Marion Link - 1979/08/27 - 1979/09/24
STATE
ell .
STATE
,
through ? /' ).. . .
OffN:- soutlht or held (Include location and district nu~er if
IPphcable); r. , r ~ _ I'. /
I.. C '--'-' '-" 'v ~ (
ZIP CODE A EA COOE PHON NO.
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A OFFICIAL USE ONLY
CANDIDATE AND OFFICEHOLDER
CAMPAIGN STATEMENT
(Government Code Section 84200-84216)
1979
candidates and officeholders who receive or spend $200 or
n whose behalf $200 or more has been raised or spent for the
mpaign.
(Type or Print In Ink)
Pnmary
C-1-1
E IF APPLICABLE:
semi-annual
campai n statement
c;J-O ~ y~ (f"
DATE OF ELECTION (MO. DAY YR.):
//~ /77
J ;';"-3.!;3f
PHONE NO.
, fJ.. -j'...fJ-
TOTAL PAGES;
3
Y J-oi:) - ";I
ZIP CODE
'7{)f
AREA CODE
LIST ALL COMMITTEES CONTROLLED BY YOU WHICH HAVE RECEIVED CONTRIBUTIONS OR MADE
EXPENOITURES ON BEHALF OF YOUR CANDIDACY
(A controlled committee is one which is controlled directly or indirectly by you or which acts jointly with you or one of your controlled
committees in connection with the making of expenditures. You control a committH if you, your agent or any other committee you
control has significant influence on the actions or decisions of the committtle.)
COMMITTEE NAME COMMITTEE TREASURER TREASURER'S PHONE
AND 10 NUMBER AODRESS PERMANENT AOORESS NUMBER
A/.o yJ 12-
i
I
A rrach addirlonal ",formation on approp"ately labeled continuation she/Its.
II LIST ALL ADDITIONAL COMMITTEES OF WHICH YOU HAVE KNOWLEDGE WHICH HAVE RECEIVED
CONTRIBUTIONS OR MADE EXPENDITURES ON BEHALF OF YOUR CANDIDACY
COMMITTEE NAME
AND I D NUMBER
COMMITTEE
.\DDRESS
TREASURER
TREASURER'S
PERMANENT ADDRESS
PHONE
NUMBER
;../'O,Je....
A rtach addmonal In formation on appropriately laoeled continuation sheets.
c
VERIFICATION
o
E
I declare under penalty of perJury that to the best of my knowledge thiS statement and Its attached schedules are true. correct.
and complete and that I have used all reasonable diligence in their preparation.
Executed on
~hYl7~ at
DATE)
C . / K...." C-lJ.
'fCITy7ANO STATE)
/l7 ..~-_.._.~
by , ,',(L.A~ / O~.
(SIGNATURE OF CANDIDATE 0 OFFICEHOL.DERI
F
For Information required to be provided to you pursuant to the Information Practices Act of 1977, 5H "Information Manual on CamplIilln Disclosure Provisions of
the Political Reform Act," Section XI.
$ ,v/orL $ ~'-.J '" .- L $ ~''-' c r-r ~
Page 9, Loine 6
,vel"" e.. ,^-' 0 r--e N'c ,'0/ ~
Page 10. Loin. 5
$ /,/,0 ,Je.. $ ,'0-/0 I" e $ ,-D tV '-L
Add Loines Add Loin.s Add Loines
a & 9 above a & 9 aDove a & 9 above
(Should equal
Columns A .. 6)
SUMMARY PAGE
Statement covers period from
through
Name /J1 At-{ IC\ (J -r: Lr ~'^f k-
(If thi, i'lI con,oJidlltrld ,.port (Form 490J includll rhll n.",. of rhll candidlltrl IInd committH.J
I.D. Number
(If CommirffleJ
CO LUMN A
Cumulative
total from
previous period.
RECEIPTS
1. Monetary contributions received. . , . . , . . . . . . . . . . ., $
/;.' A ~../ ~
2. Loans . . . . . . . . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . .
N~"';e..
3. Miscellaneous receipts (attach explanation). . . . , . . . . .
,..... ..0 ;../ t
4. Total cash received (Net). . . . . . . , . . . . . . , , . . . . . . ,. $ N po IN ~
Add l.in.s
1 .. 2 .. 3 above
5. Non-monetary contributions received. . . . . . . . . . . . . . N <;) v ~
6. Pledges . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . , . ,
,'(./ ~ IV ~
7 . Total receipts . . . . . . . . , . . . . . . . . . . . . . . . . . , . . . .. $
/'-' C t'~' ~
Add Un.s
4 .. 5 .. 6 above
EXPENDITURES
8. Payments. . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . . . . . .
9, Accrued expenses (unpaid bills) .... . . . . . . . . . . . . . .
