Mortgage Loan of $134,000 for 15 Years at 8.125%

What's the payment on a 15 year home loan for $134k at 8.125% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $1,290.26
$15,483 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $134k 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 134,000 loan for 15 years at 8.125 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 1,290.26 382.97 907.29 133,617.03
2 1,290.26 385.56 904.70 133,231.47
3 1,290.26 388.17 902.09 132,843.29
4 1,290.26 390.80 899.46 132,452.49
5 1,290.26 393.45 896.81 132,059.04
6 1,290.26 396.11 894.15 131,662.93
7 1,290.26 398.79 891.47 131,264.13
8 1,290.26 401.49 888.77 130,862.64
9 1,290.26 404.21 886.05 130,458.43
10 1,290.26 406.95 883.31 130,051.48
11 1,290.26 409.71 880.56 129,641.77
12 1,290.26 412.48 877.78 129,229.29
13 1,290.26 415.27 874.99 128,814.02
14 1,290.26 418.08 872.18 128,395.93
15 1,290.26 420.91 869.35 127,975.02
16 1,290.26 423.76 866.50 127,551.25
17 1,290.26 426.63 863.63 127,124.62
18 1,290.26 429.52 860.74 126,695.10
19 1,290.26 432.43 857.83 126,262.67
20 1,290.26 435.36 854.90 125,827.31
21 1,290.26 438.31 851.96 125,389.00
22 1,290.26 441.27 848.99 124,947.73
23 1,290.26 444.26 846.00 124,503.47
24 1,290.26 447.27 842.99 124,056.20
25 1,290.26 450.30 839.96 123,605.90
26 1,290.26 453.35 836.91 123,152.55
27 1,290.26 456.42 833.85 122,696.13
28 1,290.26 459.51 830.76 122,236.63
29 1,290.26 462.62 827.64 121,774.01
30 1,290.26 465.75 824.51 121,308.26
31 1,290.26 468.90 821.36 120,839.35
32 1,290.26 472.08 818.18 120,367.27
33 1,290.26 475.28 814.99 119,892.00
34 1,290.26 478.49 811.77 119,413.50
35 1,290.26 481.73 808.53 118,931.77
36 1,290.26 485.00 805.27 118,446.78
37 1,290.26 488.28 801.98 117,958.50
38 1,290.26 491.58 798.68 117,466.91
39 1,290.26 494.91 795.35 116,972.00
40 1,290.26 498.26 792.00 116,473.73
41 1,290.26 501.64 788.62 115,972.10
42 1,290.26 505.03 785.23 115,467.06
43 1,290.26 508.45 781.81 114,958.61
44 1,290.26 511.90 778.37 114,446.71
45 1,290.26 515.36 774.90 113,931.35
46 1,290.26 518.85 771.41 113,412.50
47 1,290.26 522.37 767.90 112,890.13
48 1,290.26 525.90 764.36 112,364.23
49 1,290.26 529.46 760.80 111,834.77
50 1,290.26 533.05 757.21 111,301.72
51 1,290.26 536.66 753.61 110,765.06
52 1,290.26 540.29 749.97 110,224.77
53 1,290.26 543.95 746.31 109,680.82
54 1,290.26 547.63 742.63 109,133.19
55 1,290.26 551.34 738.92 108,581.85
56 1,290.26 555.07 735.19 108,026.78
57 1,290.26 558.83 731.43 107,467.95
58 1,290.26 562.61 727.65 106,905.33
59 1,290.26 566.42 723.84 106,338.91
60 1,290.26 570.26 720.00 105,768.65
61 1,290.26 574.12 716.14 105,194.53
62 1,290.26 578.01 712.25 104,616.52
63 1,290.26 581.92 708.34 104,034.60
64 1,290.26 585.86 704.40 103,448.74
65 1,290.26 589.83 700.43 102,858.91
66 1,290.26 593.82 696.44 102,265.09
67 1,290.26 597.84 692.42 101,667.25
68 1,290.26 601.89 688.37 101,065.36
69 1,290.26 605.97 684.30 100,459.39
70 1,290.26 610.07 680.19 99,849.32
71 1,290.26 614.20 676.06 99,235.12
72 1,290.26 618.36 671.90 98,616.77
73 1,290.26 622.54 667.72 97,994.22
74 1,290.26 626.76 663.50 97,367.46
75 1,290.26 631.00 659.26 96,736.46
76 1,290.26 635.28 654.99 96,101.18
77 1,290.26 639.58 650.69 95,461.60
78 1,290.26 643.91 646.35 94,817.70
79 1,290.26 648.27 641.99 94,169.43
80 1,290.26 652.66 637.61 93,516.77
81 1,290.26 657.08 633.19 92,859.70
82 1,290.26 661.52 628.74 92,198.17
83 1,290.26 666.00 624.26 91,532.17
84 1,290.26 670.51 619.75 90,861.66
85 1,290.26 675.05 615.21 90,186.60
86 1,290.26 679.62 610.64 89,506.98
