As per the recent SEBI circular, there are some changes in the Net Asset Value (NAV) allocation for all the investment transactions from Feb 1, 2021, onwards. We request you to please go through our blog to understand how NAV is allocated, and which day's NAV may be allocated.
To check the status of your investments, you can click on the Investment Summary Card (where it shows your current amount) > Recent Transactions > Click on any transaction.
Which day's NAV will I get while investing? Print
Modified on: Thu, 29 Apr, 2021 at 2:23 AM
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