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交易「智」變
Gold Standard 價格

Gold Standard 價格BAR

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NT$30.97TWD
-0.18%1D
截至今日 12:51(UTC),Gold Standard(BAR)的 新台幣 價格為 NT$30.97 TWD。
數據來源於第三方提供商。本頁面和提供的資訊不為任何特定的加密貨幣提供背書。想要交易已上架幣種?  點擊此處
註冊
Gold Standard價格走勢圖 (TWD/BAR)
最近更新時間 2025-09-21 12:51:56(UTC+0)

Gold Standard 市場資訊

價格表現(24 小時)
24 小時
24 小時最低價 NT$29.3224 小時最高價 NT$31.38
歷史最高價:
NT$624.94
漲跌幅(24 小時):
-0.18%
漲跌幅(7 日):
+342.93%
漲跌幅(1 年):
-46.71%
市值排名:
#4203
市值:
--
完全稀釋市值:
--
24 小時交易額:
NT$3,384,740.05
流通量:
-- BAR
‌最大發行量:
1000.00K BAR
總發行量:
930.54K BAR
流通率:
0%
合約:
0x777B...858fe6B(Ethereum)
相關連結:
買幣

今日Gold Standard即時價格TWD

今日Gold Standard即時價格為 NT$30.97 TWD,目前市值為 NT$0.00。過去 24 小時內,Gold Standard價格跌幅為 0.18%,24 小時交易量為 NT$3.38M。BAR/TWD(Gold Standard兌換TWD)兌換率即時更新。
1Gold Standard的新台幣價值是多少?
截至目前,Gold Standard(BAR)的 新台幣 價格為 NT$30.97 TWD。您現在可以用 1 BAR 兌換 NT$30.97,或用 NT$ 10 兌換 0.3229 BAR。在過去 24 小時內,BAR 兌換 TWD 的最高價格為 NT$31.38 TWD,BAR 兌換 TWD 的最低價格為 NT$29.32 TWD。
AI 價格分析
加密貨幣市場今日熱點

2025年9月21日的加密貨幣市場,展現出一個動態的格局,特徵是不斷演變的監管清晰度、重要的機構動向,以及主要資產和新興領域的顯著變化。在比特幣經歷了一段整合期的同時,以太坊顯示出強大的機構興趣,而山寨幣則展現出市場資本化的顯著擴張。

比特幣的當前立場和未來展望
比特幣(BTC)最近經歷了波動,其價格下降至116,000美元以下,今天的交易價格約為115,744.98美元。這是在BTC年初突破120,000美元歷史高點後出現的,目前在116,000美元至117,000美元的範圍內整合。[4, 11] 分析師們對比特幣的即時走勢存在分歧,一些人預期到年底會反彈至120,000美元,而另一些人則警告可能會下跌至100,000美元附近。[33] 美國現貨比特幣交易所交易基金(ETF)的批准以及2024年的減半事件被視為推動比特幣在2025年9月達到115,518美元的關鍵催化劑,顯示出機構採用的持續性。[34] 在一些圈子裡,樂觀情緒依然存在,Coinbase首席執行官Brian Armstrong暗示,比特幣最終可能達到100萬美元的高概率。[37] 此外,BitMEX的Arthur Hayes推測,一旦美國財政部的一般賬戶達到8500億美元目標,比特幣市場可能會進入“只漲不跌”的階段,這意味著金融資產流動性可能會回歸。[32]

以太坊的機構動能
以太坊(ETH)正在以4,469.73美元至4,504.63美元的價格交易,顯示出適度的活動。[8, 21] 該資產面臨維持支持的挑戰,受到重要期權到期和持續供應解鎖的影響。[12] 市場分析師對以太坊的預測不一,有些人預計年底將是保守的4,300美元,而另一些人則預測更為樂觀的5,200美元。[8] 一個顯著的發展是以太坊鯨魚活動的顯著增加,2025年增長了284%,顯示出戰略性積累和對該資產的機構興趣日益增長。[19] 今年,已質押的ETH數量也上升了35%,加強了對以太坊長期價值的信心。[19]

