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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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   February 12, 2007
===================
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 holdingsfor 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:        146

Form 13F Information Table Value Total:       $1,447,292
                                              (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
                                December 31, 2006
             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
---------------------------------------- ----------------------------------------------------------------------------------------
                                                                                                              
ENDURANCE SPECIALTY HOLDINGS                      SHS            G30397106                 5487                 150,000      SH
UTI WORLDWIDE INC ORD NPV                         ORD            G87210103                  299                  10,000      SH
ROYAL CARIBBEAN CRUISES                           COM            V7780T103                 8690                 210,000      SH
AES CORP                                          COM            00130H105                  220                  10,000      SH
AT&T INC                                          COM            00206R102                25025                 700,000      SH
ABBOTT LAB CO                                     COM            002824100                 7307                 150,000      SH
AEROPOSTALE                                       COM            007865108                  525                  17,000      SH
AFFILIATED MANAGERS GROUP                         COM            008252108                13036                 124,000      SH
ALLSTATE CORP                                     COM            020002101                16278                 250,000      SH
ALTRIA GROUP INC                                  COM            02209S103                33367                 388,800      SH
AMERICAN INTL GROUP INC                           COM            026874107                32964                 460,000      SH
AMERICAN MED SYS HLDGS INC                        COM            02744M108                  370                  20,000      SH
ARCH COAL INC                                     COM            039380100                 5676                 189,000      SH
ARTHROCARE CORP                                   COM            043136100                  279                   7,000      SH
AUTODESK INC                                      COM            052769106                 6474                 160,000      SH
AVNET INC                                         COM            053807103                10544                 413,000      SH
BAKER HUGHES INC                                  COM            057224107                15679                 210,000      SH
BANK OF AMERICA CORP                              COM            060505104                31891                 597,321      SH
BED BATH BEYOND INC                               COM            075896100                21146                 555,000      SH
BERKLEY W R CORP                                  COM            084423102                  449                  13,000      SH
BEST BUY INC                                      COM            086516101                31974                 650,000      SH
BROADCOM CORP                                     CLA            111320107                 3231                 100,000      SH
CVS CORP                                          COM            126650100                 8778                 284,000      SH
CAMERON INTL CORP                                 COM            13342B105                  212                   4,000      SH
CAP 1 FINANCIAL                                   COM            14040H105                26964                 351,000      SH
CARTER INC                                        COM            146229109                13818                 541,900      SH
CENTRAL GARDEN & PET CO                           COM            153527106                15882                 328,000      SH
CHEESECAKE FACTORY INC                            COM            163072101                  320                  13,000      SH
CHEVRON CORP                                      COM            166764100                37500                 510,000      SH
CISCO SYSTEMS INC                                 COM            17275R102                12299                 450,000      SH
CITIGROUP INC                                     COM            172967101                23283                 418,000      SH
CMNTY HLTH SYS INC                                COM            203668108                 5478                 150,000      SH
CONOCOPHILLIPS                                    COM            20825C104                12951                 180,000      SH
CONSECO INC                                       COM            208464883                10390                 520,000      SH
CONSTELLATION BRANDS INC                          CLA            21036P108                17267                 595,000      SH
CORNING INC                                       COM            219350105                 8420                 450,000      SH
COVENTRY HEALTH CARE INC                          COM            222862104                17968                 359,000      SH
CUTERA INC                                        COM            232109108                  216                   8,000      SH
DRS TECHNOLOGIES INC                              COM            23330X100                  263                   5,000      SH
DIAMONDROCK HOSPITALITY CO                        COM            252784301                  396                  22,000      SH
DONNELLEY R R & SONS CO                           COM            257867101                  249                   7,000      SH


COLUMN 1                                                       COLUMN 6          COLUMN 7                  COLUMN 8
                                                              INVESTMENT           OTHER               VOTING AUTHORITY
NAME OF ISSUER                               PUT/CALL         DISCRETION         MANAGERS         SOLE         SHARED      NONE
---------------------------------------- --------------------------------------------------------------------------------------
                                                                                                         
