The profit you make will start reflecting in your Groww balance by the night of the same day.
The settlement cycle for F&O (Futures and Options) is T+1 working day, and you will be able to withdraw the amount by the next working day, whereas any loss booked and charges will be deducted on the same day.
Therefore, we request you to refer to the Contract Note, which will be sent to your registered email by the end of the trading day. You can check all the details of your trade in the Contract Note.
You can click the 'ALL TRANSACTION' button to view your Groww balance details.