Committee For Responsible Government Of Temple Inland Inc - 2012 cycle

Treasurer: Samford, Robert G
See Other Cycles: 2002 2004 2006 2008 2010 2018

Total Receipts

$104,863

Total Spending

$220,379

Spending at Trump Properties

$0

Independent Expenditures

$0

Cash on Hand

$0

Debts Owed

$0

Totals Through: March 12, 2012

Contributions from PACs

Electronic Filings

Typically files reports EARLY
Report title Date Filed End Date Form type Receipts Spending Cash Debts Amendment
TERMINATION REPORT » March 16, 2012 March 12, 2012 F3 $2.00 $66,776.26 $0.00
MAR MONTHLY » March 12, 2012 Feb. 29, 2012 F3 $2,474.68 -$2,923.17 $66,774.26
STATEMENT OF ORGANIZATION » Feb. 22, 2012 F1
FEB MONTHLY » Feb. 10, 2012 Jan. 31, 2012 F3 $4,594.23 $16,525.50 $61,376.41
YEAR-END » Jan. 26, 2012 Dec. 31, 2011 F3 $7,613.60 $1,027.33 $73,307.68
DEC MONTHLY » Dec. 9, 2011 Nov. 30, 2011 F3 $5,835.66 -$1,469.96 $66,721.41
NOV MONTHLY » Nov. 15, 2011 Oct. 31, 2011 F3 $6,293.97 $21,562.02 $59,415.79
OCT MONTHLY » Oct. 10, 2011 Sept. 30, 2011 F3 $7,437.59 $55,525.12 $74,683.84
SEP MONTHLY » Sept. 15, 2011 Aug. 31, 2011 F3 $8,013.45 $6,525.57 $122,771.37
AUG MONTHLY » Aug. 15, 2011 July 31, 2011 F3 $11,508.01 $18,524.52 $121,283.49
JUL MONTHLY » July 6, 2011 June 30, 2011 F3 $8,261.96 $10,024.81 $128,300.00
JUN MONTHLY » June 8, 2011 May 31, 2011 F3 $8,400.08 $7,024.60 $130,062.85
MAY MONTHLY » May 16, 2011 April 30, 2011 F3 $8,444.84 $10,024.29 $128,687.37
APR MONTHLY » April 18, 2011 March 31, 2011 F3 $8,991.84 $3,680.42 $130,266.82
MAR MONTHLY » March 16, 2011 Feb. 28, 2011 F3 $8,476.74 $5,024.78 $124,955.40
FEB MONTHLY » Feb. 17, 2011 Jan. 31, 2011 F3 $8,514.09 $2,527.04 $121,503.44