Mortgage Loan of $491,000 for 15 Years at 3.40%

What's the payment on a 15 year home loan for $491k at 3.40% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $3,486.01
$41,832 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $491k 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 491,000 loan for 15 years at 3.40 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 3,486.01 2,094.84 1,391.17 488,905.16
2 3,486.01 2,100.78 1,385.23 486,804.38
3 3,486.01 2,106.73 1,379.28 484,697.64
4 3,486.01 2,112.70 1,373.31 482,584.94
5 3,486.01 2,118.69 1,367.32 480,466.26
6 3,486.01 2,124.69 1,361.32 478,341.57
7 3,486.01 2,130.71 1,355.30 476,210.86
8 3,486.01 2,136.75 1,349.26 474,074.11
9 3,486.01 2,142.80 1,343.21 471,931.31
10 3,486.01 2,148.87 1,337.14 469,782.44
11 3,486.01 2,154.96 1,331.05 467,627.48
12 3,486.01 2,161.07 1,324.94 465,466.41
13 3,486.01 2,167.19 1,318.82 463,299.22
14 3,486.01 2,173.33 1,312.68 461,125.89
15 3,486.01 2,179.49 1,306.52 458,946.40
16 3,486.01 2,185.66 1,300.35 456,760.74
17 3,486.01 2,191.86 1,294.16 454,568.88
18 3,486.01 2,198.07 1,287.95 452,370.82
19 3,486.01 2,204.29 1,281.72 450,166.52
20 3,486.01 2,210.54 1,275.47 447,955.99
21 3,486.01 2,216.80 1,269.21 445,739.18
22 3,486.01 2,223.08 1,262.93 443,516.10
23 3,486.01 2,229.38 1,256.63 441,286.72
24 3,486.01 2,235.70 1,250.31 439,051.02
25 3,486.01 2,242.03 1,243.98 436,808.99
26 3,486.01 2,248.39 1,237.63 434,560.60
27 3,486.01 2,254.76 1,231.26 432,305.84
28 3,486.01 2,261.14 1,224.87 430,044.70
29 3,486.01 2,267.55 1,218.46 427,777.15
30 3,486.01 2,273.98 1,212.04 425,503.17
31 3,486.01 2,280.42 1,205.59 423,222.75
32 3,486.01 2,286.88 1,199.13 420,935.87
33 3,486.01 2,293.36 1,192.65 418,642.52
34 3,486.01 2,299.86 1,186.15 416,342.66
35 3,486.01 2,306.37 1,179.64 414,036.28
36 3,486.01 2,312.91 1,173.10 411,723.38
37 3,486.01 2,319.46 1,166.55 409,403.92
38 3,486.01 2,326.03 1,159.98 407,077.88
39 3,486.01 2,332.62 1,153.39 404,745.26
40 3,486.01 2,339.23 1,146.78 402,406.03
41 3,486.01 2,345.86 1,140.15 400,060.17
42 3,486.01 2,352.51 1,133.50 397,707.66
43 3,486.01 2,359.17 1,126.84 395,348.49
44 3,486.01 2,365.86 1,120.15 392,982.63
45 3,486.01 2,372.56 1,113.45 390,610.07
46 3,486.01 2,379.28 1,106.73 388,230.79
47 3,486.01 2,386.02 1,099.99 385,844.76
48 3,486.01 2,392.78 1,093.23 383,451.98
49 3,486.01 2,399.56 1,086.45 381,052.41
50 3,486.01 2,406.36 1,079.65 378,646.05
51 3,486.01 2,413.18 1,072.83 376,232.87
52 3,486.01 2,420.02 1,065.99 373,812.85
53 3,486.01 2,426.87 1,059.14 371,385.98
54 3,486.01 2,433.75 1,052.26 368,952.23
55 3,486.01 2,440.65 1,045.36 366,511.58
56 3,486.01 2,447.56 1,038.45 364,064.02
57 3,486.01 2,454.50 1,031.51 361,609.52
58 3,486.01 2,461.45 1,024.56 359,148.07
59 3,486.01 2,468.42 1,017.59 356,679.65
60 3,486.01 2,475.42 1,010.59 354,204.23
61 3,486.01 2,482.43 1,003.58 351,721.80
62 3,486.01 2,489.47 996.55 349,232.33
63 3,486.01 2,496.52 989.49 346,735.81
64 3,486.01 2,503.59 982.42 344,232.22
65 3,486.01 2,510.69 975.32 341,721.53
66 3,486.01 2,517.80 968.21 339,203.73
67 3,486.01 2,524.93 961.08 336,678.80
68 3,486.01 2,532.09 953.92 334,146.71
69 3,486.01 2,539.26 946.75 331,607.45
70 3,486.01 2,546.46 939.55 329,060.99
71 3,486.01 2,553.67 932.34 326,507.32
72 3,486.01 2,560.91 925.10 323,946.42
73 3,486.01 2,568.16 917.85 321,378.25
74 3,486.01 2,575.44 910.57 318,802.81
75 3,486.01 2,582.74 903.27 316,220.08
76 3,486.01 2,590.05 895.96 313,630.02
77 3,486.01 2,597.39 888.62 311,032.63
78 3,486.01 2,604.75 881.26 308,427.88
79 3,486.01 2,612.13 873.88 305,815.75
80 3,486.01 2,619.53 866.48 303,196.21
81 3,486.01 2,626.96 859.06 300,569.26
82 3,486.01 2,634.40 851.61 297,934.86
83 3,486.01 2,641.86 844.15 295,293.00
84 3,486.01 2,649.35 836.66 292,643.65
