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Gold Standard 價格

Gold Standard 價格BAR

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NT$33.92TWD
+0.37%1D
截至今日 11:49(UTC),Gold Standard(BAR)的 新台幣 價格為 NT$33.92 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 2025-09-16 11:49:51(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$6.9724 小時最高價 NT$34.13
歷史最高價:
NT$622.75
漲跌幅(24 小時):
+0.37%
漲跌幅(7 日):
+342.95%
漲跌幅(1 年):
-45.06%
市值排名:
#4168
市值:
--
完全稀釋市值:
--
24 小時交易額:
NT$3,214,056.27
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$33.92 TWD,目前市值為 NT$0.00。過去 24 小時內,Gold Standard 價格漲幅為 0.37%,24 小時交易量為 NT$3.21M。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$33.92 TWD。您現在可以用 1 BAR 兌換 NT$33.92,或用 NT$ 10 兌換 0.2949 BAR。在過去 24 小時內,BAR 兌換 TWD 的最高價格為 NT$34.13 TWD,BAR 兌換 TWD 的最低價格為 NT$6.97 TWD。
AI 價格分析
加密貨幣市場今日熱點

截至2025年9月16日,加密貨幣市場在監管、企業和市場動態方面正經歷顯著發展。

監管發展

美國證券交易委員會(SEC)已宣布其執法方式的重大轉變。主席保羅·阿特金斯表示,該機構現在將在啟動執法行動之前,通知企業有關技術違規的情況。這一變化旨在增強市場信心並確保監管公平。此外,SEC計劃重塑加密貨幣規範,重點在於促進代幣化證券的交易——即可通過區塊鏈技術全天候交易的數字化股票和債券的代表。

企業動向

由卡梅隆和泰勒·文克萊沃斯創立的加密貨幣交易所Gemini,通過美國首次公開募股(IPO)成功籌集了4.25億美元。每股定價28美元,超過了原本市場範圍24至26美元。IPO的需求超過可用股票的20倍,反映出投資者對加密貨幣行業的樂觀情緒。同時,納斯達克向Gemini投資了5000萬美元,並與Gemini建立了戰略合作關係,為其客戶提供Gemini的加密貨幣保管和質押服務。

市場動態

在比特幣和其他數字資產上重金投資的公司面臨顯著的股價下跌。以由邁克爾·泰勒領導的Strategy為例,其股價從7月的457美元降至328美元,年度增幅縮小至13%。同樣,日本公司Metaplanet的股價自6月高峰以來損失超過60%,儘管其年度增幅仍達105%。分析師將此波動歸因於這些公司對加密貨幣的高度槓桿化風險,導致市場波動性增加和投資者謹慎。

政府舉措

2025年3月,唐納德·特朗普總統簽署了一項行政命令,建立了戰略比特幣儲備和其他加密貨幣的數字資產儲備。此舉旨在提升數字資產行業,並將美國定位為加密領域的領導者。該儲備將以聯邦政府已持有的比特幣資本化,截至2025年8月約有198,000 BTC。

安全問題

臭名昭著的黑客組織Lazarus Group被臆測參與了一場涉及加密貨幣交易所Bybit的重大安全漏洞事件。2025年2月,約40萬以太幣(當時價值約15億美元)被盜。攻擊者利用第三方錢包工具的漏洞,導致加密貨幣價格急劇下跌,促使監管機構重新審查交易所的安全措施。

市場表現

截至今日,比特幣的交易價格為115,434美元,日內高點為116,702美元,低點為114,489美元。以太幣的價格為4,526.50美元,而BNB為919.78美元。其他顯著的加密貨幣包括XRP為3.00美元,Cardano為0.862984美元,Dogecoin為0.268543美元。這些數字顯示出市場相對穩定,儘管近期企業和監管動態發生變化。

結論

加密貨幣市場受監管變化、企業策略和安全挑戰的影響,仍在迅速演變。投資者和利益相關者應保持警惕並隨時了解,以有效駕馭這個不斷變化的環境。

展開

您認為今天 Gold Standard 價格會上漲還是下跌?

