NAV will be allotted based on the date and time of your NPS order placement. The specific timings are as follows:
Example:
Order Placed Before 4:00 PM on T Day:
- Monday (T Day), 12 PM: NPS order is placed.
- Tuesday (T+1 Day): Upstox transfers the funds to the trustee bank account.
- Wednesday (T+2 Day): The trustee bank reconciles the funds and allocates the NAV for the NPS units.
Order Placed After 4:00 PM on T Day:
- Friday (T Day), 6 PM: NPS order is placed.
- Monday (T+1 Day): Upstox transfers the funds to the trustee bank account.
- Wednesday (T+3 Day): The trustee bank reconciles the funds and allocates the NAV for the NPS units.
Note: If there is a public holiday, the funds will be transferred to the trustee bank on the next working day.