Mortgage Loan of $680,000 for 15 Years at 3.375%

What's the payment on a 15 year home loan for $680k at 3.375% interest?
Loan Amount
$
Length
Interest Rate
%
Results
Monthly payment: $4,819.57
$57,835 per year

What's the monthly payment? Use the loan payment schedule below to view payments each month based on a fixed rate $680k 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 680,000 loan for 15 years at 3.375 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 4,819.57 2,907.07 1,912.50 677,092.93
2 4,819.57 2,915.24 1,904.32 674,177.69
3 4,819.57 2,923.44 1,896.12 671,254.25
4 4,819.57 2,931.66 1,887.90 668,322.58
5 4,819.57 2,939.91 1,879.66 665,382.67
6 4,819.57 2,948.18 1,871.39 662,434.50
7 4,819.57 2,956.47 1,863.10 659,478.03
8 4,819.57 2,964.79 1,854.78 656,513.24
9 4,819.57 2,973.12 1,846.44 653,540.12
10 4,819.57 2,981.49 1,838.08 650,558.63
11 4,819.57 2,989.87 1,829.70 647,568.76
12 4,819.57 2,998.28 1,821.29 644,570.48
13 4,819.57 3,006.71 1,812.85 641,563.77
14 4,819.57 3,015.17 1,804.40 638,548.60
15 4,819.57 3,023.65 1,795.92 635,524.95
16 4,819.57 3,032.15 1,787.41 632,492.80
17 4,819.57 3,040.68 1,778.89 629,452.12
18 4,819.57 3,049.23 1,770.33 626,402.88
19 4,819.57 3,057.81 1,761.76 623,345.07
20 4,819.57 3,066.41 1,753.16 620,278.66
21 4,819.57 3,075.03 1,744.53 617,203.63
22 4,819.57 3,083.68 1,735.89 614,119.95
23 4,819.57 3,092.35 1,727.21 611,027.59
24 4,819.57 3,101.05 1,718.52 607,926.54
25 4,819.57 3,109.77 1,709.79 604,816.77
26 4,819.57 3,118.52 1,701.05 601,698.25
27 4,819.57 3,127.29 1,692.28 598,570.96
28 4,819.57 3,136.09 1,683.48 595,434.87
29 4,819.57 3,144.91 1,674.66 592,289.97
30 4,819.57 3,153.75 1,665.82 589,136.21
31 4,819.57 3,162.62 1,656.95 585,973.59
32 4,819.57 3,171.52 1,648.05 582,802.08
33 4,819.57 3,180.44 1,639.13 579,621.64
34 4,819.57 3,189.38 1,630.19 576,432.26
35 4,819.57 3,198.35 1,621.22 573,233.91
36 4,819.57 3,207.35 1,612.22 570,026.56
37 4,819.57 3,216.37 1,603.20 566,810.19
38 4,819.57 3,225.41 1,594.15 563,584.78
39 4,819.57 3,234.48 1,585.08 560,350.30
40 4,819.57 3,243.58 1,575.99 557,106.71
41 4,819.57 3,252.70 1,566.86 553,854.01
42 4,819.57 3,261.85 1,557.71 550,592.16
43 4,819.57 3,271.03 1,548.54 547,321.13
44 4,819.57 3,280.23 1,539.34 544,040.90
45 4,819.57 3,289.45 1,530.12 540,751.45
46 4,819.57 3,298.70 1,520.86 537,452.75
47 4,819.57 3,307.98 1,511.59 534,144.77
48 4,819.57 3,317.28 1,502.28 530,827.48
49 4,819.57 3,326.61 1,492.95 527,500.87
50 4,819.57 3,335.97 1,483.60 524,164.90
51 4,819.57 3,345.35 1,474.21 520,819.54
