Unit Holdings allows investors to view the number of units owned for particular Mutual Fund Scheme. Marked to current NAV (Net Asset Value) profit/loss and realized profit/Loss are displayed along with other details such as purchase quantity, purchase price, redemption quantity, redemption price, net units held, net price.
Investors can also view online status of his units and the realized profit/Loss value which is the difference between the NAV at which units were bought and as on Date NAV of the units.
This topic provides reference about:
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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Select Mode.
Select Transaction Mode.
Select Folio Type.
Enter Folio No.
Select AMC Name.
Enter Scheme Name.
Click Submit. The details based on the selected criteria are displayed in Mutual Fund - Unit Holdings page.
Mutual Fund Order Book Details 
	 can be printed by clicking Print 
	 symbol ( ).
).
Click Click 
	 to Export in Excel 
	 icon ( ). The File 
	 Download window is displayed.
). The File 
	 Download window is displayed.
Click Open, to open the file in Excel format.
Click Save, to save the file. The Save As window is displayed.
Specify the file name. Click Save.
Click Scheme Name. hyperlink to view Transaction details.
If there are multiple records generated for a search, the page links are listed at the upper-left page of the list. You can click a page number to view the respective page details.
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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In Action column, select Order 
	 type as Buy or Sell. This can be done by clicking the respective icons 
	 ( )/ (
)/ ( ) 
	 in Action column. The Order 
	 Entry page is displayed. By default, NAV, Unit/Value (Rs.) are 
	 displayed.
) 
	 in Action column. The Order 
	 Entry page is displayed. By default, NAV, Unit/Value (Rs.) are 
	 displayed.
Select Folio No.
Enter Amount.
Select Terms & Conditions check box.
Click Submit. A message is displayed.
Click Ok, to navigate to Mutual Fund - Place Order page.
Click Confirm. The Transaction placed successfully message is displayed.
Click Ok, to navigate to Mutual Fund - Unit Holdings page.
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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In Action column, click ( ) against the required Scheme Name. The Mutual 
	 Fund - Place Order SIP page is displayed. By default, NAV, Units/Value 
	 (Rs.) Details are displayed.
) against the required Scheme Name. The Mutual 
	 Fund - Place Order SIP page is displayed. By default, NAV, Units/Value 
	 (Rs.) Details are displayed.
Select Folio No.
Select Frequency.
Select Start Date.
Enter No.of Installments. Installments should be greater than or equal to minimum no of Installments : 6
Enter Amount.
Select Terms and conditions check box.
Click Submit. A message is displayed.
Click Ok. The Mutual Fund - Place Order SIP page is displayed.
Click Confirm. The Transaction placed successfully message is displayed.
Click Ok, to navigate to Mutual Fund - Unit Holdings page.
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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In Action column, click ( ) against the required Scheme Name. The Mutual 
	 Fund - Place Order SWP page is displayed.  By default, NAV 
	 Details, Units/Value (Rs.)details are displayed.
) against the required Scheme Name. The Mutual 
	 Fund - Place Order SWP page is displayed.  By default, NAV 
	 Details, Units/Value (Rs.)details are displayed.
Select Folio No.
Select Option.
Select Frequency.
Select Start Date.
Enter No. Of Installments.
Enter Amount.
Select Terms and conditions check box.
Click Submit. A message is displayed.
Click Ok. The Mutual Fund - Place Order SWP page is displayed.
Click Confirm. The Transaction placed successfully message is displayed.
Click Ok, to navigate to Mutual Fund - Unit Holdings page.
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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In 
	 Action column, click ( ) against the required Scheme Name. The Mutual 
	 Fund - Place Order Switch page is displayed. By default, NAV, Units/Value (Rs.) details 
	 are displayed.
) against the required Scheme Name. The Mutual 
	 Fund - Place Order Switch page is displayed. By default, NAV, Units/Value (Rs.) details 
	 are displayed.
Select Folio No. from drop-down list.
Select Switch In Scheme.
Select Switch Option.
Enter Units.
Select Terms & Conditions check box.
Click Submit. A message is displayed.
Click Ok. The Mutual Fund - Place Order Switch page is displayed.
Click Confirm. The Transaction placed successfully message is displayed.
Click Ok, to navigate to Mutual Fund - Unit Holdings page.
Systematic Transfer Plan allows the user to systematically transfer the value of holdings from one scheme to another scheme.
Click MF à Unit Holdings. The Mutual Fund - Unit Holdings page is displayed with details.
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In Action 
	 column, click ( ) against the required 
	 Scheme Name. The Mutual Fund 
	 - Place Order STP page is displayed. By default, NAV and Units/Value 
	 (Rs.) Details are displayed.
) against the required 
	 Scheme Name. The Mutual Fund 
	 - Place Order STP page is displayed. By default, NAV and Units/Value 
	 (Rs.) Details are displayed.
Select STP In Scheme from drop-down list.
Select Option as Fixed or Capital Appreciation.
Select Frequency.
Select Start Date.
Enter Installments.
Enter Amount.
Select Terms and conditions check box.
Click Submit. A message is displayed.
Click Ok. The Mutual Fund - Place Order STP page is displayed.
Click Confirm. The Transaction placed successfully message is displayed.
Click Ok, to navigate to Mutual Fund - Unit Holdings page.