Powerpacplus Mid-Year 2019 Report
Filed on July 31, 2019, covers activity between Jan. 1, 2019-June 30, 2019
This filing has been replaced by an amended report
See this filing on FEC.gov
Summary
Total Receipts
$507,145
Total Expenditures
$789,287
Cash on Hand
$24,774
Contributions
$433
Unitemized Contributions
91.9%
Debts
$1,575