Mortgage Loan of $338,000 for 15 Years at 6.90%

What's the payment on a 15 year home loan for $338k at 6.90% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $3,019.17
$36,230 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $338k 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 338,000 loan for 15 years at 6.90 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 3,019.17 1,075.67 1,943.50 336,924.33
2 3,019.17 1,081.86 1,937.31 335,842.47
3 3,019.17 1,088.08 1,931.09 334,754.39
4 3,019.17 1,094.34 1,924.84 333,660.05
5 3,019.17 1,100.63 1,918.55 332,559.42
6 3,019.17 1,106.96 1,912.22 331,452.46
7 3,019.17 1,113.32 1,905.85 330,339.14
8 3,019.17 1,119.72 1,899.45 329,219.42
9 3,019.17 1,126.16 1,893.01 328,093.25
10 3,019.17 1,132.64 1,886.54 326,960.62
11 3,019.17 1,139.15 1,880.02 325,821.47
12 3,019.17 1,145.70 1,873.47 324,675.77
13 3,019.17 1,152.29 1,866.89 323,523.48
14 3,019.17 1,158.91 1,860.26 322,364.56
15 3,019.17 1,165.58 1,853.60 321,198.98
16 3,019.17 1,172.28 1,846.89 320,026.70
17 3,019.17 1,179.02 1,840.15 318,847.68
18 3,019.17 1,185.80 1,833.37 317,661.88
19 3,019.17 1,192.62 1,826.56 316,469.27
20 3,019.17 1,199.48 1,819.70 315,269.79
21 3,019.17 1,206.37 1,812.80 314,063.42
22 3,019.17 1,213.31 1,805.86 312,850.11
23 3,019.17 1,220.29 1,798.89 311,629.82
24 3,019.17 1,227.30 1,791.87 310,402.52
25 3,019.17 1,234.36 1,784.81 309,168.16
26 3,019.17 1,241.46 1,777.72 307,926.70
27 3,019.17 1,248.60 1,770.58 306,678.11
28 3,019.17 1,255.78 1,763.40 305,422.33
29 3,019.17 1,263.00 1,756.18 304,159.33
30 3,019.17 1,270.26 1,748.92 302,889.08
31 3,019.17 1,277.56 1,741.61 301,611.51
32 3,019.17 1,284.91 1,734.27 300,326.61
33 3,019.17 1,292.30 1,726.88 299,034.31
34 3,019.17 1,299.73 1,719.45 297,734.58
35 3,019.17 1,307.20 1,711.97 296,427.38
36 3,019.17 1,314.72 1,704.46 295,112.67
37 3,019.17 1,322.28 1,696.90 293,790.39
38 3,019.17 1,329.88 1,689.29 292,460.51
39 3,019.17 1,337.53 1,681.65 291,122.98
40 3,019.17 1,345.22 1,673.96 289,777.77
41 3,019.17 1,352.95 1,666.22 288,424.82
42 3,019.17 1,360.73 1,658.44 287,064.08
43 3,019.17 1,368.56 1,650.62 285,695.53
44 3,019.17 1,376.42 1,642.75 284,319.10
45 3,019.17 1,384.34 1,634.83 282,934.76
46 3,019.17 1,392.30 1,626.87 281,542.46
47 3,019.17 1,400.31 1,618.87 280,142.16
48 3,019.17 1,408.36 1,610.82 278,733.80
49 3,019.17 1,416.45 1,602.72 277,317.35
50 3,019.17 1,424.60 1,594.57 275,892.75
51 3,019.17 1,432.79 1,586.38 274,459.96
52 3,019.17 1,441.03 1,578.14 273,018.93
53 3,019.17 1,449.32 1,569.86 271,569.61
