Mortgage Loan of $690,000 for 15 Years at 3.70%

What's the payment on a 15 year home loan for $690k at 3.70% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $5,000.74
$60,009 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 3.70 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 5,000.74 2,873.24 2,127.50 687,126.76
2 5,000.74 2,882.10 2,118.64 684,244.67
3 5,000.74 2,890.98 2,109.75 681,353.69
4 5,000.74 2,899.90 2,100.84 678,453.79
5 5,000.74 2,908.84 2,091.90 675,544.95
6 5,000.74 2,917.81 2,082.93 672,627.15
7 5,000.74 2,926.80 2,073.93 669,700.34
8 5,000.74 2,935.83 2,064.91 666,764.52
9 5,000.74 2,944.88 2,055.86 663,819.64
10 5,000.74 2,953.96 2,046.78 660,865.68
11 5,000.74 2,963.07 2,037.67 657,902.61
12 5,000.74 2,972.20 2,028.53 654,930.41
13 5,000.74 2,981.37 2,019.37 651,949.04
14 5,000.74 2,990.56 2,010.18 648,958.48
15 5,000.74 2,999.78 2,000.96 645,958.70
16 5,000.74 3,009.03 1,991.71 642,949.67
17 5,000.74 3,018.31 1,982.43 639,931.36
18 5,000.74 3,027.61 1,973.12 636,903.75
19 5,000.74 3,036.95 1,963.79 633,866.80
20 5,000.74 3,046.31 1,954.42 630,820.48
21 5,000.74 3,055.71 1,945.03 627,764.78
22 5,000.74 3,065.13 1,935.61 624,699.65
23 5,000.74 3,074.58 1,926.16 621,625.07
24 5,000.74 3,084.06 1,916.68 618,541.01
25 5,000.74 3,093.57 1,907.17 615,447.44
26 5,000.74 3,103.11 1,897.63 612,344.34
27 5,000.74 3,112.67 1,888.06 609,231.66
28 5,000.74 3,122.27 1,878.46 606,109.39
29 5,000.74 3,131.90 1,868.84 602,977.49
30 5,000.74 3,141.56 1,859.18 599,835.93
31 5,000.74 3,151.24 1,849.49 596,684.69
32 5,000.74 3,160.96 1,839.78 593,523.73
33 5,000.74 3,170.70 1,830.03 590,353.03
34 5,000.74 3,180.48 1,820.26 587,172.55
35 5,000.74 3,190.29 1,810.45 583,982.26
36 5,000.74 3,200.12 1,800.61 580,782.14
37 5,000.74 3,209.99 1,790.74 577,572.14
38 5,000.74 3,219.89 1,780.85 574,352.25
39 5,000.74 3,229.82 1,770.92 571,122.44
40 5,000.74 3,239.78 1,760.96 567,882.66
41 5,000.74 3,249.76 1,750.97 564,632.90
42 5,000.74 3,259.78 1,740.95 561,373.11
43 5,000.74 3,269.84 1,730.90 558,103.28
44 5,000.74 3,279.92 1,720.82 554,823.36
45 5,000.74 3,290.03 1,710.71 551,533.33
46 5,000.74 3,300.18 1,700.56 548,233.15
47 5,000.74 3,310.35 1,690.39 544,922.80
48 5,000.74 3,320.56 1,680.18 541,602.24
49 5,000.74 3,330.80 1,669.94 538,271.45
50 5,000.74 3,341.07 1,659.67 534,930.38
51 5,000.74 3,351.37 1,649.37 531,579.01
52 5,000.74 3,361.70 1,639.04 528,217.31
53 5,000.74 3,372.07 1,628.67 524,845.25
54 5,000.74 3,382.46 1,618.27 521,462.78
55 5,000.74 3,392.89 1,607.84 518,069.89
56 5,000.74 3,403.35 1,597.38 514,666.54
57 5,000.74 3,413.85 1,586.89 511,252.69
58 5,000.74 3,424.37 1,576.36 507,828.31
59 5,000.74 3,434.93 1,565.80 504,393.38
60 5,000.74 3,445.52 1,555.21 500,947.86
61 5,000.74 3,456.15 1,544.59 497,491.71
62 5,000.74 3,466.80 1,533.93 494,024.91
63 5,000.74 3,477.49 1,523.24 490,547.42
64 5,000.74 3,488.22 1,512.52 487,059.20
65 5,000.74 3,498.97 1,501.77 483,560.23
66 5,000.74 3,509.76 1,490.98 480,050.47
67 5,000.74 3,520.58 1,480.16 476,529.89
68 5,000.74 3,531.44 1,469.30 472,998.45
69 5,000.74 3,542.32 1,458.41 469,456.13
70 5,000.74 3,553.25 1,447.49 465,902.88
71 5,000.74 3,564.20 1,436.53 462,338.68
72 5,000.74 3,575.19 1,425.54 458,763.49
73 5,000.74 3,586.22 1,414.52 455,177.27
74 5,000.74 3,597.27 1,403.46 451,580.00
75 5,000.74 3,608.36 1,392.37 447,971.64
76 5,000.74 3,619.49 1,381.25 444,352.14
77 5,000.74 3,630.65 1,370.09 440,721.49
78 5,000.74 3,641.85 1,358.89 437,079.65
79 5,000.74 3,653.07 1,347.66 433,426.58
80 5,000.74 3,664.34 1,336.40 429,762.24
81 5,000.74 3,675.64 1,325.10 426,086.60
82 5,000.74 3,686.97 1,313.77 422,399.63
83 5,000.74 3,698.34 1,302.40 418,701.29
84 5,000.74 3,709.74 1,291.00 414,991.55
85 5,000.74 3,721.18 1,279.56 411,270.37
