Mortgage Loan of $134,000 for 15 Years at 8.75%

What's the payment on a 15 year home loan for $134k at 8.75% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $1,339.26
$16,071 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 8.75 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 1,339.26 362.18 977.08 133,637.82
2 1,339.26 364.82 974.44 133,273.00
3 1,339.26 367.48 971.78 132,905.52
4 1,339.26 370.16 969.10 132,535.37
5 1,339.26 372.86 966.40 132,162.51
6 1,339.26 375.58 963.68 131,786.93
7 1,339.26 378.31 960.95 131,408.62
8 1,339.26 381.07 958.19 131,027.54
9 1,339.26 383.85 955.41 130,643.69
10 1,339.26 386.65 952.61 130,257.04
11 1,339.26 389.47 949.79 129,867.57
12 1,339.26 392.31 946.95 129,475.26
13 1,339.26 395.17 944.09 129,080.09
14 1,339.26 398.05 941.21 128,682.04
15 1,339.26 400.95 938.31 128,281.08
16 1,339.26 403.88 935.38 127,877.20
17 1,339.26 406.82 932.44 127,470.38
18 1,339.26 409.79 929.47 127,060.59
19 1,339.26 412.78 926.48 126,647.81
20 1,339.26 415.79 923.47 126,232.03
21 1,339.26 418.82 920.44 125,813.21
22 1,339.26 421.87 917.39 125,391.33
23 1,339.26 424.95 914.31 124,966.38
24 1,339.26 428.05 911.21 124,538.34
25 1,339.26 431.17 908.09 124,107.17
26 1,339.26 434.31 904.95 123,672.85
27 1,339.26 437.48 901.78 123,235.37
28 1,339.26 440.67 898.59 122,794.70
29 1,339.26 443.88 895.38 122,350.82
30 1,339.26 447.12 892.14 121,903.70
31 1,339.26 450.38 888.88 121,453.32
32 1,339.26 453.66 885.60 120,999.66
33 1,339.26 456.97 882.29 120,542.69
34 1,339.26 460.30 878.96 120,082.38
35 1,339.26 463.66 875.60 119,618.72
36 1,339.26 467.04 872.22 119,151.68
37 1,339.26 470.45 868.81 118,681.23
38 1,339.26 473.88 865.38 118,207.36
39 1,339.26 477.33 861.93 117,730.02
40 1,339.26 480.81 858.45 117,249.21
41 1,339.26 484.32 854.94 116,764.89
42 1,339.26 487.85 851.41 116,277.04
43 1,339.26 491.41 847.85 115,785.63
44 1,339.26 494.99 844.27 115,290.64
45 1,339.26 498.60 840.66 114,792.04
46 1,339.26 502.24 837.03 114,289.81
47 1,339.26 505.90 833.36 113,783.91
48 1,339.26 509.59 829.67 113,274.32
49 1,339.26 513.30 825.96 112,761.02
50 1,339.26 517.05 822.22 112,243.97
51 1,339.26 520.82 818.45 111,723.16
52 1,339.26 524.61 814.65 111,198.54
53 1,339.26 528.44 810.82 110,670.11
54 1,339.26 532.29 806.97 110,137.81
55 1,339.26 536.17 803.09 109,601.64
56 1,339.26 540.08 799.18 109,061.56
57 1,339.26 544.02 795.24 108,517.54
58 1,339.26 547.99 791.27 107,969.55
59 1,339.26 551.98 787.28 107,417.57
60 1,339.26 556.01 783.25 106,861.56
61 1,339.26 560.06 779.20 106,301.50
62 1,339.26 564.15 775.12 105,737.35
63 1,339.26 568.26 771.00 105,169.09
64 1,339.26 572.40 766.86 104,596.69
65 1,339.26 576.58 762.68 104,020.11
66 1,339.26 580.78 758.48 103,439.33
67 1,339.26 585.02 754.25 102,854.31
68 1,339.26 589.28 749.98 102,265.03
69 1,339.26 593.58 745.68 101,671.45
70 1,339.26 597.91 741.35 101,073.55
71 1,339.26 602.27 736.99 100,471.28
72 1,339.26 606.66 732.60 99,864.62
73 1,339.26 611.08 728.18 99,253.54
74 1,339.26 615.54 723.72 98,638.00
75 1,339.26 620.03 719.24 98,017.98
76 1,339.26 624.55 714.71 97,393.43
77 1,339.26 629.10 710.16 96,764.33
78 1,339.26 633.69 705.57 96,130.64
79 1,339.26 638.31 700.95 95,492.33
80 1,339.26 642.96 696.30 94,849.37
81 1,339.26 647.65 691.61 94,201.72
82 1,339.26 652.37 686.89 93,549.34
83 1,339.26 657.13 682.13 92,892.21
84 1,339.26 661.92 677.34 92,230.29
85 1,339.26 666.75 672.51 91,563.54
86 1,339.26 671.61 667.65 90,891.93
87 1,339.26 676.51 662.75 90,215.43
