460 Semi-Annual July
Recipient Committee
Campaign Statement
Cover Page
(Government Code Sections 84200-84216.5)
Type or print in ink.
Statement covers period
1/1/06
from
SEE INSTRUCTIONS ON REVERSE
6/30/06
through
1. Type of Recipient Committee: All Committees - Complete Parts 1, 2, 3, and 4.
o
Officeholder, Candidate Controlled Committee
o State Candidate Election Committee
o Recall
(Also Complete Part 5)
I;Z] Primarily Formed Ballot Measure
Committee
o Controlled
o Sponsored
(Also Complete Part 6)
o General Purpose Committee
o Sponsored
o Small Contributor Committee
o Political Party/Central Committee
o Primarily Formed Candidate/
Officeholder Committee
(Also Complete Part 7)
I.D. NUMBER
1273991
COMMITTEE NAME (OR CANDIDATE'S NAME IF NO COMMITTEE)
3. Committee Information
Advocates for a Better Cupertino
STREET ADDRESS (NO P.O. BOX)
20660 Stevens Creek Blvd., #161
CITY
Cupertino
MAILING ADDRESS (IF DIFFERENT) NO.
STATE ZIP CODE
CA 95014
AREA CODE/PHONE
AND STREET OR P.O. BOX
CITY
STATE
ZIP CODE
AREA CODE/PHONE
OPTIONAL: FAX /
OF ASSISTANT TREASURER, IF ANY
ZIP CODE
95014
AREA CODE/PHONE
(408)821-6414
MAILING ADDRESS
CITY
STATE
ZIP CODE
AREA CODE/PHONE
OPTIONAL: FAX / E-MAIL ADDRESS
c_ahern@ ix. netcom.com
d in the attached schedules is true and complete. I certify
Signature of Controlling Officeholder, Candidate, State Measure Proponent or Responsible Officer of Sponsor
Signature of Controlling Officeholder. Candidate, State Measure Proponent
Campaign Disclosure Statement
Summary Page
SEE INSTRUCTIONS ON REVERSE
NAME OF FILER
Advocates for a Better Cupertino
Type or print in ink.
Amounts may be rounded
to whole dollars.
SUMMARY PAGE
from
through
1
Statement covers period
CALIFORNIA 460
FORM
1/1/06
6/30/06
:L
'T
Page
of
Contributions Received
Column B
CALENDAR YEAR
TOTAL TO DATE
I.D. NUMBER
1273991
1. Monetary Contributions ..,........................................ Schedule A. Line 3
2. Loans Received ...................................................... Schedule B, Line 3
3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1 + 2
4. Nonmonetary Contributions .................................... Schedule C, Line 3
5. TOTAL CONTRIBUTIONS RECEIVED ........................... Add Lines 3 + 4
Column A
TOTAL THIS PERIOD
(FROM ATTACHED SCHEDULES)
$
$
$
o
o
o
o
o
$
$
$
o
o
o
o
o
Calendar Year Summary for Candidates
Running in Both the State Primary and
General Elections
1/1 through 6/30
7/1 to Date
20. Contributions
Received $
21, Expenditures
Made $
$
$
Expenditures Made
6. Payments Made ....................................................... Schedule E, Line 4 $
7. Loans Made ............................................................. Schedule H, Line 3
8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6 + 7 $
9. Accrued Expenses (Unpaid Bills) ...............................Schedule F, Line 3
10. Nonmonetary Adjustment .............. ............................ Schedule C, Line 3
11. TOTAL EXPENDITURES MADE ................................Add Lines 8 + 9 + 10 $
5614
o
5614
o
o
5614
$
5614
o
5614
o
o
5614
Expenditure Limit Summary for State
Candidates
22. Cumulative Expenditures Made'
(If Subject to Voluntary Expenditure Limit)
Date of Election
(mm/dd/yy)
Total to Date
$
$
----1
$
Current Cash Statement
12. Beginning Cash Balance ....................... Previous Summary Page, Line 16 $
13. Cash Receipts ................................................... ColumnA, Line 3 above
14. Miscellaneous Increases to Cash ........................... Schedule I, Line 4
15. Cash Payments .................................................. Column A, Line 8 above
16. ENDING CASH BALANCE .......... Add Lines 12 + 13 + 14, then subtract Line 15 $
If this is a termination statement, Line 16 must be zero.
