E

REPORT OF RECEIPTS
AND DISBURSEMENTS

FEC
FORM 3
P

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114JUL 18 PH 14:214

For An Authorized Committee

1. N A M E OF
T Y
COMMITTEE (in full)

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ADDRESS (number rmd street)
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(ACC)

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2. F E C IDENTIFICATION NUMBER

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3. I S THIS
REPORT

4. TYPE OF REPORT (ChooseOne)

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I I I I I I I I I I _ J I I I I I I I I I

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(b) 12-Day PRE-Election Report for the:

(a) Quarterly Reports:

Primary (I2P)

G e n e r a l

(120) R u n o f f (121-1)

April 15 Quarterly Report (01)
Convention (12C) S p e c i a l (12$)
X J u r y 15 Quarterly Report (02)
October 15 Quarterly Report (03)
January 31 Year-End Report (YE)

in the
State of

Election on
(c) 30-Day POST-Election Report for the:
General (30(3)

R u n o f f

(30R) S p e c i a l (30S)

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Termination Report (TER)

in the
Stale of

Election on

5. Covering Period

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certify that I have examined this Report and to the best of my knowledge and belief it is true, correct and complete.
'Ave or Print Name of Treasurer

Signature of Treasurer

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NOTE: Submission of false, erroneous, or incomplete information may subiect the person signing this Report to the penalties of 2 U.S.0• §437g.

Office
Use
Only

FEC FORM 3
(Revised 0212003)

1

SUMMARY PAGE
FEC Form 3 (Revised 02/2003)

of Receipts and Disbursements

PAGE 2 / 276

Write or Type Committee Name

JULIANNEMN

Report Covering the Period: F r o m :

mm
04

06

To:

COLUMN A
This Period
6. N e t Contributions (other than loans)
(a) To t a l Contributions
(other than loans) (from Line 11(e))..

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451424.65
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(c) N e t Contributions (other than loans)
(subtract Line 6(b) from Line 6(a))..

a,

440589,65
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1050738.58

7. N e t Operating Expenditures
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(a) To t a l Operating
Expenditures
(from Line 17)

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501006.43

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(b) To t a l Offsets to Operating

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8. C a s h on Hand a t Close of
Reporting Period (from Line 27)...

172831,37

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9. D e b t s and Obligations Owed TO
the Committee (Itemize all on
Schedule C and/or Schedule D)..

878244.03

336.82

Expenditures (from Line 14)...
(c) N e t Operating Expenditures
(subtract Line 7(b) from Line 7(a))..

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1062473.58

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COLUMN B
Election Cycle-to-Date

(b) To t a l Contribution Refunds
(from Line 20(d)).•

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10, D e b t s and Obligations Owed BY
the Committee (Itemize all on
Schedule C and/or Schedule D)..

For further information contact:

Federal Election Commission
999 E Street, NW
Washington, DC 20463
Toll Free 800-424-9530
Local 202-694-1100

877907.21

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DETAILED SUMMARY PAGE
PAGE 3 / 276

of Receipts

FEC Form 3 (Revised 12/2003)
Write or Type Committee Name

JULIANNEMN
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Report Covering the Period: F r o m :

04

2014
rigylrylly 1

01

D

30

2014
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COLUMN B
Election Cycle-to-Date

COLUMN A
Total This Period

I. RECEIPTS

D

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To:

11. CONTRIBUTIONS (other than loans) FROM:
(a) Individuals/Persons Other Than
Political Committees
(i) Itemized (use Schedule A)..
335767.24

(ii) Unitemized

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(iii) TOTAL o f contributions
from individuals
(b)
(c)

Political Party Committees...
Other Political Committees
(such as PACs)..

(d) T h e Candidate

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(e) T O TA L CONTRIBUTIONS
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(add Lines 11(a)(iii), (b), (c), and (d))..
12. TRANSFERS FROM OTHER
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13. LOANS:
(a) M a d e or Guaranteed by the
Candidate...

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(b) A l l Other Loans...
(c) T O TA L LOANS

(add Lines 13(a) and (b))...

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EXPENDITURES
(Refunds, Rebates, etc.)

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15. OTHER RECEIPTS
(Dividends, Interest, etc.)
16. T O TA L RECEIPTS (add Lines
11(e), 12, 13(c), 14, and 15)
(Carry Total to Line 24, page 4)...

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DETAILED SUMMARY PAGE
of Disbursements

FEC Form 3 (Revised 02/2003)

PAGE 4 / 276

COLUMN A
Total This Period

DISBURSEMENTS

COLUMN B
Election Cycle-to-Date

501006.43

17. OPERATING EXPENDITURES...
18. TRANSFERS TO OTHER
AUTHORIZED COMMITTEES..
19. L O A N REPAYMENTS:

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(a) O f Loans Made or Guaranteed
by the Candidate...

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(add Lines 19(a) and (b))...

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(b) O f All Other Loans
(c) T O TA L LOAN REPAYMENTS

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20. REFUNDS OF CONTRIBUTIONS TO:
(a) Individuals/Persons Other
Than Political Committees..
(b) Political Party Committees...
(c) O t h e r Political Committees
(such as PACs)..
(d) T O TA L CONTRIBUTION REFUNDS
(add Lines 20(a), (b), and (c))...

10835

21. OTHER DISBURSEMENTS..
22. TO TA L DISBURSEMENTS
(add Lines 17, 18, 19(c), 20(d), and 21) 1111.

511841.43

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CASH SUMMARY
23. C A S H ON HAND AT BEGINNING OF REPORTING PERIOD...

24 T O TA L RECEIPTS THIS PERIOD (from Line 16, page 3)...

684672.8

25. SUBTOTAL (add Line 23 and Line 24)..
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26. TOTAL DISBURSEMENTS THIS PERIOD (from Line 22)...

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27. C A S H ON HAND AT CLOSE O F REPORTING PERIOD

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(subtract Line 26 from Line 25)...

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SCHEDULE D (FEC Form 3)
DEBTS AND OBLIGATIONS

I PAGE 2 7 6 O F 2 7 6

(Use separate
schedule(s)
for each
numbered line)

Excluding Loans

FOR LINE NUMBER:
(check only one)

9
X 10

NAME OF COMMITTEE (In Full)

JULIANNEMN
A. F u l l Name (Last, First, Middle Initial) of Debtor or Creditor

Nature of Debt (Purpose):
Promotional Printing Services

P2B Strategies
Mailing Address 4 7 5 0 E 53rd Street
City S t a t e
Minneapolis

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Code
55417-2355

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Outstanding Balance Beginning This Period

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ID: SD1O-DEBT20996

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Amount Incurred This Period
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This Period O u t s t a n d i n g Balance at Close of This Period

15836.32
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B. Full Name (Last, First, Middle Initial) of Debtor or Creditor

Nature of Debt (Purpose):
Cosmetic Services

Leah Peterson
Mailing Address 4 2 2 0 Valley View Road
City S t a t e
Minneapolis

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Code
55424-1931

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Outstanding Balance Beginning This Period

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ID: SD1O-DEBT20667

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Amount Incurred This Period

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This Period O u t s t a n d i n g Balance at Close of This Period

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C. Full Name (Last, First, Middle Initial) of Debtor or Creditor

Nature of Debt (Purpose):

Mailing Address
City

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Outstanding Balance Beginning This Period

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1) SUBTOTALS This Period This Page (optional),,
2) TOTALS This Period (last page this line number only)._

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3) T O TA L OUTSTANDING LOANS from Schedule C (last page only)...

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