山寨幣市場在多樣化增長中蓬勃發展
更廣泛的山寨幣市場目前正在經歷重大擴張,其總市值已超過1.16萬億美元。這一轉變表明市場正從比特幣的歷史主導地位過渡到更為多元化的、以山寨幣為驅動的增長。[28] 預測顯示,山寨幣市場到年底可能潛在達到5萬億至7萬億美元。[28]

這個月幾個山寨幣吸引了重要注意。狗狗幣(DOGE)繼續在氛圍驅動的熱潮中波動,並對狗狗幣ETF的可能性展開揣測。[6] XRP也正在經歷增加的機構需求,並受到了一個可能的價格突破的關注。[6, 24] 一個新入場者,MAGACOIN FINANCE,已成為一個趨勢山寨幣,吸引了大量興趣並顯示出顯著的增長潛力。[6, 20, 23, 24] Solana(SOL)是另一個贏得關注的山寨幣,受益於機構的採用和去中心化金融(DeFi)領域的強勁增長,交易價格在184.88美元至217.32美元之間。[29]

不斷演變的DeFi景觀
去中心化金融(DeFi)正在迅速成熟,進入所謂的“DeFi 2.0”階段。這一新階段的特點是增強的合規性、改善的可擴展性、增加的機構參與,以及開發更安全的協議,使其更深地與傳統金融系統集成。[15] 2025年DeFi的主要趨勢包括專注於“真實收益”,而不僅僅是激勵,更安全的跨鏈用戶體驗,以及日益增長的AI輔助操作採用。[2] 流動質押和重質押在DeFi生態系統中仍然是至關重要的組成部分。[2] 跨鏈互操作性是一個特別重要的趨勢,使各種區塊鏈網絡之間能夠無縫通信和交易,從而擴大用戶對更廣泛服務和更佳利率的訪問。[25] Stargate Finance,一個著名的跨鏈流動性協議,在9月見證了超過21.79億美元的驚人流入,以太坊貢獻了最大份額。[35]

NFT市場的韌性增長
非同質化代幣(NFT)市場顯示出適度復甦的跡象,在過去一周交易量增長了1.27%,達到1.086億美元。[7] 買家和賣家的數量分別大幅增加了53.24%和67.19%,這表明參與度加大,儘管總交易數量略微下降。[7] 僅以太坊網絡就記錄了NFT交易量的42.85%的大幅上升。[7]

然而,在9月初,有報導指出市場出現冷卻期,銷售量降至自6月中以來的最低點,同時獨特買家和平均銷售價格減少。[9] 儘管這些信號不一,但有明確的趨勢表明,市場正從純粹的投機性、基於藝術的NFT轉向實用性驅動的數字收藏品。[11] 特定系列如Hypurr NFTs,與Hyperliquid平台相關聯,正經歷強烈的投機需求,導致價格上漲。[27] 元宇宙仍然是NFT需求的穩定但持續的驅動者。[31]

監管進展與機構採用
監管發展正在顯著塑造加密市場。美國證券交易委員會(SEC)已制定新的上市規則,簡化現貨加密ETF的批准過程,標誌著其過去謹慎立場的顯著轉變。[14, 16] 這一監管演變預計將促進更大的產品可用性和增強的市場流動性。[14] SEC的2025年春季監管議程概述了旨在澄清加密資產法律框架的提案,包括針對替代交易系統(ATS)的交易規則、保管規定以及提供和銷售加密資產的指南。[17, 18]

在一項協調努力中,SEC與商品期貨交易委員會(CFTC)正在共同努力,以澄清針對現貨加密資產產品的法律框架。[18] 在大西洋彼岸,英國金融行為監管局(FCA)正在就將其現有手冊規則應用於受監管的加密資產活動進行諮詢,專注於加強消費者保護和行業內的運作彈性。[26]

