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, 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  October 26, 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:         174

Form 13F Information Table Value Total:         $2,621,724

                                                (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, 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          CUSIP      VALUE        SHRS OR  SH/  PUT/  INVESTMENT   OTHER      VOTING AUTHORITY
NAME OF ISSUER                OF CLASS       NUMBER     (x$1000)      PRN AMT  PRN  CALL  DISCRETION  MANAGERS   SOLE   SHARED  NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BUNGE LIMITED                    COM        G16962105  $   24,065      412,850  SH  N/A    DEFINED    DEFINED   412,850
COOPER INDUSTRIES PLC            SHS        G24140108  $   26,353      571,400  SH  N/A    DEFINED    DEFINED   571,400
COVIDIEN PLC                     SHS        G2554F113  $   34,846      790,150  SH  N/A    DEFINED    DEFINED   790,150
FRONTLINE LTD                    SHS        G3682E127  $      728      150,000  SH  N/A    DEFINED    DEFINED   150,000
INVESCO LTD                      SHS        G491BT108  $   17,708    1,141,700  SH  N/A    DEFINED    DEFINED 1,141,700
LAZARD LTD                      SHS A       G54050102  $   18,870      894,300  SH  N/A    DEFINED    DEFINED   894,300
MARVELL TECHNOLOGY
GROUP LTD                        ORD        G5876H105  $   16,710    1,150,000  SH  N/A    DEFINED    DEFINED 1,150,000
WEATHERFORD
INTERNATIONAL LT               REG SHS      H27013103  $   13,886    1,137,300  SH  N/A    DEFINED    DEFINED 1,137,300
TYCO INTERNATIONAL LTD           SHS        H89128104  $   21,394      525,000  SH  N/A    DEFINED    DEFINED   525,000
LYONDELLBASELL
INDUSTRIES N                   SHS -A-      N53745100  $    9,235      378,000  SH  N/A    DEFINED    DEFINED   378,000
NIELSEN HOLDINGS N V             COM        N63218106  $   12,518      480,000  SH  N/A    DEFINED    DEFINED   480,000
NXP SEMICONDUCTORS N V           COM        N6596X109  $    2,471      175,000  SH  N/A    DEFINED    DEFINED   175,000
AVAGO TECHNOLOGIES LTD           SHS        Y0486S104  $    3,277      100,000  SH  N/A    DEFINED    DEFINED   100,000
AK STL HLDG CORP                 COM        001547108  $    1,439      220,000  SH  N/A    DEFINED    DEFINED   220,000
ABBOTT LABS                      COM        002824100  $    5,370      105,000  SH  N/A    DEFINED    DEFINED   105,000
AECOM TECHNOLOGY CORP
DELAWA                           COM        00766T100  $   20,928    1,184,400  SH  N/A    DEFINED    DEFINED 1,184,400
AFFILIATED MANAGERS GROUP
INC                              COM        008252108  $    3,122       40,000  SH  N/A    DEFINED    DEFINED    40,000
AIR PRODS & CHEMS INC            COM        009158106  $   31,686      414,900  SH  N/A    DEFINED    DEFINED   414,900
ALBEMARLE CORP                   COM        012653101  $    1,616       40,000  SH  N/A    DEFINED    DEFINED    40,000
ALLEGHENY TECHNOLOGIES INC       COM        01741R102  $    2,589       70,000  SH  N/A    DEFINED    DEFINED    70,000
ALLSCRIPTS HEALTHCARE
SOLUTIONS                        COM        01988P108  $    7,540      418,400  SH  N/A    DEFINED    DEFINED   418,400
ALTRIA GROUP INC                 COM        02209S103  $   30,553    1,139,600  SH  N/A    DEFINED    DEFINED 1,139,600
AMERICAN EXPRESS                 COM        025816109  $   15,984      356,000  SH  N/A    DEFINED    DEFINED   356,000
AMERICAN TOWER CORP             CL A        029912201  $   19,320      359,100  SH  N/A    DEFINED    DEFINED   359,100
