Mortgage Loan of $388,000 for 15 Years at 6.125%

What's the payment on a 15 year home loan for $388k at 6.125% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $3,300.42
$39,605 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $388k 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 388,000 loan for 15 years at 6.125 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 3,300.42 1,320.01 1,980.42 386,679.99
2 3,300.42 1,326.75 1,973.68 385,353.25
3 3,300.42 1,333.52 1,966.91 384,019.73
4 3,300.42 1,340.32 1,960.10 382,679.40
5 3,300.42 1,347.17 1,953.26 381,332.24
6 3,300.42 1,354.04 1,946.38 379,978.20
7 3,300.42 1,360.95 1,939.47 378,617.24
8 3,300.42 1,367.90 1,932.53 377,249.34
9 3,300.42 1,374.88 1,925.54 375,874.46
10 3,300.42 1,381.90 1,918.53 374,492.56
11 3,300.42 1,388.95 1,911.47 373,103.61
12 3,300.42 1,396.04 1,904.38 371,707.57
13 3,300.42 1,403.17 1,897.26 370,304.40
14 3,300.42 1,410.33 1,890.10 368,894.07
15 3,300.42 1,417.53 1,882.90 367,476.54
16 3,300.42 1,424.76 1,875.66 366,051.78
17 3,300.42 1,432.04 1,868.39 364,619.75
18 3,300.42 1,439.34 1,861.08 363,180.40
19 3,300.42 1,446.69 1,853.73 361,733.71
20 3,300.42 1,454.08 1,846.35 360,279.63
21 3,300.42 1,461.50 1,838.93 358,818.14
22 3,300.42 1,468.96 1,831.47 357,349.18
23 3,300.42 1,476.46 1,823.97 355,872.72
24 3,300.42 1,483.99 1,816.43 354,388.73
25 3,300.42 1,491.57 1,808.86 352,897.17
26 3,300.42 1,499.18 1,801.25 351,397.99
27 3,300.42 1,506.83 1,793.59 349,891.16
28 3,300.42 1,514.52 1,785.90 348,376.63
29 3,300.42 1,522.25 1,778.17 346,854.38
30 3,300.42 1,530.02 1,770.40 345,324.36
31 3,300.42 1,537.83 1,762.59 343,786.53
32 3,300.42 1,545.68 1,754.74 342,240.85
33 3,300.42 1,553.57 1,746.85 340,687.27
34 3,300.42 1,561.50 1,738.92 339,125.77
35 3,300.42 1,569.47 1,730.95 337,556.30
36 3,300.42 1,577.48 1,722.94 335,978.82
37 3,300.42 1,585.53 1,714.89 334,393.29
38 3,300.42 1,593.63 1,706.80 332,799.66
39 3,300.42 1,601.76 1,698.66 331,197.90
40 3,300.42 1,609.94 1,690.49 329,587.97
41 3,300.42 1,618.15 1,682.27 327,969.81
42 3,300.42 1,626.41 1,674.01 326,343.40
43 3,300.42 1,634.71 1,665.71 324,708.69
44 3,300.42 1,643.06 1,657.37 323,065.63
45 3,300.42 1,651.44 1,648.98 321,414.19
46 3,300.42 1,659.87 1,640.55 319,754.31
47 3,300.42 1,668.35 1,632.08 318,085.97
48 3,300.42 1,676.86 1,623.56 316,409.11
49 3,300.42 1,685.42 1,615.00 314,723.69
50 3,300.42 1,694.02 1,606.40 313,029.66
51 3,300.42 1,702.67 1,597.76 311,326.99
52 3,300.42 1,711.36 1,589.06 309,615.63
53 3,300.42 1,720.10 1,580.33 307,895.54
