There are various areas where you see different fund values
In equity or futures the value is showing different in dashboard vs what you see in the profile fund section
Ideally it should be in sync- no matter whether the correct sync happens or not - at both places same logic of sync should apply
Thanks Tapan, looking into the matter.
The values shown in those two instances are different in nature.
In home screen we show available funds, while in account screen we show available margin to trade ( including margin against shares( pledge collateral margin), MTM and booked loss )
For any query, kindly contact support team.
Sure Mohan but just a suggestion
You should have such information updated to the user in the form of an info or so around what is the difference in these fund values to avoid the confusion