Mortgage Loan of $493,000 for 15 Years at 3.40%

What's the payment on a 15 year home loan for $493k at 3.40% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $3,500.21
$42,003 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $493k 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 493,000 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 3,500.21 2,103.38 1,396.83 490,896.62
2 3,500.21 2,109.34 1,390.87 488,787.29
3 3,500.21 2,115.31 1,384.90 486,671.97
4 3,500.21 2,121.31 1,378.90 484,550.67
5 3,500.21 2,127.32 1,372.89 482,423.35
6 3,500.21 2,133.34 1,366.87 480,290.00
7 3,500.21 2,139.39 1,360.82 478,150.62
8 3,500.21 2,145.45 1,354.76 476,005.16
9 3,500.21 2,151.53 1,348.68 473,853.64
10 3,500.21 2,157.63 1,342.59 471,696.01
11 3,500.21 2,163.74 1,336.47 469,532.27
12 3,500.21 2,169.87 1,330.34 467,362.40
13 3,500.21 2,176.02 1,324.19 465,186.39
14 3,500.21 2,182.18 1,318.03 463,004.20
15 3,500.21 2,188.37 1,311.85 460,815.84
16 3,500.21 2,194.57 1,305.64 458,621.27
17 3,500.21 2,200.78 1,299.43 456,420.49
18 3,500.21 2,207.02 1,293.19 454,213.47
19 3,500.21 2,213.27 1,286.94 452,000.20
20 3,500.21 2,219.54 1,280.67 449,780.65
21 3,500.21 2,225.83 1,274.38 447,554.82
22 3,500.21 2,232.14 1,268.07 445,322.68
23 3,500.21 2,238.46 1,261.75 443,084.22
24 3,500.21 2,244.81 1,255.41 440,839.41
25 3,500.21 2,251.17 1,249.05 438,588.25
26 3,500.21 2,257.54 1,242.67 436,330.70
27 3,500.21 2,263.94 1,236.27 434,066.76
28 3,500.21 2,270.35 1,229.86 431,796.41
29 3,500.21 2,276.79 1,223.42 429,519.62
30 3,500.21 2,283.24 1,216.97 427,236.38
31 3,500.21 2,289.71 1,210.50 424,946.68
32 3,500.21 2,296.20 1,204.02 422,650.48
33 3,500.21 2,302.70 1,197.51 420,347.78
34 3,500.21 2,309.23 1,190.99 418,038.56
35 3,500.21 2,315.77 1,184.44 415,722.79
36 3,500.21 2,322.33 1,177.88 413,400.46
37 3,500.21 2,328.91 1,171.30 411,071.55
38 3,500.21 2,335.51 1,164.70 408,736.04
39 3,500.21 2,342.13 1,158.09 406,393.92
40 3,500.21 2,348.76 1,151.45 404,045.15
41 3,500.21 2,355.42 1,144.79 401,689.74
42 3,500.21 2,362.09 1,138.12 399,327.65
43 3,500.21 2,368.78 1,131.43 396,958.87
44 3,500.21 2,375.49 1,124.72 394,583.37
45 3,500.21 2,382.22 1,117.99 392,201.15
46 3,500.21 2,388.97 1,111.24 389,812.17
47 3,500.21 2,395.74 1,104.47 387,416.43
48 3,500.21 2,402.53 1,097.68 385,013.90
49 3,500.21 2,409.34 1,090.87 382,604.56
50 3,500.21 2,416.16 1,084.05 380,188.40
51 3,500.21 2,423.01 1,077.20 377,765.39
52 3,500.21 2,429.88 1,070.34 375,335.51
53 3,500.21 2,436.76 1,063.45 372,898.75
54 3,500.21 2,443.66 1,056.55 370,455.09
55 3,500.21 2,450.59 1,049.62 368,004.50
56 3,500.21 2,457.53 1,042.68 365,546.97
57 3,500.21 2,464.49 1,035.72 363,082.48
58 3,500.21 2,471.48 1,028.73 360,611.00
59 3,500.21 2,478.48 1,021.73 358,132.52
60 3,500.21 2,485.50 1,014.71 355,647.02
61 3,500.21 2,492.54 1,007.67 353,154.47
62 3,500.21 2,499.61 1,000.60 350,654.87
63 3,500.21 2,506.69 993.52 348,148.18
64 3,500.21 2,513.79 986.42 345,634.39
65 3,500.21 2,520.91 979.30 343,113.47
66 3,500.21 2,528.06 972.15 340,585.42
67 3,500.21 2,535.22 964.99 338,050.20
68 3,500.21 2,542.40 957.81 335,507.80
69 3,500.21 2,549.61 950.61 332,958.19
70 3,500.21 2,556.83 943.38 330,401.36
71 3,500.21 2,564.07 936.14 327,837.29
72 3,500.21 2,571.34 928.87 325,265.95
73 3,500.21 2,578.62 921.59 322,687.33
74 3,500.21 2,585.93 914.28 320,101.40
75 3,500.21 2,593.26 906.95 317,508.14
76 3,500.21 2,600.60 899.61 314,907.54
77 3,500.21 2,607.97 892.24 312,299.57
78 3,500.21 2,615.36 884.85 309,684.20
79 3,500.21 2,622.77 877.44 307,061.43
80 3,500.21 2,630.20 870.01 304,431.23
81 3,500.21 2,637.66 862.56 301,793.57
82 3,500.21 2,645.13 855.08 299,148.44
83 3,500.21 2,652.62 847.59 296,495.82
84 3,500.21 2,660.14 840.07 293,835.68
