Rule 424(b)(2) Registration No. 33-62300 PRICING SUPPLEMENT NO. 4 DATED November 1, 1994 ----------- ----------------- (To Prospectus Dated August 4, 1994, as supplemented by Prospectus Supplement Dated August 4,1994) HONEYWELL INC. MEDIUM-TERM NOTES, SERIES A Form of Note: Issue Price (Dollar Amount and Percentage of Principal) Amount: $10,000,000/100% ----------------- /X / Book-Entry Interest Rate/Initial Interest Rate: 7.70% / / Certified ------ Principal Amount: $10,000,000 Interest Payment Dates: June 15 and ----------- December 15 ----------- Original Issue Date: November 7, 1994 Regular Record Dates:June 1 and December 1 ---------------- --------------------- Maturity Date: April 1, 1998 Interest Determination Dates: ------------- ------------ Interest Rate Basis(and,if Interest Reset Dates: applicable, related Interest --------------------- Periods): /X / Fixed Rate Note Index Maturity: / / Commercial Paper Rate Note --------------------------- / / Federal Funds Rate Note Spread: / / LIBOR Note ----------------------------------- / / Prime Rate Note Spread Multiplier: / / CD Rate Note ------------------------ / / Treasury Rate Note Maximum Interest Rate: / / CMT Rate Note -------------------- Designated CMT Telerate Page:______________________ Designated CMT Maturity Index:_____________________ / / Other Base Rate (as described below) Minimum Interest Rate: / / Zero Coupon Note -------------------- For Original Issue Discount Notes: Original Issue Discount: % ------------- Redemption Terms: Yield to Maturity: % ------------------- Original issue discount applicable to short accrual period: Repayment Terms: / / Approximate / / Exact Other Terms: Original Issue Discount Notes: / / Subject to special provisions set forth therein with respect to Calculation Agent: the principal amount thereof payable upon any redemption or acceleration of the maturity thereof. Agent: / / For Federal income tax purposes only. Goldman, Sachs & Co.