARDEN & PET CO                    COM        153527106       9652         200,000      SH      N/A      DEFINED    DEFINED
CHEVRON CORP                            COM        166764100      25619         395,000      SH      N/A      DEFINED    DEFINED
CHICOS FAS INC                          COM        168615102       3660         170,000      SH      N/A      DEFINED    DEFINED
CISCO SYSTEMS INC                       COM        17275R102       8050         350,000      SH      N/A      DEFINED    DEFINED
CITIGROUP INC                           COM        172967101      22352         450,000      SH      N/A      DEFINED    DEFINED
CONOCOPHILLIPS                          COM        20825C104       8930         150,000      SH      N/A      DEFINED    DEFINED
CONSTELLATION BRANDS INC                CLA        21036P108      12232         425,000      SH      N/A      DEFINED    DEFINED
CORNING INC                             COM        219350105       7811         320,000      SH      N/A      DEFINED    DEFINED
DELL INC                                COM        24702R101       3426         150,000      SH      N/A      DEFINED    DEFINED
DOW CHEMICAL CO                         COM        260543103       8965         230,000      SH      N/A      DEFINED    DEFINED
EMC CORP                                COM        268648102      19767       1,650,000      SH      N/A      DEFINED    DEFINED
ENSCO INTL INC                          COM        26874Q100       2630          60,000      SH      N/A      DEFINED    DEFINED
ENTERGY CORP                            COM        29364G103      11735         150,000      SH      N/A      DEFINED    DEFINED
EXCELON CORP                            COM        30161N101      21794         360,000      SH      N/A      DEFINED    DEFINED
EXXON MOBIL CORP                        COM        30231G102      10401         155,000      SH      N/A      DEFINED    DEFINED
FIDELITY NATIONAL INFORMATION           COM        31620M106      20720         560,000      SH      N/A      DEFINED    DEFINED
GENERAL ELECTRIC CO                     COM        369604103      33888         960,000      SH      N/A      DEFINED    DEFINED







COLUMN 1                             COLUMN 2       COLUMN 3   COLUMN 4        COLUMN 5                       COLUMN 6   COLUMN 7
                                     TITLE OF        CUSIP        VALUE         SHRS OR                     INVESTMENT    OTHER
NAME OF ISSUER                         CLASS         NUMBER     (x$1000)        PRN AMT   SH/PRN  PUT/CALL  DISCRETION   MANAGERS
-------------------------------------------------------------------------- ------------ ------------------------------------------
                                                                                                 
HANOVER COMPRESSOR CO                   COM        410768105         21           1,128      SH      N/A      DEFINED    DEFINED
HARMAN INTL INDS                        COM        413086109      19192         230,000      SH      N/A      DEFINED    DEFINED
HARTFORD FINL SVCS GROUP                COM        416515104      10410         120,000      SH      N/A      DEFINED    DEFINED
HEWLETT PACKARD CO                      COM        428236103      20363         555,000      SH      N/A      DEFINED    DEFINED
HOME DEPOT INC                          COM        437076102       5513         152,000      SH      N/A      DEFINED    DEFINED
ILLINOIS TOOL WKS INC                   COM        452308109      13470         300,000      SH      N/A      DEFINED    DEFINED
INVITROGEN CORP                         COM        46185R100      12048         190,000      SH      N/A      DEFINED    DEFINED
J2 GLOBAL COMMUNICATIONS                COM        46626E205       4891         180,000      SH      N/A      DEFINED    DEFINED
JOHNSON & JOHNSON                       COM        478160104      21444         330,200      SH      N/A      DEFINED    DEFINED
LABORATORY CORP AMER                    COM        50540R409       9134         139,300      SH      N/A      DEFINED    DEFINED
LEGG MASON INC                          COM        524901105      23197         230,000      SH      N/A      DEFINED    DEFINED
MAXIM INTEGRATED                        COM        57772K101      15720         560,000      SH      N/A      DEFINED    DEFINED
MERRILL LYNCH  & CO                     COM        590188108       7040          90,000      SH      N/A      DEFINED    DEFINED
METLIFE INC                             COM        59156R108       8502         150,000      SH      N/A      DEFINED    DEFINED
MICROSOFT CORP                          COM        594918104      38536       1,410,000      SH      N/A      DEFINED    DEFINED
MORGAN STANLEY                          COM        617446448      17498         240,000      SH      N/A      DEFINED    DEFINED
NASDAQ STK MKT INC                      COM        631103108       4536         150,000      SH      N/A      DEFINED    DEFINED
NATIONAL FINL PARTNERS                  COM        63607P208       8206         200,000      SH      N/A      DEFINED    DEFINED
NAVTEQ CORP                             COM        63936L100       4178         160,000      SH      N/A      DEFINED    DEFINED
NEWS CORP CL                            COM        65248E104       5502         280,000      SH      N/A      DEFINED    DEFINED
NOKIA CORP                              ADR        654902204      16441         835,000      SH      N/A      DEFINED    DEFINED
NORTHROP GRUMMAN CORP                   COM        666807102      22463         330,000      SH      N/A      DEFINED    DEFINED
NUVEEN INSTS INC                        CLA        67090F106       5635         110,000      SH      N/A      DEFINED    DEFINED
OCCIDENTAL PETE CORP                    COM        674599105      17272         359,000      SH      N/A      DEFINED    DEFINED
OMNICARE INC                            COM        681904108       5817         135,000      SH      N/A      DEFINED    DEFINED
OMNICOM GROUP                           COM        681919106      18533         198,000      SH      N/A      DEFINED    DEFINED
PATTERSON COS INC                       COM        703395103       4705         140,000      SH      N/A      DEFINED    DEFINED
PENN NATL GAMING INC                    COM        707569109       5478         150,000      SH      N/A      DEFINED    DEFINED
PEPSICO INC                             COM        713448108      24179         370,500      SH      N/A      DEFINED    DEFINED
PFIZER INC                              COM        717081103      11202         395,000      SH      N/A      DEFINED    DEFINED
RAYTHEON CO                       W EXP 06/16/201  755111119         18           1,241      SH      N/A      DEFINED    DEFINED
ST JUDE MED INC                         COM        790849103       3000          85,000      SH      N/A      DEFINED    DEFINED
ST PAUL COS INC                         COM        792860108      10316         220,000      SH      N/A      DEFINED    DEFINED
SCOTTS MIRACLE GRO CO                   CLA        810186106      21356         480,000      SH      N/A      DEFINED    DEFINED
SEALED AIR CORP                         COM        81211K100       8118         150,000      SH      N/A      DEFINED    DEFINED
SIGMA ALDRICH                           COM        826552101       6810          90,000      SH      N/A      DEFINED    DEFINED
SOUTHERN CO                             COM        842587107      11716         340,000      SH      N/A      DEFINED    DEFINED
SPRINT NEXTEL CORP                    COM FON      852061100       2058         120,000      SH      N/A      DEFINED    DEFINED