即將召開的會議和活動
加密日曆上充滿了重要事件。韓國區塊鏈周(KBW)將於9月22日至28日在首爾舉行,而TOKEN2049新加坡則定於2025年10月1日至2日舉行。[1, 3, 10] 這些主要會議,加上2025年期間的無數其他全球聚會,繼續成為行業領導者、創新者和投資者討論趨勢和未來方向的重要平台。[1, 3, 5, 10, 13]

總結而言,2025年9月21日標誌著加密市場的重要成熟期和機構整合。儘管波動性仍然存在,但監管、技術和採用方面的根本變化指向數字資產的更結構化和擴展的未來。

展開

您認為今天 Gold Standard 價格會上漲還是下跌?

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投票數據每 24 小時更新一次。它反映了社群對 Gold Standard 的價格趨勢預測,不應被視為投資建議。
以下資訊包括:Gold Standard 價格預測,Gold Standard 項目介紹和發展歷史等。繼續閱讀,您將對 Gold Standard 有更深入的理解。

Gold Standard價格預測

什麼時候是購買 BAR 的好時機? 我現在應該買入還是賣出 BAR?

在決定買入還是賣出 BAR 時,您必須先考慮自己的交易策略。長期交易者和短期交易者的交易活動也會有所不同。Bitget BAR 技術分析 可以提供您交易參考。
根據 BAR 4 小時技術分析,交易訊號為 中立
根據 BAR 1 日技術分析,交易訊號為 強力買入
根據 BAR 1 週技術分析,交易訊號為 強力買入