88 1,339.26 681.44 657.82 89,533.98
89 1,339.26 686.41 652.85 88,847.58
90 1,339.26 691.41 647.85 88,156.16
91 1,339.26 696.46 642.81 87,459.71
92 1,339.26 701.53 637.73 86,758.17
93 1,339.26 706.65 632.61 86,051.52
94 1,339.26 711.80 627.46 85,339.72
95 1,339.26 716.99 622.27 84,622.73
96 1,339.26 722.22 617.04 83,900.51
97 1,339.26 727.49 611.77 83,173.02
98 1,339.26 732.79 606.47 82,440.23
99 1,339.26 738.13 601.13 81,702.09
100 1,339.26 743.52 595.74 80,958.58
101 1,339.26 748.94 590.32 80,209.64
102 1,339.26 754.40 584.86 79,455.24
103 1,339.26 759.90 579.36 78,695.34
104 1,339.26 765.44 573.82 77,929.90
105 1,339.26 771.02 568.24 77,158.88
106 1,339.26 776.64 562.62 76,382.23
107 1,339.26 782.31 556.95 75,599.92
108 1,339.26 788.01 551.25 74,811.91
109 1,339.26 793.76 545.50 74,018.16
110 1,339.26 799.55 539.72 73,218.61
111 1,339.26 805.38 533.89 72,413.23
112 1,339.26 811.25 528.01 71,601.99
113 1,339.26 817.16 522.10 70,784.82
114 1,339.26 823.12 516.14 69,961.70
115 1,339.26 829.12 510.14 69,132.58
116 1,339.26 835.17 504.09 68,297.41
117 1,339.26 841.26 498.00 67,456.15
118 1,339.26 847.39 491.87 66,608.76
119 1,339.26 853.57 485.69 65,755.18
120 1,339.26 859.80 479.46 64,895.39
121 1,339.26 866.07 473.20 64,029.32
122 1,339.26 872.38 466.88 63,156.94
123 1,339.26 878.74 460.52 62,278.20
124 1,339.26 885.15 454.11 61,393.05
125 1,339.26 891.60 447.66 60,501.45
126 1,339.26 898.10 441.16 59,603.34
127 1,339.26 904.65 434.61 58,698.69
128 1,339.26 911.25 428.01 57,787.44
129 1,339.26 917.89 421.37 56,869.54
130 1,339.26 924.59 414.67 55,944.96
131 1,339.26 931.33 407.93 55,013.63
132 1,339.26 938.12 401.14 54,075.51
133 1,339.26 944.96 394.30 53,130.55
134 1,339.26 951.85 387.41 52,178.69
135 1,339.26 958.79 380.47 51,219.90
136 1,339.26 965.78 373.48 50,254.12
137 1,339.26 972.82 366.44 49,281.30
138 1,339.26 979.92 359.34 48,301.38
139 1,339.26 987.06 352.20 47,314.31
140 1,339.26 994.26 345.00 46,320.05
141 1,339.26 1,001.51 337.75 45,318.54
142 1,339.26 1,008.81 330.45 44,309.73
143 1,339.26 1,016.17 323.09 43,293.56
144 1,339.26 1,023.58 315.68 42,269.98
145 1,339.26 1,031.04 308.22 41,238.94
146 1,339.26 1,038.56 300.70 40,200.38
147 1,339.26 1,046.13 293.13 39,154.24
148 1,339.26 1,053.76 285.50 38,100.48
149 1,339.26 1,061.45 277.82 37,039.04
150 1,339.26 1,069.18 270.08 35,969.85
151 1,339.26 1,076.98 262.28 34,892.87
152 1,339.26 1,084.83 254.43 33,808.04
153 1,339.26 1,092.74 246.52 32,715.29
154 1,339.26 1,100.71 238.55 31,614.58
155 1,339.26 1,108.74 230.52 30,505.84
156 1,339.26 1,116.82 222.44 29,389.02
157 1,339.26 1,124.97 214.29 28,264.05
158 1,339.26 1,133.17 206.09 27,130.88
159 1,339.26 1,141.43 197.83 25,989.45
160 1,339.26 1,149.75 189.51 24,839.70
161 1,339.26 1,158.14 181.12 23,681.56
162 1,339.26 1,166.58 172.68 22,514.97
163 1,339.26 1,175.09 164.17 21,339.89
164 1,339.26 1,183.66 155.60 20,156.23
165 1,339.26 1,192.29 146.97 18,963.94
166 1,339.26 1,200.98 138.28 17,762.96
167 1,339.26 1,209.74 129.52 16,553.22
168 1,339.26 1,218.56 120.70 15,334.66
169 1,339.26 1,227.45 111.82 14,107.21
170 1,339.26 1,236.40 102.87 12,870.81
171 1,339.26 1,245.41 93.85 11,625.40
172 1,339.26 1,254.49 84.77 10,370.91
173 1,339.26 1,263.64 75.62 9,107.27
174 1,339.26 1,272.85 66.41 7,834.42
175 1,339.26 1,282.14 57.13 6,552.28
176 1,339.26 1,291.48 47.78 5,260.80
177 1,339.26 1,300.90 38.36 3,959.90
178 1,339.26 1,310.39 28.87 2,649.51
179 1,339.26 1,319.94 19.32 1,329.57
180 1,339.26 1,329.57 9.69 0.00