FundScout India

Support

Questions, wrong results or a feature request? Email yc@salesup.club with the prompt you used and the fund or scheme code. We reply within two business days.

Common questions

The NAV is from yesterday. Funds publish NAVs after markets close and AMFI's data is refreshed a few times a day, so the latest NAV is usually the previous business day's. The NAV date is always shown.

My fund's numbers look different. Check the plan and option. Direct and Regular plans, and Growth and IDCW options, are separate schemes with different NAVs. Your statement may also reflect stamp duty, exit loads or different purchase dates.

A fund isn't found. Closed, matured or merged schemes are hidden by default; ask to include inactive schemes. Try the fund house name plus the fund type, for example "axis elss".

The data looks wrong. FundScout shows AMFI's NAV data as mirrored by mfapi.in. Report FundScout problems to us.