Bitget 觀點

Daxxx2
Daxxx2
4天前
$PORTALS/USDT Technical Analysis & Trade Signal
Current Price: 0.190432 Reference Level: 0.190432 Timeframe: 1H / 4H Chart Market Overview $PORTALS is currently consolidating around 0.190432 after a retracement from recent local highs. This zone is acting as a mid-range support, and price behavior here will likely determine the next move—either a bullish rebound or a breakdown toward lower levels. The 0.185–0.191 range has historically seen multiple reactions, making 0.190432 a key intraday pivot level. Trade Setup: Support Rebound or Breakdown Risk Entry Option A – Support Rebound Entry: - Entry Range: 0.18500 – 0.19100 - Entry Criteria: Bullish candle confirmation (e.g., engulfing or pin bar) or volume rebound at support - Strategy: Low-risk long from range base with a tight stop Entry Option B – Breakout Entry: - Trigger: Break above 0.19800 with strong volume - Strategy: Enter on momentum for short-term upside Targets (Take-Profit Levels) - 🎯 Target 1: 0.20800 - 🎯 Target 2: 0.22000 - 🎯 Target 3 (Extended): 0.23500 Stop Loss - 🛑 Conservative SL: Below 0.17600 - 🛑 Aggressive SL: Below 0.18000 Technical Indicators - 📊 RSI: Stable around mid-zone (45–55), indicating neutral bias - 📉 Volume: Decreasing, which is typical before a breakout - 📈 Moving Averages: Price hovering near short-term MAs—watch for crossover confirmation Conclusion The 0.190432 level is pivotal for $PORTALS . Holding above it could trigger a short-term bounce toward the 0.208–0.220 range. A breakdown below 0.18000, however, may lead to a drop toward the next support near 0.16500. Wait for confirmation through volume and price structure before entering any trade.
MOVE-0.47%
MAS-3.27%
Crypto7HODL
Crypto7HODL
4天前
💸 The main reason for $BTC growth by several x's in this cycle is funds and companies. Funds and public companies have increased their total BTC reserves by 5% over the past year, bringing them to 12.3% of the total supply. They had been buying BTC before, but they did so privately or in small quantities. The trend of storing BTC and creating BTC treasuries began only in the last two years and peaked in 2025, which allowed the asset to take the $120,000 region. We continue to have gradual purchases from public companies and their reserves are actively replenished. Strategy still holds the leading bar with a fairly significant gap. Although there is active accumulation, this has practically no effect on BTC and we are potentially looking short. I think this trend will be for $ETH and top altcoins. This looks like a long-term potential rather than a local cycle.
BTC+0.01%
ETH-0.25%
Anadearmus
Anadearmus
4天前
SWTCH long view one day plan for position building, project health, and multi month targets
Snapshot quick facts → ticker symbol SWTCH → recent price visible on chart about 0.135 USDT → 24 hour range high near 0.150 and low near 0.106 → recent rapid volume surge shows heavy trading interest and order flow change → visible prior swing low near 0.0888 which acts as a structural support reference → short term moving averages turned higher on intraday candles indicating short term momentum pickup Executive summary This note looks at SWTCH from a one day timeframe and blends project fundamentals, daily K line structure, and long term trading strategies. Recent price action shows an impulse up followed by consolidation and a visible volume spike that signals renewed participation. For long term holders the right approach is layered accumulation, catalyst aware scaling, and disciplined stops keyed to daily invalidation levels. Below is a compact fundamental checklist, daily technical read, scenario driven targets, and clear trading rules designed for multi month exposure. Project fundamentals and use case → primary utility token for a cross chain routing and payments network that aims to reduce friction between blockchains → value drivers to monitor active addresses, swapped volumes, developer integrations, and total value routed across the network → tokenomics points of interest distribution to team and treasury, any scheduled unlocks, and staking rewards that can reduce circulating supply when active → community signals the health of adoption are recurring protocol usage, governance participation, and social engagement around developer releases → product milestones to watch mainnet upgrades, new bridge integrations, and strategic partnerships that drive real utility demand Daily K line technical read → recent structure on the daily shows an earlier base near 0.0888 followed by a clean rally into the 0.15 area → daily candles compressed after the impulse which is a normal consolidation pattern that allows the market to digest gains before the next directional move → moving average alignment on daily and weekly frames is the key confirmation to watch for a sustained long term trend change → Bollinger and volatility contraction on daily suggests a larger move is likely once range resolves in either direction → volume spike means there are buyers and sellers active now which increases the probability that next breaks will have meaningful follow through Key daily levels and price targets → immediate resistance daily 0.150 which is the recent swing high and the first level needing a clean daily close above for further upside → near term support daily 0.12 to 0.10 which contains recent consolidation and intraday demand zones → structural support daily 0.088 to 0.075 which was a former base and a logical high confidence accumulation band for long term buyers → daily invalidation level below 0.060 which would require rethinking the multi month accumulation plan and signal deeper corrective risk → conservative multi month upside target 0.30 to 0.50 if adoption metrics and liquidity improve steadily → aggressive bull target multi month 0.75 plus if the protocol secures major integrations and macro liquidity favors risk assets Long term prediction and scenario planning → base case 12 to 18 months: steady adoption and measured growth produce a 2x to 4x appreciation from current prices while volatility remains elevated during macro cycles → bullish case 12 to 24 months: strong cross chain integrations and rising utility cause re-rating and 5x plus outcomes as network effects compound demand for the token → bearish