Mortgage Loan of $101,000 for 15 Years at 8.95%

What's the payment on a 15 year home loan for $101k at 8.95% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $1,021.41
$12,257 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $101k loan. It can be used for a house, car, boat, credit card debt consolidation, student loan debt, motorcycle, RV, race horse, exotic pet, business, real estate, etc... Try paying off your loan early or refinancing to save money.

Also remember to consider other home costs like insurance, taxes, PMI, and general maintenance costs.

Loan Table for 101,000 loan for 15 years at 8.95 percent interest
Amortization Table. How much goes to interest? How much to principal? What's the loan balance?
Month Monthly Payment Principal Paid Interest Paid Mortgage Balance
1 1,021.41 268.12 753.29 100,731.88
2 1,021.41 270.12 751.29 100,461.77
3 1,021.41 272.13 749.28 100,189.64
4 1,021.41 274.16 747.25 99,915.48
5 1,021.41 276.20 745.20 99,639.28
6 1,021.41 278.26 743.14 99,361.01
7 1,021.41 280.34 741.07 99,080.67
8 1,021.41 282.43 738.98 98,798.24
9 1,021.41 284.54 736.87 98,513.70
10 1,021.41 286.66 734.75 98,227.04
11 1,021.41 288.80 732.61 97,938.25
12 1,021.41 290.95 730.46 97,647.30
13 1,021.41 293.12 728.29 97,354.17
14 1,021.41 295.31 726.10 97,058.87
15 1,021.41 297.51 723.90 96,761.36
16 1,021.41 299.73 721.68 96,461.63
17 1,021.41 301.96 719.44 96,159.66
18 1,021.41 304.22 717.19 95,855.45
19 1,021.41 306.49 714.92 95,548.96
20 1,021.41 308.77 712.64 95,240.19
21 1,021.41 311.07 710.33 94,929.12
22 1,021.41 313.39 708.01 94,615.72
23 1,021.41 315.73 705.68 94,299.99
24 1,021.41 318.09 703.32 93,981.90
25 1,021.41 320.46 700.95 93,661.45
26 1,021.41 322.85 698.56 93,338.60
27 1,021.41 325.26 696.15 93,013.34
28 1,021.41 327.68 693.72 92,685.66
29 1,021.41 330.13 691.28 92,355.53
30 1,021.41 332.59 688.82 92,022.94
31 1,021.41 335.07 686.34 91,687.87
32 1,021.41 337.57 683.84 91,350.30
33 1,021.41 340.09 681.32 91,010.22
34 1,021.41 342.62 678.78 90,667.59
35 1,021.41 345.18 676.23 90,322.42
36 1,021.41 347.75 673.65 89,974.66
37 1,021.41 350.35 671.06 89,624.32
38 1,021.41 352.96 668.45 89,271.36
39 1,021.41 355.59 665.82 88,915.77
40 1,021.41 358.24 663.16 88,557.52
41 1,021.41 360.92 660.49 88,196.61
42 1,021.41 363.61 657.80 87,833.00
43 1,021.41 366.32 655.09 87,466.68
44 1,021.41 369.05 652.36 87,097.63
45 1,021.41 371.80 649.60 86,725.82
46 1,021.41 374.58 646.83 86,351.25
47 1,021.41 377.37 644.04 85,973.88
48 1,021.41 380.19 641.22 85,593.69
49 1,021.41 383.02 638.39 85,210.67
50 1,021.41 385.88 635.53 84,824.79
51 1,021.41 388.76 632.65 84,436.04
52 1,021.41 391.66 629.75 84,044.38
53 1,021.41 394.58 626.83 83,649.80
54 1,021.41 397.52 623.89 83,252.28
55 1,021.41 400.48 620.92 82,851.80
56 1,021.41 403.47 617.94 82,448.33
57 1,021.41 406.48 614.93 82,041.85
58 1,021.41 409.51 611.90 81,632.34
59 1,021.41 412.57 608.84 81,219.77
60 1,021.41 415.64 605.76 80,804.13
61 1,021.41 418.74 602.66 80,385.39
62 1,021.41 421.87 599.54 79,963.52
63 1,021.41 425.01 596.39 79,538.51
64 1,021.41 428.18 593.22 79,110.32
65 1,021.41 431.38 590.03 78,678.95
66 1,021.41 434.59 586.81 78,244.35
67 1,021.41 437.83 583.57 77,806.52
68 1,021.41 441.10 580.31 77,365.42
69 1,021.41 444.39 577.02 76,921.03
70 1,021.41 447.70 573.70 76,473.32
71 1,021.41 451.04 570.36 76,022.28
72 1,021.41 454.41 567.00 75,567.87
73 1,021.41 457.80 563.61 75,110.08
74 1,021.41 461.21 560.20 74,648.86
75 1,021.41 464.65 556.76 74,184.21
76 1,021.41 468.12 553.29 73,716.10
77 1,021.41 471.61 549.80 73,244.49
78 1,021.41 475.13 546.28 72,769.36
79 1,021.41 478.67 542.74 72,290.69
80 1,021.41 482.24 539.17 71,808.45
