
Algowaveの価格
ALGOUSD
Algowave(ALGO)の価格はUnited States Dollarでは-- USDになり ます。
この通貨の価格は更新されていないか、更新が止まっています。このページに掲載されている情報は、あくまでも参考情報です。上場した通貨はBitget現物市場で確認できます。
登録Algowave市場情報
価格の推移(24時間)
24時間
24時間の最低価格:$0.0324時間の最高価格:$0.05
最大供給量:
1.00M ALGO
現在のAlgowave価格(USD)
現在、Algowaveの価格は$0.00 USDで時価総額は$0.00です。Algowaveの価格は過去24時間で24.79%下落し、24時間の取引量は$0.00です。ALGO/USD(AlgowaveからUSD)の交換レート はリアルタイムで更新されます。
1 AlgowaveはUnited States Dollar換算でいくらですか?
現在のAlgowave(ALGO)価格はUnited States Dollar換算で$0.00 USDです。現在、1 ALGOを$0.00、または0 ALGOを$10で購入できます。過去24時間のALGOからUSDへの最高価格は$0.04598 USD、ALGOからUSDへの最低価格は$0.03445 USDでした。
今日のAlgowaveの価格の他にも以下を検索できます。
暗号資産の購入方法暗号資産の売却方法Algowave(ALGO)とは本日の類似の暗号資産の価格は?暗号資産をすぐに入手したいですか?
クレジットカードで暗号資産を直接購入しよう。現物プラットフォームでさまざまな暗号資産を取引してアービトラージを行おう。以下の情報が含まれています。Algowaveの価格予測、Algowaveのプロジェクト紹介、開発履歴など。Algowaveについて深く理解できる情報をご覧いただけます。
Algowaveの価格予測
2027年のALGOの価格はどうなる?
+5%の年間成長率に基づくと、Algowave(ALGO)の価格は2027年には$0.00に達すると予想されます。今年の予想価格に基づくと、Algowaveを投資して保有した場合の累積投資収益率は、2027年末には+5%に達すると予想されます。詳細については、2026年、2027年、2030〜2050年のAlgowave価格予測をご覧ください。2030年のALGOの価格はどうなる?
+5%の年間成長率に基づくと、2030年にはAlgowave(ALGO)の価格は$0.00に達すると予想されます。今年の予想価格に基づくと、Algowaveを投資して保有した場合の累積投資収益率は、2030年末には21.55%に到達すると予想されます。詳細については、2026年、2027年、2030〜2050年のAlgowave価格予測をご覧ください。
Algowave(ALGO)などの暗号資産を購入するのに最適な場所は?
Bitgetインサイト

AnjumTrader
1日
🚨 +30% HERE, -79% THERE — WHAT IS REALLY HAPPENING? 💣 THIS ISN’T A BULL RUN — IT’S A LIQUIDITY
⚡ THE MARKET HAS STOPPED MOVING AS ONE
BTC ISN’T BREAKING DOWN.
ALTCOINS AREN’T MOVING TOGETHER.
LIQUIDITY IS CHANGING HANDS.
And that may be the most important signal on the screen right now.
📅 SEPTEMBER 30, 2026
🧠 MARKET INTELLIGENCE REPORT
━━━━━━━━━━━━━━━━━━━━━━
Forget the biggest green candle for a moment.
Look at the DISTANCE between winners and losers.
That distance is where the market is revealing itself.
BTC is sitting around $83.4K.
ETH is near $2.67K.
Total crypto market capitalization is around $2.83T.
BTC dominance is close to 59%.
But 24-hour crypto trading volume has surged toward $478B.
So we have:
STABLE BTC
+
HIGH VOLUME
+
EXTREME ALTCOIN DISPERSION
That combination deserves attention.
━━━━━━━━━━━━━━━━━━━━━━
₿ BTC: THE ANCHOR, NOT THE ENGINE
━━━━━━━━━━━━━━━━━━━━━━
BTC: ~$83,414
24H: +0.27%
7D: -2.52%
1M: +6.79%
Bitcoin isn't collapsing.
