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HomeMy WebLinkAboutPRICE 460 TERM 12/31/00 ecipient Committee Campaign Statement (Government Code Sec~ons 84200-84216.5) Type or print in ink. SEE INSTRUCTIONS ON REVERSE from lhrough, 1. Type of Recipient Committee: All Commmee= - Complete Part~ 1, 2, 3, end7. j~ Officeho}der, Candidate Controlled Committee (AI~o C(~4ptete Part 4.) [] Ballot Measure Comm~ee O Primarily Formed O Controlled O Sponsored (Also Complete Part 5.} [] Primarily Formed Candidate/ Officeholder Committee (/dso Complete Part 6.) [] General Purpose Committee O Sponsored O Broad Based 3. Committee Information COMMITTEE NAME STREET ADDRESS (NO P.O. BOX) CITY STATE ZIP COOE AREA CODE~PHONE MAi~.ING ADORESS (IF DIFFERENT) NO. AND STREET OR P.O. BOX CiTY STATE ZIP COOE AREA CODE)PHONE OPTIONAL: FAX / E-MAIL ADDRESS Date of eleclion if applicable: (Month, Day, Year) B ;~,F J~!! I~ /~ 8: O~ COVERPAGE Pe~ / of ~' 2. Type of Statement: [] Pre-election Statement [] Semi-annual Statement [] Termination Statement [] Amendment (Explain below} [] Quarterly Statement [] Special Odd-Year Report [] Supplemental Pre-election Statement - Attach Form 495 Treasurer(s) NAME OF TREASURER STATE ZIP COOE AREA CODE~PHONE MAIUNG ADDRESS CITY STATE ZIP COOE AREA COOEJPHONE OPTIONAL: FAX I E-MAIL ADDRESS FPPC ~ 4~o (~'e~) For Te=hnlcal A~l~tenmc 916&3~2-F,660 State of Calitorala Recipient Committee Campaign Statement Cover Page -- Part 2 Type or print In Ink. COVER PAGE-PART2 FOg~ .~- of ~ 4. Officeholder or Candidate Controlled Committee OFFICE SOUGHT OR HELD (INCLUDE LOCATION AND DISTRICT NUMBER IF APPLICABLE) RES,DE.T~US,.ESS*DDRESS I"O. ANOSTREE~ Cn~ ST^TE Related Committees Not Included in this Statement: Llstanycommlltees not included In this consollda ted etetemen t the t ere controlled by you or which ere primarily formed to receive contributions or to make expenditures on beheff of your candidacy. COMMI~rEE NAME I.D. NUMBER NAME OF TREASURER CONTROl_LED COMMiT'fEE? [] ~s [] NO Cc~Mn-~E~DORESS STREET ADDRESS (NO P.O. BOX) C~ ST^TE Z,PCOOE ARBACOUE~PHONE 7. Verification 5. Ballot Measure Committee NAMEOFBALLOTMEASURE BALLOT NO. OR LETTER I JURISDICTION [] SUPPORT [] oPPoSE Identify the conl~olling offmeholdar, candidate, or state measure proponent, if any. NAME OF OFFICEHOLDER, CANDIDATE. OR PROPONENT OFFICE SOUGHT OR HELD DISTRICT NO. IF ANY 6. Primarily Formed Committee u., names of afflcaholder(s) or candidate(a/ for which this committee le primarily formed. NAME OF OFFICEHOLDER OR CANDIDATE NAME OF OFFICEHOLDER OR CANDIDATE NAME OF OFFICEHOLDER OR CANDIDATE A~ach con~uation sheets if necessa/y OFFICE SOUGHT OR HELD [] SUPPORT [] oppoSE oFfICE soua-rr OR HELD [] SUPPORT [] OPPOSE OFFICE SOUGHT OR HELD [:]SUPPORT []OPPOSE I have used all reasonable diligence in preparing and reviewing this statement and to the best of my knowledge the information contained herein and in the attached schedules is true and complete. I certify under penalty of perjul7 under the laws of the State of California that the foregoing is true and correct. Executadon /~ /~- ~/ Executed on . '~-.~ ~ DAlE Executed on By Executed on 8y FPPC Form 4~0 (e~) For Technical Asel~tance: 916/322-5660 State of Cd/Ifomla ~Campaign Disclosure Statement Summary Page SEE iNSTRUCTIONS ON REVERSE NAME OF FILER Type or print in Ink. Amounts may be rounded to whole dollars. Ststsrnent covers period from ~7_ /- ..~,c.~ SUMMARY PARE Page ,Z~'~<~ /~,~.,~ .~_ .,,~ Contributions Received 1. Monetary Contributions ...................................................... Schedule A, Line 3 2. Loans Received ................................................................... Schedule S, Line 7 3. SUBTOTAL CASH CONTRIBUTIONS ................................... Add Lines I + 2 4. Nonmonetary Contributions ............................................... Schedule C, Line 3 5. TOTAL CONTRIBUTIONS RECEIVED .................................... AddLines3+4 Expenditures Made 6. Payments Made .................................................................... Schedule E, Line 4 7. Loans Made .......................................................................... Schedule H, Line 7 8. SUBTOTAL CASH PAYMENTS ................................................ AddLines 6 + 7 9. Accrued Expenses (Unpaid Bills) ............................................ Schedule F, Line 3 10. Nonmonetary Adjustment .......................................................ScheduleC, Line3 11. TOTAL EXPENDITURES MADE ......................................... Add Lines S + S + 10 Current Cash Statement 12. Beginning Cash Balance ................................ Previous Summary Page, Line 16 13. Cash Receipts .............................................................. ColumnA, Line3above 1 4. Miscellaneous Increases to Cash ....................................... Schedu/e/, L/ne 15. Cash Payments ............................................................ Column A, Line a ebove 16. ENDING CASH BALANCE .............. ,4d~ t_/nes t2 + tS+ t4, ihen subtract LIne tS /f {his is a ~ermination s{atement, Line f6 must be zero, 1 7. LOAN GUARANTEES RECEIVED ................... Schedule B. Part I, Column Cash Equivalents and Outstanding Debts 18. Cash Equivalents ..................................................... See instructions on reverse 19. Outstanding Debts ................................... Add Line 2 + Line 9 in Column C above Column A Column B* TOTAL PREVt(~JS PERIOD NUMBER Column TOTAL TO OATE (COLUMNS A $ $ · From previous statement Summary Page, Column C. However, if this is the first repod filed for the calendar year, Column B should be blank except for Loans Received (Line 2), Loans Made (Line 7), and Acc~Jed Expenses (Line 9). Summary for Candidates in Both June and November Elections 20. Contributions ~/~ ~,~ug~ &,'JO 7/! {o Osie Received ............ $ ..... 21. Expenditures Made .................. $ FPPC Form 460 (8/99) For Technical Assistance: 916/~22-5660 Schedule E Payments Made SEE INSTRUCTIONS ON REVERSE NAME OF FILER Type or print in ink. Amounts may be rounded to whole dollars. S~etsmant covers period from 7- /- ~,~, SCHEDULEF of. '/~ CODES: If one of the following codes accurately describes the payment, you may enter the code. Otherwise, describe the payment. CMP campaign paraphemalia/misc. CNS campaign consultants CTB cant ribution (explain nonmonetary)* CVC civic donations FND fundraJsing events IND indepe.ndent expenditure supporting/opposingo~ers (explain)* LiT campaign litera~re and mailings MTG meetings and appearances aFC office expenses PET peti§on circulating PHO pho~e banks PaL polling and survey research POS postage, delivery and messenger services PRO professional sewices (legal. accounting) PRT pdnt ads RAD radio airtirne and production costs I.D. NUMBER RFD returned contributions SAL campaign workers salaries TEL t.v. or cable airtime and production costs TRC candidate travel, lodging and meals (explain) TRS staff/spouse travel, lodging and meals (explain) TSF transfer between committees of the same candidate/sponsor VaT voter registration WEe information technology costs (intemet, e-mail) NAME AND ADDRESS OF PAYEE OR CREDCTOR (IF COMMITTEE, ALSO ENTER i D NUMBER) CODE OR DESCRIPTION OF PAYMENT AMOUNT PAID /.~'~ / ' , ~ ~ ~o~. ~o ~y are c, ~e or lndependent expenditures must a;eo be summarlzed on Schedule D. SUBTOTAL Schedule E Summary 1. Payments made this period of $100 or more. (Include all Schedule E subtotals.) ............................................................................................... 2. Unitemized payments made this period of under $100 ........................................................................................................................................ 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Pad 2, Column (d).) ....................................................... 4. Total payments made this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Column A, Line 6.) ......................... TOTAL FPPC Form 460 (8/99) For Technical Assistance: 916,{322-5660 Schedule E (Continuation Sheet) Payments Made SEE INSTRUC~ONS ON REVERSE NAME OF RI. ER TilDe or print In tnk. Amounts may be rounded to whole dollars. S-'-~,.,e.~ covers from 7- through /~' - CODES: If one of the following cud=a accurately describes the payment, you may enter the code. Otherwise, descdbe the payment. CMP can~s'a~rt~sc. DFC ~t~ceexpenses RFD raturnedco~tflbotior~s SCHEDULE E (CONT.) CNS cam~ co~suitanta CTB co~t,bu~ (explain nonmonetmy)' CVC c~cdona~ns FNO fundraslngeventa INO independent expenditure supfx~n~ng others (exptain)' LiT can'ti~Jgnl~eretureand MTG mee~ngs;mdappearences PAD radio ahlime and producfion costa Page -:f' of,, I.D. NUMBER PET petition circulating PHO phone banks POL i:x~ling and survey research POS postage, deliver/and messenger sera=es PRO profess~al sewices (leg;d, accounting) PRT printads ,.m:l on Schedule D. SUBTOTAL: (~ ~-~, ~ FPPC Form 460 {8~9) For Technical A$$1stsnce: 916)322-5660 SAL c,~ ~rs sala~es TEL Lv. or cable airflme and production costa TRC candidate tmvai, lodgin~ and meals (explain) TRS staff/spouse trevel, lodging and meals (explain) TSF tre~sfer betwee~ commiffees of ~he same cand.;date/sponsor VDT rater rsgistre~ Schedule I Type or print in ink. SCHEOULEI Miscellaneous Increases to Cash Amountamayberounded S!.~l.~,..ent covers p~-~o~, to whole dollars. from ~'- /- SEEINSTRUCTIONSONREVERSE through /.2- ~'/- ~.~o~ Page NAME OF FILER I.D. NUMBER DATE FULL NAME AND ADDRESS OF SOURCE DESCRIPTION OF RECEIPT AMOUNT OF RECEIVEO (~F C(~MITTEE. AL~O ENTER I.D. NUMBER) INCREASE TO CASH Attach additional information on appmprfately labeled continuation sheets. SUBTOTAL $ / ~-.~/~ ~ O Schedule I Summary 1. Increases to cash of $100 or more this period ........................................................................................................... $ 2. Unitemized increases to cash under $100 this period ............................................................................................... $ 3. Total of all interest received this period on loans made to others. (Schedule H, Part 2 (b).) ................................. $ 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Line 14.) ........................................................................................................................... TOTAL $ FPPC Form 460 (8/99) For Technical Assistance: 916/322-5660