case 12 to 24 months: large unlocks or failing adoption force re-tests of deep support and possible 60 percent plus drawdowns from recent highs Trading strategies for long prediction based on daily frame not on short term noise Strategy A layered long term accumulation → ladder buys across the support bands to lower average cost rather than a single lump sum entry → add materially only after daily candles show bullish confirmation such as engulfing green candles or sustained daily closes above key moving averages → protective stop placement under structural support so one decisive close below invalidation triggers re-evaluation Strategy B catalyst driven scaling → allocate initial position prior to high probability protocol events then scale up only when on chain metrics and daily price structure validate momentum → use event windows to capture asymmetric return while limiting capital at risk if the catalyst underdelivers Strategy C slow scheduled DCA → systematic dollar cost averaging over weeks to months to reduce timing risk and smooth exposure through market cycles → pair DCA with periodic re-assessment of fundamentals to avoid averaging through fundamental deterioration K line setups on daily that increase probability for longs → daily green engulfing candles that break above recent resistance with rising volume indicate institutional participation and a favorable entry point → daily hammer or pin bar at the 0.088 to 0.075 band followed by a higher daily close forms a low risk long entry for position builders → failure patterns such as large bearish marubozu daily candles closing below structural support are high probability sell signals and call for defensive posture Related news and catalyst checklist with daily focus → product integrations and new bridge announcements are primary positive catalysts that increase on chain utility → staking or burn mechanisms that decrease circulating supply strengthen the long term thesis → scheduled token unlocks and large holder transfers are primary risks that can add selling pressure on daily time frames → regulatory headlines and macro liquidity shifts will amplify price moves across the board so maintain awareness of broader market regime Risk management and discipline rules → size positions so any single trade or allocation risks only a small percent of overall portfolio → use daily based stops and confirmations to avoid being whipsawed by intraday noise → take partial profits at pre planned zones to de risk while allowing a core position to capture long term upside → re-evaluate exposure when tokenomics or adoption metrics materially change Daily checklist for the next phase → watch for a daily close above 0.150 with expanding volume for trend continuation to higher targets → monitor on chain metrics daily for sustained increases in active addresses and swap volumes as proof of adoption → track token unlock calendars and large transfers as signals that may precede selling pressure → validate any accumulation by waiting for daily candle confirmations rather than intraday bounces Final perspective SWTCH sits at an important junction for long term holders. The current one day picture shows recent rally digestion and elevated volume participation. For investors focused on multi month outcomes the optimal path is patient, structured accumulation combined with catalyst awareness and strict stops keyed to daily invalidation. If product adoption and tokenomics align positively the token has clear upside potential. If supply dynamics or usage metrics deteriorate remain defensive and preserve capital for higher probability re-entry points. Arrow quick reference for important actionable levels → immediate resistance daily 0.150 → near term support daily 0.12 to 0.10 → structural support daily 0.088 to 0.075 → invalidation daily below 0.060 → key catalysts product integrations, staking updates, and tokenomics changes $SWTCH
CORE+0.26%
NEAR-1.33%
Anadearmus
Anadearmus
4天前
ART Long View: one day framework for position building, project health, and multi month targets
Snapshot → ticker symbol: ART → current approximate price 0.038 US dollars as shown on live market feeds.  → circulating supply estimate 130 million ART.  → max supply 1 billion ART.  → recent range high near 0.060 and immediate resistance zone around 0.039 to 0.042.  → short term support cluster near 0.028 and strong structural support near 0.022.  → recent volume pattern shows a spike on the rally and lower volume during consolidation.  Executive summary This note focuses on the daily chart and the long term view for ART. The project exhibits product market fit signals common to art and creator centered tokens. On the one day timeframe price moved in a clean impulse followed by a multiweek consolidation that carved out higher structural levels. The next decisive directional move will depend on whether buyers reclaim the daily resistance band or sellers drag price below the primary support cluster. The long term thesis is conditional but constructive if on chain activity, roadmap execution, and tokenomics remain healthy. Below you will find a practical long term trading framework, project level checklist, scenario driven price targets, and risk management rules for multi month positions. Project fundamentals and health check → core use case: token designed to link art creation, curation, and collectible ownership with blockchain utility. → adoption signals to monitor: active wallet growth, volume in marketplace activity, number of unique creators and collectors, and integrations with third party platforms. → tokenomics to watch: distribution schedule for large holders, team and treasury allocations, and any upcoming token unlocks. Large concentrated holdings or scheduled unlocks can pressure price when liquidity is thin. → community strength: social engagement, creator onboarding, and recurring events that drive marketplace activity. Strong creator-driven demand tends to support mid term price discovery. → technical development: roadmap milestones, smart contract audits, and new feature releases. Each of these can act as a re-accumulation catalyst for long term holders. Daily chart technical read On the one day chart ART printed a clear impulse leg, then formed a consolidation that resembles a rounding coil or bullish flag. The daily moving averages are beginning to compress which usually precedes a directional expansion. Momentum indicators cooled off from overbought but remain above long term median levels, which suggests the trend is not yet invalidated. Volume shows distribution during weakness but not capitulation. Taken together this is a classic mid trend consolidation that favors continuation if buyers step in at the support cluster. Key daily levels and targets → immediate daily resistance to overcome for trend continuation 0.039 to 0.042. A daily close above this band with rising volume is the first constructive signal.  → daily support band for accumulation 0.028 to 0.026. This zone aligns with the shorter daily moving average and recent demand nodes.  → structural invalidation for the bullish daily thesis 0.022. A decisive daily close below this level would increase the probability of a deeper corrective phase.  → conservative mid term target if daily breakout holds 0.080 to 0.100. This assumes measured moves and healthy volume expansion.  → bear case lower target on multi month drawdown 0.015 to 0.018 if the support band fails and market risk appetite collapses.  Long term thesis and prediction The long term outlook for ART is binary but tilt positive if fundamental execution continues. If the project expands marketplace activity, increases creator retention, and limits disruptive token unlocks then ART has probability to revisit previous highs and potentially reach larger discovery phases above 0.100 in an extended bull market. Conversely, if token distribution becomes concentrated with large unlocks or the platform fails to scale creator demand, the token risks multi month consolidation or re-pricing to deeper support zones. Long term multi year prediction summary → base case 12 to 24 months: continued product growth and steady adoption lead to 2x to 3x from current levels provided broader crypto markets remain constructive. → bullish case 12 to 24 months: breakout with strong liquidity and cross platform adoption leading to 5x plus returns. → bearish case 12 to 24 months: fundamental headwinds or heavy unlocking leads to re-test of deep support and potential 60 to 80 percent drawdown from current levels. Trading strategies for the one day timeframe and long term accumulation Position builders and long term investors should think in layers and timeframes. Use the daily chart to align entries and scale in at structurally favorable zones. Strategy A long term accumulation plan → entry ladder: stagger buys across the 0.032 to 0.026 band to reduce timing risk. → add allocation: increase position on confirmed daily support tests near 0.028 that show positive divergence on RSI or MACD. → stop placement: use a protective stop under 0.020 for full size holders or under 0.022 for partial sizing to preserve capital if structure breaks.  → exit plan: take incremental profits at 0.060, 0.080, and 0.100 while trailing stops on daily closes below higher lows. Strategy B target oriented swing for multi month gains → bias: trade the daily trend. Enter on daily close above 0.042 with above average volume. → sizing: use position size consistent with risk tolerance and a rule of never risking more than 2 percent of account equity on any single position. → targets: first profit booking near 0.080 then re-evaluate momentum for extended targets. → risk control: tighten stops to break even once the first target is reached and trail stops under successive daily swing lows. Strategy C defensive risk off plan → protect capital if macro risk rises or if daily closes below 0.022 occur. Scale out and watch for re-accumulation signals.  K-line and candle structure to watch On the daily K-line watch for two specific setups that improve the odds for longs. First, a daily green engulfing candle above the 0.042 band on volume confirms bullish control. Second, a daily pin bar or hammer within the 0.028 to 0.026 support band followed by a confirming higher close signals a low risk long entry. Conversely, a large daily bearish marubozu closing below 0.022 signifies momentum shift to the downside. Risk drivers and what will break the thesis → large token unlocks or concentrated sell pressure from major holders. → a sharp drop in marketplace activity or developers halting key features. → broad market liquidity shock that disproportionately affects lower liquidity altcoins. Each of these risk drivers can be monitored with regular on chain and community checks. Related news and catalyst checklist for long term monitoring → roadmap releases and feature launches. These typically drive renewed user interest. → creator partnerships and high profile drops. These events can increase transactional demand. → governance proposals that change token distribution. These can significantly impact supply dynamics. → on chain activity metrics improving over months. Rising unique wallets and sustained marketplace volume are constructive. What to watch next daily → daily close above 0.042 with rising volume. → confirms trend continuation and opens higher targets.  → daily failure to hold 0.028 to 0.026. ↓ increased risk of deeper correction.  → improving on chain metrics and creator activity. → strengthens long term thesis. → any tokenomic announcements that would alter supply dynamics. ↓ immediate re-evaluation required. Final guidelines and discipline rules → trade the daily structure not the noise. Use multi day confirmation on critical levels. → size positions according to risk tolerance and always use a stop that protects capital. → maintain a watchlist of project fundamentals and on chain stats to detect early divergence between price and usage. → rebalance exposure after major moves to capture gains and reduce tail risk. Arrow quick reference → key resistance daily 0.039 to 0.042.  → primary accumulation band 0.028 to 0.026.  → invalidation level for daily thesis 0.022.  → mid term target 0.080 to 0.100.  This framework combines project fundamentals, daily K-line structure, and actionable long term trading rules to help structure positions over months. Keep monitoring volume, on chain activity, and tokenomics changes as these are the core drivers that will validate or invalidate the long term thesis. $ART
LINK-0.69%
HOLD+9.13%

