Search for an answer or browse help topics to create a ticket
View all categories

Why are the newly allotted units shown as NA on the Coin app?

The NA error is displayed when there is a discrepancy in the buy average of your mutual fund or stock holdings.

However, in rare scenarios, Coin displays NA on T+2 after the allotment of units only for one day and is rectified automatically the next day (T+3).

Do not enter any discrepant details on Console in such cases. Doing so may display the wrong buy average.