54 3,300.42 1,728.87 1,571.55 306,166.66
55 3,300.42 1,737.70 1,562.73 304,428.97
56 3,300.42 1,746.57 1,553.86 302,682.40
57 3,300.42 1,755.48 1,544.94 300,926.91
58 3,300.42 1,764.44 1,535.98 299,162.47
59 3,300.42 1,773.45 1,526.98 297,389.02
60 3,300.42 1,782.50 1,517.92 295,606.52
61 3,300.42 1,791.60 1,508.82 293,814.92
62 3,300.42 1,800.74 1,499.68 292,014.17
63 3,300.42 1,809.94 1,490.49 290,204.24
64 3,300.42 1,819.17 1,481.25 288,385.06
65 3,300.42 1,828.46 1,471.97 286,556.60
66 3,300.42 1,837.79 1,462.63 284,718.81
67 3,300.42 1,847.17 1,453.25 282,871.64
68 3,300.42 1,856.60 1,443.82 281,015.04
69 3,300.42 1,866.08 1,434.35 279,148.96
70 3,300.42 1,875.60 1,424.82 277,273.36
71 3,300.42 1,885.18 1,415.25 275,388.18
72 3,300.42 1,894.80 1,405.63 273,493.38
73 3,300.42 1,904.47 1,395.96 271,588.92
74 3,300.42 1,914.19 1,386.24 269,674.73
75 3,300.42 1,923.96 1,376.46 267,750.77
76 3,300.42 1,933.78 1,366.64 265,816.98
77 3,300.42 1,943.65 1,356.77 263,873.33
78 3,300.42 1,953.57 1,346.85 261,919.76
79 3,300.42 1,963.54 1,336.88 259,956.22
80 3,300.42 1,973.57 1,326.86 257,982.65
81 3,300.42 1,983.64 1,316.79 255,999.02
82 3,300.42 1,993.76 1,306.66 254,005.25
83 3,300.42 2,003.94 1,296.49 252,001.31
84 3,300.42 2,014.17 1,286.26 249,987.14
85 3,300.42 2,024.45 1,275.98 247,962.70
86 3,300.42 2,034.78 1,265.64 245,927.91
87 3,300.42 2,045.17 1,255.26 243,882.75
88 3,300.42 2,055.61 1,244.82 241,827.14
89 3,300.42 2,066.10 1,234.33 239,761.04
90 3,300.42 2,076.64 1,223.78 237,684.40
91 3,300.42 2,087.24 1,213.18 235,597.15
92 3,300.42 2,097.90 1,202.53 233,499.25
93 3,300.42 2,108.61 1,191.82 231,390.65
94 3,300.42 2,119.37 1,181.06 229,271.28
95 3,300.42 2,130.19 1,170.24 227,141.09
96 3,300.42 2,141.06 1,159.37 225,000.03
97 3,300.42 2,151.99 1,148.44 222,848.05
98 3,300.42 2,162.97 1,137.45 220,685.08
99 3,300.42 2,174.01 1,126.41 218,511.06
100 3,300.42 2,185.11 1,115.32 216,325.96
101 3,300.42 2,196.26 1,104.16 214,129.69
102 3,300.42 2,207.47 1,092.95 211,922.22
103 3,300.42 2,218.74 1,081.69 209,703.48
104 3,300.42 2,230.06 1,070.36 207,473.42
105 3,300.42 2,241.45 1,058.98 205,231.98
106 3,300.42 2,252.89 1,047.54 202,979.09
107 3,300.42 2,264.39 1,036.04 200,714.70
108 3,300.42 2,275.94 1,024.48 198,438.76
109 3,300.42 2,287.56 1,012.86 196,151.20
110 3,300.42 2,299.24 1,001.19 193,851.96
111 3,300.42 2,310.97 989.45 191,540.99
112 3,300.42 2,322.77 977.66 189,218.22
113 3,300.42 2,334.62 965.80 186,883.60
114 3,300.42 2,346.54 953.89 184,537.06
115 3,300.42 2,358.52 941.91 182,178.54