ANNALY CAP MGMT INC              COM        035710409  $   12,672      762,000  SH  N/A    DEFINED    DEFINED   762,000
AON CORP                         COM        037389103  $    2,939       70,000  SH  N/A    DEFINED    DEFINED    70,000
APACHE CORP                      COM        037411105  $   16,305      203,200  SH  N/A    DEFINED    DEFINED   203,200
APPLE INC C                      COM        037833100  $   76,579      200,900  SH  N/A    DEFINED    DEFINED   200,900
AUTOLIV INC                      COM        052800109  $    4,899      101,000  SH  N/A    DEFINED    DEFINED   101,000
AVNET INC                        COM        053807103  $   10,432      400,000  SH  N/A    DEFINED    DEFINED   400,000
BMC SOFTWARE INC                 COM        055921100  $   23,136      600,000  SH  N/A    DEFINED    DEFINED   600,000
BE AEROSPACE INC                 COM        073302101  $  198,660    6,000,000  SH  N/A    DEFINED    DEFINED 6,000,000
BIO-REFERENCE LABS INC      COM $.01 NEW    09057G602  $    3,086      167,633  SH  N/A    DEFINED    DEFINED   167,633
BROADCOM CORP                   CL A        111320107  $   24,968      750,000  SH  N/A    DEFINED    DEFINED   750,000
BRUKER CORP                      COM        116794108  $    7,622      563,311  SH  N/A    DEFINED    DEFINED   563,311
CME GROUP INC                    COM        12572Q105  $   19,596       79,530  SH  N/A    DEFINED    DEFINED    79,530
CSX CORP                         COM        126408103  $   38,647    2,070,000  SH  N/A    DEFINED    DEFINED 2,070,000
CARNIVAL CORP                 PARED CTF     143658300  $   23,270      768,000  SH  N/A    DEFINED    DEFINED   768,000
CATALYST HEALTH SOLUTIONS
INC                              COM        14888B103  $    3,461       60,000  SH  N/A    DEFINED    DEFINED    60,000
CELANESE CORP DEL             COM SER A     150870103  $    2,602       80,000  SH  N/A    DEFINED    DEFINED    80,000
CELGENE CORP                     COM        151020104  $   23,944      386,700  SH  N/A    DEFINED    DEFINED   386,700
CHEESECAKE FACTORY INC           COM        163072101  $    6,460      262,083  SH  N/A    DEFINED    DEFINED   262,083
CHEVRON CORP                     COM        166764100  $   50,396      544,700  SH  N/A    DEFINED    DEFINED   544,700
CHICAGO BRIDGE & IRON CO
N V                        NY REGISTRY SH   167250109  $   13,770      480,978  SH  N/A    DEFINED    DEFINED   480,978
CITIGROUP INC                  COM NEW      172967424  $   15,372      600,000  SH  N/A    DEFINED    DEFINED   600,000
COACH INC                        COM        189754104  $   26,952      520,000  SH  N/A    DEFINED    DEFINED   520,000
COCA COLA CO                     COM        191216100  $    7,432      110,000  SH  N/A    DEFINED    DEFINED   110,000
COLGATE-PALMOLIVE CO             COM        194162103  $   18,676      210,600  SH  N/A    DEFINED    DEFINED   210,600
COMCAST CORP NEW                CL A        20030N101  $   21,109    1,010,000  SH  N/A    DEFINED    DEFINED 1,010,000
CONSOL ENERGY INC                COM        20854P109  $    2,714       80,000  SH  N/A    DEFINED    DEFINED    80,000
CONS EDISON INC                  COM        209115104  $    7,185      126,000  SH  N/A    DEFINED    DEFINED   126,000
CORNING INC                      COM        219350105  $    9,888      800,000  SH  N/A    DEFINED    DEFINED   800,000
DIGITAL RLTY TR INC              COM        253868103  $    2,758       50,000  SH  N/A    DEFINED    DEFINED    50,000
DISCOVERY COMMUNICATNS NEW    COM SER A     25470F104  $   30,826      819,407  SH  N/A    DEFINED    DEFINED   819,407
