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460 Debt 2nd Pre-Election COVER PAGE - LONG FORM (Govemm,ntCodeSecUon$84200-84218.5, ~ ~: OCT ~ ~001 ~ 10/20/2001 11/06/2001 1. Ty~ ~ Recipient Comm~c: 2. Ty~ ~ S~ement: ~ ~ho~er, Candidate ~ P~madly Fo~ Ca~idatel ~ P~el~i~ S~tement ~ Qua~dy S~tement Con.lied CommiUee ~holder Commi~ ~ Semi-annual S~tement ~ S~al ~Year Re~ ~ Te~ina~on S~tement ~ Supplemen~l P~I~ ~ Ballot Measure ~mmi~ee ~ General Pu~e ~mmi~ee ~ Amendment (~plain bel~) S~ment - A~ Fo~ 495 O Pdmadly F~ O S~n~ O Controlled O B~d Ba~ O ~'.D. ~-- Tmasum~s) 3. Commi~ Infor,,,~on 990787 10720 Alderbrook Lane 10720 Alderbrook Lane San Jose CA 95014 (408)725-8939 C~ ~Am ~PCO(O ,RR~..A~ NAME~ASSI~ANT1REASURER. IFANY Cupertino CA 95014 (408)725-8939 MAX. IN(;N)ORE~(IFmFFEREN~NO. ANO~'TRE~ORP.O. BOX MAIUNGAI)ORI~ ( ) ( ) - / S/CCW - PCAB05 01380 (Rev. 9/99) State of California Fair Political Practices Commission. COVER PAGE - PART 2 Recipient Committcc (-., [,, [~'0 P,~,, A 4 6 0 Campaign Statement r o i~ ~ ~ Cover Page- Part 2 IPeg- 2 of s 4. Officeholder or Candidate Controlled Committee 5. Ballot Measure Committee NAME OF OFFICEHOLD~R OF CANDIDATE NAME OF BALLOT MEASURE Ms. Dolores Sandoval OFFICE -- OR HELD pNCLU[~ LOC~TION AND OIS~)CT NUMBER IF APPt. ICABLE) BN..LOT NO.. "',, t=~ I JUPd~DlCnON I r-~ ~,uPPoRT Santa Clara Cnty Brd of Sup, Disc $ - Debt Retirement ~1o~ RE~DENT1At. JlaUSINES~ ADORESS (NO. AND eTRF-ET) ~ STATE Z3P COOE Identify the Gontrolllng officeholder, candidate, or state measure proponent, if any. 10720 Alderbrook T.ane Cupertino C~ 95014 m~EO~OmC~OU~.~.C~mD~TEO~.mO~U~T Related Committees Not Included In this Statement: Listenycommiffees not included in Ihis consolidated statement that are controt/ed by you or which am primarily o~-nce ~OUCd4T OR HELD IDISTRICT NO. IF ~ formed to receive conttfbatfons or to make expend/tums on behalf of your cendidecy. I Primarily Formed Committee o,~¥ uanaova~ zor c~cy comic±- asz025/z2367~[6' Id ~o~=m~n/~ar'[a Smith 10720 ~'lderbrook ~.ane Cupertino C~ 950[~ (&08) ?25-8939 7. Verification I have used all reasonable diligence in preparing and reviewing this statement and to the best of my knowledge the information contained herein and in the attached sch~ules is true and complete. ! certify under penalty of perjury under the laws of the State of California that the foregoing is true and correct. Executed o~ By SIGNATURE OF CONTROt. LING OFFICEHOLDER, CAN01DATE. STATE MEASURE P~OPONENT Executed mi By SUMMARY PAGE Campaign Disclosure Statement stw~~~ (:~L,rO~X,.~ 460 Summary Page ~o R ~ J {/om 09/23/2001 thmmjh 10/20/2001 Page 3 ol S NAME OF FILER MS. Dolores Sandoval, Dolly Sandoval for Supervisor - Debt Retirement I.D. NUMBER Committee 990787 Contributions Received c~-m A Column S Calendar Year Summmy for Candidab~ TOT~k THi~ PEmOD C-~t. ENOAR ~ Running in ~ the State Primary and (FROM ATTACHED SCHEDULES) TOTAL TO OAllE 1. Monetary Cont~butions ..................................... Schedule A, L/ne 3 $ 0.00 $ 1, :150. O0 2. Loans Received ................................................ ScheduleB, One? 0.00 110,000.00 111 mmugh 6/30 711 to Date 3. SUBTOTAL CASH CONTRIBUTIONS .................. Add L~es 1 + 2 $ 0.00 $ 1:11, ].50.00 Received .... $ 0 0 4. Non-monetary Contribulions ............................. Schedule C, Une 3 O. 00 O. 00 21. ~...~.~....r~.. $ 0 0 5. TOTAL CONTRIBUTIONS RECEIVED ................. Add Lines 3 + 4 S 0.00 $ 11:1,150. O0 Expenditures Made ~m umm sm..m~ bz stm 6. Cash Payments ................................................ ScheduleE, Line4 S 0.00 $ 180.65 C"-~'~' -- 7. Loans Made ...................................................... Schedule H, Une ? 0.00 0.00 22, Cumulative Exanditure Mads* (If Subjed to V~lunta~ Expenditure Limit) 8. SUBTOTAL CASH PAYMENTS ............................ Add Lines 6 + 7 $ 0.00 $ 180.65 Date d Eleclion T~,al ~o Date 9. Accrued Expenses (Unpaid Bills) ...................... Schedule F, Une $ 0 o 00 0.00 (mnVdd/yy) 10. Nonmonetary Adjustment ................................ Schedule C,/-~e 3 0.00 0.00 11. TOTAL EXPENDITURES MADE .................. AddLinesS+9+10 $ 0.00 $ 180.65 Currant Cash Statement 12. Beginning Cash Balanoa .......... Prev~us Summary PaGe, L/ne 18 $ :3,187. (;6 13. Cash Receipts ......................................... Co/utah A, Line 3 above 0.00 14. Miscellaneous Increases to Cash ..................... Schedule I, Une 4 28.3:1 15. Cash Payments ....................................... ~o~zmn A, Line 8 above 0.00 16. EHDIN~ CASH RA~ .... ~$$12+13+14, thensubtracfUnel~ $ 3,215.97 if this is s Termination Statement, I~ne 16 must be zero. I?. LOAN GUARANTEES RECEIVEDSchedu/e B, Part ~, Column (b) $ O . O0 Cash Equivalenb and Outstandin~ Debts 18. Cash Equivalents ................................................................................ $. 0.00 19. Outstanding Debts .......... Add Line 2 + Line g in Column C above S 110,000.00 S/CCW - PCAB05 01380 (Rev. 9/99) SCHEDULE B - Part Ill Schedule B- Part ,,, sme--nt=o~p~k,d CALIFORNIA460 Annual Report of Outstanding Loans Received m,,,, 09/23/2001 through 10/20/2001 Paga 4 of 5 NAMEOFFILER MS. Dolores Sandoval, Dolly Sandoval for Supervisor - Debt Retirement I.D. NUMBER Committee 990787 FULL NAME OF LENDER ORIGINAL DATE OF LOAN AMOUNT OF ORIGINAL LOAN UNPAID PRINCIPAL UNPAID INTEREST Ms. Dolores Sandoval 09/30/1999 20,000.00 20,000.00 (Continued) 02/29/2000 25,000.00 25,000.00 (Continued) 11/06/2000 40,000.00 40,000.00 (Continued) 11/13/2000 10,000.00 10,000.00 (Continued) 11/18/2000 15,000.00 15,000.00 SUBTOTAL $ 110, ooo. oo Annual Report d Outstanding Loans Summary I. Total outstanding loans this period. (Enter here and on the Summary Page, Column C, Linc 2.) ............................................................... TOTAL $ 110,oo0.0o SCHEDULE I Schedule I SI=t..~ ¢OVM~ peltOd CALl FORN IA 4 6 0 Miscellaneous Increases to Cash FORM from 09/23/2001 through 10/20/2001 Page. , 5 of 5 NAME OF FILER MS. Dolores Sandoval, Dolly Sandoval for Supervisor - Debt Retirement I.D. NUMBER Committee 990787 FULL NAME AND ADDRESS OF SOURCE DATE ~F COMMITTEE. I~ ADorrlo~ TO COMVdTI~E'~ NAME N~ID a~ORES$. ENI~tR I.D. NUMBER DESCRIPTION OF RECEIPT AMOUNT OF RECEIVED OR, ;F NO t.o. NtJ~aER H~S BEEN ASS~C4~F-D, ENTER I~E~SURER'$ NNaE & N3ORF-SS) INCREASE TO CASH SUBTOTAL $ o.00 Miscellaneous Inct~,,,ases to Cash Summary I. Increases to cash of $] 00 or mom this period .................................................................................... $ o. 00 2. Increases to cash under $100 this period. (Do Rot itemize.) ................................................................................................................................ $ 2 8.3 3. 3. Total of all inmrcst rcceivcd this period on loans made to others. (Schedule H, Part II Co).) .................................................................................................................... $ o. o 0 4. Total miscellaneous increases to cash this period. (Add Lines I, 2, and 3. Enter hem and on thc Summary Page, Linc 15.) ........................... TOTAL $ 28.31