116 3,300.42 2,370.56 929.87 179,807.99
117 3,300.42 2,382.66 917.77 177,425.33
118 3,300.42 2,394.82 905.61 175,030.51
119 3,300.42 2,407.04 893.38 172,623.47
120 3,300.42 2,419.33 881.10 170,204.15
121 3,300.42 2,431.67 868.75 167,772.47
122 3,300.42 2,444.09 856.34 165,328.39
123 3,300.42 2,456.56 843.86 162,871.83
124 3,300.42 2,469.10 831.32 160,402.73
125 3,300.42 2,481.70 818.72 157,921.02
126 3,300.42 2,494.37 806.06 155,426.65
127 3,300.42 2,507.10 793.32 152,919.55
128 3,300.42 2,519.90 780.53 150,399.65
129 3,300.42 2,532.76 767.66 147,866.89
130 3,300.42 2,545.69 754.74 145,321.21
131 3,300.42 2,558.68 741.74 142,762.53
132 3,300.42 2,571.74 728.68 140,190.78
133 3,300.42 2,584.87 715.56 137,605.92
134 3,300.42 2,598.06 702.36 135,007.86
135 3,300.42 2,611.32 689.10 132,396.53
136 3,300.42 2,624.65 675.77 129,771.88
137 3,300.42 2,638.05 662.38 127,133.83
138 3,300.42 2,651.51 648.91 124,482.32
139 3,300.42 2,665.05 635.38 121,817.27
140 3,300.42 2,678.65 621.78 119,138.63
141 3,300.42 2,692.32 608.10 116,446.30
142 3,300.42 2,706.06 594.36 113,740.24
143 3,300.42 2,719.88 580.55 111,020.36
144 3,300.42 2,733.76 566.67 108,286.61
145 3,300.42 2,747.71 552.71 105,538.89
146 3,300.42 2,761.74 538.69 102,777.16
147 3,300.42 2,775.83 524.59 100,001.32
148 3,300.42 2,790.00 510.42 97,211.32
149 3,300.42 2,804.24 496.18 94,407.08
150 3,300.42 2,818.56 481.87 91,588.52
151 3,300.42 2,832.94 467.48 88,755.58
152 3,300.42 2,847.40 453.02 85,908.18
153 3,300.42 2,861.94 438.49 83,046.25
154 3,300.42 2,876.54 423.88 80,169.70
155 3,300.42 2,891.23 409.20 77,278.48
156 3,300.42 2,905.98 394.44 74,372.49
157 3,300.42 2,920.82 379.61 71,451.68
158 3,300.42 2,935.72 364.70 68,515.96
159 3,300.42 2,950.71 349.72 65,565.25
160 3,300.42 2,965.77 334.66 62,599.48
161 3,300.42 2,980.91 319.52 59,618.57
162 3,300.42 2,996.12 304.30 56,622.45
163 3,300.42 3,011.41 289.01 53,611.04
164 3,300.42 3,026.79 273.64 50,584.25
165 3,300.42 3,042.23 258.19 47,542.02
166 3,300.42 3,057.76 242.66 44,484.25
167 3,300.42 3,073.37 227.06 41,410.88
168 3,300.42 3,089.06 211.37 38,321.83
169 3,300.42 3,104.82 195.60 35,217.00
170 3,300.42 3,120.67 179.75 32,096.33
171 3,300.42 3,136.60 163.83 28,959.73
172 3,300.42 3,152.61 147.82 25,807.12
173 3,300.42 3,168.70 131.72 22,638.42
174 3,300.42 3,184.87 115.55 19,453.55
175 3,300.42 3,201.13 99.29 16,252.41
176 3,300.42 3,217.47 82.96 13,034.95
177 3,300.42 3,233.89 66.53 9,801.05
178 3,300.42 3,250.40 50.03 6,550.65
179 3,300.42 3,266.99 33.44 3,283.66
180 3,300.42 3,283.66 16.76 0.00