DUN & BRADSTREET CORP DEL
NE                               COM        26483E100  $    2,144       35,000  SH  N/A    DEFINED    DEFINED    35,000
EMC CORP                         COM        268648102  $   16,792      800,000  SH  N/A    DEFINED    DEFINED   800,000
EATON CORP                       COM        278058102  $   10,650      300,000  SH  N/A    DEFINED    DEFINED   300,000
EL PASO CORP                     COM        28336L109  $    1,748      100,000  SH  N/A    DEFINED    DEFINED   100,000
EMERSON ELECTRIC CO              COM        291011104  $   26,852      650,000  SH  N/A    DEFINED    DEFINED   650,000
ENERGIZER HLDGS INC              COM        29266R108  $    4,711       70,900  SH  N/A    DEFINED    DEFINED    70,900
ENSCO PLC                   SPONSORED ADR   29358Q109  $    1,449       35,835  SH  N/A    DEFINED    DEFINED    35,835
EXELON CORP                      COM        30161N101  $   21,403      502,300  SH  N/A    DEFINED    DEFINED   502,300
EXPRESS SCRIPTS INC              COM        302182100  $   36,773      992,000  SH  N/A    DEFINED    DEFINED   992,000
EXXON MOBIL CORP                 COM        30231G102  $   32,342      445,300  SH  N/A    DEFINED    DEFINED   445,300
FMC CORP                       COM NEW      302491303  $    3,458       50,000  SH  N/A    DEFINED    DEFINED    50,000
FIFTH THIRD BANCORP              COM        316773100  $    2,576      255,000  SH  N/A    DEFINED    DEFINED   255,000
FLOWSERVE CORP                   COM        34354P105  $    5,698       77,000  SH  N/A    DEFINED    DEFINED    77,000
FORD MTR CO DEL             COM PAR $0.01   345370860  $   26,331    2,723,000  SH  N/A    DEFINED    DEFINED 2,723,000
FORTUNE BRANDS INC               COM        349631101  $    4,326       80,000  SH  N/A    DEFINED    DEFINED    80,000
FREEPORT-MCMORAN COPPER &
GOLD INC                         COM        35671D857  $   13,703      450,000  SH  N/A    DEFINED    DEFINED   450,000
GAYLORD ENTMT CO NEW             COM        367905106  $    2,998      155,000  SH  N/A    DEFINED    DEFINED   155,000
GENERAL MILLS INC                COM        370334104  $    3,924      102,000  SH  N/A    DEFINED    DEFINED   102,000
GOOGLE INC                      CL A        38259P508  $   52,673      102,400  SH  N/A    DEFINED    DEFINED   102,400
GUESS INC                        COM        401617105  $   22,866      802,600  SH  N/A    DEFINED    DEFINED   802,600
HEALTH CARE REIT INC             COM        42217K106  $    7,488      160,000  SH  N/A    DEFINED    DEFINED   160,000
HERTZ GLOBAL HLDGS INC           COM        42805T105  $   19,878    2,233,500  SH  N/A    DEFINED    DEFINED 2,233,500
HESS CORP                        COM        42809H107  $   20,758      395,700  SH  N/A    DEFINED    DEFINED   395,700
HORNBECK OFFSHORE SVCS
INC N                            COM        440543106  $    4,982      200,000  SH  N/A    DEFINED    DEFINED   200,000
HOSPIRA INC                      COM        441060100  $   16,846      455,295  SH  N/A    DEFINED    DEFINED   455,295
HOST HOTELS & RESORTS INC        COM        44107P104  $    2,735      250,000  SH  N/A    DEFINED    DEFINED   250,000
ITT CORP INC                     COM        450911102  $    4,410      105,000  SH  N/A    DEFINED    DEFINED   105,000
ICONIX BRAND GROUP INC           COM        451055107  $    2,370      150,000  SH  N/A    DEFINED    DEFINED   150,000
ILL TOOL WKS INC                 COM        452308109  $   40,697      978,300  SH  N/A    DEFINED    DEFINED   978,300
ILLUMINA INC                     COM        452327109  $   16,131      394,200  SH  N/A    DEFINED    DEFINED   394,200