But it also isn't producing the kind of broad expansion that normally pulls everything higher.
That distinction matters.
BTC is currently acting more like an anchor for the market than the engine driving it.
The critical zone remains the low-$80Ks.
If BTC stabilizes there while altcoin volume remains elevated, selective rotation can continue.
If BTC loses that structure while leverage remains high, the weakest altcoins can move much faster than Bitcoin itself.
━━━━━━━━━━━━━━━━━━━━━━
♦️ ETH: THE CONFIRMATION TEST
━━━━━━━━━━━━━━━━━━━━━━
ETH: ~$2,674
24H: +0.87%
7D: -2.20%
1M: +8.89%
ETH is quietly holding better than some of the higher-beta names.
But here's the question:
Is ETH beginning to outperform BTC?
That is more important than simply seeing ETH green for one session.
If ETH/BTC strengthens while BTC remains stable, it would suggest capital is moving deeper into large-cap crypto.
If ETH continues lagging BTC, the market may remain concentrated in selected narratives rather than entering a broad altcoin expansion.
━━━━━━━━━━━━━━━━━━━━━━
🔥 THE QNT PARADOX
━━━━━━━━━━━━━━━━━━━━━━
QNT is one of the clearest examples of why timeframe matters.
Recent trading pushed QNT from roughly $66 to a high near $358.
That's more than a 4x move in a matter of days.
But then came the reversal.
One Sep. 29 market snapshot showed QNT down around 9.7% over 24 hours.
Another intraday snapshot had QNT recovering sharply.
This isn't contradiction.
It's volatility.
And extreme volatility changes the trading game.
After a move this large, the question isn't:
“Can QNT pump again?”
The professional question is:
“Where does price build a new base?”
A breakout without a base is momentum.
A breakout followed by consolidation is structure.
━━━━━━━━━━━━━━━━━━━━━━
🟢 HBAR: STRENGTH CAN REVERSE FAST
━━━━━━━━━━━━━━━━━━━━━━
HBAR was one of the strongest performers in the Sep. 29 market snapshot:
HBAR:
+21.27%
But other later market data showed HBAR giving back part of that move.
This is exactly what happens when crowded momentum meets aggressive derivatives positioning.
The lesson isn't bearish.
The lesson is simple:
A strong coin still needs risk management.
When an asset becomes a market leader, volatility usually increases.
The trade becomes less about predicting direction and more about identifying where buyers are willing to defend price.
━━━━━━━━━━━━━━━━━━━━━━
🚀 THE ROTATION BOARD
━━━━━━━━━━━━━━━━━━━━━━
Recent major-cap momentum:
HBAR +21.27%
CRV +16.46%
ALGO +13.55%
AVAX ~+8–10%
LINK ~+6–7%
Meanwhile:
ONDO -13.00%
SOON -12.04%
DOG -11.79%
ZEC -10.68%
QNT -9.74%
Different sectors.
Different narratives.
Different flows.
This is why saying “crypto is bullish” is too simplistic.
The market can be bullish on one narrative
while aggressively selling another.
━━━━━━━━━━━━━━━━━━━━━━
🟣 ZEC: THE COST OF MOMENTUM
━━━━━━━━━━━━━━━━━━━━━━
ZEC:
~$1,386
24H:
~ -10.68%
Yet ZEC had still gained roughly 67% over the previous month in the same market snapshot.
That is the kind of divergence traders need to understand.
A 10% daily correction does NOT automatically erase a strong monthly trend.
But it does tell you something:
The risk profile has changed.
After an extended rally, every new entry has to be evaluated against:
• distance from support
• realized volatility
• liquidity
• leverage
• momentum exhaustion
The stronger the previous move, the less attractive blindly chasing the next candle becomes.
━━━━━━━━━━━━━━━━━━━━━━
📊 THE NUMBER MOST PEOPLE ARE IGNORING
━━━━━━━━━━━━━━━━━━━━━━
$478 BILLION.
That's the approximate 24-hour crypto trading volume in the latest Sep. 29 snapshot.
Volume increased roughly 89% from the previous 24-hour period.
