Mortgage Loan of $690,000 for 15 Years at 2.875%

What's the payment on a 15 year home loan for $690k at 2.875% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $4,723.64
$56,684 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $690k 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 690,000 loan for 15 years at 2.875 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 4,723.64 3,070.52 1,653.13 686,929.48
2 4,723.64 3,077.87 1,645.77 683,851.61
3 4,723.64 3,085.25 1,638.39 680,766.36
4 4,723.64 3,092.64 1,631.00 677,673.72
5 4,723.64 3,100.05 1,623.59 674,573.68
6 4,723.64 3,107.48 1,616.17 671,466.20
7 4,723.64 3,114.92 1,608.72 668,351.28
8 4,723.64 3,122.38 1,601.26 665,228.90
9 4,723.64 3,129.86 1,593.78 662,099.03
10 4,723.64 3,137.36 1,586.28 658,961.67
11 4,723.64 3,144.88 1,578.76 655,816.79
12 4,723.64 3,152.41 1,571.23 652,664.38
13 4,723.64 3,159.97 1,563.68 649,504.41
14 4,723.64 3,167.54 1,556.10 646,336.88
15 4,723.64 3,175.13 1,548.52 643,161.75
16 4,723.64 3,182.73 1,540.91 639,979.02
17 4,723.64 3,190.36 1,533.28 636,788.66
18 4,723.64 3,198.00 1,525.64 633,590.66
19 4,723.64 3,205.66 1,517.98 630,384.99
20 4,723.64 3,213.34 1,510.30 627,171.65
21 4,723.64 3,221.04 1,502.60 623,950.60
22 4,723.64 3,228.76 1,494.88 620,721.85
23 4,723.64 3,236.50 1,487.15 617,485.35
24 4,723.64 3,244.25 1,479.39 614,241.10
25 4,723.64 3,252.02 1,471.62 610,989.08
26 4,723.64 3,259.81 1,463.83 607,729.26
27 4,723.64 3,267.62 1,456.02 604,461.64
28 4,723.64 3,275.45 1,448.19 601,186.19
29 4,723.64 3,283.30 1,440.34 597,902.89
30 4,723.64 3,291.17 1,432.48 594,611.72
31 4,723.64 3,299.05 1,424.59 591,312.67
32 4,723.64 3,306.95 1,416.69 588,005.72
33 4,723.64 3,314.88 1,408.76 584,690.84
34 4,723.64 3,322.82 1,400.82 581,368.02
35 4,723.64 3,330.78 1,392.86 578,037.24
36 4,723.64 3,338.76 1,384.88 574,698.48
37 4,723.64 3,346.76 1,376.88 571,351.72
38 4,723.64 3,354.78 1,368.86 567,996.94
39 4,723.64 3,362.82 1,360.83 564,634.13
40 4,723.64 3,370.87 1,352.77 561,263.25
41 4,723.64 3,378.95 1,344.69 557,884.31
42 4,723.64 3,387.04 1,336.60 554,497.26
43 4,723.64 3,395.16 1,328.48 551,102.10
44 4,723.64 3,403.29 1,320.35 547,698.81
45 4,723.64 3,411.45 1,312.20 544,287.36
46 4,723.64 3,419.62 1,304.02 540,867.75
47 4,723.64 3,427.81 1,295.83 537,439.93
48 4,723.64 3,436.02 1,287.62 534,003.91
49 4,723.64 3,444.26 1,279.38 530,559.65
50 4,723.64 3,452.51 1,271.13 527,107.14
51 4,723.64 3,460.78 1,262.86 523,646.36
52 4,723.64 3,469.07 1,254.57 520,177.29
53 4,723.64 3,477.38 1,246.26 516,699.91
54 4,723.64 3,485.71 1,237.93 513,214.19
55 4,723.64 3,494.07 1,229.58 509,720.13
56 4,723.64 3,502.44 1,221.20 506,217.69
57 4,723.64 3,510.83 1,212.81 502,706.86
58 4,723.64 3,519.24 1,204.40 499,187.62
59 4,723.64 3,527.67 1,195.97 495,659.95
60 4,723.64 3,536.12 1,187.52 492,123.83
61 4,723.64 3,544.59 1,179.05 488,579.23
62 4,723.64 3,553.09 1,170.55 485,026.14
63 4,723.64 3,561.60 1,162.04 481,464.54
64 4,723.64 3,570.13 1,153.51 477,894.41
65 4,723.64 3,578.69 1,144.96 474,315.73
66 4,723.64 3,587.26 1,136.38 470,728.47
67 4,723.64 3,595.85 1,127.79 467,132.61
68 4,723.64 3,604.47 1,119.17 463,528.14
69 4,723.64 3,613.11 1,110.54 459,915.04
70 4,723.64 3,621.76 1,101.88 456,293.27
71 4,723.64 3,630.44 1,093.20 452,662.84
72 4,723.64 3,639.14 1,084.50 449,023.70
73 4,723.64 3,647.86 1,075.79 445,375.84
74 4,723.64 3,656.60 1,067.05 441,719.25
75 4,723.64 3,665.36 1,058.29 438,053.89
76 4,723.64 3,674.14 1,049.50 434,379.76
77 4,723.64 3,682.94 1,040.70 430,696.82
78 4,723.64 3,691.76 1,031.88 427,005.05
79 4,723.64 3,700.61 1,023.03 423,304.44
80 4,723.64 3,709.47 1,014.17 419,594.97
81 4,723.64 3,718.36 1,005.28 415,876.61
82 4,723.64 3,727.27 996.37 412,149.34
83 4,723.64 3,736.20 987.44 408,413.14
84 4,723.64 3,745.15 978.49 404,667.98
