Hi,
On Wednesday I placed a redemption request of all units of my Axis Midcap Fund(Direct, Equity) then on thursday I placed a new order of the same Axis Midcap Fund(Direct, Equity). Question-
- Will the new units be allotted in the same(old) folio number or a new folio number?
- Will the new units be allotted at a new NAV or at the previous(old) avg. NAV of the fund?
Thanks.