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GiftNiftyFutures 28-Apr-2026
22540.00 -102.50 (-0.45%)

04-Apr-2026 02:44

10-Apr-2026 | 94.4800

02-Apr-2026 17:00

Lac Crs 421.44 | Tn $ 4.52

02-Apr-2026

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Trading

 

Purchase in Liquid schemes

Payment mode

Order type

Cut-off time Applicable NAV
UPI Purchase 01:00 PM T -1 day
Netbanking (direct settlement banks) Purchase 01:00 PM T -1 day
Netbanking (non-direct settlement banks) Purchase 12 AM to 11:59 PM T day
NEFT and RTGS Purchase 01:00 PM The NAV may vary from T-1 day to T+5 day, depending on the day the funds are credited to NCL’s bank account.
Purchase in other non-liquid schemes like equity, debt, hybrid, etc.
Payment mode Order type Cut-off time Applicable NAV
UPI Purchase 2:30 PM T day
Netbanking (direct settlement banks) Purchase 2:30 PM T day
Netbanking (non-direct settlement banks) Purchase 12 AM to 11:59 PM T+1 day
NEFT and RTGS Purchase 2:30 PM The NAV may vary from T day to T+5 day, depending on the day the funds are credited to NCL’s bank account.

 

Click here to see the list of supported banks for direct and non-direct settlement. 

If Netbanking or UPI option is not available to the user after the order is placed on NSE, the payment will have to be completed using NEFT or RTGS. The account details of NCL will be displayed to which the amount is to be transferred.

Cut-off time for redeeming mutual funds.

The cut-off time for redemption orders is 3:00 PM. The NAV of T day will be applicable for orders placed within the cut-off time.

Disclaimer

NAV will be applicable subject to receipt of funds in our Clearing account

Updated on: 19/03/2026