INGRAM MICRO INC                CL A        457153104  $    2,420      150,000  SH  N/A    DEFINED    DEFINED   150,000
INSITUFORM TECHNOLOGIES
INC                             CL A        457667103  $    2,258      195,000  SH  N/A    DEFINED    DEFINED   195,000
INTREPID POTASH INC              COM        46121Y102  $    2,736      110,000  SH  N/A    DEFINED    DEFINED   110,000
INVESCO MORTGAGE CAPITAL
INC                              COM        46131B100  $    3,123      221,000  SH  N/A    DEFINED    DEFINED   221,000
JPMORGAN CHASE & CO              COM        46625H100  $   47,505    1,577,200  SH  N/A    DEFINED    DEFINED 1,577,200
JOHNSON & JOHNSON                COM        478160104  $    7,645      120,000  SH  N/A    DEFINED    DEFINED   120,000
KINDRED HEALTHCARE INC           COM        494580103  $    2,388      277,000  SH  N/A    DEFINED    DEFINED   277,000
KRAFT FOODS INC                 CL A        50075N104  $    6,414      191,000  SH  N/A    DEFINED    DEFINED   191,000
LAS VEGAS SANDS CORP             COM        517834107  $   40,065    1,045,000  SH  N/A    DEFINED    DEFINED 1,045,000
LEAR CORP                      COM NEW      521865204  $    2,145       50,000  SH  N/A    DEFINED    DEFINED    50,000
LINCARE HLDGS INC                COM        532791100  $    4,500      200,000  SH  N/A    DEFINED    DEFINED   200,000
MEMC ELECTR MATLS INC            COM        552715104  $    1,467      280,000  SH  N/A    DEFINED    DEFINED   280,000
MCDERMOTT INTL INC               COM        580037109  $   13,127    1,220,000  SH  N/A    DEFINED    DEFINED 1,220,000
MC DONALDS CORP                  COM        580135101  $   18,706      213,000  SH  N/A    DEFINED    DEFINED   213,000
MEAD JOHNSON NUTRITION           COM        582839106  $   13,800      200,488  SH  N/A    DEFINED    DEFINED   200,488
MEDNAX INC                       COM        58502B106  $   24,617      392,990  SH  N/A    DEFINED    DEFINED   392,990
MERCK & CO INC NEW               COM        58933Y105  $    8,178      250,000  SH  N/A    DEFINED    DEFINED   250,000
MERIDIAN BIOSCIENCE INC          COM        589584101  $    1,920      122,000  SH  N/A    DEFINED    DEFINED   122,000
METLIFE INC                      COM        59156R108  $   34,192    1,220,700  SH  N/A    DEFINED    DEFINED 1,220,700
MICROSOFT CORP                   COM        594918104  $   48,817    1,961,300  SH  N/A    DEFINED    DEFINED 1,961,300
MICROCHIP TECHNOLOGY INC         COM        595017104  $   10,111      325,000  SH  N/A    DEFINED    DEFINED   325,000
MICRON TECH INC                  COM        595112103  $    9,929    1,970,000  SH  N/A    DEFINED    DEFINED 1,970,000
MONSANTO CO NEW                  COM        61166W101  $   17,694      294,700  SH  N/A    DEFINED    DEFINED   294,700
MOSAIC CO NEW                    COM        61945C103  $   23,506      480,000  SH  N/A    DEFINED    DEFINED   480,000
MYLAN INC                        COM        628530107  $    5,083      299,000  SH  N/A    DEFINED    DEFINED   299,000
NII HLDGS INC                 CL B NEW      62913F201  $   12,165      451,400  SH  N/A    DEFINED    DEFINED   451,400
NYSE EURONEXT                    COM        629491101  $    5,129      220,700  SH  N/A    DEFINED    DEFINED   220,700
NASDAQ OMX GROUP                 COM        631103108  $   21,467      927,691  SH  N/A    DEFINED    DEFINED   927,691
NATL FUEL GAS CO                 COM        636180101  $    2,921       60,000  SH  N/A    DEFINED    DEFINED    60,000
NETAPP INC                       COM        64110D104  $   10,182      300,000  SH  N/A    DEFINED    DEFINED   300,000