That is enormous.
But volume alone isn't bullish.
What matters is WHERE the volume is appearing.
If volume expands while BTC remains stable and selected altcoins continue making higher lows:
➡️ rotation.
If volume expands because liquidations are accelerating:
➡️ instability.
Same volume.
Completely different market structure.
━━━━━━━━━━━━━━━━━━━━━━
🌍 NOW LOOK AT THE MACRO
━━━━━━━━━━━━━━━━━━━━━━
The crypto market isn't trading in isolation.
On Sep. 29:
S&P 500: -0.17%
Nasdaq: -0.08%
Dow: -0.26%
Meanwhile:
10Y Treasury yield:
5.293%
30Y Treasury yield:
5.6206%
The 30-year Treasury yield reached its highest level since 2002.
The 10-year yield reached its highest level since 2007.
That creates a very different environment for speculative assets.
Higher yields increase the opportunity cost of holding risk.
And when oil prices are also creating inflation concerns, traders have to watch monetary-policy expectations much more closely.
1
━━━━━━━━━━━━━━━━━━━━━━
🛢️ OIL + BONDS = THE MACRO WILDCARD
━━━━━━━━━━━━━━━━━━━━━━
This part of the market deserves more attention than it receives.
Oil volatility has been feeding directly into inflation expectations.
Higher energy prices can keep inflation concerns alive.
Inflation concerns can push Treasury yields higher.
Higher yields can tighten financial conditions.
And tighter financial conditions can make high-beta assets more fragile.
That's the chain.
OIL
↓
INFLATION EXPECTATIONS
↓
BOND YIELDS
↓
FINANCIAL CONDITIONS
↓
RISK APPETITE
↓
CRYPTO
This is why a crypto trader who watches only crypto charts is missing part of the picture.
2
━━━━━━━━━━━━━━━━━━━━━━
🧩 THREE MARKETS ARE HAPPENING AT ONCE
━━━━━━━━━━━━━━━━━━━━━━
MARKET #1
₿ BTC
Consolidation.
MARKET #2
🔥 HIGH-BETA ALTCOINS
Explosive rotation.
MARKET #3
🌍 MACRO
Elevated yields + unstable energy markets + incoming inflation data.
These three forces are colliding.
That's why the charts feel unusually chaotic.
━━━━━━━━━━━━━━━━━━━━━━
🎯 WHAT I WOULD WATCH — NOT WHAT I WOULD CHASE
━━━━━━━━━━━━━━━━━━━━━━
1. BTC holding the low-$80Ks
2. ETH/BTC relative strength
3. BTC dominance near 59%
4. Whether altcoin volume stays elevated
5. QNT building a new structure after its extreme expansion
6. HBAR holding gains after its sharp momentum burst
7. ZEC stabilizing after its correction
8. LINK maintaining relative strength
9. Treasury yields
10. Oil prices
11. Open interest
12. Funding rates
13. Spot volume
14. Liquidation clusters
The most useful signal may be #5:
CAN THE LEADERS HOLD?
Because a market that pumps is interesting.
A market that pumps AND holds is much more informative.
━━━━━━━━━━━━━━━━━━━━━━
⚠️ THE TRADER'S TRAP
━━━━━━━━━━━━━━━━━━━━━━
The biggest mistake right now is confusing:
MOMENTUM
with
CONFIRMATION.
A coin going +20% tells you buyers were aggressive.
It does NOT tell you where the next good entry is.
A better sequence is:
EXPANSION
↓
CONSOLIDATION
↓
RETEST
↓
HIGHER LOW
↓
VOLUME CONFIRMATION
↓
CONTINUATION
That's structure.
Chasing the final vertical candle is not structure.
━━━━━━━━━━━━━━━━━━━━━━
🧠 MY MARKET READ
━━━━━━━━━━━━━━━━━━━━━━
I'm not looking at this market as simply:
BULLISH
or
BEARISH.
I'm looking at it as:
SELECTIVE.
BTC is providing stability.
ETH is testing relative strength.
QNT is demonstrating extreme volatility.