COLUMN 1                             COLUMN 2       COLUMN 3   COLUMN 4        COLUMN 5                       COLUMN 6   COLUMN 7
                                     TITLE OF        CUSIP        VALUE         SHRS OR                     INVESTMENT    OTHER
NAME OF ISSUER                         CLASS         NUMBER     (x$1000)        PRN AMT   SH/PRN  PUT/CALL  DISCRETION   MANAGERS
-------------------------------------------------------------------------- ------------ ------------------------------------------
                                                                                                 
STAPLES INC                             COM        855030102      11678         480,000      SH      N/A      DEFINED    DEFINED
TAIWAN SEMICONDUCTOR                    ADR        874039100      10900       1,135,452      SH      N/A      DEFINED    DEFINED
TARGET CORP                             COM        87612E106      17957         325,000      SH      N/A      DEFINED    DEFINED
TEMPUR-PEDIC INTL INC                   COM        88023U101        131           7,649      SH      N/A      DEFINED    DEFINED
TEVA PHARMACEUTICAL INDS                ADR        881624209      21136         620,000      SH      N/A      DEFINED    DEFINED
TIME WARNER INC                         COM        887317105       2552         140,000      SH      N/A      DEFINED    DEFINED
TYCO INTL LTD                           COM        902124106       7697         275,000      SH      N/A      DEFINED    DEFINED
US BANCORP DEL COM NEW                  COM        902973304      11959         360,000      SH      N/A      DEFINED    DEFINED
UNION PAC CORP                          COM        907818108       8800         100,000      SH      N/A      DEFINED    DEFINED
UNITED SURGICAL PARTNERS INTL           COM        913016309       5214         210,000      SH      N/A      DEFINED    DEFINED
UNITED TECHNOLOGIES CORP                COM        913017109       7919         125,000      SH      N/A      DEFINED    DEFINED
UNITEDHEALTH GROUP                      COM        91324P102       8364         170,000      SH      N/A      DEFINED    DEFINED
URBAN OUTFITTERS INC                    COM        917047102       5130         290,000      SH      N/A      DEFINED    DEFINED
VODAFONE GROUP SPONSORED ADR            ADR        92857W100       7772         340,000      SH      N/A      DEFINED    DEFINED
WAL-MART STORES INC                     COM        931142103       6175         125,200      SH      N/A      DEFINED    DEFINED
WEIGHT WATCHERS INTL INC                COM        948626106       7760         175,000      SH      N/A      DEFINED    DEFINED
WELLPOINT HEALTH NETWORKS               COM        94973H108       8090         105,000      SH      N/A      DEFINED    DEFINED
WILLIAMS SONOMA INC                     COM        969904101       3725         115,000      SH      N/A      DEFINED    DEFINED
WYETH                                   COM        983024100      17428         342,800      SH      N/A      DEFINED    DEFINED
YUM BRANDS INC                          COM        988498101      14137         271,600      SH      N/A      DEFINED    DEFINED
ZIMMER HOLDINGS INC                     COM        98956P102      24975         370,000      SH      N/A      DEFINED    DEFINED
                         GRAND TOTAL                            1145224      28,002,091