85 4,723.64 3,754.12 969.52 400,913.86
86 4,723.64 3,763.12 960.52 397,150.74
87 4,723.64 3,772.13 951.51 393,378.61
88 4,723.64 3,781.17 942.47 389,597.44
89 4,723.64 3,790.23 933.41 385,807.20
90 4,723.64 3,799.31 924.33 382,007.89
91 4,723.64 3,808.41 915.23 378,199.48
92 4,723.64 3,817.54 906.10 374,381.94
93 4,723.64 3,826.68 896.96 370,555.25
94 4,723.64 3,835.85 887.79 366,719.40
95 4,723.64 3,845.04 878.60 362,874.36
96 4,723.64 3,854.25 869.39 359,020.10
97 4,723.64 3,863.49 860.15 355,156.62
98 4,723.64 3,872.75 850.90 351,283.87
99 4,723.64 3,882.02 841.62 347,401.85
100 4,723.64 3,891.32 832.32 343,510.52
101 4,723.64 3,900.65 822.99 339,609.87
102 4,723.64 3,909.99 813.65 335,699.88
103 4,723.64 3,919.36 804.28 331,780.52
104 4,723.64 3,928.75 794.89 327,851.77
105 4,723.64 3,938.16 785.48 323,913.61
106 4,723.64 3,947.60 776.04 319,966.01
107 4,723.64 3,957.06 766.59 316,008.95
108 4,723.64 3,966.54 757.10 312,042.42
109 4,723.64 3,976.04 747.60 308,066.38
110 4,723.64 3,985.57 738.08 304,080.81
111 4,723.64 3,995.11 728.53 300,085.70
112 4,723.64 4,004.69 718.96 296,081.01
113 4,723.64 4,014.28 709.36 292,066.73
114 4,723.64 4,023.90 699.74 288,042.83
115 4,723.64 4,033.54 690.10 284,009.29
116 4,723.64 4,043.20 680.44 279,966.09
117 4,723.64 4,052.89 670.75 275,913.20
118 4,723.64 4,062.60 661.04 271,850.60
119 4,723.64 4,072.33 651.31 267,778.27
120 4,723.64 4,082.09 641.55 263,696.18
121 4,723.64 4,091.87 631.77 259,604.31
122 4,723.64 4,101.67 621.97 255,502.64
123 4,723.64 4,111.50 612.14 251,391.14
124 4,723.64 4,121.35 602.29 247,269.79
125 4,723.64 4,131.22 592.42 243,138.56
126 4,723.64 4,141.12 582.52 238,997.44
127 4,723.64 4,151.04 572.60 234,846.40
128 4,723.64 4,160.99 562.65 230,685.41
129 4,723.64 4,170.96 552.68 226,514.45
130 4,723.64 4,180.95 542.69 222,333.50
131 4,723.64 4,190.97 532.67 218,142.53
132 4,723.64 4,201.01 522.63 213,941.52
133 4,723.64 4,211.07 512.57 209,730.45
134 4,723.64 4,221.16 502.48 205,509.29
135 4,723.64 4,231.28 492.37 201,278.01
136 4,723.64 4,241.41 482.23 197,036.60
137 4,723.64 4,251.57 472.07 192,785.02
138 4,723.64 4,261.76 461.88 188,523.26
139 4,723.64 4,271.97 451.67 184,251.29
140 4,723.64 4,282.21 441.44 179,969.09
141 4,723.64 4,292.47 431.18 175,676.62
142 4,723.64 4,302.75 420.89 171,373.87
143 4,723.64 4,313.06 410.58 167,060.81
144 4,723.64 4,323.39 400.25 162,737.42
145 4,723.64 4,333.75 389.89 158,403.67
146 4,723.64 4,344.13 379.51 154,059.54
147 4,723.64 4,354.54 369.10 149,705.00
148 4,723.64 4,364.97 358.67 145,340.03
149 4,723.64 4,375.43 348.21 140,964.59
150 4,723.64 4,385.91 337.73 136,578.68
151 4,723.64 4,396.42 327.22 132,182.26
152 4,723.64 4,406.95 316.69 127,775.30
153 4,723.64 4,417.51 306.13 123,357.79
154 4,723.64 4,428.10 295.54 118,929.69
155 4,723.64 4,438.71 284.94 114,490.99
156 4,723.64 4,449.34 274.30 110,041.65
157 4,723.64 4,460.00 263.64 105,581.65
158 4,723.64 4,470.69 252.96 101,110.96
159 4,723.64 4,481.40 242.25 96,629.57
160 4,723.64 4,492.13 231.51 92,137.43
161 4,723.64 4,502.90 220.75 87,634.54
162 4,723.64 4,513.68 209.96 83,120.85
163 4,723.64 4,524.50 199.14 78,596.36
164 4,723.64 4,535.34 188.30 74,061.02
165 4,723.64 4,546.20 177.44 69,514.82
166 4,723.64 4,557.10 166.55 64,957.72
167 4,723.64 4,568.01 155.63 60,389.71
168 4,723.64 4,578.96 144.68 55,810.75
169 4,723.64 4,589.93 133.71 51,220.82
170 4,723.64 4,600.92 122.72 46,619.90
171 4,723.64 4,611.95 111.69 42,007.95
172 4,723.64 4,623.00 100.64 37,384.95
173 4,723.64 4,634.07 89.57 32,750.88
174 4,723.64 4,645.18 78.47 28,105.70
175 4,723.64 4,656.30 67.34 23,449.40
176 4,723.64 4,667.46 56.18 18,781.94
177 4,723.64 4,678.64 45.00 14,103.29
178 4,723.64 4,689.85 33.79 9,413.44
179 4,723.64 4,701.09 22.55 4,712.35
180 4,723.64 4,712.35 11.29 0.00