本表以貸款100萬元為單位,每期(月)本息平均攤還計算 |
單位:新台幣 |
|
7年 |
10年 |
15年 |
17年 |
18年 |
20年 |
30年 |
1.885% |
12,717 |
9,150 |
6,382 |
5,733 |
5,463 |
5,005 |
3,639 |
2.200% |
12,856 |
9,291 |
6,528 |
5,880 |
5,611 |
5,154 |
3,797 |
2.310% |
12,905 |
9,341 |
6,576 |
5,932 |
5,663 |
5,207 |
3,853 |
2.425% |
12,956 |
9,393 |
6,633 |
5,986 |
5,718 |
5,263 |
3,912 |
2.485% |
12,982 |
9,420 |
6,661 |
6,015 |
5,747 |
5,292 |
3,943 |
2.625% |
13,045 |
9,484 |
6,727 |
6,082 |
5,814 |
5,360 |
4,017 |
2.675% |
13,067 |
9,507 |
6,751 |
6,106 |
5,838 |
5,385 |
4,053 |
2.750% |
13,101 |
9,541 |
6,786 |
6,142 |
5,875 |
5,422 |
4,082 |
2.80% |
13,123 |
9,564 |
6,810 |
6,166 |
5,899 |
5,446 |
4,109 |
2.850% |
13,146 |
9,587 |
6,834 |
6,191 |
5,924 |
5,471 |
4,136 |
2.875% |
13,157 |
9,598 |
6,846 |
6,203 |
5,936 |
5,484 |
4,149 |
3.000% |
13,213 |
9,656 |
6,906 |
6,264 |
5,997 |
5,546 |
4,216 |
3.025% |
13,225 |
9,668 |
6,918 |
6,276 |
6,010 |
5,558 |
4,230 |
3.100% |
13,258 |
9,702 |
6,954 |
6,313 |
6,047 |
5,596 |
4,270 |
3.125% |
13,270 |
9,714 |
6,966 |
6,325 |
6,059 |
5,609 |
4,284 |
3.150% |
13,281 |
9,725 |
6,978 |
6,337 |
6,071 |
5,621 |
4,297 |
3.250% |
13,326 |
9,772 |
7,027 |
6,387 |
6,121 |
5,672 |
4,352 |
3.375% |
13,383 |
9,830 |
7,088 |
6,449 |
6,184 |
5,736 |
4,421 |
3.450% |
13,417 |
9,865 |
7,124 |
6,486 |
6,221 |
5,774 |
4,463 |
3.500% |
13,440 |
9,889 |
7,149 |
6,511 |
6,247 |
5,800 |
4,490 |
3.625% |
13,497 |
9,947 |
7,210 |
6,574 |
6,310 |
5,864 |
4,561 |
3.750% |
13,554 |
10,006 |
7,272 |
6,637 |
6,374 |
5,929 |
4,631 |
3.875% |
13,611 |
10,065 |
7,334 |
6,700 |
6,438 |
5,994 |
4,702 |
3.950% |
13,646 |
10,101 |
7,372 |
6,738 |
6,476 |
6,033 |
4,745 |
4.000% |
13,669 |
10,125 |
7,397 |
6,764 |
6,502 |
6,060 |
4,774 |
4.125% |
13,726 |
10,184 |
7,460 |
6,828 |
6,567 |
6,126 |
4,846 |
4.250% |
13,784 |
10,244 |
7,523 |
6,893 |
6,632 |
6,192 |
4,919 |
4.375% |
13,842 |
10,304 |
7,586 |
6,957 |
6,697 |
6,259 |
4,993 |
4.500% |
13,900 |
10,364 |
7,650 |
7,022 |
6,763 |
6,326 |
5,067 |
4.625% |
13,958 |
10,424 |
7,714 |
7,088 |
6,829 |
6,394 |
5,141 |
4.750% |
14,017 |
10,485 |
7,778 |
7,154 |
6,896 |
6,462 |
5,216 |
4.875% |
14,075 |
10,546 |
7,843 |
7,220 |
6,963 |
6,531 |
5,292 |
5.000% |
14,134 |
10,607 |
7,908 |
7,287 |
7,030 |
6,600 |
5,368 |
5.125% |
14,193 |
10,668 |
7,973 |
7,353 |
7,098 |
6,669 |
5,445 |
5.250% |
14,252 |
10,729 |
8,039 |
7,421 |
7,166 |
6,738 |
5,522 |
5.375% |
14,311 |
10,791 |
8,105 |
7,488 |
7,234 |
6,808 |
5,600 |
5.500% |
14,370 |
10,853 |
8,171 |
7,556 |
7,303 |
6,879 |
5,678 |
5.625% |
14,429 |
10,915 |
8,237 |
7,624 |
7,372 |
6,950 |
5,757 |
5.750% |
14,489 |
10,977 |
8,304 |
7,693 |
7,442 |
7,021 |
5,836 |
5.875% |
14,549 |
11,039 |
8,371 |
7,762 |
7,511 |
7,092 |
5,915 |
6.000% |
14,609 |
11,102 |
8,439 |
7,831 |
7,582 |
7,164 |
5,996 |
6.125% |
14,669 |
11,165 |
8,506 |
7,901 |
7,652 |
7,237 |
6,076 |
6.250% |
14,729 |
11,228 |
8,574 |
7,970 |
7,723 |
7,309 |
6,157 |
6.375% |
14,789 |
11,291 |
8,643 |
8,041 |
7,794 |
7,382 |
6,239 |
6.500% |
14,849 |
11,355 |
8,711 |
8,111 |
7,866 |
7,456 |
6,321 |
6.625% |
14,910 |
11,419 |
8,780 |
8,182 |
7,937 |
7,530 |
6,403 |
6.750% |
14,971 |
11,482 |
8,849 |
8,253 |
8,010 |
7,604 |
6,486 |
6.875% |
15,032 |
11,547 |
8,919 |
8,325 |
8,082 |
7,678 |
6,569 |
7.000% |
15,093 |
11,611 |
8,988 |
8,397 |
8,155 |
7,753 |
6,653 |
7.250% |
15,215 |
11,740 |
9,129 |
8,541 |
8,302 |
7,904 |
6,822 |
7.500% |
15,338 |
11,870 |
9,270 |
8,687 |
8,450 |
8,056 |
6,992 |
7.750% |
15,462 |
12,001 |
9,413 |
8,834 |
8,599 |
8,209 |
7,164 |
8.000% |
15,586 |
12,133 |
9,557 |
8,983 |
8,750 |
8,364 |
7,338 |
9.000% |
16,089 |
12,668 |
10,143 |
9,588 |
9,364 |
8,997 |
8,046 |
10.000% |
16,601 |
13,215 |
10,746 |
10,212 |
9,998 |
9,650 |
8,776 |
11.000% |
17,122 |
13,775 |
11,366 |
10,854 |
10,650 |
10,322 |
9,523 |
12.000% |
17,653 |
14,347 |
12,002 |
11,512 |
11,320 |
11,011 |
10,286 |
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