總票數:
上漲
0
下跌
0
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 強力買入
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

Chareenlovi
Chareenlovi
13小時前
$OPEN consolidates at support — oversold bounce or deeper breakdown ahead?
I’ve been watching $OPEN $OPEN through the recent impulse and consolidation. The short-term structure is a disciplined retest into a shallow demand shelf after a strong listing leg; defined gates give clear R:R if you respect the MA cluster and the green demand band. Below I map preferred entries, failure conditions and defensive exits. 📊 Market snapshot Last close: 0.84662 Session high / low: 0.85351 / 0.83775 MA cluster: 0.8535 / 0.8800 / 0.8991 (dynamic reference). Recent volume bar: 5.46M (watch for continuation spikes) Accum/Dist: 110.42K (sharp outflow then partial recovery) RSI: 25.33 (oversold) MACD: −0.0177 / −0.0301 (bearish grouping) ATR (intraday): 0.02962 On-chain & fundamentals OPEN functions as the token tied to the OpenLedger/DEX ecosystem — utility centers on trading/liquidity, node/provider incentives and exchange integrations. Recent listing and exchange-driven flows remain the primary short-term bid; longer-term support requires renewed activity in the DEX and staking/locking behavior to reduce float. Concentrated post-listing float increases volatility and amplifies headlines. Sentiment & liquidity Sentiment is cautious-to-bearish: heavy profit-taking since the impulse leg left stacked asks above the swing. Books are relatively thin intraday, so low-volume pushes produce sharp moves and reverts. The Accum/Dist spike shows recent distribution then a small rebound — monitor exchange inflows and large-wallet behavior closely. Staking/locking would be constructive; continued exchange inflows keep the risk of rapid fades high. ⚙️ Trade structure & key levels Immediate resistance / supply band (local): ~0.95–1.17 (weak high ~1.1668) Near-term dynamic resistance: MA cluster ~0.85–0.90 Near-term support / demand shelf: ~0.83–0.85 (current retest band) Major invalidation: decisive breakdown below ~0.78–0.80 (deeper buyer shelf) These levels create a defined-levels trade: clear targets on the upside and explicit invalidation below the major shelf. 📝 Trade plan (pick one) A) Pullback Starter (preferred — higher R:R) Condition: price retests the demand shelf / MA cluster (~0.83–0.85) and prints a clear rejection wick with buy-volume. Entry: limit at wick low; ladder 50/50 across the band (VWAP/MA edge then confirmation). Stop: 1.5× ATR below entry → 1.5 × 0.02962 = 0.04443 stop distance. Targets: trim partial at the MA cluster / near local resistance (~0.95) → extend remaining toward the weak high on clean supply acceptance. B) Breakout / Add (smaller size) Condition: two-candle acceptance above local supply band (near 0.95–1.17) with session volume above recent bars. Entry: small starter position; add on successful retest / two-bar confirmation. Stop: 1.5× ATR beneath the breakout pivot. Note: distribution risk remains if exchange flows don’t turn constructive — keep adds disciplined. C) Defensive / Quick Flip Condition: rapid rejection at the demand shelf + Accum/Dist rollover or RSI failure to lift. Action: lock profits, lower size; consider shorts only if breakdown below ~0.78 is accompanied by rising sell volume and clean book liquidity to the downside. Targets on fail: 0.78 → deeper shelf; stop back above the pivot. 💰 Position sizing example (practical) Assume account = $10,000, risk = 1% = $100. Stop distance = 1.5×ATR = 0.04443. Size (units) = Risk / Stop distance = 100 ÷ 0.04443 ≈ 2,251 OPEN. Approx entry cost at 0.84662 × 2,251 ≈ $1,905. Notes: ATR is large relative to price and book depth is thin — prefer a smaller starter (0.5% risk) or scale in to reduce slippage exposure. 