52 4,819.57 3,354.76 1,464.80 517,464.78
53 4,819.57 3,364.20 1,455.37 514,100.58
54 4,819.57 3,373.66 1,445.91 510,726.93
55 4,819.57 3,383.15 1,436.42 507,343.78
56 4,819.57 3,392.66 1,426.90 503,951.12
57 4,819.57 3,402.20 1,417.36 500,548.91
58 4,819.57 3,411.77 1,407.79 497,137.14
59 4,819.57 3,421.37 1,398.20 493,715.77
60 4,819.57 3,430.99 1,388.58 490,284.78
61 4,819.57 3,440.64 1,378.93 486,844.14
62 4,819.57 3,450.32 1,369.25 483,393.82
63 4,819.57 3,460.02 1,359.55 479,933.80
64 4,819.57 3,469.75 1,349.81 476,464.04
65 4,819.57 3,479.51 1,340.06 472,984.53
66 4,819.57 3,489.30 1,330.27 469,495.23
67 4,819.57 3,499.11 1,320.46 465,996.12
68 4,819.57 3,508.95 1,310.61 462,487.17
69 4,819.57 3,518.82 1,300.75 458,968.35
70 4,819.57 3,528.72 1,290.85 455,439.63
71 4,819.57 3,538.64 1,280.92 451,900.99
72 4,819.57 3,548.60 1,270.97 448,352.39
73 4,819.57 3,558.58 1,260.99 444,793.81
74 4,819.57 3,568.58 1,250.98 441,225.23
75 4,819.57 3,578.62 1,240.95 437,646.61
76 4,819.57 3,588.69 1,230.88 434,057.92
77 4,819.57 3,598.78 1,220.79 430,459.14
78 4,819.57 3,608.90 1,210.67 426,850.24
79 4,819.57 3,619.05 1,200.52 423,231.19
80 4,819.57 3,629.23 1,190.34 419,601.96
81 4,819.57 3,639.44 1,180.13 415,962.53
82 4,819.57 3,649.67 1,169.89 412,312.85
83 4,819.57 3,659.94 1,159.63 408,652.92
84 4,819.57 3,670.23 1,149.34 404,982.69
85 4,819.57 3,680.55 1,139.01 401,302.13
86 4,819.57 3,690.90 1,128.66 397,611.23
87 4,819.57 3,701.29 1,118.28 393,909.94
88 4,819.57 3,711.70 1,107.87 390,198.25
89 4,819.57 3,722.13 1,097.43 386,476.11
90 4,819.57 3,732.60 1,086.96 382,743.51
91 4,819.57 3,743.10 1,076.47 379,000.41
92 4,819.57 3,753.63 1,065.94 375,246.78
93 4,819.57 3,764.19 1,055.38 371,482.60
94 4,819.57 3,774.77 1,044.79 367,707.82
95 4,819.57 3,785.39 1,034.18 363,922.43
96 4,819.57 3,796.04 1,023.53 360,126.40
97 4,819.57 3,806.71 1,012.86 356,319.69
98 4,819.57 3,817.42 1,002.15 352,502.27
99 4,819.57 3,828.15 991.41 348,674.12
100 4,819.57 3,838.92 980.65 344,835.19
101 4,819.57 3,849.72 969.85 340,985.48
102 4,819.57 3,860.55 959.02 337,124.93
103 4,819.57 3,871.40 948.16 333,253.53
104 4,819.57 3,882.29 937.28 329,371.24
105 4,819.57 3,893.21 926.36 325,478.03
106 4,819.57 3,904.16 915.41 321,573.87
107 4,819.57 3,915.14 904.43 317,658.73
108 4,819.57 3,926.15 893.42 313,732.57
109 4,819.57 3,937.19 882.37 309,795.38
110 4,819.57 3,948.27 871.30 305,847.11
111 4,819.57 3,959.37 860.20 301,887.74
112 4,819.57 3,970.51 849.06 297,917.23
113 4,819.57 3,981.67 837.89 293,935.56
114 4,819.57 3,992.87 826.69 289,942.68
115 4,819.57 4,004.10 815.46 285,938.58