10. Total expenditures. . . . . . . . . . . . . . . . . . . . . . . . . . . .
7hY/79
COLUMN B
Total this period
from attached
schedules
$ SfcP,- ...,~
Pall. 4, Loin. 5
Page 5, Loin. 9
$
Add Loines
1 .. 2 .. 3 above
Page 6, Loin. 3
Page 7, Loin. 7
$ S~.P' "".0
Add Un.s
4 .. 5 .. 6 above
STATEMENT OF CHANGES IN FINANCIAL CONDITION
11. Cash on hand at the beginning of this period. . . . .
12. Cash receipts this period (Line 4, column B above)
13. Cash payments this period (Line 8, column a above)
14. Cash on hand at closing date
(Lines 11 + 12 - 13 above). . . . . . . , . . . . . . . . . .
15. Outstanding debts (Line 2 + Line 9, of
Column C above). . . . , . . . . . . . . . . . . . . . . . . . . .
$
,v' 0..' ll...
..sy..&> (.>..a
VD ,-t....
S<rJ> '
..:>.0
J./ o,../.Q.....
.
16. Surplus (if Line 14 is greater than Line 15, subtract
Line 15 from Line 14), . . , . . . . . . . , . . . . , . . . . . . . . . . . . . . . . . . . . . . .
CO LUMN C
Cumulative to
date - Total of
Columns A & B
$ .r~.o.. ot.o 4
$
Add Lo;n.s
1 .. 2 .. 3 aDove
$ .r'f&::>"O-"3
Add Loin.s
4 .. 5 .. 6 aDov.
(ShOuld equal
COlumns A .. Sl
$ Jr&>.u -
17. Deficit (if line 15 is greater than Line 14, subtract
Line 14 from Line 15). . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . . . . . . . . . . $(
-I f thiS is the first report filed or if the last report was a post,election statement, Column A should be blank except for unpaid foans. bills and
oledQes.
NAME
'/J1 /I/o{ ,~ ~
r ~/#-I:-
1.0, NUMBER (If Committee)
Statement covers period from
through
SCHEDULE A, FORM 420,430 or 490
MONETARY CONTRIBUTIONS RECEIVED
(Amounts may be rounded off to whole dollars)
PART 1 - RECEIVED FROM RECIPIENT COMMITTEES: (See information manual for directions and examples)
FULL NAME AND ADDRESS OF COMMITTEE 1.0. NUMBER OR TREASURER'S AMOUNT CUMULATive
DATE (Stre't. City, St.t,) FULL NAME AND RECEIVED TO DATE
PERMANENT ADDRESS
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Atrach actdir,onalmformarJon on appropnarely labeled conrinuation sheers.
SUBTOT AL (Carry with any additional Subtotals to line 1, part 3, page 4) $
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'\lAME
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L( /' (VA:;
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ralli
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1.0. NUMBER (If Committeel
Statement covers period from
rft ' /7 q through f ~ y /1 9
SCHEDULE A, FORM 420,430 or 490
PART 2 - RECEIVED FROM OTHERS: (See information manual for directions and examples)
DATE
FULL NAME AND ADDRESS (Street
City. State) OF CONTRIBUTOR.
OCCUPATION
,~ 1
tJ e t( N 0 /f + ~ 9J..Q
IV Ij",- j f() ~
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EMPLOYER (IF CONTRIBUTOR IS
SELF,EMPLOYED LIST STREET
ADORESS & CITY OF BUSINESS)
r 7.)' .i tj d-f
G i /A.o'f (4 '
779'r c
{; , / t!.p Y
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c-fl
7 7 fI r':"', II <...e (he-
G //~y ,('r.).
I' :) :J...::. C~-cR.:I ~ cf
C I J~ 1
1- y/ ,6 / ,r<I> ~
t} i J "-<n 'oJ
77 f(
4. 4, r-J
Ct/~
?77)A),'~2J
01 rL~ .
Attach additional information on appropriately labeled continuation shfHIts.
SUBTOT AL (Carry with any additional Subtotals to line 3, part 3) S
AMOUNT
RECEIVED
;( J~ <I
J.c. 0 ><3
. I
J~ ,<:., -<)
y",- "".0
...<. .1-. c -<1
,;(.0 __.. e -c
I .)~..!) ...-.......:
S' 0.00
CUMULATIVE
AMOUNT
~ J: <!;. <)
\r~ e, -<)
j"'~~ ~ ~-<:!
~..c ,'~
2-~~
;z.. Q ~ 0-.
l ...s c .~,~
"If the contnbution was made by an intermediary ptovide the information for both the intermediary and the principal
contributor
PART 3 - SUMMAPY OF MONETARY CONTRIBUTIONS (See information manual for directions and examples)
1 RECEiVED FROM COMMITTEES THIS PERIOD (Part 1) S
2 RECEIVED FROM COMMITTEES UNDER $100 THIS PERIOD (Not Itemized)
J RECEiVED FROM OTHERS THIS PERIOD (Part 2) ....",....,..