HBAR is showing how quickly momentum can reverse.
ZEC is showing the difference between a strong monthly trend and weak daily price action.
LINK and other large-cap names are showing selective demand.
Meanwhile, Treasury yields are forcing traders to respect macro risk.
The market is not short of liquidity.
The market is becoming more demanding about WHERE that liquidity goes.
━━━━━━━━━━━━━━━━━━━━━━
🚨 THE REAL SIGNAL
━━━━━━━━━━━━━━━━━━━━━━
Don't ask:
“Which coin is pumping?”
Ask:
“Which coins are attracting capital AND keeping it?”
That's a much harder question.
But it's also a much more useful one.
Because the first candle tells you who arrived.
The RETEST tells you who stayed.
And the next higher low tells you whether the market is willing to pay a higher price again.
That is where momentum becomes structure.
That is where noise becomes information.
And that is where I want to be watching.
$BTC $ETH $QNT $HBAR $ZEC $LINK $AVAX
LINK+0.70%
SOON-9.72%

AhamadSorif
1日
(BULL MARKET TARGETS — MORE TOKENS
LTC — $150 → $250 → $400
BCH — $800 → $1,200 → $1,800
TRX — $0.50 → $0.80 → $1.20
DOT — $8 → $15 → $25
ATOM — $15 → $25 → $40
HBAR — $0.30 → $0.50 → $1
ALGO — $0.50 → $1 → $2
VET — $0.08 → $0.15 → $0.30
THETA — $3 → $5 → $10
GRT — $0.30 → $0.60 → $1
IMX — $3 → $6 → $10
MATIC/POL — $1 → $2 → $5
ARB — $1.50 → $3 → $5
OP — $2 → $4 → $6
APT — $15 → $25 → $40
SEI — $0.80 → $1.50 → $3
INJ — $40 → $80 → $150
TIA — $10 → $20 → $40
JASMY — $0.05 → $0.10 → $0.20
SAND — $1 → $2 → $4
MANA — $1 → $2 → $4
AXS — $15 → $30 → $50
GALA — $0.05 → $0.10 → $0.20
FLOKI — 2X → 5X → 10X
SHIB — 2X → 5X → 10X
BONK — 2X → 5X → 10X
BRETT — 2X → 5X → 10X
PENGU — $0.05 → $0.10 → $0.20
WLD — $5 → $10 → $20
FET — $3 → $5 → $8
RENDER — $10 → $20 → $40
TAO — $800 → $1,500 → $2,500
AKT — $10 → $20 → $40
JUP — $2 → $4 → $6
RAY — $10 → $20 → $30
PYTH — $1 → $2 → $3
ONDO — $2 → $3.50 → $5
KAS — $0.20 → $0.50 → $1
HYPE — $50 → $100 → $200
These are bull-market scenario targets, not guaranteed prices. Recent 2026 market commentary has highlighted ETH, SOL, XRP, SUI, LINK, ONDO, TAO and KAS among assets being watched for a potential stronger altcoin cycle.
DOT+1.60%
HBAR+1.56%

Theaikenspace
1日
Market Update (September 29, 2026)
Hedera ($HBAR ) +18% to +27%
One of the strongest mid/large-cap performers; high trading volume.
Curve DAO ($CRV ) +19% to +22%
Clear DeFi-related strength.
Algorand ($ALGO ) +11% to +14%
Consistent upside.
Internet Computer (ICp) +11%
Chainlink (LINK) +9% to +10%
Solid liquidity-backed move
Bitcoin (BTC) and Ethereum (ETH) remain relatively stable.
Losers: ZEC, NEAR, UNI, and some prior high-flyers like QNT showing pullbacks.
The market remains supported by genuine institutional demand (ETFs + corporate treasuries), which has absorbed selling pressure better than in prior periods. Breadth improved recently, and narratives around tokenization/RWA and selective L1s are driving relative outperformance.
However, the combination of elevated yields, oil, and upcoming inflation/labor data creates a near-term risk of continued consolidation or further pullbacks if data comes in hotter than expected. A decisive hold above the $82k–$83k zone for BTC, combined with sustained ETF flows, would keep the medium-term structure constructive.