ENDURANCE SPECIALTY HOLDINGS                    N/A             DEFINED           DEFINED        150,000
UTI WORLDWIDE INC ORD NPV                       N/A             DEFINED           DEFINED         10,000
ROYAL CARIBBEAN CRUISES                         N/A             DEFINED           DEFINED        210,000
AES CORP                                        N/A             DEFINED           DEFINED         10,000
AT&T INC                                        N/A             DEFINED           DEFINED        700,000
ABBOTT LAB CO                                   N/A             DEFINED           DEFINED        150,000
AEROPOSTALE                                     N/A             DEFINED           DEFINED         17,000
AFFILIATED MANAGERS GROUP                       N/A             DEFINED           DEFINED        124,000
ALLSTATE CORP                                   N/A             DEFINED           DEFINED        250,000
ALTRIA GROUP INC                                N/A             DEFINED           DEFINED        388,800
AMERICAN INTL GROUP INC                         N/A             DEFINED           DEFINED        460,000
AMERICAN MED SYS HLDGS INC                      N/A             DEFINED           DEFINED         20,000
ARCH COAL INC                                   N/A             DEFINED           DEFINED        189,000
ARTHROCARE CORP                                 N/A             DEFINED           DEFINED          7,000
AUTODESK INC                                    N/A             DEFINED           DEFINED        160,000
AVNET INC                                       N/A             DEFINED           DEFINED        413,000
BAKER HUGHES INC                                N/A             DEFINED           DEFINED        210,000
BANK OF AMERICA CORP                            N/A             DEFINED           DEFINED        597,321
BED BATH BEYOND INC                             N/A             DEFINED           DEFINED        555,000
BERKLEY W R CORP                                N/A             DEFINED           DEFINED         13,000
BEST BUY INC                                    N/A             DEFINED           DEFINED        650,000
BROADCOM CORP                                   N/A             DEFINED           DEFINED        100,000
CVS CORP                                        N/A             DEFINED           DEFINED        284,000
CAMERON INTL CORP                               N/A             DEFINED           DEFINED          4,000
CAP 1 FINANCIAL                                 N/A             DEFINED           DEFINED        351,000
CARTER INC                                      N/A             DEFINED           DEFINED        541,900
CENTRAL GARDEN & PET CO                         N/A             DEFINED           DEFINED        328,000
CHEESECAKE FACTORY INC                          N/A             DEFINED           DEFINED         13,000
CHEVRON CORP                                    N/A             DEFINED           DEFINED        510,000
CISCO SYSTEMS INC                               N/A             DEFINED           DEFINED        450,000
CITIGROUP INC                                   N/A             DEFINED           DEFINED        418,000
CMNTY HLTH SYS INC                              N/A             DEFINED           DEFINED        150,000
CONOCOPHILLIPS                                  N/A             DEFINED           DEFINED        180,000
CONSECO INC                                     N/A             DEFINED           DEFINED        520,000
CONSTELLATION BRANDS INC                        N/A             DEFINED           DEFINED        595,000
CORNING INC                                     N/A             DEFINED           DEFINED        450,000
COVENTRY HEALTH CARE INC                        N/A             DEFINED           DEFINED        359,000
CUTERA INC                                      N/A             DEFINED           DEFINED          8,000
DRS TECHNOLOGIES INC                            N/A             DEFINED           DEFINED          5,000
DIAMONDROCK HOSPITALITY CO                      N/A             DEFINED           DEFINED         22,000
DONNELLEY R R & SONS CO                         N/A             DEFINED           DEFINED          7,000




                                  Page 1 of 4





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
---------------------------------------- --------------------------------------------------------------------------------------
                                                                                                          
