At what price will Client's Mutual Fund SIP orders be placed and where client can see details for the same?

At what price will Client's Mutual Fund SIP orders be placed and where client can see details for the same?

Units will be allotted at closing NAV of the scheme on the SIP date or the applicable business date if the SIP date is a non-business day. You can view the details of all successfully placed SIP orders in your account in the normal Mutual Fund SIP order book.