116 4,819.57 4,015.36 804.20 281,923.22
117 4,819.57 4,026.66 792.91 277,896.56
118 4,819.57 4,037.98 781.58 273,858.57
119 4,819.57 4,049.34 770.23 269,809.24
120 4,819.57 4,060.73 758.84 265,748.51
121 4,819.57 4,072.15 747.42 261,676.36
122 4,819.57 4,083.60 735.96 257,592.75
123 4,819.57 4,095.09 724.48 253,497.67
124 4,819.57 4,106.60 712.96 249,391.06
125 4,819.57 4,118.15 701.41 245,272.91
126 4,819.57 4,129.74 689.83 241,143.17
127 4,819.57 4,141.35 678.22 237,001.82
128 4,819.57 4,153.00 666.57 232,848.82
129 4,819.57 4,164.68 654.89 228,684.14
130 4,819.57 4,176.39 643.17 224,507.75
131 4,819.57 4,188.14 631.43 220,319.61
132 4,819.57 4,199.92 619.65 216,119.69
133 4,819.57 4,211.73 607.84 211,907.96
134 4,819.57 4,223.58 595.99 207,684.38
135 4,819.57 4,235.45 584.11 203,448.93
136 4,819.57 4,247.37 572.20 199,201.56
137 4,819.57 4,259.31 560.25 194,942.25
138 4,819.57 4,271.29 548.28 190,670.96
139 4,819.57 4,283.30 536.26 186,387.65
140 4,819.57 4,295.35 524.22 182,092.30
141 4,819.57 4,307.43 512.13 177,784.87
142 4,819.57 4,319.55 500.02 173,465.32
143 4,819.57 4,331.70 487.87 169,133.63
144 4,819.57 4,343.88 475.69 164,789.75
145 4,819.57 4,356.10 463.47 160,433.65
146 4,819.57 4,368.35 451.22 156,065.30
147 4,819.57 4,380.63 438.93 151,684.67
148 4,819.57 4,392.95 426.61 147,291.72
149 4,819.57 4,405.31 414.26 142,886.41
150 4,819.57 4,417.70 401.87 138,468.71
151 4,819.57 4,430.12 389.44 134,038.58
152 4,819.57 4,442.58 376.98 129,596.00
153 4,819.57 4,455.08 364.49 125,140.92
154 4,819.57 4,467.61 351.96 120,673.31
155 4,819.57 4,480.17 339.39 116,193.14
156 4,819.57 4,492.77 326.79 111,700.37
157 4,819.57 4,505.41 314.16 107,194.96
158 4,819.57 4,518.08 301.49 102,676.88
159 4,819.57 4,530.79 288.78 98,146.09
160 4,819.57 4,543.53 276.04 93,602.56
161 4,819.57 4,556.31 263.26 89,046.25
162 4,819.57 4,569.12 250.44 84,477.12
163 4,819.57 4,581.98 237.59 79,895.15
164 4,819.57 4,594.86 224.71 75,300.29
165 4,819.57 4,607.78 211.78 70,692.50
166 4,819.57 4,620.74 198.82 66,071.76
167 4,819.57 4,633.74 185.83 61,438.02
168 4,819.57 4,646.77 172.79 56,791.24
169 4,819.57 4,659.84 159.73 52,131.40
170 4,819.57 4,672.95 146.62 47,458.45
171 4,819.57 4,686.09 133.48 42,772.36
172 4,819.57 4,699.27 120.30 38,073.09
173 4,819.57 4,712.49 107.08 33,360.61
174 4,819.57 4,725.74 93.83 28,634.87
175 4,819.57 4,739.03 80.54 23,895.84
176 4,819.57 4,752.36 67.21 19,143.48
177 4,819.57 4,765.73 53.84 14,377.75
178 4,819.57 4,779.13 40.44 9,598.62
179 4,819.57 4,792.57 27.00 4,806.05
180 4,819.57 4,806.05 13.52 0.00