BAR/TWD 匯率換算器

BAR
TWD
1 BAR = 30.97 TWD,目前 1 Gold Standard(BAR)兌換 TWD 的價格為 30.97。匯率即時更新,僅供參考。
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BAR 資料來源

Gold Standard評級
4.4
100 筆評分
合約:
0x777B...858fe6B(Ethereum)
相關連結:

您可以用 Gold Standard (BAR) 之類的加密貨幣做什麼?

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如何購買 Gold Standard?

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了解如何在幾分鐘內學會兌現 Gold Standard。
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什麼是 Gold Standard,以及 Gold Standard 是如何運作的?

Gold Standard 是一種熱門加密貨幣,是一種點對點的去中心化貨幣,任何人都可以儲存、發送和接收 Gold Standard,而無需銀行、金融機構或其他中介等中心化機構的介入。
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常見問題

Gold Standard 的目前價格是多少?

Gold Standard 的即時價格為 NT$30.97(BAR/TWD),目前市值為 NT$0 TWD。由於加密貨幣市場全天候不間斷交易,Gold Standard 的價格經常波動。您可以在 Bitget 上查看 Gold Standard 的市場價格及其歷史數據。

Gold Standard 的 24 小時交易量是多少?

在最近 24 小時內,Gold Standard 的交易量為 NT$3.38M。

Gold Standard 的歷史最高價是多少?

Gold Standard 的歷史最高價是 NT$624.94。這個歷史最高價是 Gold Standard 自推出以來的最高價。

我可以在 Bitget 上購買 Gold Standard 嗎?

可以,Gold Standard 目前在 Bitget 的中心化交易平台上可用。如需更詳細的說明,請查看我們很有幫助的 如何購買 gold-standard 指南。

我可以透過投資 Gold Standard 獲得穩定的收入嗎?

當然,Bitget 推出了一個 機器人交易平台,其提供智能交易機器人,可以自動執行您的交易,幫您賺取收益。

我在哪裡能以最低的費用購買 Gold Standard?

Bitget提供行業領先的交易費用和市場深度,以確保交易者能够從投資中獲利。 您可通過 Bitget 交易所交易。

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1 TWD 即可購買 Gold Standard
新用戶可獲得價值 6,200 USDT 的迎新大禮包
立即購買 Gold Standard
加密貨幣投資(包括透過 Bitget 線上購買 Gold Standard)具有市場風險。Bitget 為您提供購買 Gold Standard 的簡便方式,並且盡最大努力讓用戶充分了解我們在交易所提供的每種加密貨幣。但是,我們不對您購買 Gold Standard 可能產生的結果負責。此頁面和其包含的任何資訊均不代表對任何特定加密貨幣的背書認可,任何價格數據均採集自公開互聯網,不被視為來自Bitget的買賣要約。