COLUMN 1                                       COLUMN 8
                                          VOTING AUTHORITY
NAME OF ISSUER                           SOLE          SHARED      NONE
---------------------------------------------------- ---------------------
                                                          
ENDURANCE SPECIALTY HOLDINGS                130,000
INGERSOLL RAND CO                           340,000
AT&T INC                                    719,500
ABBOTT LAB CO                               102,100
AFFILIATED MANAGERS GROUP                    60,000
ALLIANCEBERNSTEIN HLDG                      100,000
ALLSTATE CORP                               195,000
ALTRIA GROUP INC                            289,700
AMERICAN EXPRESSS CO                        110,000
AMERICAN INTL GROUP                         410,000
AMGEN INC                                    80,000
ANALOG DEVICES INC                          150,000
APPLE COMPUTER INC                           40,000
BAKER HUGHES INC                             50,000
BANK OF AMERICA CORP                        507,321
BARD C R INC                                107,400
BED BATH BEYOND INC                         495,000
BEST BUY INC                                470,000
CAP 1 FINANCIAL                             295,000
CAREMARK RX INC                             147,000
CARTER INC                                  210,000
CENT GARDEN & PET CO                        200,000
CHEVRON CORP                                395,000
CHICOS FAS INC                              170,000
CISCO SYSTEMS INC                           350,000
CITIGROUP INC                               450,000
CONOCOPHILLIPS                              150,000
CONSTELLATION BRANDS INC                    425,000
CORNING INC                                 320,000
DELL INC                                    150,000
DOW CHEMICAL CO                             230,000
EMC CORP                                  1,650,000
ENSCO INTL INC                               60,000
ENTERGY CORP                                150,000
EXCELON CORP                                360,000
EXXON MOBIL CORP                            155,000
FIDELITY NATIONAL INFORMATION               560,000
GENERAL ELECTRIC CO                         960,000







COLUMN 1                                       COLUMN 8
                                          VOTING AUTHORITY
NAME OF ISSUER                           SOLE          SHARED      NONE
---------------------------------------------------- ---------------------
                                                          
HANOVER COMPRESSOR CO                         1,128
HARMAN INTL INDS                            230,000
HARTFORD FINL SVCS GROUP                    120,000
HEWLETT PACKARD CO                          555,000
HOME DEPOT INC                              152,000
ILLINOIS TOOL WKS INC                       300,000
INVITROGEN CORP                             190,000
J2 GLOBAL COMMUNICATIONS                    180,000
JOHNSON & JOHNSON                           330,200
LABORATORY CORP AMER                        139,300
LEGG MASON INC                              230,000
MAXIM INTEGRATED                            560,000
MERRILL LYNCH  & CO                          90,000
METLIFE INC                                 150,000
MICROSOFT CORP                            1,410,000
MORGAN STANLEY                              240,000
NASDAQ STK MKT INC                          150,000
NATIONAL FINL PARTNERS                      200,000
NAVTEQ CORP                                 160,000
NEWS CORP CL                                280,000
NOKIA CORP                                  835,000
NORTHROP GRUMMAN CORP                       330,000
NUVEEN INSTS INC                            110,000
OCCIDENTAL PETE CORP                        359,000
OMNICARE INC                                135,000
OMNICOM GROUP                               198,000
PATTERSON COS INC                           140,000
PENN NATL GAMING INC                        150,000
PEPSICO INC                                 370,500
PFIZER INC                                  395,000
RAYTHEON CO                                   1,241
ST JUDE MED INC                              85,000
ST PAUL COS INC                             220,000
SCOTTS MIRACLE GRO CO                       480,000
SEALED AIR CORP                             150,000
SIGMA ALDRICH                                90,000
SOUTHERN CO                                 340,000
SPRINT NEXTEL CORP                          120,000







COLUMN 1                                       COLUMN 8
                                          VOTING AUTHORITY
NAME OF ISSUER                           SOLE          SHARED      NONE
---------------------------------------------------- ---------------------
                                                          
STAPLES INC                                 480,000
TAIWAN SEMICONDUCTOR                      1,135,452
TARGET CORP                                 325,000
TEMPUR-PEDIC INTL INC                         7,649
TEVA PHARMACEUTICAL INDS                    620,000
TIME WARNER INC                             140,000
TYCO INTL LTD                               275,000
US BANCORP DEL COM NEW                      360,000
UNION PAC CORP                              100,000
UNITED SURGICAL PARTNERS INTL               210,000
UNITED TECHNOLOGIES CORP                    125,000
UNITEDHEALTH GROUP                          170,000
URBAN OUTFITTERS INC                        290,000
VODAFONE GROUP SPONSORED ADR                340,000
WAL-MART STORES INC                         125,200
WEIGHT WATCHERS INTL INC                    175,000
WELLPOINT HEALTH NETWORKS                   105,000
WILLIAMS SONOMA INC                         115,000
WYETH                                       342,800
YUM BRANDS INC                              271,600
ZIMMER HOLDINGS INC                         370,000