Delta Dental Plans Association Pac - 2024 cycle
Treasurer: Quinn, Samantha
See Other Cycles: 2002 2004 2006 2008 2010 2012 2014 2016 2018 2020 2022
Contributions from PACs
Electronic Filings
Typically files reports ON-TIME
Report title | Date Filed | End Date | Form type | Receipts | Spending | Cash | Debts | Amendment |
---|---|---|---|---|---|---|---|---|
PRE-GENERAL » | Oct. 24 | Oct. 16 | F3 | $5.00 | $30.63 | $725,924.49 | ||
OCT MONTHLY » | Oct. 18 | Sept. 30 | F3 | $34.89 | $1,701.86 | $725,950.12 | ||
SEP MONTHLY » | Sept. 19 | Aug. 31 | F3 | $20,335.17 | $540.89 | $727,617.09 | ||
AUG MONTHLY » | Aug. 20 | July 31 | F3 | $89,174.37 | $5,591.52 | $707,822.81 | ||
STATEMENT OF ORGANIZATION » | Aug. 12 | F1 | ||||||
JUL MONTHLY » | July 19 | June 30 | F3 | $155.72 | $4,207.77 | $624,239.96 | ||
JUN MONTHLY » | June 20 | May 31 | F3 | $176.80 | $1,707.42 | $628,292.01 | ||
STATEMENT OF ORGANIZATION » | June 10 | F1 | ||||||
MAY MONTHLY » | May 20 | April 30 | F3 | $176.22 | $7,536.77 | $629,822.63 | ||
APR MONTHLY » | April 19 | March 31 | F3 | $185.00 | $18,536.77 | $637,183.18 | ||
MAR MONTHLY » | March 20 | Feb. 29 | F3 | $183.80 | $38.29 | $655,534.95 | ||
FEB MONTHLY » | Feb. 20 | Jan. 31 | F3 | $184.60 | $36.77 | $655,389.44 | ||
YEAR-END » | Jan. 31 | Dec. 31, 2023 | F3 | $114,484.99 | $7,015.10 | $655,241.61 | ||
MID-YEAR » | July 31, 2023 | June 30, 2023 | F3 | $1,132.45 | $9,305.10 | $547,771.72 | ||
MISCELLANEOUS DOCUMENT » | Feb. 10, 2023 | F99 |