~ RECEiVED FROM OTHERS UNDER $100 THIS PERIOD (Not Itemized) "".,....
5 TOTAL MONETARY CONTRIBUTIONS RECEIVED THIS PERIOD (Line 1 - 2 - 3 - 4 Enter this total on Line 1 Column B of
Summary Pagel ..".,...,.,...,....,.".",.... ,.,.... ..,.,., $
_<1_
~Y~',"4
,j.-v~ . gO
NAME
1.0. NUMBER (If Committee.
Statement covers period from
__ through
SCHEDULE B, FORM 420,430 or 490
LOANS
(Amounts may be rounded off to whole dollars)
PART 1 - LOANS ;~.r;':; ;v'ED: (s.. information manual for directions and examples)
~,.
FULL NAME AND ADDRESS OF LENDER EMPLOYER (If self-employee Inter8lit AMOUNT OF CUMULATIVE
DATE AND ANY GUARANTORS OR COSIGNERS OCCUPATION list stre.t address and city Rat. LOAN AMOUNT
of businessJ
.
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4trach additional information on appropriataly laballld continultrion shHts.
SUBTOTAL $
PART 2 - LOANS REPAID. FORGIVEN. OR PAID BY A THIRD PARTY:
:See information manual for directions and examples) (a)
. AMOUNT AMOUNT PAID
DATE FULL NAME AND AODAESS OF THE LENOER PLUS PERSON AMOUNT FORGIVEN BY A THIRD UNPAID
WHO REPAID THE LOAN IF DIFFERENT FROM FILER REPAID IEnter on PARTY IEnter BALANCE
Sched. Al on Sched. AI
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\rrach iICIdirional information on appropriately labaled conrinuation shHts.
SUBTOTAL $
(b)
(e)
(d)
'ART 3 - SUMMARY
1 LOANS OF $100 OR MORE THIS PERIOD (Part 1) ................................................... ....,.......... S
2 LOANS UNDER S100 THIS PERIOD (Not Itemized) .......,................................... ................'
J TOTAL LOANS RECEIVED (line 1 .2) ...... .................................. ...........
-l LOANS REF-AID OF S100 OR MORE THIS PERIOD (Part 2. Column a) ....................................................
5 LOANS FORGIVEN OF S100 OR MORE THIS PERIOD (Part 2. Column b) ..............,.................................
6 LOANS PAID BY A THIRD PARTY OF S100 OR MORE THIS PERIOD (Part 2. Column c) ......... . . . . . . . . . . . . . . .
7 LOANS REPAID. FORGIVEN. OR PAlO BY A THIRD PARTY UNDER $100 THIS PERIOD (Not Itemized) . ............
8 TOTAL LOANS REPAID. FORGIVEN OR PAID BY A THIRD PARTY THIS PERIOD (Line 4 .5 .6 - 7) .....'...............
9 NET CHANGE THIS PERIOD (Subtract Line 8 from line 3 and enter the difference on thiS line and on Line 2. Column B of Summary
Pagel . . . . . . ' . . . . . . . . . . . . . . . . . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . " S
'v1A Y BE A
NECiATIVE
FIGURE
.~\ME
1.0. NUMBER (If Committee)
Statement covers period from
through
SCHEDULE C, FORM 420,430 or 490
NON-MONETARY CONTRIBUTIONS RECEIVED
(Amounts may be rounded off to whole dollars I
,ee information manual for directions and examples
FULL NAME AND ADDRESS AND EMPLOYER DESCRIPTION OF FAIR MARKET CUMULATIVE
OATE OCCUPATION (If Self.Emploved, VALUE
1.0. NUMBER (If Committ.el List Addressl GOODS OR SERVICES RECEIVED AMOUNT
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"
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'tach additional Information on appropriately labeled continuation sheets.
SUB TOT AL $
SUMMARY
1 NON-MONETARY CONTRIBUTIONS OF $100 OR MORE THIS PERIOD.............................,..............,.. $
2 NON-MONETARY CONTRIBUTIONS UNDER $100 THIS PERIOD (Nolltemlzedl ......................................
3 TOTAL NON-MONi:TARY CONTRIBUTIONS THIS Pi:RIOD (Line 1 ~ 2, enter on Line 5, Column B of Summary Page) .. S
NAME
1.0. NUMBER (If Committeel
Statement covers period from
FULL NAME AND ADDRESS EMPLOYER (IF SELF- AMOUNT AMOUNT CUMULATIVE
DATE OCCUPATION EMPLOYED. LIST PLEDGED PAID (Enter PLEDGE
AND 1.0. NUMBER (If committee I ADDRESS) THIS PERIOD on Sched. AI UNPAID
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through
SCHEDULE 0, FORM 420, 430 or 490
PLEDGES (Enforceable Promises)
(Amounts may be rounded off to whole dollars)
See information manual for directions and instructions.