86 5,000.74 3,732.65 1,268.08 407,537.72
87 5,000.74 3,744.16 1,256.57 403,793.56
88 5,000.74 3,755.71 1,245.03 400,037.85
89 5,000.74 3,767.29 1,233.45 396,270.57
90 5,000.74 3,778.90 1,221.83 392,491.67
91 5,000.74 3,790.55 1,210.18 388,701.11
92 5,000.74 3,802.24 1,198.50 384,898.87
93 5,000.74 3,813.96 1,186.77 381,084.91
94 5,000.74 3,825.72 1,175.01 377,259.18
95 5,000.74 3,837.52 1,163.22 373,421.66
96 5,000.74 3,849.35 1,151.38 369,572.31
97 5,000.74 3,861.22 1,139.51 365,711.09
98 5,000.74 3,873.13 1,127.61 361,837.96
99 5,000.74 3,885.07 1,115.67 357,952.89
100 5,000.74 3,897.05 1,103.69 354,055.84
101 5,000.74 3,909.06 1,091.67 350,146.78
102 5,000.74 3,921.12 1,079.62 346,225.66
103 5,000.74 3,933.21 1,067.53 342,292.45
104 5,000.74 3,945.33 1,055.40 338,347.12
105 5,000.74 3,957.50 1,043.24 334,389.62
106 5,000.74 3,969.70 1,031.03 330,419.92
107 5,000.74 3,981.94 1,018.79 326,437.98
108 5,000.74 3,994.22 1,006.52 322,443.76
109 5,000.74 4,006.53 994.20 318,437.22
110 5,000.74 4,018.89 981.85 314,418.33
111 5,000.74 4,031.28 969.46 310,387.05
112 5,000.74 4,043.71 957.03 306,343.34
113 5,000.74 4,056.18 944.56 302,287.17
114 5,000.74 4,068.68 932.05 298,218.48
115 5,000.74 4,081.23 919.51 294,137.25
116 5,000.74 4,093.81 906.92 290,043.44
117 5,000.74 4,106.44 894.30 285,937.00
118 5,000.74 4,119.10 881.64 281,817.91
119 5,000.74 4,131.80 868.94 277,686.11
120 5,000.74 4,144.54 856.20 273,541.57
121 5,000.74 4,157.32 843.42 269,384.25
122 5,000.74 4,170.13 830.60 265,214.12
123 5,000.74 4,182.99 817.74 261,031.13
124 5,000.74 4,195.89 804.85 256,835.24
125 5,000.74 4,208.83 791.91 252,626.41
126 5,000.74 4,221.80 778.93 248,404.60
127 5,000.74 4,234.82 765.91 244,169.78
128 5,000.74 4,247.88 752.86 239,921.90
129 5,000.74 4,260.98 739.76 235,660.93
130 5,000.74 4,274.12 726.62 231,386.81
131 5,000.74 4,287.29 713.44 227,099.52
132 5,000.74 4,300.51 700.22 222,799.00
133 5,000.74 4,313.77 686.96 218,485.23
134 5,000.74 4,327.07 673.66 214,158.16
135 5,000.74 4,340.42 660.32 209,817.74
136 5,000.74 4,353.80 646.94 205,463.94
137 5,000.74 4,367.22 633.51 201,096.72
138 5,000.74 4,380.69 620.05 196,716.03
139 5,000.74 4,394.20 606.54 192,321.84
140 5,000.74 4,407.74 592.99 187,914.09
141 5,000.74 4,421.33 579.40 183,492.76
142 5,000.74 4,434.97 565.77 179,057.79
143 5,000.74 4,448.64 552.09 174,609.15
144 5,000.74 4,462.36 538.38 170,146.79
145 5,000.74 4,476.12 524.62 165,670.68
146 5,000.74 4,489.92 510.82 161,180.76
147 5,000.74 4,503.76 496.97 156,676.99
148 5,000.74 4,517.65 483.09 152,159.35
149 5,000.74 4,531.58 469.16 147,627.77
150 5,000.74 4,545.55 455.19 143,082.22
151 5,000.74 4,559.57 441.17 138,522.65
152 5,000.74 4,573.62 427.11 133,949.03
153 5,000.74 4,587.73 413.01 129,361.30
154 5,000.74 4,601.87 398.86 124,759.43
155 5,000.74 4,616.06 384.67 120,143.37
156 5,000.74 4,630.29 370.44 115,513.07
157 5,000.74 4,644.57 356.17 110,868.50
158 5,000.74 4,658.89 341.84 106,209.61
159 5,000.74 4,673.26 327.48 101,536.35
160 5,000.74 4,687.67 313.07 96,848.69
161 5,000.74 4,702.12 298.62 92,146.57
162 5,000.74 4,716.62 284.12 87,429.95
163 5,000.74 4,731.16 269.58 82,698.79
164 5,000.74 4,745.75 254.99 77,953.04
165 5,000.74 4,760.38 240.36 73,192.66
166 5,000.74 4,775.06 225.68 68,417.60
167 5,000.74 4,789.78 210.95 63,627.82
168 5,000.74 4,804.55 196.19 58,823.27
169 5,000.74 4,819.36 181.37 54,003.90
170 5,000.74 4,834.22 166.51 49,169.68
171 5,000.74 4,849.13 151.61 44,320.55
172 5,000.74 4,864.08 136.66 39,456.47
173 5,000.74 4,879.08 121.66 34,577.39
174 5,000.74 4,894.12 106.61 29,683.26
175 5,000.74 4,909.21 91.52 24,774.05
176 5,000.74 4,924.35 76.39 19,849.70
177 5,000.74 4,939.53 61.20 14,910.17
178 5,000.74 4,954.76 45.97 9,955.41
179 5,000.74 4,970.04 30.70 4,985.36
180 5,000.74 4,985.36 15.37 0.00