85 3,500.21 2,667.68 832.53 291,168.01
86 3,500.21 2,675.23 824.98 288,492.77
87 3,500.21 2,682.81 817.40 285,809.96
88 3,500.21 2,690.42 809.79 283,119.54
89 3,500.21 2,698.04 802.17 280,421.50
90 3,500.21 2,705.68 794.53 277,715.82
91 3,500.21 2,713.35 786.86 275,002.47
92 3,500.21 2,721.04 779.17 272,281.43
93 3,500.21 2,728.75 771.46 269,552.69
94 3,500.21 2,736.48 763.73 266,816.21
95 3,500.21 2,744.23 755.98 264,071.98
96 3,500.21 2,752.01 748.20 261,319.97
97 3,500.21 2,759.80 740.41 258,560.17
98 3,500.21 2,767.62 732.59 255,792.54
99 3,500.21 2,775.47 724.75 253,017.08
100 3,500.21 2,783.33 716.88 250,233.75
101 3,500.21 2,791.21 709.00 247,442.53
102 3,500.21 2,799.12 701.09 244,643.41
103 3,500.21 2,807.05 693.16 241,836.36
104 3,500.21 2,815.01 685.20 239,021.35
105 3,500.21 2,822.98 677.23 236,198.37
106 3,500.21 2,830.98 669.23 233,367.38
107 3,500.21 2,839.00 661.21 230,528.38
108 3,500.21 2,847.05 653.16 227,681.33
109 3,500.21 2,855.11 645.10 224,826.22
110 3,500.21 2,863.20 637.01 221,963.02
111 3,500.21 2,871.32 628.90 219,091.70
112 3,500.21 2,879.45 620.76 216,212.25
113 3,500.21 2,887.61 612.60 213,324.64
114 3,500.21 2,895.79 604.42 210,428.85
115 3,500.21 2,904.00 596.22 207,524.86
116 3,500.21 2,912.22 587.99 204,612.63
117 3,500.21 2,920.47 579.74 201,692.16
118 3,500.21 2,928.75 571.46 198,763.41
119 3,500.21 2,937.05 563.16 195,826.36
120 3,500.21 2,945.37 554.84 192,880.99
121 3,500.21 2,953.71 546.50 189,927.28
122 3,500.21 2,962.08 538.13 186,965.19
123 3,500.21 2,970.48 529.73 183,994.72
124 3,500.21 2,978.89 521.32 181,015.82
125 3,500.21 2,987.33 512.88 178,028.49
126 3,500.21 2,995.80 504.41 175,032.70
127 3,500.21 3,004.28 495.93 172,028.41
128 3,500.21 3,012.80 487.41 169,015.61
129 3,500.21 3,021.33 478.88 165,994.28
130 3,500.21 3,029.89 470.32 162,964.39
131 3,500.21 3,038.48 461.73 159,925.91
132 3,500.21 3,047.09 453.12 156,878.82
133 3,500.21 3,055.72 444.49 153,823.10
134 3,500.21 3,064.38 435.83 150,758.72
135 3,500.21 3,073.06 427.15 147,685.66
136 3,500.21 3,081.77 418.44 144,603.89
137 3,500.21 3,090.50 409.71 141,513.40
138 3,500.21 3,099.26 400.95 138,414.14
139 3,500.21 3,108.04 392.17 135,306.10
140 3,500.21 3,116.84 383.37 132,189.26
141 3,500.21 3,125.67 374.54 129,063.58
142 3,500.21 3,134.53 365.68 125,929.05
143 3,500.21 3,143.41 356.80 122,785.64
144 3,500.21 3,152.32 347.89 119,633.32
145 3,500.21 3,161.25 338.96 116,472.07
146 3,500.21 3,170.21 330.00 113,301.87
147 3,500.21 3,179.19 321.02 110,122.68
148 3,500.21 3,188.20 312.01 106,934.48
149 3,500.21 3,197.23 302.98 103,737.25
150 3,500.21 3,206.29 293.92 100,530.97
151 3,500.21 3,215.37 284.84 97,315.59
152 3,500.21 3,224.48 275.73 94,091.11
153 3,500.21 3,233.62 266.59 90,857.49
154 3,500.21 3,242.78 257.43 87,614.71
155 3,500.21 3,251.97 248.24 84,362.74
156 3,500.21 3,261.18 239.03 81,101.56
157 3,500.21 3,270.42 229.79 77,831.13
158 3,500.21 3,279.69 220.52 74,551.45
159 3,500.21 3,288.98 211.23 71,262.46
160 3,500.21 3,298.30 201.91 67,964.16
161 3,500.21 3,307.65 192.57 64,656.52
162 3,500.21 3,317.02 183.19 61,339.50
163 3,500.21 3,326.42 173.80 58,013.09
164 3,500.21 3,335.84 164.37 54,677.25
165 3,500.21 3,345.29 154.92 51,331.95
166 3,500.21 3,354.77 145.44 47,977.18
167 3,500.21 3,364.28 135.94 44,612.91
168 3,500.21 3,373.81 126.40 41,239.10
169 3,500.21 3,383.37 116.84 37,855.73
170 3,500.21 3,392.95 107.26 34,462.78
171 3,500.21 3,402.57 97.64 31,060.22
172 3,500.21 3,412.21 88.00 27,648.01
173 3,500.21 3,421.87 78.34 24,226.13
174 3,500.21 3,431.57 68.64 20,794.56
175 3,500.21 3,441.29 58.92 17,353.27
176 3,500.21 3,451.04 49.17 13,902.23
177 3,500.21 3,460.82 39.39 10,441.41
178 3,500.21 3,470.63 29.58 6,970.78
179 3,500.21 3,480.46 19.75 3,490.32
180 3,500.21 3,490.32 9.89 0.00