Mortgage Loan of $244,000 for 15 Years at 6.70%

What's the payment on a 15 year home loan for $244k at 6.70% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $2,152.42
$25,829 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 6.70 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 2,152.42 790.09 1,362.33 243,209.91
2 2,152.42 794.50 1,357.92 242,415.41
3 2,152.42 798.93 1,353.49 241,616.48
4 2,152.42 803.40 1,349.03 240,813.08
5 2,152.42 807.88 1,344.54 240,005.20
6 2,152.42 812.39 1,340.03 239,192.81
7 2,152.42 816.93 1,335.49 238,375.88
8 2,152.42 821.49 1,330.93 237,554.39
9 2,152.42 826.08 1,326.35 236,728.32
10 2,152.42 830.69 1,321.73 235,897.63
11 2,152.42 835.33 1,317.10 235,062.31
12 2,152.42 839.99 1,312.43 234,222.32
13 2,152.42 844.68 1,307.74 233,377.64
14 2,152.42 849.40 1,303.03 232,528.24
15 2,152.42 854.14 1,298.28 231,674.10
16 2,152.42 858.91 1,293.51 230,815.20
17 2,152.42 863.70 1,288.72 229,951.49
18 2,152.42 868.52 1,283.90 229,082.97
19 2,152.42 873.37 1,279.05 228,209.59
20 2,152.42 878.25 1,274.17 227,331.34
21 2,152.42 883.15 1,269.27 226,448.19
22 2,152.42 888.09 1,264.34 225,560.10
23 2,152.42 893.04 1,259.38 224,667.06
24 2,152.42 898.03 1,254.39 223,769.03
25 2,152.42 903.04 1,249.38 222,865.99
26 2,152.42 908.09 1,244.34 221,957.90
27 2,152.42 913.16 1,239.26 221,044.75
28 2,152.42 918.25 1,234.17 220,126.49
29 2,152.42 923.38 1,229.04 219,203.11
30 2,152.42 928.54 1,223.88 218,274.57
31 2,152.42 933.72 1,218.70 217,340.85
32 2,152.42 938.93 1,213.49 216,401.92
33 2,152.42 944.18 1,208.24 215,457.74
34 2,152.42 949.45 1,202.97 214,508.29
35 2,152.42 954.75 1,197.67 213,553.54
36 2,152.42 960.08 1,192.34 212,593.46
37 2,152.42 965.44 1,186.98 211,628.02
38 2,152.42 970.83 1,181.59 210,657.19
39 2,152.42 976.25 1,176.17 209,680.94
40 2,152.42 981.70 1,170.72 208,699.24
41 2,152.42 987.18 1,165.24 207,712.05
42 2,152.42 992.70 1,159.73 206,719.36
43 2,152.42 998.24 1,154.18 205,721.12
44 2,152.42 1,003.81 1,148.61 204,717.31
45 2,152.42 1,009.42 1,143.00 203,707.89
46 2,152.42 1,015.05 1,137.37 202,692.84
47 2,152.42 1,020.72 1,131.70 201,672.12
48 2,152.42 1,026.42 1,126.00 200,645.70
49 2,152.42 1,032.15 1,120.27 199,613.56
50 2,152.42 1,037.91 1,114.51 198,575.64
51 2,152.42 1,043.71 1,108.71 197,531.94
52 2,152.42 1,049.53 1,102.89 196,482.40
53 2,152.42 1,055.39 1,097.03 195,427.01
54 2,152.42 1,061.29 1,091.13 194,365.72
55 2,152.42 1,067.21 1,085.21 193,298.51
56 2,152.42 1,073.17 1,079.25 192,225.34
57 2,152.42 1,079.16 1,073.26 191,146.18
58 2,152.42 1,085.19 1,067.23 190,060.99
59 2,152.42 1,091.25 1,061.17 188,969.74
60 2,152.42 1,097.34 1,055.08 187,872.40
61 2,152.42 1,103.47 1,048.95 186,768.94
62 2,152.42 1,109.63 1,042.79 185,659.31
63 2,152.42 1,115.82 1,036.60 184,543.48
64 2,152.42 1,122.05 1,030.37 183,421.43
65 2,152.42 1,128.32 1,024.10 182,293.11
66 2,152.42 1,134.62 1,017.80 181,158.50
67 2,152.42 1,140.95 1,011.47 180,017.54
68 2,152.42 1,147.32 1,005.10 178,870.22
69 2,152.42 1,153.73 998.69 177,716.49
70 2,152.42 1,160.17 992.25 176,556.32
71 2,152.42 1,166.65 985.77 175,389.67
72 2,152.42 1,173.16 979.26 174,216.51
73 2,152.42 1,179.71 972.71 173,036.80
74 2,152.42 1,186.30 966.12 171,850.50
75 2,152.42 1,192.92 959.50 170,657.58
76 2,152.42 1,199.58 952.84 169,458.00
77 2,152.42 1,206.28 946.14 168,251.72
78 2,152.42 1,213.02 939.41 167,038.70
79 2,152.42 1,219.79 932.63 165,818.91
80 2,152.42 1,226.60 925.82 164,592.31
81 2,152.42 1,233.45 918.97 163,358.87
82 2,152.42 1,240.33 912.09 162,118.53
83 2,152.42 1,247.26 905.16 160,871.27
84 2,152.42 1,254.22 898.20 159,617.05
85 2,152.42 1,261.23 891.20 158,355.83
86 2,152.42 1,268.27 884.15 157,087.56