17674.53
o
1215.30
5614.00
13275.83
To calculate Column B, add
amounts in Column A to the
corresponding amounts
from Column B of your last
report. Some amounts in
Column A may be negative
figures that should be
subtracted from previous
period amounts. If this is
the first report being filed
for this calendar year, only
carry over the amounts
from Lines 2, 7, and 9 (if
any).
17. LOAN GUARANTEES RECEIVED ........................... Schedule B, Part 2 $
Cash Equivalents and Outstanding Debts
18. Cash Equivalents ........................................ See instructions on reverse $
19. Outstanding Debts ......................... AddLine2+Line9inColumnBabove $
----1
$
'Amounts in this section may be different from amounts
reported in Column B.
FPPC Form 460 (January/OS)
FPPC Toll-Free Helpline: 866/ASK-FPPC (866/275-3772)
Schedule E
Payments Made
SCHEDULE E
Type or print in ink.
Amounts may be rounded
to whole dollars.
Statement covers period
from
1/1/06
CALIFORNIA 460
FORM
SEE INSTRUCTIONS ON REVERSE
NAME OF FILER
Advocates for a Better Cupertino
through
6/30/06
page~ of~
I.D. NUMBER
1273991
CODES: If one of the following codes accurately describes the payment, you may enter the code. Otherwise, describe the payment.
eM' campaign paraphernalia/misc. MBR member communications RAD radio airtime and production costs
CNS campaign consultants MTG meetings and appearances RFD returned contributions
CTB contribution (explain nonmonetary)* OFC office expenses SAL campaign workers' salaries
CVC civic donations PET petition circulating TEL t.v. or cable airtime and production costs
FIL candidate filing/ballot fees PHO phone banks TRC candidate travel, lodging, and meals
FND fundraising events POL polling and survey research TRS staff/spouse travel, lodging, and meals
IND independent expenditure supporting/opposing others (explain)' POS postage, delivery and messenger services TSF transfer between committees of the same candidate/sponsor
LEG legal defense PRO professional services (legal, accounting) VOT voter registration
LIT campaign literature and mailings PRT print ads WEB information technology costs (internet, e-mail)
NAME AND ADDRESS OF PAYEE
(IF COMMITTEE. ALSO ENTER I.D. NUMBER) CODE OR DESCRIPTION OF PAYMENT AMOUNT PAID
Robinson Communications
10679 Farallone Dr CNS 5500.00
Cupertino, CA 95014
* Payments that are contributions or independent expenditures must also be summarized on Schedule D.
SUBTOTAL $
Schedule E Summary
1. Itemized payments made this period. (Include all Schedule E subtotals.) .............................................................................................................. $
2. Unitemized payments made this period of under $1 00 ....................................................... .......... ............ .............................. ...... ......................... $
3. Total interest paid this period on loans. (Enter amount from Schedule B, Part 1, Column (e).) ............................................................................... $
4. Total payments made this period. (Add Lines 1,2, and 3. Enter here and on the Summary Page, Column A, Line 6.) ............................. TOTAL $
5500
114
5614
FPPC Form 460 (January/OS)
FPPC Toll-Free Helpline: 866/ASK-FPPC (866/275-3772)
Schedule I
Miscellaneous Increases to Cash Amounts may be rounded Statement covers pe'riod CALIFORNIA 460
to whole dollars. 1/1 /06 FORM
from
through 6/30/06 pageL ofL
SEE INSTRUCTIONS ON REVERSE
NAME OF FILER I.D. NUMBER
Advocates for a Better Cupertino 1273991
DATE FULL NAME AND ADDRESS OF SOURCE DESCRIPTION OF RECEIPT AMOUNT OF
RECEIVED (IF COMMITTEE. ALSO ENTER I.D. NUMBER) INCREASE TO CASH
Nielsen, Merksamer Recovery of legal fees due to litigation with
1/20/06 591 Redwoord Highway, #4000 the City of Cupertino 1215.30
Mill Valley, CA 94941-3039
Type or print in ink
SCHEDULE I
Attach additional information on appropriately labeled continuation sheets.
SUBTOTAL $
1215.30
Schedule I Summary
1. Itemized increases to cash this period. ....................................................................................................................... $
2. Unitemized increases to cash of under $1 00 this period. ............................................................................................ $
3. Total of all interest received this period on loans made to others. (Schedule H, Column (e).) ................................. $
4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the
Summary Page, Line 14.) ........................................................................................................................... TOTAL $
1215.3
1215.3
FPPC Form 460 (January/OS)
FPPC Toll-Free Helpline: 866/ASK-FPPC (866/275-3712)