NAV and Cut-Off Time?

#1
I have query on price applicable when buying/selling MF units.

Day 1 ends and after ended of market, the NAV price is P1. Day 2 ends and after ended of market, the NAV price is P2. Day 3 ends and after ended of market, the NAV price is P3.

Question: what price is applicable for transactions made before vs after cut-off time on Day 2?
 
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