At what price will my Mutual Fund SIP orders be placed and where can I see details for the same?

At what price will my Mutual Fund SIP orders be placed and where can I 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.