(a)
4rrach addirlonal ,nformarlon on approP(Jarely labeled conrinuarion sheers.
I
I
SUBTOT AL S I
(b)
(cl
SUMMARY
1 PLEDGES OF S100 OR MORE THIS PERIOD (COlumn a) .. . .................................................. S
2 PLEDGES UNDER S100 THIS PERIOD (Not Itemized) .......................................................
3 TOTAL PLEDGES RECEIVED (Line 1 - 2) ..................................................................
4 PLEDGES OF S100 OR MORE PAID THIS PERIOD (Column b) ........................................................
5 PLEDGES UNDER S100 PAID THIS PERIOD (Not Itemized) ...........................................................
6 TOTAL PLEDGES PAID (Line 4 . S) ............................................................. S
NET CHANGE THIS PERIOD (SuOtracl Line 6 from Line 3 and enter the difference on Line 6. Column 8 01 Summary Page)
-7-
MAY BE A
NEGATiVE
FIGURE.
Statement covers period from
1.0. NUMBER (If Committeel
through
"'E
SCHEDULE E, FORM 420, 430 or 490
PA YMENTS
(Amounts may be rounded off to whole dollars)
AT 1 - MADE TO RECIPIENT COMMITTEES: (S.. information manual for directions and examples)
OFFICIAL FULL NAME AND ADDRESS OF PAYEE COMMITTEE AND I.D. NUMBER (If the committee has no
USE ONLY 1.0. Number, state full name and permanent address of the Treasurer)
AMOUNT
THIS PERIOD
~
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3cn adomonal Informarion on appropnarely labeled continuarion sheers.
SUBTOT AL (Carry with any additional subtotals to Line 1, part 3, page 91 S
-~-
\lAME
1.0. NUMBER Of Committee'
Statement covers period from
through
SCHEDULE E, FORM 420,430 or 490
PA YMENTS
lART 2 - MADE TO OTHERS: (See information manual for directions and examples)
AMOUNT
FULL NAME AND ADDRESS OF PAYEE" DESCRIPTION OF GOODS AND SERVICES PURCHASED THIS PERIOD
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.tach adaitionallnformanon on appropnatelv labeled continuation sheers. I
SUBTOT AL (Carry with any additional subtotals to Lme 3, part 31 5
"If the payee is different from the vendor (person providing goods or services) and the vendor receives SSO or more, the 1
name and address of both payee and vendor must be listed.
\RT 3 - SUMMARY OF PAYMENTS (See information manual for directions and examplesl
1 MADE TO COMMITTEES THIS PERIOD (Part 1) .......
2 MADE TU COMMITTEES UNDER $100 THIS PERIOD (Not ItemiZed) .................
3 MADE TO OTHERS THIS PERIOD (Part 2) ............................ ..........
4 MADE TO OTHERS UNDER $100 THIS PERIOD (Not Itemized) . .............. ................... .........
5 TOTAL ACCRUED EXPENSES PAID THIS PERIOD (SChedule F. Line 4) ............... ............
6 TOTAL PAYMENTS THIS PERIOD (lines 1 .2 .3 - 4 - 5. Enter thiS total on line 8. Column 8 of Summary Page) ......
s
s
-9-
!\lAME
Statement covers period from
1.0. NUMBER (If Committee)
through
SCHEDULE F, FORM 420,430 or 490
ACCRUED EXPENSES (Unpaid Bills)
(Amounts may be rounded off to whole dollars)
lee information manual for directions and examples
FULL NAME AND ADORESS DESCRIPTION OF ACCRUED EXPENSES AMOUNT
(Street, City, State I . (GOODS AND SERVICES) ACCRUED
THIS PERIOD
I
rcach addic/onal informacion on appropriac.Iv lab.led conrinuar,on shHrs.
SUBTOTAL. S
Olf the accrued expense is owed to a committee, list the committee's name and 1.0. number (or the full name and
permanent address of the treasurer). If the person providing the goods or services was different from the payee, list each
person's full name, street address, city and state,
SUMMARY
1. ACCRUED EXPENSES OF $100 OR MORE THIS PERIOD ............ ..........
2 ACCRUED EXPENSES OF UNDER S100 THIS PERIOD (Not Itemized) ........................
3 TOTAL ACCRUED EXPENSES INCURRED THIS PERIOD (line 1 - 2) .............................................
4 ACCRUED EXPENSES PAID THIS PERIOD (Not Itemized. Enter on line 5. Part 3. SChedule E) .....
5. NET CHANGE THIS PERIOD (Subtract Line 4 from line 3 and enter difference on Line 9. COlumn B of the Summary Page) S
s
MAY BE NEGAT!vE
FIGURE.