- How to view the mutual fund holdings on Kite?
- What does the P symbol indicate on the Kite Holdings page?
- Why does the downloaded order book from Kite display a date instead of the quantity?
- What is the Day's P&L in holdings and how is it calculated?
- Why are Smallcase and Kite holdings not matching once the filters are applied?
- Why are holdings not displayed in the exchange where they were bought?
- Why does the P&L on holdings and positions page on Kite change post 3.30 PM?
- How to see the net change and day change in holdings on Kite in % and absolute values?
- How to check the profit and loss (P&L) for positions on Kite web?
- What does the margin required amount on the Kite order window mean?
- What is a sticky order window in Kite, and how to use it?
- Why does the Last traded price(LTP) for F&O contracts change in the Kite position page before the market opens?
- Why is there a difference between the holdings value on Console and Kite?
- How is realised and unrealised profit calculated on Kite?
- Why are sold holdings bought back on the same day?
- Why is there profit in the positions tab on Kite despite a higher buy average than the LTP?
- Why is the credit from selling T1 holdings unavailable for use on the same day?
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