DOW CHEMICAL CO                                   COM            260543103                 5991             150,000      SH
EMC CORP                                          COM            268648102                23760           1,800,000      SH
ENSCO INTL INC                                    COM            26874Q100                13316             266,000      SH
ENDO PHARMACEUTICALS HLDGS INC                    COM            29264F205                  331              12,000      SH
ENERGEN CORP                                      COM            29265N108                  422               9,000      SH
ENTERGY CORP                                      COM            29364G103                11540             125,000      SH
EXCELON CORP                                      COM            30161N101                23828             385,000      SH
EXXON MOBIL CORP                                  COM            30231G102                19924             260,000      SH
FMC CORP                                          COM            302491303                  306               4,000      SH
FIDELITY NATIONAL INFORMATION                     COM            31620M106                27462             685,000      SH
GFI GROUP INC                                     COM            361652209                  249               4,000      SH
GENERAL ELECTRIC CO                               COM            369604103                46513           1,250,000      SH
GNT PRIDECO INC                                   COM            38821G101                  318               8,000      SH
GUITAR CTR INC                                    COM            402040109                  455              10,000      SH
HARMAN INTL INDS                                  COM            413086109                22380             224,000      SH
HARRIS CORP                                       COM            413875105                  321               7,000      SH
HARSCO CORP                                       COM            415864107                  304               4,000      SH
HARTFORD FINL SVCS GROUP                          COM            416515104                25194             270,000      SH
HESS CORP                                         COM            42809H107                  347               7,000      SH
HEWLETT PACKARD CO                                COM            428236103                22655             550,000      SH
ITT EDL SVCS INC                                  COM            45068B109                  265               4,000      SH
IDEX CORP                                         COM            45167R104                  379               8,000      SH
ILLINOIS TOOL WKS INC                             COM            452308109                21940             475,000      SH
INNKEEPERS USA TR                                 COM            4576J0104                  388              25,000      SH
INTEGRATED DEVICE TECH INC                        COM            458118106                  310              20,000      SH
INVT TECH GROUP INC                               COM            46145F105                 5146             120,000      SH
INVITROGEN CORP                                   COM            46185R100                11884             210,000      SH
ITRON INC                                         COM            465741106                  363               7,000      SH
J2 GLOBAL COMMUNICATIONS                          COM            46626E205                 6431             236,000      SH
JABIL CIRCUIT INC                                 COM            466313103                13797             562,000      SH
JARDEN CORP                                       COM            471109108                  348              10,000      SH
JOHNSON & JOHNSON                                 COM            478160104                19806             300,000      SH
KENEXA CORP                                       COM            488879107                  266               8,000      SH
KORN / FERRY INTL                                 COM            500643200                  344              15,000      SH
L-3 COMMUNICATIONS HLDG CORP                      COM            502424104                14639             179,000      SH
LABORATORY CORP AMER HLDGS                        COM            50540R409                10234             139,300      SH
LAUREATE ED INC                                   COM            518613104                  340               7,000      SH
LEGG MASON INC                                    COM            524901105                25283             266,000      SH
LIFEPOINT HOSPS INC                               COM            53219L109                  270               8,000      SH
MEMC ELECTRONIC MATLS INC                         COM            552715104                  196               5,000      SH
MARSHALL & ILSLEY CORP                            COM            571834100                  481              10,000      SH



COLUMN 1                                                       COLUMN 6          COLUMN 7                    COLUMN 8
                                                              INVESTMENT           OTHER                 VOTING AUTHORITY
NAME OF ISSUER                              PUT/CALL          DISCRETION         MANAGERS           SOLE         SHARED      NONE
---------------------------------------- --------------------------------------------------------------------------------------
                                                                                                           
DOW CHEMICAL CO                                N/A              DEFINED           DEFINED          150,000
EMC CORP                                       N/A              DEFINED           DEFINED        1,800,000
ENSCO INTL INC                                 N/A              DEFINED           DEFINED          266,000
ENDO PHARMACEUTICALS HLDGS INC                 N/A              DEFINED           DEFINED           12,000
ENERGEN CORP                                   N/A              DEFINED           DEFINED            9,000
ENTERGY CORP                                   N/A              DEFINED           DEFINED          125,000
EXCELON CORP                                   N/A              DEFINED           DEFINED          385,000
EXXON MOBIL CORP                               N/A              DEFINED           DEFINED          260,000
FMC CORP                                       N/A              DEFINED           DEFINED            4,000
FIDELITY NATIONAL INFORMATION                  N/A              DEFINED           DEFINED          685,000
GFI GROUP INC                                  N/A              DEFINED           DEFINED            4,000
GENERAL ELECTRIC CO                            N/A              DEFINED           DEFINED        1,250,000
GNT PRIDECO INC                                N/A              DEFINED           DEFINED            8,000
GUITAR CTR INC                                 N/A              DEFINED           DEFINED           10,000
HARMAN INTL INDS                               N/A              DEFINED           DEFINED          224,000
HARRIS CORP                                    N/A              DEFINED           DEFINED            7,000
HARSCO CORP                                    N/A              DEFINED           DEFINED            4,000
HARTFORD FINL SVCS GROUP                       N/A              DEFINED           DEFINED          270,000
HESS CORP                                      N/A              DEFINED           DEFINED            7,000
HEWLETT PACKARD CO                             N/A              DEFINED           DEFINED          550,000
ITT EDL SVCS INC                               N/A              DEFINED           DEFINED            4,000
IDEX CORP                                      N/A              DEFINED           DEFINED            8,000
ILLINOIS TOOL WKS INC                          N/A              DEFINED           DEFINED          475,000
INNKEEPERS USA TR                              N/A              DEFINED           DEFINED           25,000
INTEGRATED DEVICE TECH INC                     N/A              DEFINED           DEFINED           20,000
INVT TECH GROUP INC                            N/A              DEFINED           DEFINED          120,000
INVITROGEN CORP                                N/A              DEFINED           DEFINED          210,000
ITRON INC                                      N/A              DEFINED           DEFINED            7,000
J2 GLOBAL COMMUNICATIONS                       N/A              DEFINED           DEFINED          236,000
JABIL CIRCUIT INC                              N/A              DEFINED           DEFINED          562,000
JARDEN CORP                                    N/A              DEFINED           DEFINED           10,000
JOHNSON & JOHNSON                              N/A              DEFINED           DEFINED          300,000
KENEXA CORP                                    N/A              DEFINED           DEFINED            8,000
KORN / FERRY INTL                              N/A              DEFINED           DEFINED           15,000
L-3 COMMUNICATIONS HLDG CORP                   N/A              DEFINED           DEFINED          179,000
LABORATORY CORP AMER HLDGS                     N/A              DEFINED           DEFINED          139,300
LAUREATE ED INC                                N/A              DEFINED           DEFINED            7,000
LEGG MASON INC                                 N/A              DEFINED           DEFINED          266,000
LIFEPOINT HOSPS INC                            N/A              DEFINED           DEFINED            8,000
MEMC ELECTRONIC MATLS INC                      N/A              DEFINED           DEFINED            5,000
MARSHALL & ILSLEY CORP                         N/A              DEFINED           DEFINED           10,000




