At the beginning of each regular session of the Texas Legislature, the Texas Constitution requires the Comptroller of Public Accounts to submit a statement showing the state’s financial condition and estimating the revenue it can expect to receive during the next two-year budget period.
This Biennial Revenue Estimate (BRE) forms the basis of each successive state budget. Legislators must ensure that total appropriations do not exceed the amount predicted to be available in the BRE.
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January 2025
The Texas Comptroller issues the Biennial Revenue Estimate before every regular legislative session, projecting the revenue that lawmakers have available for state programs and services through the upcoming biennium. The 89th Legislature will have a projected fiscal 2024-25 ending balance of $23.76 billion, in addition to $170.83 billion in total collections of available general revenue-related (GR-R) funds (net of transfers) in the 2026-27 biennium.
Tax | Percent of GR-R |
---|---|
Sales Taxes | 53.4% |
Motor Vehicle Sales and Rental Taxes | 7.1% |
Oil Production Tax | 6.7% |
Franchise Tax | 6.5% |
Insurance Taxes | 5.2% |
Natural Gas Production Tax | 3.0% |
All Other State Taxes | 6.1% |
Other Revenues: Fees, Investments and Other Non-Tax Revenue | 11.9% |
Fund | Plus or Minus | 2024-25 | PROJECTED 2026-27 |
BIENNIUM |
---|---|---|---|---|
GR-R Tax Collections | + | $143.36 | $155.42 | |
Other GR-R Revenue | + | $24.03 | $21.01 | |
Total GR-R Revenue | = | $167.38 | $176.43 | SUB TOTAL |
Beginning Balance | + | $39.43 | $23.76 | |
Total GR-R Revenue & Fund Balances | = | $206.81 | $200.19 | SUB TOTAL |
Reserve for Transfers to the Economic Stabilization and State Highway Funds | − | $10.38 | $11.19 | |
Reduction of Reserve for Transfers of Severance Taxes to the Economic Stabilization Fund | + | $0.31 | $5.60 | |
Total Revenue Available for General-Purpose Spending | = | $196.73 | $194.60 | TOTAL |
Totals may not sum due to rounding.
Enero 2025
El Contralor de Texas emite la Estimación Bienal de Ingresos antes de cada sesión legislativa regular, proyectando los ingresos que los legisladores tienen disponibles para programas y servicios estatales durante el próximo bienio. La Legislatura 89º tendrá un saldo final proyectado para fiscal 2024-25 de $23.76 mil millones, además de $170.83 mil millones en recaudaciones totales de fondos disponibles relacionados con ingresos generales (GR-R) en el bienio 2026-27.
Impuestos | Porcentaje de GR-R |
---|---|
Impuestos de Ventas | 53.4% |
Impuestos Sobre las Ventas y el Alquiler de Vehículos Motorizados | 7.1% |
Impuesto de Producción de Petróleo | 6.7% |
Impuesto de Franquicia | 6.5% |
Impuestos del Seguro | 5.2% |
Impuesto de Producción de Gas Natural | 3.0% |
Todos los Demás Impuestos Estatales | 6.1% |
Otros Ingresos: Comisiones, Inversiones y Otros Ingresos No Tributarios | 11.9% |
fondos | más o menos | 2024-25 | PROYECTADO 2026-27 |
BIENIO |
---|---|---|---|---|
Recaudación de Impuestos GR-R | + | $143.36 | $155.42 | |
Otros Ingresos de GR-R | + | $24.03 | $21.01 | |
INGRESOS TOTALES DE GR-R | = | $167.38 | $176.43 | SUB TOTAL |
Saldo Inicial | + | $39.43 | $23.76 | |
INGRESOS TOTALES DE GR-R Y SALDOS DE FONDOS | = | $206.81 | $200.19 | SUB TOTAL |
Reserva para Transferencias a los Fondos de Estabilización Económica y Carreteras Estatales | − | $10.38 | $11.19 | |
Reducción de la Reserva para Transferencias de Impuestos de Extracción al Fondo de Estabilización Económica | + | $0.31 | $5.60 | |
INGRESOS TOTALES DISPONIBLES PARA GASTOS DE PROPÓSITO GENERAL | = | $196.73 | $194.60 | TOTAL |
Es posible que los totales no sumen debido al redondeo.