Mutual Funds NAV
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I did upi transaction on 7th October in groww app and NAV of 7th was to be levied but now when i checked units have been issued as per NAV of 8th october and now in my orders page instead of 7th October NAV, its showing 8th October. They have changed this NAV date for this fund overnight.
What should i do now?
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https://www.desidime.com/comments/permalink/10399596
Which bank did you use for payment of funds.
https://www.desidime.com/comments/permalink/10399645
what is the cut off time? 1.30PM?
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Even though the transaction was done before the cut-off time, it appears that the funds were available to AMC only after the cut-off time and hence the next day NAV.
Only Groww can confirms this, just shoot a mail or tweet them.