Protect The House - 2018 cycle

Treasurer: Thomson, Jill
See Other Cycles: 2020 2022

Total Receipts

$26,476,188

Total Spending

$25,888,913

Independent Expenditures

$0

Cash on Hand

$587,274

Debts Owed

$0

Totals Through: Dec. 31, 2018

Contributions from PACs

Electronic Filings

Typically files reports ON-TIME
Report title Date Filed End Date Form type Receipts Spending Cash Debts Amendment
YEAR-END » Jan. 31, 2019 Dec. 31, 2018 F3 $2,332.50 $122,710.05 $587,274.13
POST-GENERAL » Dec. 6, 2018 Nov. 26, 2018 F3 $1,037,702.00 $1,387,269.12 $707,651.68
PRE-GENERAL » Oct. 25, 2018 Oct. 17, 2018 F3 $2,554,363.25 $3,483,806.86 $1,057,218.80
OCT QUARTERLY » Oct. 24, 2018 Sept. 30, 2018 F3 $9,094,653.41 $9,457,020.44 $1,986,662.41 Compare Compare to original
OCT QUARTERLY » Oct. 15, 2018 Sept. 30, 2018 F3 $9,094,653.41 $9,457,020.44 $1,986,662.41
STATEMENT OF ORGANIZATION » Aug. 3, 2018 F1
JUL QUARTERLY » July 13, 2018 June 30, 2018 F3 $8,659,664.93 $7,360,751.60 $2,349,029.44
STATEMENT OF ORGANIZATION » May 17, 2018 F1
APR QUARTERLY » April 13, 2018 March 31, 2018 F3 $5,127,471.51 $4,077,355.40 $1,050,116.11
STATEMENT OF ORGANIZATION » Feb. 12, 2018 F1