NEXTERA ENERGY INC               COM        65339F101  $   35,221      652,000  SH  N/A    DEFINED    DEFINED   652,000
NOVO-NORDISK A S                 ADR        670100205  $   11,735      117,912  SH  N/A    DEFINED    DEFINED   117,912
NSTAR                            COM        67019E107  $    8,021      179,000  SH  N/A    DEFINED    DEFINED   179,000
NUANCE COMMUNICATIONS INC
COM                              COM        67020Y100  $   21,767    1,069,100  SH  N/A    DEFINED    DEFINED 1,069,100
OCCIDENTAL PETROLEUM CORP        COM        674599105  $   18,082      252,900  SH  N/A    DEFINED    DEFINED   252,900
OCEANEERING INTL INC             COM        675232102  $    1,767       50,000  SH  N/A    DEFINED    DEFINED    50,000
OMNICOM GROUP INC                COM        681919106  $   14,736      400,000  SH  N/A    DEFINED    DEFINED   400,000
ORACLE CORP                      COM        68389X105  $   28,180      980,500  SH  N/A    DEFINED    DEFINED   980,500
PG& E CORP                       COM        69331C108  $    5,670      134,000  SH  N/A    DEFINED    DEFINED   134,000
PEOPLES UTD FINL INC             COM        712704105  $    6,772      594,000  SH  N/A    DEFINED    DEFINED   594,000
PEPSICO INC                      COM        713448108  $    7,428      120,000  SH  N/A    DEFINED    DEFINED   120,000
PFIZER INC                       COM        717081103  $    7,638      432,000  SH  N/A    DEFINED    DEFINED   432,000
PROCTER & GAMBLE CO              COM        742718109  $   19,339      306,100  SH  N/A    DEFINED    DEFINED   306,100
PRUDENTIAL FINL INC              COM        744320102  $   20,731      442,400  SH  N/A    DEFINED    DEFINED   442,400
QEP RES INC                      COM        74733V100  $    2,166       80,000  SH  N/A    DEFINED    DEFINED    80,000
QUALCOMM INC                     COM        747525103  $   33,180      682,300  SH  N/A    DEFINED    DEFINED   682,300
QUESTAR CORP                     COM        748356102  $    6,199      350,000  SH  N/A    DEFINED    DEFINED   350,000
RALPH LAUREN CORP               CL A        751212101  $    3,502       27,000  SH  N/A    DEFINED    DEFINED    27,000
REPUBLIC SVCS INC                COM        760759100  $    2,806      100,000  SH  N/A    DEFINED    DEFINED   100,000
REYNOLDS AMERICAN INC            COM        761713106  $    7,159      191,000  SH  N/A    DEFINED    DEFINED   191,000
ROPER INDS INC NEW               COM        776696106  $    4,135       60,000  SH  N/A    DEFINED    DEFINED    60,000
ST JUDE MED INC                  COM        790849103  $   16,902      467,041  SH  N/A    DEFINED    DEFINED   467,041
SALIX PHARMACEUTICALS INC        COM        795435106  $    3,034      102,500  SH  N/A    DEFINED    DEFINED   102,500
SANDISK CORP                     COM        80004C101  $    3,632       90,000  SH  N/A    DEFINED    DEFINED    90,000
SANDISK CORP               NOTE 1.000% 5/1  80004CAC5  $    5,828    6,000,000  SH  N/A    DEFINED    DEFINED 6,000,000
SCHLUMBERGER LTD                 COM        806857108  $   21,264      356,000  SH  N/A    DEFINED    DEFINED   356,000
SOUTHERN CO                      COM        842587107  $   10,859      256,300  SH  N/A    DEFINED    DEFINED   256,300
SOUTHWESTERN ENERGY CO           COM        845467109  $   11,052      331,600  SH  N/A    DEFINED    DEFINED   331,600
STARBUCKS CORP                   COM        855244109  $   20,189      541,400  SH  N/A    DEFINED    DEFINED   541,400
STARWOOD HOTELS&RESORTS
WRLD                             COM        85590A401  $   25,967      668,900  SH  N/A    DEFINED    DEFINED   668,900
