PAC Financial Activity

18 Months 1999-2000

No. of

Cmtes

Receipts

Disbursements

Cash on Hand

Debts to

Debts By

Corporate

1,703

$119,308,034

$106,226,041

$54,186,939

$77,421

$127,085

Labor

348

$95,765,598

$76,597,051

$62,632,137

$13,042

$151,411

Non Connected

1,293

$99,679,000

$84,579,344

$35,054,932

$194,841

$8,879,132

Trade/Membership/Health

888

$102,957,332

$80,482,968

$52,619,595

$31,537

$304,429

Cooperative

41

$2,740,540

$2,153,863

$2,407,146

$0

$0

Corporations Without Stock

120

$10,128,252

$7,697,327

$5,293,530

$3,000

$364,088

Total

4,393

$430,578,756

$357,736,594

$212,194,279

$319,841

$9,826,145