87 2,152.42 1,275.35 877.07 155,812.21
88 2,152.42 1,282.47 869.95 154,529.74
89 2,152.42 1,289.63 862.79 153,240.11
90 2,152.42 1,296.83 855.59 151,943.28
91 2,152.42 1,304.07 848.35 150,639.21
92 2,152.42 1,311.35 841.07 149,327.86
93 2,152.42 1,318.67 833.75 148,009.18
94 2,152.42 1,326.04 826.38 146,683.15
95 2,152.42 1,333.44 818.98 145,349.71
96 2,152.42 1,340.88 811.54 144,008.82
97 2,152.42 1,348.37 804.05 142,660.45
98 2,152.42 1,355.90 796.52 141,304.55
99 2,152.42 1,363.47 788.95 139,941.08
100 2,152.42 1,371.08 781.34 138,570.00
101 2,152.42 1,378.74 773.68 137,191.26
102 2,152.42 1,386.44 765.98 135,804.82
103 2,152.42 1,394.18 758.24 134,410.65
104 2,152.42 1,401.96 750.46 133,008.68
105 2,152.42 1,409.79 742.63 131,598.90
106 2,152.42 1,417.66 734.76 130,181.24
107 2,152.42 1,425.58 726.85 128,755.66
108 2,152.42 1,433.54 718.89 127,322.12
109 2,152.42 1,441.54 710.88 125,880.59
110 2,152.42 1,449.59 702.83 124,431.00
111 2,152.42 1,457.68 694.74 122,973.32
112 2,152.42 1,465.82 686.60 121,507.50
113 2,152.42 1,474.00 678.42 120,033.49
114 2,152.42 1,482.23 670.19 118,551.26
115 2,152.42 1,490.51 661.91 117,060.75
116 2,152.42 1,498.83 653.59 115,561.92
117 2,152.42 1,507.20 645.22 114,054.72
118 2,152.42 1,515.62 636.81 112,539.10
119 2,152.42 1,524.08 628.34 111,015.03
120 2,152.42 1,532.59 619.83 109,482.44
121 2,152.42 1,541.14 611.28 107,941.29
122 2,152.42 1,549.75 602.67 106,391.55
123 2,152.42 1,558.40 594.02 104,833.14
124 2,152.42 1,567.10 585.32 103,266.04
125 2,152.42 1,575.85 576.57 101,690.19
126 2,152.42 1,584.65 567.77 100,105.54
127 2,152.42 1,593.50 558.92 98,512.04
128 2,152.42 1,602.40 550.03 96,909.65
129 2,152.42 1,611.34 541.08 95,298.30
130 2,152.42 1,620.34 532.08 93,677.97
131 2,152.42 1,629.39 523.04 92,048.58
132 2,152.42 1,638.48 513.94 90,410.10
133 2,152.42 1,647.63 504.79 88,762.47
134 2,152.42 1,656.83 495.59 87,105.64
135 2,152.42 1,666.08 486.34 85,439.55
136 2,152.42 1,675.38 477.04 83,764.17
137 2,152.42 1,684.74 467.68 82,079.43
138 2,152.42 1,694.14 458.28 80,385.29
139 2,152.42 1,703.60 448.82 78,681.69
140 2,152.42 1,713.11 439.31 76,968.57
141 2,152.42 1,722.68 429.74 75,245.89
142 2,152.42 1,732.30 420.12 73,513.59
143 2,152.42 1,741.97 410.45 71,771.62
144 2,152.42 1,751.70 400.72 70,019.93
145 2,152.42 1,761.48 390.94 68,258.45
146 2,152.42 1,771.31 381.11 66,487.14
147 2,152.42 1,781.20 371.22 64,705.94
148 2,152.42 1,791.15 361.27 62,914.79
149 2,152.42 1,801.15 351.27 61,113.65
150 2,152.42 1,811.20 341.22 59,302.45
151 2,152.42 1,821.32 331.11 57,481.13
152 2,152.42 1,831.48 320.94 55,649.65
153 2,152.42 1,841.71 310.71 53,807.93
154 2,152.42 1,851.99 300.43 51,955.94
155 2,152.42 1,862.33 290.09 50,093.61
156 2,152.42 1,872.73 279.69 48,220.88
157 2,152.42 1,883.19 269.23 46,337.69
158 2,152.42 1,893.70 258.72 44,443.99
159 2,152.42 1,904.28 248.15 42,539.71
160 2,152.42 1,914.91 237.51 40,624.80
161 2,152.42 1,925.60 226.82 38,699.21
162 2,152.42 1,936.35 216.07 36,762.86
163 2,152.42 1,947.16 205.26 34,815.69
164 2,152.42 1,958.03 194.39 32,857.66
165 2,152.42 1,968.97 183.46 30,888.69
166 2,152.42 1,979.96 172.46 28,908.74
167 2,152.42 1,991.01 161.41 26,917.72
168 2,152.42 2,002.13 150.29 24,915.59
169 2,152.42 2,013.31 139.11 22,902.28
170 2,152.42 2,024.55 127.87 20,877.73
171 2,152.42 2,035.85 116.57 18,841.88
172 2,152.42 2,047.22 105.20 16,794.66
173 2,152.42 2,058.65 93.77 14,736.01
174 2,152.42 2,070.14 82.28 12,665.86
175 2,152.42 2,081.70 70.72 10,584.16
176 2,152.42 2,093.33 59.09 8,490.84
177 2,152.42 2,105.01 47.41 6,385.82
178 2,152.42 2,116.77 35.65 4,269.06
179 2,152.42 2,128.59 23.84 2,140.47
180 2,152.42 2,140.47 11.95 0.00