                                  Page 2 of 4





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
---------------------------------------- ---------------------------------------------------------------------------------------
                                                                                                             
MAXIM INTEGRATED                                  COM                57772K101                18372            600,000      SH
MERRILL LYNCH  & CO                               COM                590188108                 7448             80,000      SH
MICROSOFT CORP                                    COM                594918104                37325          1,250,000      SH
MICROCHIP TECHNOLOGY INC                          COM                595017104                  262              8,000      SH
MILLIPORE CORP                                    COM                601073109                  333              5,000      SH
MORGAN STANLEY                                    COM                617446448                18729            230,000      SH
NASDAQ STOCK MARKET INC                           COM                631103108                 3688            119,775      SH
NATIONAL FINL PARTNERS CORP                       COM                63607P208                 6991            159,000      SH
NAVTEQ CORP                                       COM                63936L100                 4022            115,000      SH
NEUSTAR INC CL A                                  CLA                64126X201                  324             10,000      SH
NEWS CORP CL A                                    CLA                65248E104                 7518            350,000      SH
NOKIA CORP                                        ADR                654902204                23368          1,150,000      SH
NSTAR                                             COM                67019E107                  618             18,000      SH
NUANCE COMMUNICATIONS INC                         COM                67020Y100                  287             25,000      SH
NUVEEN INVESTMENTS INC                            CLA                67090F106                 4306             83,000      SH
OCCIDENTAL PETE CORP                              COM                674599105                25147            515,000      SH
OMNICARE INC                                      COM                681904108                23062            597,000      SH
OMNICOM GROUP                                     COM                681919106                21117            202,000      SH
O REILLY AUTOMOTIVE INC                           COM                686091109                  321             10,000      SH
PATTERSON COS INC                                 COM                703395103                 7102            200,000      SH
PEPSI BOTTLING GROUP INC                          COM                713409100                  309             10,000      SH
PEPSICO INC                                       COM                713448108                24739            395,500      SH
PHARMACEUTICAL PROD DEV INC                       COM                717124101                10085            313,000      SH
POOL CORP                                         COM                73278L105                  392             10,000      SH
PRECISION CASTPARTS CORP                          COM                740189105                  235              3,000      SH
PRIDE INTL INC                                    COM                74153Q102                  300             10,000      SH
PROASSURANCE CORP                                 COM                74267C106                 5391            108,000      SH
PRUDENTIAL FINL INC                               COM                744320102                24270            282,670      SH
QUALCOMM INC                                      COM                747525103                11337            300,000      SH
QUESTAR CORP                                      COM                748356102                 8886            107,000      SH
ROPER INDUSTRIES INC                              COM                776696106                  251              5,000      SH
SLM CORP                                          COM                78442P106                20727            425,000      SH
ST JUDE MEDICAL INC                               COM                790849103                 6398            175,000      SH
SCOTTS MIRACLE GRO CO                             CLA                810186106                19570            378,900      SH
SIGMA ALDRICH CORP                                COM                826552101                 5829             75,000      SH
SKYWEST INC                                       COM                830879102                  434             17,000      SH
SOUTHERN CO                                       COM                842587107                12532            340,000      SH
S.W. AIRL CO                                      COM                844741108                 6496            424,000      SH
SPRINT NEXTEL CORP                                COM                852061100                 4250            225,000      SH
STAPLES INC                                       COM                855030102                11481            430,000      SH
SUNTECH PWR HLDGS CO LTD ADR                      ADR                86800C104                  238              7,000      SH