87 1,290.26 684.23 606.04 88,822.75
88 1,290.26 688.86 601.40 88,133.89
89 1,290.26 693.52 596.74 87,440.37
90 1,290.26 698.22 592.04 86,742.15
91 1,290.26 702.95 587.32 86,039.21
92 1,290.26 707.71 582.56 85,331.50
93 1,290.26 712.50 577.77 84,619.01
94 1,290.26 717.32 572.94 83,901.69
95 1,290.26 722.18 568.08 83,179.51
96 1,290.26 727.07 563.19 82,452.44
97 1,290.26 731.99 558.27 81,720.45
98 1,290.26 736.95 553.32 80,983.50
99 1,290.26 741.94 548.33 80,241.57
100 1,290.26 746.96 543.30 79,494.61
101 1,290.26 752.02 538.24 78,742.59
102 1,290.26 757.11 533.15 77,985.48
103 1,290.26 762.24 528.03 77,223.24
104 1,290.26 767.40 522.87 76,455.85
105 1,290.26 772.59 517.67 75,683.25
106 1,290.26 777.82 512.44 74,905.43
107 1,290.26 783.09 507.17 74,122.34
108 1,290.26 788.39 501.87 73,333.95
109 1,290.26 793.73 496.53 72,540.22
110 1,290.26 799.10 491.16 71,741.11
111 1,290.26 804.52 485.75 70,936.60
112 1,290.26 809.96 480.30 70,126.64
113 1,290.26 815.45 474.82 69,311.19
114 1,290.26 820.97 469.29 68,490.22
115 1,290.26 826.53 463.74 67,663.70
116 1,290.26 832.12 458.14 66,831.57
117 1,290.26 837.76 452.51 65,993.82
118 1,290.26 843.43 446.83 65,150.39
119 1,290.26 849.14 441.12 64,301.25
120 1,290.26 854.89 435.37 63,446.36
121 1,290.26 860.68 429.58 62,585.68
122 1,290.26 866.51 423.76 61,719.18
123 1,290.26 872.37 417.89 60,846.80
124 1,290.26 878.28 411.98 59,968.52
125 1,290.26 884.23 406.04 59,084.30
126 1,290.26 890.21 400.05 58,194.09
127 1,290.26 896.24 394.02 57,297.85
128 1,290.26 902.31 387.95 56,395.54
129 1,290.26 908.42 381.84 55,487.12
130 1,290.26 914.57 375.69 54,572.55
131 1,290.26 920.76 369.50 53,651.79
132 1,290.26 926.99 363.27 52,724.80
133 1,290.26 933.27 356.99 51,791.53
134 1,290.26 939.59 350.67 50,851.94
135 1,290.26 945.95 344.31 49,905.98
136 1,290.26 952.36 337.91 48,953.63
137 1,290.26 958.81 331.46 47,994.82
138 1,290.26 965.30 324.96 47,029.52
139 1,290.26 971.83 318.43 46,057.69
140 1,290.26 978.41 311.85 45,079.28
141 1,290.26 985.04 305.22 44,094.24
142 1,290.26 991.71 298.55 43,102.53
143 1,290.26 998.42 291.84 42,104.11
144 1,290.26 1,005.18 285.08 41,098.93
145 1,290.26 1,011.99 278.27 40,086.94
146 1,290.26 1,018.84 271.42 39,068.10
147 1,290.26 1,025.74 264.52 38,042.36
148 1,290.26 1,032.68 257.58 37,009.68
149 1,290.26 1,039.68 250.59 35,970.00
150 1,290.26 1,046.72 243.55 34,923.28
151 1,290.26 1,053.80 236.46 33,869.48
152 1,290.26 1,060.94 229.32 32,808.54
153 1,290.26 1,068.12 222.14 31,740.42
154 1,290.26 1,075.35 214.91 30,665.07
155 1,290.26 1,082.63 207.63 29,582.44
156 1,290.26 1,089.96 200.30 28,492.47
157 1,290.26 1,097.34 192.92 27,395.13
158 1,290.26 1,104.77 185.49 26,290.35
159 1,290.26 1,112.25 178.01 25,178.10
160 1,290.26 1,119.79 170.48 24,058.31
161 1,290.26 1,127.37 162.89 22,930.94
162 1,290.26 1,135.00 155.26 21,795.94
163 1,290.26 1,142.69 147.58 20,653.26
164 1,290.26 1,150.42 139.84 19,502.84
165 1,290.26 1,158.21 132.05 18,344.62
166 1,290.26 1,166.05 124.21 17,178.57
167 1,290.26 1,173.95 116.31 16,004.62
168 1,290.26 1,181.90 108.36 14,822.72
169 1,290.26 1,189.90 100.36 13,632.82
170 1,290.26 1,197.96 92.31 12,434.87
171 1,290.26 1,206.07 84.19 11,228.80
172 1,290.26 1,214.23 76.03 10,014.56
173 1,290.26 1,222.46 67.81 8,792.11
174 1,290.26 1,230.73 59.53 7,561.38
175 1,290.26 1,239.07 51.20 6,322.31
176 1,290.26 1,247.45 42.81 5,074.86
177 1,290.26 1,255.90 34.36 3,818.96
178 1,290.26 1,264.40 25.86 2,554.55
179 1,290.26 1,272.97 17.30 1,281.58
180 1,290.26 1,281.58 8.68 0.00