Old Dominion Highway Contractors Assn: Committee

Finance Summary

All Years

$36,478 Starting Balance on Jan. 1, 2005

Count Receipt Type of Receipt
626 $1,250,370 Cash Contributions More than $100
- $0 Cash Contributions of $100 or Less
- $0 In-Kind Contributions More than $100
- $0 In-Kind Contributions of $100 or Less
$1,047 Loans Received
$9,279 Miscellaneous Receipts
$1,260,696 Receipts 1/1/2005-12/31/2025
Expense Type of Expense
$1,261,181 Itemized Expenses
$0 In-Kind Expenses
$1,047 Loans Repaid
$0 Surplus Funds
$1,262,228 Expenses 1/1/2005-12/31/2025

$34,956 Ending Balance on Dec. 31, 2025


View amended report history for this committee

METHODOLOGY: Information on this page is derived from campaign finance reports filed by Old Dominion Highway Contractors Assn