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Rule 424(b)(2)
Registration No. 33-62300
PRICING SUPPLEMENT NO. 5 DATED November 1, 1994
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(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%
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/X / Book-Entry Interest Rate/Initial Interest Rate: 7.71%
/ / Certified ------
Principal Amount: $10,000,000 Interest Payment Dates: June 15 and
----------- December 15
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Original Issue Date: November 7, 1994 Regular Record Dates:June 1 and December 1
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Maturity Date: May 7, 1998 Interest Determination Dates:
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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: %
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Redemption Terms: Yield to Maturity: %
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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.
Citicorp Securities, Inc.