Loan Amortization

Full payment schedule — EMI, principal vs interest, and printable table.

Loan details

10,00050,000,000
%
0.1 %30 %
years
1 years40 years
Amortization Summary
Monthly EMI
₹13,215.07
Principal: ₹1,000,000 · Rate: 10% · 10 Years
Breakdown
Principal
₹1,000,000
%Total Interest
₹585,808.84
ΣTotal Payable
₹1,585,808.84
#Months
120

AI insight

General education only — not financial advice.

Visual breakdown

Principal63%
Interest37%

How to use

  1. Fill in the required fields carefully.
  2. Click Calculate.
  3. Check the result panel for the answer and extra details.

How this tool works

An amortization schedule splits each EMI into interest and principal so the balance falls to zero by the final payment.

Formula

Each period: interest = balance × monthly rate; principal = EMI − interest; new balance = balance − principal.

Example

Early payments are interest-heavy; later payments retire more principal.

Frequently asked questions

Why does interest fall over time?

As principal declines, interest on the remaining balance shrinks.

Full monthly schedule

120 payments · scroll to view · PDF includes yearly summary · CSV has every month

#PaymentPrincipalInterestBalance
113,215.074,881.748,333.33995,118.26
213,215.074,922.428,292.65990,195.84
313,215.074,963.448,251.63985,232.4
413,215.075,004.88,210.27980,227.59
513,215.075,046.518,168.56975,181.08
613,215.075,088.568,126.51970,092.52
713,215.075,130.978,084.1964,961.55
813,215.075,173.738,041.35959,787.82
913,215.075,216.847,998.23954,570.98
1013,215.075,260.327,954.76949,310.66
1113,215.075,304.157,910.92944,006.51
1213,215.075,348.357,866.72938,658.16
1313,215.075,392.927,822.15933,265.24
1413,215.075,437.867,777.21927,827.37
1513,215.075,483.187,731.89922,344.19
1613,215.075,528.877,686.2916,815.32
1713,215.075,574.957,640.13911,240.38
1813,215.075,621.47,593.67905,618.97
1913,215.075,668.257,546.82899,950.72
2013,215.075,715.487,499.59894,235.24
2113,215.075,763.117,451.96888,472.13
2213,215.075,811.147,403.93882,660.99
2313,215.075,859.577,355.51876,801.42
2413,215.075,908.47,306.68870,893.03
2513,215.075,957.637,257.44864,935.39
2613,215.076,007.287,207.79858,928.12
2713,215.076,057.347,157.73852,870.78
2813,215.076,107.827,107.26846,762.96
2913,215.076,158.727,056.36840,604.24
3013,215.076,210.047,005.04834,394.2
3113,215.076,261.796,953.29828,132.42
3213,215.076,313.976,901.1821,818.45
3313,215.076,366.596,848.49815,451.86
3413,215.076,419.646,795.43809,032.22
3513,215.076,473.146,741.94802,559.08
3613,215.076,527.086,687.99796,032
3713,215.076,581.476,633.6789,450.52
3813,215.076,636.326,578.75782,814.2
3913,215.076,691.626,523.45776,122.58
4013,215.076,747.396,467.69769,375.2
4113,215.076,803.616,411.46762,571.58
4213,215.076,860.316,354.76755,711.27
4313,215.076,917.486,297.59748,793.79
4413,215.076,975.136,239.95741,818.67
4513,215.077,033.256,181.82734,785.42
4613,215.077,091.866,123.21727,693.55
4713,215.077,150.966,064.11720,542.59
4813,215.077,210.556,004.52713,332.04
4913,215.077,270.645,944.43706,061.4
5013,215.077,331.235,883.85698,730.17
5113,215.077,392.325,822.75691,337.85
5213,215.077,453.925,761.15683,883.93
5313,215.077,516.045,699.03676,367.89
5413,215.077,578.675,636.4668,789.21
5513,215.077,641.835,573.24661,147.38
5613,215.077,705.515,509.56653,441.87
5713,215.077,769.725,445.35645,672.14
5813,215.077,834.475,380.6637,837.67
5913,215.077,899.765,315.31629,937.91
6013,215.077,965.595,249.48621,972.32
6113,215.078,031.975,183.1613,940.35
6213,215.078,098.95,116.17605,841.44
6313,215.078,166.395,048.68597,675.05
6413,215.078,234.454,980.63589,440.6
6513,215.078,303.074,912.01581,137.53
6613,215.078,372.264,842.81572,765.27
6713,215.078,442.034,773.04564,323.24
6813,215.078,512.384,702.69555,810.86
6913,215.078,583.324,631.76547,227.55
7013,215.078,654.844,560.23538,572.7
7113,215.078,726.974,488.11529,845.73
7213,215.078,799.694,415.38521,046.04
7313,215.078,873.024,342.05512,173.02
7413,215.078,946.974,268.11503,226.05
7513,215.079,021.524,193.55494,204.53
7613,215.079,096.74,118.37485,107.83
7713,215.079,172.514,042.57475,935.32
7813,215.079,248.953,966.13466,686.37
7913,215.079,326.023,889.05457,360.35
8013,215.079,403.743,811.34447,956.61
8113,215.079,482.13,732.97438,474.51
8213,215.079,561.123,653.95428,913.39
8313,215.079,640.83,574.28419,272.6
8413,215.079,721.143,493.94409,551.46
8513,215.079,802.143,412.93399,749.32
8613,215.079,883.833,331.24389,865.49
8713,215.079,966.193,248.88379,899.29
8813,215.0710,049.253,165.83369,850.05
8913,215.0710,132.993,082.08359,717.06
9013,215.0710,217.432,997.64349,499.63
9113,215.0710,302.582,912.5339,197.05
9213,215.0710,388.432,826.64328,808.62
9313,215.0710,4752,740.07318,333.62
9413,215.0710,562.292,652.78307,771.32
9513,215.0710,650.312,564.76297,121.01
9613,215.0710,739.072,476.01286,381.94
9713,215.0710,828.562,386.52275,553.39
9813,215.0710,918.82,296.28264,634.59
9913,215.0711,009.792,205.29253,624.81
10013,215.0711,101.532,113.54242,523.27
10113,215.0711,194.052,021.03231,329.23
10213,215.0711,287.331,927.74220,041.89
10313,215.0711,381.391,833.68208,660.5
10413,215.0711,476.241,738.84197,184.27
10513,215.0711,571.871,643.2185,612.4
10613,215.0711,668.31,546.77173,944.09
10713,215.0711,765.541,449.53162,178.55
10813,215.0711,863.591,351.49150,314.97
10913,215.0711,962.451,252.62138,352.52
11013,215.0712,062.141,152.94126,290.38
11113,215.0712,162.651,052.42114,127.73
11213,215.0712,264.01951.06101,863.72
11313,215.0712,366.21848.8689,497.51
11413,215.0712,469.26745.8177,028.25
11513,215.0712,573.17641.964,455.08
11613,215.0712,677.95537.1351,777.13
11713,215.0712,783.6431.4838,993.53
11813,215.0712,890.13324.9526,103.4
11913,215.0712,997.55217.5313,105.86
12013,215.0713,105.86109.220