Mutual Fund transactions take place once a day, following the market's closure. It's crucial to recognize that these transactions are contingent upon the end-of-day Net Asset Value (NAV) calculation. Please be aware that the final executed price might deviate from the price seen when the order was placed.
This is especially true with Interval Funds, where the sale will not take place until a redemption window that may be weeks or months following placement of the order.