This is not financial advice, markets move quickly. Cross-check live prices, flows, and data releases for the latest picture. Let me know if you want a deeper dive on any specific coin, sector (RWA, L1s, etc.), or technical levels.
LINK+0.70%
CRV0.00%

AnjumTrader
2日
🚨 别被满屏绿K线骗了:真正值得看的,是资金正在往哪里走
📅 2026年9月29日|全球市场实时结构观察
如果你今天只盯着“哪个币涨得最多”,你可能已经错过真正重要的信号。
现在的市场非常奇怪:
BTC 在调整。
SOL 在承压。
ZEC 大幅回落。
但 LINK、HBAR、QNT、ALGO 却在疯狂吸引资金。
这不是一个简单的“牛市 / 熊市”问题。
这是一次资金重新洗牌。
━━━━━━━━━━━━━━━━━━
🧨 第一件事:BTC没有死,但市场已经开始分化
当前主要资产大致位于:
₿ BTC ~$83.4K
♦️ ETH ~$2.68K
🟡 BNB ~$762
💧 XRP ~$1.49
🟣 SOL ~$118
🔵 TRX ~$0.336
🟢 ZEC ~$1.46K
⚡ HYPE ~$87
🐕 DOGE ~$0.094
🔗 LINK ~$15.24
🕶️ XMR ~$541
🔷 ADA ~$0.245
⭐ XLM ~$0.227
最新市场快照显示,BTC约跌1.3%,SOL约跌3.5%,ZEC约跌8.9%,而LINK反而上涨约9.1%,XLM上涨约5%。
这就是最值得注意的地方:
市场没有一起涨,也没有一起跌。
资金正在挑选。
━━━━━━━━━━━━━━━━━━
🔥 第二件事:真正疯狂的不是BTC,而是“资金轮动”
目前的大市值强势名单非常醒目:
🚀 QNT +29.29%
🚀 HBAR +26.22%
🚀 ALGO +11.24%
🚀 LINK +8.61%
🚀 XLM +5.61%
🚀 XDC +5.37%
与此同时:
🔻 NEAR -12.28%
🔻 UNI -9.69%
🔻 ZEC -8.24%
🔻 BCH -7.70%
🔻 ADA -4.09%
🔻 HYPE -4.07%
这些数据来自9月29日最新的大市值加密资产快照。
你看到这里应该明白一件事:
“Crypto is pumping”这种说法已经太粗糙了。
真正的问题是:
«谁在吸引资金?谁在失去资金?»
━━━━━━━━━━━━━━━━━━
⚠️ 第三件事:ZEC的暴跌比它之前的上涨更值得研究
ZEC现在约 $1,458,24小时跌幅接近 9%。
这不是普通的小波动。
当一个资产经历巨大上涨之后出现这种级别的回撤,最危险的动作就是:
看到价格便宜了 → 直接抄底。
价格下降 ≠ 风险下降。
有时候恰恰相反。
真正需要观察的是:
下跌后有没有出现新的买盘?
如果没有,所谓“回调”可能只是趋势反转的第一阶段。
━━━━━━━━━━━━━━━━━━
💥 第四件事:QNT / HBAR正在制造另一个问题
QNT接近 +30%。
HBAR超过 +26%。
这种走势当然会吸引注意力。
但职业交易者真正关注的不是:
“还能不能涨?”
而是:
“上涨之后,谁愿意接盘?”
