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Kilgore

Comb Tax & Ltd Pledge Rev CO Ser 2017

$2,655,000 of principal outstanding at the end of fiscal year 2025.

Terms

Closing date
February 21, 2017
Fiscal year issued
2017
Par amount
$4,055,000
New money / refunding
$4,055,000 / $0
Pledge
Tax-supported (general obligation)
Purpose
Water and sewer
Sale
Competitive
Final maturity
August 15, 2036

Debt outstanding by fiscal year

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Principal, interest and debt service outstanding at each reporting date
Fiscal yearPrincipalInterestTotal debt service
2025$2,655,000$462,075$3,117,075
2024$2,855,000$545,725$3,400,725
2023$3,045,000$637,175$3,682,175
2022$3,230,000$736,125$3,966,125
2021$3,405,000$842,275$4,247,275
2020$3,575,000$954,475$4,529,475
2019$3,740,000$1,071,700$4,811,700
2018$3,900,000$1,193,800$5,093,800
2017$4,055,000$1,320,625$5,375,625

Costs of issuance

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One-time costs reported: $111,120, or $27.40 per $1,000 of par (computed here).

Each cost of issuance, who was paid and how much
CostPaid toTypeAmountPer $1,000
Attorney General reviewNot reportedOne time$4,055.00$1.00
Bond counselNorton Rose Fulbright US LLPOne time$9,850.00$2.43
Financial advisorRBC Capital Markets LLCOne time$39,127.41$9.65
Underwriter's spread: management feeNot reportedOne time$17,489.85$4.31
Other costsNot reportedOne time$543.24$0.13
Paying agent and registrarBank of New York Mellon Trust CoAnnual$750.00$0.19
Paying agent and registrarBank of New York Mellon Trust CoOne time$750.00$0.19
PrintingClements Printing Co LLCOne time$924.35$0.23
PrintingIpreo LLCOne time$750.00$0.19
Rating agencyS&POne time$7,000.00$1.73
Underwriter's spread: expensesNot reportedOne time$3,811.70$0.94
Underwriter's spread: takedownNot reportedOne time$26,818.75$6.61

Source: Local Issuance Fee By Year (updated by the publisher Sep 9, 2026); Debt Outstanding By Issuance Local By Year (updated by the publisher Sep 9, 2026). Loaded here Oct 4, 2026.

Texas fiscal years run September 1 to August 31.

Figures are as reported to the agency and have not been independently verified.