81 1,021.41 485.84 535.57 71,322.62
82 1,021.41 489.46 531.95 70,833.16
83 1,021.41 493.11 528.30 70,340.05
84 1,021.41 496.79 524.62 69,843.26
85 1,021.41 500.49 520.91 69,342.77
86 1,021.41 504.23 517.18 68,838.54
87 1,021.41 507.99 513.42 68,330.56
88 1,021.41 511.78 509.63 67,818.78
89 1,021.41 515.59 505.82 67,303.19
90 1,021.41 519.44 501.97 66,783.75
91 1,021.41 523.31 498.10 66,260.44
92 1,021.41 527.21 494.19 65,733.22
93 1,021.41 531.15 490.26 65,202.08
94 1,021.41 535.11 486.30 64,666.97
95 1,021.41 539.10 482.31 64,127.87
96 1,021.41 543.12 478.29 63,584.75
97 1,021.41 547.17 474.24 63,037.58
98 1,021.41 551.25 470.16 62,486.33
99 1,021.41 555.36 466.04 61,930.96
100 1,021.41 559.51 461.90 61,371.46
101 1,021.41 563.68 457.73 60,807.78
102 1,021.41 567.88 453.52 60,239.90
103 1,021.41 572.12 449.29 59,667.78
104 1,021.41 576.39 445.02 59,091.39
105 1,021.41 580.68 440.72 58,510.71
106 1,021.41 585.01 436.39 57,925.69
107 1,021.41 589.38 432.03 57,336.32
108 1,021.41 593.77 427.63 56,742.54
109 1,021.41 598.20 423.20 56,144.34
110 1,021.41 602.66 418.74 55,541.68
111 1,021.41 607.16 414.25 54,934.52
112 1,021.41 611.69 409.72 54,322.83
113 1,021.41 616.25 405.16 53,706.58
114 1,021.41 620.85 400.56 53,085.73
115 1,021.41 625.48 395.93 52,460.26
116 1,021.41 630.14 391.27 51,830.12
117 1,021.41 634.84 386.57 51,195.28
118 1,021.41 639.58 381.83 50,555.70
119 1,021.41 644.35 377.06 49,911.35
120 1,021.41 649.15 372.26 49,262.20
121 1,021.41 653.99 367.41 48,608.21
122 1,021.41 658.87 362.54 47,949.34
123 1,021.41 663.79 357.62 47,285.55
124 1,021.41 668.74 352.67 46,616.82
125 1,021.41 673.72 347.68 45,943.09
126 1,021.41 678.75 342.66 45,264.35
127 1,021.41 683.81 337.60 44,580.53
128 1,021.41 688.91 332.50 43,891.62
129 1,021.41 694.05 327.36 43,197.57
130 1,021.41 699.23 322.18 42,498.35
131 1,021.41 704.44 316.97 41,793.91
132 1,021.41 709.69 311.71 41,084.21
133 1,021.41 714.99 306.42 40,369.23
134 1,021.41 720.32 301.09 39,648.91
135 1,021.41 725.69 295.71 38,923.21
136 1,021.41 731.10 290.30 38,192.11
137 1,021.41 736.56 284.85 37,455.55
138 1,021.41 742.05 279.36 36,713.50
139 1,021.41 747.59 273.82 35,965.91
140 1,021.41 753.16 268.25 35,212.75
141 1,021.41 758.78 262.63 34,453.97
142 1,021.41 764.44 256.97 33,689.54
143 1,021.41 770.14 251.27 32,919.40
144 1,021.41 775.88 245.52 32,143.51
145 1,021.41 781.67 239.74 31,361.84
146 1,021.41 787.50 233.91 30,574.34
147 1,021.41 793.37 228.03 29,780.97
148 1,021.41 799.29 222.12 28,981.68
149 1,021.41 805.25 216.16 28,176.43
150 1,021.41 811.26 210.15 27,365.17
151 1,021.41 817.31 204.10 26,547.86
152 1,021.41 823.40 198.00 25,724.45
153 1,021.41 829.55 191.86 24,894.91
154 1,021.41 835.73 185.67 24,059.18
155 1,021.41 841.97 179.44 23,217.21
156 1,021.41 848.25 173.16 22,368.96
157 1,021.41 854.57 166.84 21,514.39
158 1,021.41 860.95 160.46 20,653.45
159 1,021.41 867.37 154.04 19,786.08
160 1,021.41 873.84 147.57 18,912.24
161 1,021.41 880.35 141.05 18,031.89
162 1,021.41 886.92 134.49 17,144.97
163 1,021.41 893.53 127.87 16,251.44
164 1,021.41 900.20 121.21 15,351.24
165 1,021.41 906.91 114.49 14,444.32
166 1,021.41 913.68 107.73 13,530.65
167 1,021.41 920.49 100.92 12,610.16
168 1,021.41 927.36 94.05 11,682.80
169 1,021.41 934.27 87.13 10,748.53
170 1,021.41 941.24 80.17 9,807.29
171 1,021.41 948.26 73.15 8,859.02
172 1,021.41 955.33 66.07 7,903.69
173 1,021.41 962.46 58.95 6,941.23
174 1,021.41 969.64 51.77 5,971.59
175 1,021.41 976.87 44.54 4,994.73
176 1,021.41 984.15 37.25 4,010.57
177 1,021.41 991.50 29.91 3,019.08
178 1,021.41 998.89 22.52 2,020.19
179 1,021.41 1,006.34 15.07 1,013.85
180 1,021.41 1,013.85 7.56 0.00