STATE STR CORP                   COM        857477103  $   16,125      501,400  SH  N/A    DEFINED    DEFINED   501,400
STRYKER CORP                     COM        863667101  $   14,375      305,000  SH  N/A    DEFINED    DEFINED   305,000
SYMANTEC CORP                    COM        871503108  $   23,472    1,440,000  SH  N/A    DEFINED    DEFINED 1,440,000
SYNOPSYS INC                     COM        871607107  $    2,436      100,000  SH  N/A    DEFINED    DEFINED   100,000
TECH DATA CORP                   COM        878237106  $    3,242       75,000  SH  N/A    DEFINED    DEFINED    75,000
TERADATA CORP DEL                COM        88076W103  $    2,677       50,000  SH  N/A    DEFINED    DEFINED    50,000
THOMAS & BETTS CORP              COM        884315102  $    1,397       35,000  SH  N/A    DEFINED    DEFINED    35,000
TIDEWATER INC                    COM        886423102  $   16,736      398,002  SH  N/A    DEFINED    DEFINED   398,002
TIFFANY & CO                     COM        886547108  $   13,380      220,000  SH  N/A    DEFINED    DEFINED   220,000
TIME WARNER INC                COM NEW      887317303  $    5,574      186,000  SH  N/A    DEFINED    DEFINED   186,000
TOTAL SA                    SPONSORED ADR   89151E109  $   35,754      815,000  SH  N/A    DEFINED    DEFINED   815,000
TRACTOR SUPPLY CO                COM        892356106  $    4,379       70,000  SH  N/A    DEFINED    DEFINED    70,000
TRAVELERS COS INC                COM        89417E109  $    5,005      102,700  SH  N/A    DEFINED    DEFINED   102,700
TREEHOUSE FOODS INC              COM        89469A104  $    5,998       97,000  SH  N/A    DEFINED    DEFINED    97,000
ULTRA PETROLEUM CORP             COM        903914109  $   12,876      464,500  SH  N/A    DEFINED    DEFINED   464,500
UNITED PARCEL SVC INC           CL B        911312106  $   19,873      314,700  SH  N/A    DEFINED    DEFINED   314,700
UNITED STS STL CORP NEW          COM        912909108  $    1,541       70,000  SH  N/A    DEFINED    DEFINED    70,000
UNITED TECHNOLOGIES CORP         COM        913017109  $    6,614       94,000  SH  N/A    DEFINED    DEFINED    94,000
VALERO ENERGY CORP NEW           COM        91913Y100  $    1,511       85,000  SH  N/A    DEFINED    DEFINED    85,000
VERIZON COMMUNICATIONS COM       COM        92343V104  $    5,520      150,000  SH  N/A    DEFINED    DEFINED   150,000
VISA INC                      COM CL A      92826C839  $   27,945      326,000  SH  N/A    DEFINED    DEFINED   326,000
WABCO HLDGS INC                  COM        92927K102  $    8,519      225,000  SH  N/A    DEFINED    DEFINED   225,000
WAL-MART STORES INC              COM        931142103  $    4,723       91,000  SH  N/A    DEFINED    DEFINED    91,000
WASTE MGMT INC DEL               COM        94106L109  $    7,847      241,000  SH  N/A    DEFINED    DEFINED   241,000
WELLPOINT INC                    COM        94973V107  $   26,438      405,000  SH  N/A    DEFINED    DEFINED   405,000
WELLS FARGO & CO NEW             COM        949746101  $   18,814      780,000  SH  N/A    DEFINED    DEFINED   780,000
WESTERN UNION CO                 COM        959802109  $   21,406    1,400,000  SH  N/A    DEFINED    DEFINED 1,400,000
WHITING PETE CORP NEW            COM        966387102  $   10,173      290,000  SH  N/A    DEFINED    DEFINED   290,000
XILINX INC                       COM        983919101  $    2,058       75,000  SH  N/A    DEFINED    DEFINED    75,000
YUM BRANDS INC                   COM        988498101  $   27,881      564,500  SH  N/A    DEFINED    DEFINED   564,500
                                                       $2,621,724  $86,509,396