85 3,486.01 2,656.85 829.16 289,986.80
86 3,486.01 2,664.38 821.63 287,322.41
87 3,486.01 2,671.93 814.08 284,650.48
88 3,486.01 2,679.50 806.51 281,970.98
89 3,486.01 2,687.09 798.92 279,283.89
90 3,486.01 2,694.71 791.30 276,589.18
91 3,486.01 2,702.34 783.67 273,886.84
92 3,486.01 2,710.00 776.01 271,176.84
93 3,486.01 2,717.68 768.33 268,459.17
94 3,486.01 2,725.38 760.63 265,733.79
95 3,486.01 2,733.10 752.91 263,000.69
96 3,486.01 2,740.84 745.17 260,259.85
97 3,486.01 2,748.61 737.40 257,511.24
98 3,486.01 2,756.40 729.62 254,754.85
99 3,486.01 2,764.21 721.81 251,990.64
100 3,486.01 2,772.04 713.97 249,218.60
101 3,486.01 2,779.89 706.12 246,438.71
102 3,486.01 2,787.77 698.24 243,650.94
103 3,486.01 2,795.67 690.34 240,855.28
104 3,486.01 2,803.59 682.42 238,051.69
105 3,486.01 2,811.53 674.48 235,240.16
106 3,486.01 2,819.50 666.51 232,420.66
107 3,486.01 2,827.49 658.53 229,593.17
108 3,486.01 2,835.50 650.51 226,757.68
109 3,486.01 2,843.53 642.48 223,914.15
110 3,486.01 2,851.59 634.42 221,062.56
111 3,486.01 2,859.67 626.34 218,202.89
112 3,486.01 2,867.77 618.24 215,335.12
113 3,486.01 2,875.89 610.12 212,459.23
114 3,486.01 2,884.04 601.97 209,575.18
115 3,486.01 2,892.21 593.80 206,682.97
116 3,486.01 2,900.41 585.60 203,782.56
117 3,486.01 2,908.63 577.38 200,873.93
118 3,486.01 2,916.87 569.14 197,957.07
119 3,486.01 2,925.13 560.88 195,031.93
120 3,486.01 2,933.42 552.59 192,098.51
121 3,486.01 2,941.73 544.28 189,156.78
122 3,486.01 2,950.07 535.94 186,206.71
123 3,486.01 2,958.43 527.59 183,248.29
124 3,486.01 2,966.81 519.20 180,281.48
125 3,486.01 2,975.21 510.80 177,306.27
126 3,486.01 2,983.64 502.37 174,322.62
127 3,486.01 2,992.10 493.91 171,330.53
128 3,486.01 3,000.57 485.44 168,329.95
129 3,486.01 3,009.08 476.93 165,320.88
130 3,486.01 3,017.60 468.41 162,303.27
131 3,486.01 3,026.15 459.86 159,277.12
132 3,486.01 3,034.73 451.29 156,242.40
133 3,486.01 3,043.32 442.69 153,199.07
134 3,486.01 3,051.95 434.06 150,147.13
135 3,486.01 3,060.59 425.42 147,086.53
136 3,486.01 3,069.27 416.75 144,017.27
137 3,486.01 3,077.96 408.05 140,939.30
138 3,486.01 3,086.68 399.33 137,852.62
139 3,486.01 3,095.43 390.58 134,757.19
140 3,486.01 3,104.20 381.81 131,652.99
141 3,486.01 3,112.99 373.02 128,540.00
142 3,486.01 3,121.81 364.20 125,418.19
143 3,486.01 3,130.66 355.35 122,287.53
144 3,486.01 3,139.53 346.48 119,148.00
145 3,486.01 3,148.42 337.59 115,999.57
146 3,486.01 3,157.35 328.67 112,842.23
147 3,486.01 3,166.29 319.72 109,675.93
148 3,486.01 3,175.26 310.75 106,500.67
149 3,486.01 3,184.26 301.75 103,316.41
150 3,486.01 3,193.28 292.73 100,123.13
151 3,486.01 3,202.33 283.68 96,920.80
152 3,486.01 3,211.40 274.61 93,709.40
153 3,486.01 3,220.50 265.51 90,488.90
154 3,486.01 3,229.63 256.39 87,259.27
155 3,486.01 3,238.78 247.23 84,020.50
156 3,486.01 3,247.95 238.06 80,772.54
157 3,486.01 3,257.16 228.86 77,515.39
158 3,486.01 3,266.38 219.63 74,249.01
159 3,486.01 3,275.64 210.37 70,973.37
160 3,486.01 3,284.92 201.09 67,688.45
161 3,486.01 3,294.23 191.78 64,394.22
162 3,486.01 3,303.56 182.45 61,090.66
163 3,486.01 3,312.92 173.09 57,777.74
164 3,486.01 3,322.31 163.70 54,455.43
165 3,486.01 3,331.72 154.29 51,123.71
166 3,486.01 3,341.16 144.85 47,782.55
167 3,486.01 3,350.63 135.38 44,431.92
168 3,486.01 3,360.12 125.89 41,071.80
169 3,486.01 3,369.64 116.37 37,702.16
170 3,486.01 3,379.19 106.82 34,322.97
171 3,486.01 3,388.76 97.25 30,934.21
172 3,486.01 3,398.36 87.65 27,535.85
173 3,486.01 3,407.99 78.02 24,127.85
174 3,486.01 3,417.65 68.36 20,710.21
175 3,486.01 3,427.33 58.68 17,282.87
176 3,486.01 3,437.04 48.97 13,845.83
177 3,486.01 3,446.78 39.23 10,399.05
178 3,486.01 3,456.55 29.46 6,942.50
179 3,486.01 3,466.34 19.67 3,476.16
180 3,486.01 3,476.16 9.85 0.00