Mortgage Loan of $244,000 for 15 Years at 3.30%

What's the payment on a 15 year home loan for $244k at 3.30% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $1,720.45
$20,645 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $244k 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 244,000 loan for 15 years at 3.30 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 1,720.45 1,049.45 671.00 242,950.55
2 1,720.45 1,052.33 668.11 241,898.22
3 1,720.45 1,055.23 665.22 240,842.99
4 1,720.45 1,058.13 662.32 239,784.86
5 1,720.45 1,061.04 659.41 238,723.82
6 1,720.45 1,063.96 656.49 237,659.87
7 1,720.45 1,066.88 653.56 236,592.98
8 1,720.45 1,069.82 650.63 235,523.17
9 1,720.45 1,072.76 647.69 234,450.41
10 1,720.45 1,075.71 644.74 233,374.70
11 1,720.45 1,078.67 641.78 232,296.03
12 1,720.45 1,081.63 638.81 231,214.40
13 1,720.45 1,084.61 635.84 230,129.79
14 1,720.45 1,087.59 632.86 229,042.20
15 1,720.45 1,090.58 629.87 227,951.62
16 1,720.45 1,093.58 626.87 226,858.04
17 1,720.45 1,096.59 623.86 225,761.45
18 1,720.45 1,099.60 620.84 224,661.85
19 1,720.45 1,102.63 617.82 223,559.22
20 1,720.45 1,105.66 614.79 222,453.56
21 1,720.45 1,108.70 611.75 221,344.86
22 1,720.45 1,111.75 608.70 220,233.11
23 1,720.45 1,114.81 605.64 219,118.31
24 1,720.45 1,117.87 602.58 218,000.43
25 1,720.45 1,120.95 599.50 216,879.49
26 1,720.45 1,124.03 596.42 215,755.46
27 1,720.45 1,127.12 593.33 214,628.34
28 1,720.45 1,130.22 590.23 213,498.12
29 1,720.45 1,133.33 587.12 212,364.79
30 1,720.45 1,136.44 584.00 211,228.35
31 1,720.45 1,139.57 580.88 210,088.78
32 1,720.45 1,142.70 577.74 208,946.07
33 1,720.45 1,145.85 574.60 207,800.23
34 1,720.45 1,149.00 571.45 206,651.23
35 1,720.45 1,152.16 568.29 205,499.07
36 1,720.45 1,155.32 565.12 204,343.75
37 1,720.45 1,158.50 561.95 203,185.25
38 1,720.45 1,161.69 558.76 202,023.56
39 1,720.45 1,164.88 555.56 200,858.68
40 1,720.45 1,168.09 552.36 199,690.59
41 1,720.45 1,171.30 549.15 198,519.29
42 1,720.45 1,174.52 545.93 197,344.77
43 1,720.45 1,177.75 542.70 196,167.02
44 1,720.45 1,180.99 539.46 194,986.04
45 1,720.45 1,184.24 536.21 193,801.80
46 1,720.45 1,187.49 532.95 192,614.31
47 1,720.45 1,190.76 529.69 191,423.55
48 1,720.45 1,194.03 526.41 190,229.52
49 1,720.45 1,197.32 523.13 189,032.20
50 1,720.45 1,200.61 519.84 187,831.59
51 1,720.45 1,203.91 516.54 186,627.68
52 1,720.45 1,207.22 513.23 185,420.46
53 1,720.45 1,210.54 509.91 184,209.92
54 1,720.45 1,213.87 506.58 182,996.05
55 1,720.45 1,217.21 503.24 181,778.84
56 1,720.45 1,220.56 499.89 180,558.28
57 1,720.45 1,223.91 496.54 179,334.37
58 1,720.45 1,227.28 493.17 178,107.09
59 1,720.45 1,230.65 489.79 176,876.44
60 1,720.45 1,234.04 486.41 175,642.40
61 1,720.45 1,237.43 483.02 174,404.97
62 1,720.45 1,240.83 479.61 173,164.14
63 1,720.45 1,244.25 476.20 171,919.89
64 1,720.45 1,247.67 472.78 170,672.23
65 1,720.45 1,251.10 469.35 169,421.13
66 1,720.45 1,254.54 465.91 168,166.59
67 1,720.45 1,257.99 462.46 166,908.60
68 1,720.45 1,261.45 459.00 165,647.15
69 1,720.45 1,264.92 455.53 164,382.23
70 1,720.45 1,268.40 452.05 163,113.84
71 1,720.45 1,271.88 448.56 161,841.95
72 1,720.45 1,275.38 445.07 160,566.57
73 1,720.45 1,278.89 441.56 159,287.68
74 1,720.45 1,282.41 438.04 158,005.27
75 1,720.45 1,285.93 434.51 156,719.34
76 1,720.45 1,289.47 430.98 155,429.87
77 1,720.45 1,293.02 427.43 154,136.86
78 1,720.45 1,296.57 423.88 152,840.28
79 1,720.45 1,300.14 420.31 151,540.15
80 1,720.45 1,303.71 416.74 150,236.44
81 1,720.45 1,307.30 413.15 148,929.14
82 1,720.45 1,310.89 409.56 147,618.25
83 1,720.45 1,314.50 405.95 146,303.75
84 1,720.45 1,318.11 402.34 144,985.64
85 1,720.45 1,321.74 398.71 143,663.90
