☰
Login
Signup
Home
›
General
Howdy, Stranger!
It looks like you're new here. If you want to get involved, click one of these buttons!
Sign In
Register
Categories
Recent Discussions
Activity
Categories
15.1K
All Categories
0
Incidents
179
Node JS client
52
Go client
855
.Net API client
399
Kite Publisher
554
.Net / VBA / Excel (3rd party)
503
Algorithms and Strategies
1.1K
Java client
1.2K
API clients
410
PHP client
4.3K
Python client
363
Mobile and Desktop apps
1.5K
Market data (WebSockets)
3.6K
General
In this Discussion
January 29
Nivas
January 28
salim_chisty
January 29
Shriismyname
Mutual Fund API data delay
Shriismyname
January 25
in
General
Mutual Fund NAV/Data are getting updated not in T+1 but in T+2. Why is that ? Anyone facing this issue ?
Tagged:
mutual funds
Shriismyname
January 28
@Matti
salim_chisty
January 28
We're checking this and will provide an update shortly.
Shriismyname
January 29
@Matti
@salim_chisty
, still MF values are not updated. It is still showing last Firdays NAV value only.
Nivas
January 29
@Shriismyname
At present, the last price for mutual funds may be subject to a slight delay. However, we would like to assure you that upcoming updates are planned to ensure the latest data is reflected.
Sign In
or
Register
to comment.