Certified results linked by this exact FEC candidate ID
- 2022 California U.S. House district 25 · FEC GE winner marker
2026 candidate total · FEC coverage Jan 1, 2025 to Jun 30, 2026
- Receipts
- $2,093,907.02
- Disbursements
- $1,240,151.98
- Cash on hand
- $2,556,494.44
- Debts owed by
- Not supplied
2026 cache: 8 report summaries, 19 filings, 1 amendment filings.
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JULY QUARTERLY May 14, 2026 to Jun 30, 2026 · Original report Receipts $225,167.82 · Disbursements $102,885.38 · Cash $2,556,494.44
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PRE-PRIMARY Apr 1, 2026 to May 13, 2026 · Original report Receipts $124,333.19 · Disbursements $91,448.80 · Cash $2,434,212.00
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APRIL QUARTERLY Jan 1, 2026 to Mar 31, 2026 · Original report Receipts $342,964.55 · Disbursements $328,452.35 · Cash $2,401,327.61
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YEAR-END Oct 1, 2025 to Dec 31, 2025 · Original report Receipts $267,635.42 · Disbursements $171,413.18 · Cash $2,386,815.41
Show separately retained filings (5)
- 48-HOUR NOTICE OF CONTRIBUTIONS OR LOANS RECEIVEDIndicator not supplied · Received May 31, 2026Open filing
- 48-HOUR NOTICE OF CONTRIBUTIONS OR LOANS RECEIVEDIndicator not supplied · Received May 30, 2026Open filing
- 48-HOUR NOTICE OF CONTRIBUTIONS OR LOANS RECEIVEDIndicator not supplied · Received May 29, 2026Open filing
- 48-HOUR NOTICE OF CONTRIBUTIONS OR LOANS RECEIVEDIndicator not supplied · Received May 28, 2026Open filing
2026 cache: 9 report summaries, 12 filings, 1 amendment filings.
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AUGUST MONTHLY Jul 1, 2026 to Jul 31, 2026 · Original report Receipts $46,415.43 · Disbursements $63,476.51 · Cash $33,110.78
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JULY MONTHLY Jun 1, 2026 to Jun 30, 2026 · Original report Receipts $65,104.05 · Disbursements $28,549.55 · Cash $50,171.86
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JUNE MONTHLY May 1, 2026 to May 31, 2026 · Original report Receipts $53,931.76 · Disbursements $112,633.37 · Cash $13,617.36
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MAY MONTHLY Apr 1, 2026 to Apr 30, 2026 · Original report Receipts $73,687.44 · Disbursements $76,730.07 · Cash $72,318.97
Show separately retained filings (1)
- F1Amendment · Received Jul 28, 2026Open filing
2026 cache: 4 report summaries, 4 filings, 0 amendment filings.
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JULY QUARTERLY Apr 1, 2026 to Jun 30, 2026 · Original report Receipts $0.00 · Disbursements $21.00 · Cash $1,560.46
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APRIL QUARTERLY Jan 1, 2026 to Mar 31, 2026 · Original report Receipts $0.00 · Disbursements $10,023.00 · Cash $1,581.46
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YEAR-END Jul 1, 2025 to Dec 31, 2025 · Original report Receipts $56,000.00 · Disbursements $46,121.70 · Cash $11,604.46
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MID-YEAR REPORT Jan 1, 2025 to Jun 30, 2025 · Original report Receipts $49,000.00 · Disbursements $50,389.90 · Cash $1,726.16