Clearway Energy Inc Pac - 2024 cycle

Treasurer: Ryder, Steven
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Total Receipts

$95,672

Total Spending

$116,680

Spending at Trump Properties

$0

Independent Expenditures

$0

Cash on Hand

$20,337

Debts Owed

$0

Totals Through: Nov. 25

Contributions from PACs

Electronic Filings

Typically files reports ON-TIME
Report title Date Filed End Date Form type Receipts Spending Cash Debts Amendment
POST-GENERAL » Dec. 4 Nov. 25 F3 $8,963.00 $14,000.00 $20,336.58
PRE-GENERAL » Oct. 23 Oct. 16 F3 $1,921.00 $0.00 $25,373.58
OCT MONTHLY » Oct. 9 Sept. 30 F3 $3,842.00 $42,000.00 $23,452.58
SEP MONTHLY » Sept. 17 Aug. 31 F3 $3,842.00 $16,500.00 $61,610.58
AUG MONTHLY » Aug. 20 July 31 F3 $4,467.00 $7,500.00 $74,268.58
JUL MONTHLY » July 18 June 30 F3 $3,762.00 $5,500.00 $77,301.58
JUN MONTHLY » June 20 May 31 F3 $7,393.00 $11,000.00 $79,039.58
MAY MONTHLY » May 17 April 30 F3 $3,775.00 $10,000.00 $82,646.58
APR MONTHLY » April 10 March 31 F3 $48,513.00 $1,100.00 $88,871.58
MAR MONTHLY » March 20 Feb. 29 F3 $3,162.00 $4,080.00 $41,458.58
FEB MONTHLY » Feb. 20 Jan. 31 F3 $6,032.00 $5,000.00 $42,376.58
YEAR-END » Jan. 31 Dec. 31, 2023 F3 $70,083.58 $28,739.00 $41,344.58
STATEMENT OF ORGANIZATION » Jan. 26 F1
STATEMENT OF ORGANIZATION » Aug. 10, 2023 F1