Constant Buy NAV change for lumpsump NFO investment

Dear Fyers Team,

The "Buy NAV" for investment made through NFO using fyers direct platform is changing daily. The Buy NAV for any investment through NFO is 10 as starting and units are allocated according to this price.

However, on the fyers dashboard the Buy NAv is updated on daily basis.

This is causing issue in the PnL calculations and the amounts shown are completely incorrect.

It is very simple thing but fyers system and code is not able to reflect the correct figures.

Kindly look into this issue at earliest.

3 replies