Posted on 07/16/2007 6:50:09 PM PDT by deport
Details of the reports are at the FEC link.....
Hunter for President Inc. SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 272,552.19 7. Total Receipts This Period 814,417.18 8. Subtotal (6 + 7) 1,086,969.37 9. Total Disbursements This Period 874,042.48 10. Cash on Hand at CLOSE of the Reporting Period 212,926.89 11. Debts and Obligations Owed TO the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 1,126,329.87 14. NET Contributions (Other than Loans) 1,303,256.76 15. NET Operating Expenditures 1,126,329.87
Treasurer: Bruce Young
Date Signed: 07/15/2007
ROMNEY FOR PRESIDENT INC. SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 11,863,652.79 7. Total Receipts This Period 20,997,715.31 8. Subtotal (6 + 7) 32,861,368.10 9. Total Disbursements This Period 20,739,814.25 10. Cash on Hand at CLOSE of the Reporting Period 12,121,553.85 11. Debts and Obligations Owed TO the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 8,945,028.22 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 0.00 14. NET Contributions (Other than Loans) 34,530,299.69 15. NET Operating Expenditures 31,338,038.21
Treasurer: Darrell Crate
Date Signed: 07/13/2007
RUDY GIULIANI PRESIDENTIAL COMMITTEE INC SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 11,949,734.51 7. Total Receipts This Period 17,599,291.85 8. Subtotal (6 + 7) 29,549,026.36 9. Total Disbursements This Period 11,222,806.07 10. Cash on Hand at CLOSE of the Reporting Period 18,326,220.29 11. Debts and Obligations Owed TO the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 0.00 14. NET Contributions (Other than Loans) 33,305,746.98 15. NET Operating Expenditures 17,027,279.90
Treasurer: JOHN GROSS
Date Signed: 07/13/2007
JOHN MCCAIN 2008 INC. SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 4,705,041.21 7. Total Receipts This Period 11,591,043.81 8. Subtotal (6 + 7) 16,296,085.02 9. Total Disbursements This Period 13,071,657.42 10. Cash on Hand at CLOSE of the Reporting Period 3,224,427.60 11. Debts and Obligations Owed TO the Committee 126,105.50 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 1,783,523.24 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 0.00 14. NET Contributions (Other than Loans) 24,830,566.77 15. NET Operating Expenditures 21,446,839.86
Treasurer: JOSEPH SCHMUCKLER
Date Signed: 07/15/2007
Tancredo for a Secure America Exploratory Committee SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 607,054.18 7. Total Receipts This Period 1,466,188.08 8. Subtotal (6 + 7) 2,073,242.26 9. Total Disbursements This Period 1,474,791.21 10. Cash on Hand at CLOSE of the Reporting Period 598,451.05 11. Debts and Obligations Owed TO the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 15,000.00 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 2,094,817.64 14. NET Contributions (Other than Loans) 2,777,131.38 15. NET Operating Expenditures 2,094,817.64
Treasurer: Steven Durham
Date Signed: 07/15/2007
Ron Paul 2008 Presidential Campaign Committee SUMMARY
5. Covering Period 04/01/2007 Through 06/30/2007
6. Cash on Hand at BEGINNING of the Reporting Period 524,919.38 7. Total Receipts This Period 2,369,452.95 8. Subtotal (6 + 7) 2,894,372.33 9. Total Disbursements This Period 539,517.01 10. Cash on Hand at CLOSE of the Reporting Period 2,354,855.32 11. Debts and Obligations Owed TO the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 12. Debts and Obligations Owed BY the Committee 0.00 Itemize all on SCHEDULE C or SCHEDULE D 13. Expenditures Subject To Limitation 0.00 14. NET Contributions (Other than Loans) 2,997,866.61 15. NET Operating Expenditures 646,116.63
Treasurer: Deana Watts
Date Signed: 07/15/2007
Disclaimer: Opinions posted on Free Republic are those of the individual posters and do not necessarily represent the opinion of Free Republic or its management. All materials posted herein are protected by copyright law and the exemption for fair use of copyrighted works.