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Selected Presidential Reports For The 2007 July Quarterly --
Federal Election Commission ^ | 7-16-07 | FEC

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


TOPICS: Extended News; News/Current Events; Politics/Elections
KEYWORDS: campaign; financing
All reports are at this link:

GOP and Democrat Candidate Reports

1 posted on 07/16/2007 6:50:14 PM PDT by deport
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