如果价格继续上涨,同时成交量、现货需求和结构都保持健康:
➡️ 动能可能继续。
如果出现:
暴涨 → 放量 → 长上影 → 跌破突破位
那就是完全不同的故事。
不要把强势资产和安全入场点混为一谈。
━━━━━━━━━━━━━━━━━━
🌎 第五件事:真正的大背景甚至不在Crypto
现在全球市场正在面对一个非常关键的组合:
🛢️ Brent ~$106+
🛢️ WTI ~$93+
🇺🇸 美国10Y收益率 >5.2%
与此同时,美股承压。
9月29日的全球市场报道显示,油价继续上涨,美国10年期国债收益率一度升至约5.27%的19年高位,亚洲股市也受到压力。
这意味着:
Crypto并不是在真空里交易。
如果油价继续冲高,同时债券收益率继续上升:
➡️ 风险资产的压力可能扩大。
反过来,如果油价降温、收益率回落:
➡️ 风险资产的环境可能明显改善。
━━━━━━━━━━━━━━━━━━
📈 CRYPTO STOCKS也在告诉我们一个故事
别只看币。
同时观察:
MSTR
COIN
HOOD
MARA
RIOT
这些股票是传统金融市场观察Crypto风险偏好的重要窗口。
如果BTC上涨,但Crypto相关股票没有跟随:
⚠️ 需要注意。
如果BTC、Crypto stocks、交易量同时改善:
🔥 市场确认度更高。
跨市场确认永远比单一K线更有价值。
━━━━━━━━━━━━━━━━━━
🧠 现在最重要的5个观察指标
① BTC
$85K附近重新站稳
→ 市场情绪改善
$80K失守
→ 高Beta资产风险明显增加
② ETH/BTC
ETH开始跑赢BTC
→ Altcoin rotation更值得关注
③ BTC Dominance
Dominance继续上升
→ BTC仍然吸收大量资金
Dominance下降 + ETH/SOL走强
→ Altcoin资金轮动更值得关注
④ DXY + 美债收益率
美元和收益率同时走高:
⚠️ 不要轻视。
⑤ Gainers是否守得住
QNT、HBAR、LINK、ALGO今天涨得很漂亮。
真正的测试不是今天收盘时涨多少。
而是:
明天还能不能守住今天的突破。
━━━━━━━━━━━━━━━━━━
💣 这里是最容易犯错的地方
市场最危险的时候,
不是没人赚钱。
而是:
所有人突然开始赚钱。
因为这会让交易者产生一种错觉:
«“只要买进去就会涨。”»
然后开始:
加杠杆。
追涨。
FOMO。
不断抬高仓位。
最后一个BTC的快速下跌,
就可能让一大批高Beta资产同时出现瀑布。
━━━━━━━━━━━━━━━━━━
🎯 所以我现在真正关注的不是“下一个100倍币”
我更关注:
BTC能不能守住结构。
ETH能不能重新跑赢BTC。
SOL能不能收复关键区域。
XRP能不能重新站稳$1.50。
LINK能不能守住突破。
QNT/HBAR的暴涨能不能转化成新的支撑。
ZEC能不能在大跌后找到真正的买盘。
这才是市场接下来真正值得看的东西。
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🧠 一句话总结
不要交易你看到的K线。
交易K线背后的资金行为。
价格告诉你发生了什么。
成交量告诉你有多少人参与。
BTC告诉你市场的大方向。
DXY和收益率告诉你宏观环境。
而市场广度告诉你:
到底是整个市场在变强,还是只有少数几个币在制造幻觉。
现在,我更愿意把这个市场定义为:
🔥 HIGH VOLATILITY + SELECTIVE ROTATION
不是所有上涨都值得追。
不是所有下跌都值得抄底。
真正的机会,
通常出现在市场开始分化,而大多数人还没有看懂分化的时候。
👇 现在只选一个:
BTC / ETH / SOL / XRP / ZEC / LINK / QNT / HBAR
你认为接下来最值得盯的一个是谁?
只打一个Ticker。
看看评论区到底站在哪一边。 👇
⚠️ 以上内容仅用于市场研究与教育讨论,不构成投资建议。加密货币、股票、外汇及商品均可能出现快速且大幅的价格变化,请自行核实实时价格并控制风险。
#BTC #ETH #SOL #XRP #ZEC #LINK #QNT #HBAR #ALGO #Crypto #Bitcoin #Altcoins #CryptoTrading #Trading #MarketAnalysis #StockMarket #Gold #Oil #Forex
$US $MARSCOIN $HBAR
LINK+0.70%
BTC+0.78%
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