COLUMN 1                                                    COLUMN 6            COLUMN 7                    COLUMN 8
                                                           INVESTMENT             OTHER                 VOTING AUTHORITY
NAME OF ISSUER                            PUT/CALL         DISCRETION           MANAGERS           SOLE         SHARED      NONE
---------------------------------------- ---------------------------------------------------------------------------------------
                                                                                                          
MAXIM INTEGRATED                             N/A             DEFINED             DEFINED          600,000
MERRILL LYNCH  & CO                          N/A             DEFINED             DEFINED           80,000
MICROSOFT CORP                               N/A             DEFINED             DEFINED        1,250,000
MICROCHIP TECHNOLOGY INC                     N/A             DEFINED             DEFINED            8,000
MILLIPORE CORP                               N/A             DEFINED             DEFINED            5,000
MORGAN STANLEY                               N/A             DEFINED             DEFINED          230,000
NASDAQ STOCK MARKET INC                      N/A             DEFINED             DEFINED          119,775
NATIONAL FINL PARTNERS CORP                  N/A             DEFINED             DEFINED          159,000
NAVTEQ CORP                                  N/A             DEFINED             DEFINED          115,000
NEUSTAR INC CL A                             N/A             DEFINED             DEFINED           10,000
NEWS CORP CL A                               N/A             DEFINED             DEFINED          350,000
NOKIA CORP                                   N/A             DEFINED             DEFINED        1,150,000
NSTAR                                        N/A             DEFINED             DEFINED           18,000
NUANCE COMMUNICATIONS INC                    N/A             DEFINED             DEFINED           25,000
NUVEEN INVESTMENTS INC                       N/A             DEFINED             DEFINED           83,000
OCCIDENTAL PETE CORP                         N/A             DEFINED             DEFINED          515,000
OMNICARE INC                                 N/A             DEFINED             DEFINED          597,000
OMNICOM GROUP                                N/A             DEFINED             DEFINED          202,000
O REILLY AUTOMOTIVE INC                      N/A             DEFINED             DEFINED           10,000
PATTERSON COS INC                            N/A             DEFINED             DEFINED          200,000
PEPSI BOTTLING GROUP INC                     N/A             DEFINED             DEFINED           10,000
PEPSICO INC                                  N/A             DEFINED             DEFINED          395,500
PHARMACEUTICAL PROD DEV INC                  N/A             DEFINED             DEFINED          313,000
POOL CORP                                    N/A             DEFINED             DEFINED           10,000
PRECISION CASTPARTS CORP                     N/A             DEFINED             DEFINED            3,000
PRIDE INTL INC                               N/A             DEFINED             DEFINED           10,000
PROASSURANCE CORP                            N/A             DEFINED             DEFINED          108,000
PRUDENTIAL FINL INC                          N/A             DEFINED             DEFINED          282,670
QUALCOMM INC                                 N/A             DEFINED             DEFINED          300,000
QUESTAR CORP                                 N/A             DEFINED             DEFINED          107,000
ROPER INDUSTRIES INC                         N/A             DEFINED             DEFINED            5,000
SLM CORP                                     N/A             DEFINED             DEFINED          425,000
ST JUDE MEDICAL INC                          N/A             DEFINED             DEFINED          175,000
SCOTTS MIRACLE GRO CO                        N/A             DEFINED             DEFINED          378,900
SIGMA ALDRICH CORP                           N/A             DEFINED             DEFINED           75,000
SKYWEST INC                                  N/A             DEFINED             DEFINED           17,000
SOUTHERN CO                                  N/A             DEFINED             DEFINED          340,000
S.W. AIRL CO                                 N/A             DEFINED             DEFINED          424,000
SPRINT NEXTEL CORP                           N/A             DEFINED             DEFINED          225,000
STAPLES INC                                  N/A             DEFINED             DEFINED          430,000
SUNTECH PWR HLDGS CO LTD ADR                 N/A             DEFINED             DEFINED            7,000