54 3,019.17 1,457.65 1,561.53 270,111.96
55 3,019.17 1,466.03 1,553.14 268,645.93
56 3,019.17 1,474.46 1,544.71 267,171.47
57 3,019.17 1,482.94 1,536.24 265,688.54
58 3,019.17 1,491.47 1,527.71 264,197.07
59 3,019.17 1,500.04 1,519.13 262,697.03
60 3,019.17 1,508.67 1,510.51 261,188.36
61 3,019.17 1,517.34 1,501.83 259,671.02
62 3,019.17 1,526.07 1,493.11 258,144.96
63 3,019.17 1,534.84 1,484.33 256,610.12
64 3,019.17 1,543.67 1,475.51 255,066.45
65 3,019.17 1,552.54 1,466.63 253,513.91
66 3,019.17 1,561.47 1,457.70 251,952.44
67 3,019.17 1,570.45 1,448.73 250,381.99
68 3,019.17 1,579.48 1,439.70 248,802.51
69 3,019.17 1,588.56 1,430.61 247,213.95
70 3,019.17 1,597.69 1,421.48 245,616.26
71 3,019.17 1,606.88 1,412.29 244,009.38
72 3,019.17 1,616.12 1,403.05 242,393.26
73 3,019.17 1,625.41 1,393.76 240,767.85
74 3,019.17 1,634.76 1,384.42 239,133.09
75 3,019.17 1,644.16 1,375.02 237,488.93
76 3,019.17 1,653.61 1,365.56 235,835.31
77 3,019.17 1,663.12 1,356.05 234,172.19
78 3,019.17 1,672.68 1,346.49 232,499.51
79 3,019.17 1,682.30 1,336.87 230,817.21
80 3,019.17 1,691.98 1,327.20 229,125.23
81 3,019.17 1,701.70 1,317.47 227,423.53
82 3,019.17 1,711.49 1,307.69 225,712.04
83 3,019.17 1,721.33 1,297.84 223,990.71
84 3,019.17 1,731.23 1,287.95 222,259.48
85 3,019.17 1,741.18 1,277.99 220,518.30
86 3,019.17 1,751.19 1,267.98 218,767.11
87 3,019.17 1,761.26 1,257.91 217,005.84
88 3,019.17 1,771.39 1,247.78 215,234.45
89 3,019.17 1,781.58 1,237.60 213,452.88
90 3,019.17 1,791.82 1,227.35 211,661.06
91 3,019.17 1,802.12 1,217.05 209,858.93
92 3,019.17 1,812.49 1,206.69 208,046.45
93 3,019.17 1,822.91 1,196.27 206,223.54
94 3,019.17 1,833.39 1,185.79 204,390.15
95 3,019.17 1,843.93 1,175.24 202,546.22
96 3,019.17 1,854.53 1,164.64 200,691.69
97 3,019.17 1,865.20 1,153.98 198,826.49
98 3,019.17 1,875.92 1,143.25 196,950.57
99 3,019.17 1,886.71 1,132.47 195,063.86
100 3,019.17 1,897.56 1,121.62 193,166.30
101 3,019.17 1,908.47 1,110.71 191,257.83
102 3,019.17 1,919.44 1,099.73 189,338.39
103 3,019.17 1,930.48 1,088.70 187,407.91
104 3,019.17 1,941.58 1,077.60 185,466.34
105 3,019.17 1,952.74 1,066.43 183,513.59
106 3,019.17 1,963.97 1,055.20 181,549.62
107 3,019.17 1,975.26 1,043.91 179,574.36
108 3,019.17 1,986.62 1,032.55 177,587.74
109 3,019.17 1,998.04 1,021.13 175,589.69
110 3,019.17 2,009.53 1,009.64 173,580.16
111 3,019.17 2,021.09 998.09 171,559.07
112 3,019.17 2,032.71 986.46 169,526.36
113 3,019.17 2,044.40 974.78 167,481.96
114 3,019.17 2,056.15 963.02 165,425.81
115 3,019.17 2,067.98 951.20 163,357.83