86 1,720.45 1,325.37 395.08 142,338.53
87 1,720.45 1,329.02 391.43 141,009.51
88 1,720.45 1,332.67 387.78 139,676.84
89 1,720.45 1,336.34 384.11 138,340.50
90 1,720.45 1,340.01 380.44 137,000.49
91 1,720.45 1,343.70 376.75 135,656.80
92 1,720.45 1,347.39 373.06 134,309.41
93 1,720.45 1,351.10 369.35 132,958.31
94 1,720.45 1,354.81 365.64 131,603.50
95 1,720.45 1,358.54 361.91 130,244.96
96 1,720.45 1,362.27 358.17 128,882.69
97 1,720.45 1,366.02 354.43 127,516.67
98 1,720.45 1,369.78 350.67 126,146.89
99 1,720.45 1,373.54 346.90 124,773.35
100 1,720.45 1,377.32 343.13 123,396.03
101 1,720.45 1,381.11 339.34 122,014.92
102 1,720.45 1,384.91 335.54 120,630.01
103 1,720.45 1,388.71 331.73 119,241.30
104 1,720.45 1,392.53 327.91 117,848.76
105 1,720.45 1,396.36 324.08 116,452.40
106 1,720.45 1,400.20 320.24 115,052.20
107 1,720.45 1,404.05 316.39 113,648.14
108 1,720.45 1,407.92 312.53 112,240.23
109 1,720.45 1,411.79 308.66 110,828.44
110 1,720.45 1,415.67 304.78 109,412.77
111 1,720.45 1,419.56 300.89 107,993.21
112 1,720.45 1,423.47 296.98 106,569.74
113 1,720.45 1,427.38 293.07 105,142.36
114 1,720.45 1,431.31 289.14 103,711.06
115 1,720.45 1,435.24 285.21 102,275.81
116 1,720.45 1,439.19 281.26 100,836.62
117 1,720.45 1,443.15 277.30 99,393.48
118 1,720.45 1,447.12 273.33 97,946.36
119 1,720.45 1,451.09 269.35 96,495.27
120 1,720.45 1,455.09 265.36 95,040.18
121 1,720.45 1,459.09 261.36 93,581.09
122 1,720.45 1,463.10 257.35 92,118.00
123 1,720.45 1,467.12 253.32 90,650.87
124 1,720.45 1,471.16 249.29 89,179.71
125 1,720.45 1,475.20 245.24 87,704.51
126 1,720.45 1,479.26 241.19 86,225.25
127 1,720.45 1,483.33 237.12 84,741.92
128 1,720.45 1,487.41 233.04 83,254.52
129 1,720.45 1,491.50 228.95 81,763.02
130 1,720.45 1,495.60 224.85 80,267.42
131 1,720.45 1,499.71 220.74 78,767.71
132 1,720.45 1,503.84 216.61 77,263.87
133 1,720.45 1,507.97 212.48 75,755.90
134 1,720.45 1,512.12 208.33 74,243.78
135 1,720.45 1,516.28 204.17 72,727.50
136 1,720.45 1,520.45 200.00 71,207.06
137 1,720.45 1,524.63 195.82 69,682.43
138 1,720.45 1,528.82 191.63 68,153.61
139 1,720.45 1,533.03 187.42 66,620.58
140 1,720.45 1,537.24 183.21 65,083.34
141 1,720.45 1,541.47 178.98 63,541.87
142 1,720.45 1,545.71 174.74 61,996.17
143 1,720.45 1,549.96 170.49 60,446.21
144 1,720.45 1,554.22 166.23 58,891.99
145 1,720.45 1,558.49 161.95 57,333.49
146 1,720.45 1,562.78 157.67 55,770.71
147 1,720.45 1,567.08 153.37 54,203.64
148 1,720.45 1,571.39 149.06 52,632.25
149 1,720.45 1,575.71 144.74 51,056.54
150 1,720.45 1,580.04 140.41 49,476.50
151 1,720.45 1,584.39 136.06 47,892.11
152 1,720.45 1,588.74 131.70 46,303.37
153 1,720.45 1,593.11 127.33 44,710.25
154 1,720.45 1,597.49 122.95 43,112.76
155 1,720.45 1,601.89 118.56 41,510.87
156 1,720.45 1,606.29 114.15 39,904.58
157 1,720.45 1,610.71 109.74 38,293.87
158 1,720.45 1,615.14 105.31 36,678.73
159 1,720.45 1,619.58 100.87 35,059.15
160 1,720.45 1,624.03 96.41 33,435.11
161 1,720.45 1,628.50 91.95 31,806.61
162 1,720.45 1,632.98 87.47 30,173.63
163 1,720.45 1,637.47 82.98 28,536.16
164 1,720.45 1,641.97 78.47 26,894.19
165 1,720.45 1,646.49 73.96 25,247.70
166 1,720.45 1,651.02 69.43 23,596.69
167 1,720.45 1,655.56 64.89 21,941.13
168 1,720.45 1,660.11 60.34 20,281.02
169 1,720.45 1,664.67 55.77 18,616.35
170 1,720.45 1,669.25 51.19 16,947.09
171 1,720.45 1,673.84 46.60 15,273.25
172 1,720.45 1,678.45 42.00 13,594.80
173 1,720.45 1,683.06 37.39 11,911.74
174 1,720.45 1,687.69 32.76 10,224.05
175 1,720.45 1,692.33 28.12 8,531.72
176 1,720.45 1,696.99 23.46 6,834.74
177 1,720.45 1,701.65 18.80 5,133.08
178 1,720.45 1,706.33 14.12 3,426.75
179 1,720.45 1,711.02 9.42 1,715.73
180 1,720.45 1,715.73 4.72 0.00