                                  Page 3 of 4





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
---------------------------------------- ---------------------------------------------------------------------------------------
                                                                                                              
TD AMERITRADE HLDG CORP                           COM                87236Y108                 6877             425,000      SH
TAIWAN SEMICONDUCTOR MFG CO                       ADR                874039100                 3279             300,000      SH
TARGET CORP                                       COM                87612E106                17115             300,000      SH
TEVA PHARMACEUTICAL INDS                          ADR                881624209                21134             680,000      SH
TIME WARNER INC                                   COM                887317105                 4356             200,000      SH
TRACTOR SUP CO                                    COM                892356106                  358               8,000      SH
TRINITY IND INC                                   COM                896522109                  211               6,000      SH
TYCO INTL LTD                                     COM                902124106                10640             350,000      SH
US BANCORP                                        COM                902973304                10857             300,000      SH
UNION PAC CORP                                    COM                907818108                 6441              70,000      SH
UNITED SURGICAL PARTNERS INTL                     COM                913016309                14175             500,000      SH
UNITED TECHNOLOGIES CORP                          COM                913017109                10941             175,000      SH
UNITEDHEALTH GROUP INC                            COM                91324P102                20417             380,000      SH
VERIZON COMMUNICATIONS                            COM                92343V104                 4469             120,000      SH
VODAFONE GROUP SPONSORED ADR                      ADR                92857W209                 6945             250,000      SH
WAL-MART STORES INC                               COM                931142103                 5782             125,200      SH
WEIGHT WATCHERS INTL INC                          COM                948626106                 5253             100,000      SH
WELLPOINT INC                                     COM                94973V107                14164             180,000      SH
WESTERN DIGITAL CORP                              COM                958102105                  307              15,000      SH
WILLIAMS SONOMA INC                               COM                969904101                  346              11,000      SH
WYETH                                             COM                983024100                14003             275,000      SH
ZIMMER HOLDINGS INC                               COM                98956P102                21946             280,000      SH
ZIONS BANCORP                                     COM                989701107                  495               6,000      SH
                                  GRAND TOTAL                                               1447292          34,048,366




COLUMN 1                                                 COLUMN 6               COLUMN 7                    COLUMN 8
                                                        INVESTMENT                OTHER                 VOTING AUTHORITY
NAME OF ISSUER                        PUT/CALL          DISCRETION              MANAGERS           SOLE         SHARED      NONE
---------------------------------------- ---------------------------------------------------------------------------------------
                                                                                                          
TD AMERITRADE HLDG CORP                  N/A              DEFINED                DEFINED          425,000
TAIWAN SEMICONDUCTOR MFG CO              N/A              DEFINED                DEFINED          300,000
TARGET CORP                              N/A              DEFINED                DEFINED          300,000
TEVA PHARMACEUTICAL INDS                 N/A              DEFINED                DEFINED          680,000
TIME WARNER INC                          N/A              DEFINED                DEFINED          200,000
TRACTOR SUP CO                           N/A              DEFINED                DEFINED            8,000
TRINITY IND INC                          N/A              DEFINED                DEFINED            6,000
TYCO INTL LTD                            N/A              DEFINED                DEFINED          350,000
US BANCORP                               N/A              DEFINED                DEFINED          300,000
UNION PAC CORP                           N/A              DEFINED                DEFINED           70,000
UNITED SURGICAL PARTNERS INTL            N/A              DEFINED                DEFINED          500,000
UNITED TECHNOLOGIES CORP                 N/A              DEFINED                DEFINED          175,000
UNITEDHEALTH GROUP INC                   N/A              DEFINED                DEFINED          380,000
VERIZON COMMUNICATIONS                   N/A              DEFINED                DEFINED          120,000
VODAFONE GROUP SPONSORED ADR             N/A              DEFINED                DEFINED          250,000
WAL-MART STORES INC                      N/A              DEFINED                DEFINED          125,200
WEIGHT WATCHERS INTL INC                 N/A              DEFINED                DEFINED          100,000
WELLPOINT INC                            N/A              DEFINED                DEFINED          180,000
WESTERN DIGITAL CORP                     N/A              DEFINED                DEFINED           15,000
WILLIAMS SONOMA INC                      N/A              DEFINED                DEFINED           11,000
WYETH                                    N/A              DEFINED                DEFINED          275,000
ZIMMER HOLDINGS INC                      N/A              DEFINED                DEFINED          280,000
ZIONS BANCORP                            N/A              DEFINED                DEFINED            6,000





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