116 3,019.17 2,079.87 939.31 161,277.97
117 3,019.17 2,091.83 927.35 159,186.14
118 3,019.17 2,103.85 915.32 157,082.29
119 3,019.17 2,115.95 903.22 154,966.34
120 3,019.17 2,128.12 891.06 152,838.22
121 3,019.17 2,140.35 878.82 150,697.86
122 3,019.17 2,152.66 866.51 148,545.20
123 3,019.17 2,165.04 854.13 146,380.16
124 3,019.17 2,177.49 841.69 144,202.68
125 3,019.17 2,190.01 829.17 142,012.67
126 3,019.17 2,202.60 816.57 139,810.07
127 3,019.17 2,215.27 803.91 137,594.80
128 3,019.17 2,228.00 791.17 135,366.80
129 3,019.17 2,240.82 778.36 133,125.98
130 3,019.17 2,253.70 765.47 130,872.28
131 3,019.17 2,266.66 752.52 128,605.62
132 3,019.17 2,279.69 739.48 126,325.93
133 3,019.17 2,292.80 726.37 124,033.13
134 3,019.17 2,305.98 713.19 121,727.15
135 3,019.17 2,319.24 699.93 119,407.90
136 3,019.17 2,332.58 686.60 117,075.32
137 3,019.17 2,345.99 673.18 114,729.33
138 3,019.17 2,359.48 659.69 112,369.85
139 3,019.17 2,373.05 646.13 109,996.81
140 3,019.17 2,386.69 632.48 107,610.11
141 3,019.17 2,400.42 618.76 105,209.70
142 3,019.17 2,414.22 604.96 102,795.48
143 3,019.17 2,428.10 591.07 100,367.38
144 3,019.17 2,442.06 577.11 97,925.32
145 3,019.17 2,456.10 563.07 95,469.21
146 3,019.17 2,470.23 548.95 92,998.99
147 3,019.17 2,484.43 534.74 90,514.56
148 3,019.17 2,498.72 520.46 88,015.84
149 3,019.17 2,513.08 506.09 85,502.76
150 3,019.17 2,527.53 491.64 82,975.22
151 3,019.17 2,542.07 477.11 80,433.16
152 3,019.17 2,556.68 462.49 77,876.47
153 3,019.17 2,571.38 447.79 75,305.09
154 3,019.17 2,586.17 433.00 72,718.92
155 3,019.17 2,601.04 418.13 70,117.88
156 3,019.17 2,616.00 403.18 67,501.88
157 3,019.17 2,631.04 388.14 64,870.84
158 3,019.17 2,646.17 373.01 62,224.68
159 3,019.17 2,661.38 357.79 59,563.30
160 3,019.17 2,676.69 342.49 56,886.61
161 3,019.17 2,692.08 327.10 54,194.53
162 3,019.17 2,707.56 311.62 51,486.98
163 3,019.17 2,723.12 296.05 48,763.85
164 3,019.17 2,738.78 280.39 46,025.07
165 3,019.17 2,754.53 264.64 43,270.54
166 3,019.17 2,770.37 248.81 40,500.17
167 3,019.17 2,786.30 232.88 37,713.88
168 3,019.17 2,802.32 216.85 34,911.56
169 3,019.17 2,818.43 200.74 32,093.12
170 3,019.17 2,834.64 184.54 29,258.48
171 3,019.17 2,850.94 168.24 26,407.55
172 3,019.17 2,867.33 151.84 23,540.22
173 3,019.17 2,883.82 135.36 20,656.40
174 3,019.17 2,900.40 118.77 17,756.00
175 3,019.17 2,917.08 102.10 14,838.92
176 3,019.17 2,933.85 85.32 11,905.07
177 3,019.17 2,950.72 68.45 8,954.35
178 3,019.17 2,967.69 51.49 5,986.66
179 3,019.17 2,984.75 34.42 3,001.91
180 3,019.17 3,001.91 17.26 0.00