Equities & ETF: We automatically fetch your Equities & ETF data twice a day between 10:30 AM to 4 PM, except on weekends and holidays. Do note that we receive data only once the transaction has been settled which can take upto 1 working day from the date of the transaction.
Mutual Funds: While we update NAV of funds held by you daily. Your mutual fund holdings are refreshed once every 2 weeks.
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