🔔 Live monitor / alerts (what to watch) Volume: continuation candles above the recent 5.46M bar confirm conviction; weak volume = likely fade. Accum/Dist: renewed accumulation would reduce distribution risk; fresh outflows warn of further downside. RSI & MACD: watch for RSI recovery above 35–40 and MACD flattening → early sign of absorption. Orderbook: look for stacked asks 0.95–1.17 and bids around 0.83–0.80; thin-book slippage risk is real. Takeaway / rules of engagement I’m not chasing headline-driven strength through stacked supply. My play is a measured retest into the MA/demand cluster (~0.83–0.85), using ATR-based stops (1.5×) and modest size. If $OPEN clears local supply with clean volume and on-chain/exchange flows shift to net accumulation, I scale on confirmation and target the weak-high zone. If price breaks down below the major shelf with rising volume, treat it as structural failure and step aside or flip defensively. Final rule: keep sizes small in thin books, trim into the first visible supply, and move stops to breakeven after initial partial profits.
LIVE-2.52%
NEAR+1.97%
Chareenlovi
Chareenlovi
13小時前
$ART rebound setup — demand shelf holds, eyes on breakout toward upper target zone
Hello traders I’ve been watching $ART through the recent impulse and consolidation. The pattern shows a retrace off a sharp leg into a shallow demand box; short-term bias is neutral-constructive as price finds support. Below I map preferred entries, failure conditions and defensive exits. 📊 Market snapshot Last close: 0.033760 Session high / low: 0.034999 / 0.033118 MA cluster: 0.03401 / 0.03796 / 0.03869 Recent volume bar: 4.81M (watch for continuation spikes) RSI: 43.88 MACD: -0.00121 / -0.00012 ATR: 0.00406 On-chain & fundamentals ART backs a content-indexing protocol that rebased after a descending wedge breakout and listing flows. Utility rests on curation fees and protocol incentives; longer-term support requires rising user activity. Token float remains concentrated post-listing, so headlines drive much short-term liquidity. Sentiment & liquidity Sentiment is cautious: the run attracted profit-taking and stacked asks above swing highs. Books are thin relative to spikes, so expect fast moves on low-volume pushes. Watch locking/staking and large-wallet transfers: increased locking steadies bids; exchange inflows suggest fleeting demand. ⚙️ Trade structure & key levels Immediate resistance / supply band: 0.042–0.046 Primary upside magnet: 0.046–0.048 Near-term support: demand box ~0.030–0.032 Major support: deeper shelf ~0.020–0.022 Dynamic reference: MA cluster ~0.034 as preferred retest. These define explicit reward targets and clear invalidation below major support. 📝 Trade plan (pick one) A) Pullback Starter (preferred) Condition: retest MA cluster or demand box with rejection wick plus lift in buy-volume. Entry: stagger limits across the retest band; split exposure 50/50 between the wick and confirmation. Stop: 1.5× ATR below entry → 1.5 × 0.00406 ≈ 0.00609. Targets: partial at 0.042–0.046; extend leftover toward primary magnet on clear supply clearance. B) Breakout / Add Condition: two-candle acceptance above supply with session volume > recent bars. Entry: small starter; add on retest above pivot. Stop: 1.5× ATR under pivot. Note: exchange liquidity may absorb bids; insist on volume-confirmation before scaling. C) Defensive / Quick Flip Condition: supply rejection plus RSI rollover or MACD weakness. Action: lock profits and reduce size; consider shorts only if breakdown below the demand box comes with rising sell volume. Targets on fail: 0.030 → 0.020; stop back above pivot. 💰 Position sizing example Assume account = $10,000, risk = 1% = $100. Using 1.5×ATR stop = 0.00609. Size = Risk / Stop = 100 ÷ 0.00609 ≈ 16,412 ART. Approx entry cost at 0.03376 × 16,412 ≈ $554. Notes: ATR is large relative to price and books are thin; prefer smaller starters or 0.5% risk for retail. 🔔 Live monitor / alerts Volume: continuation bars above recent 4.81M confirm conviction. Price action: two closes above 0.042–0.046 signal breakout intent. RSI & MACD: watch for divergence or flips that confirm absorption vs distribution. Orderbook: track large asks 0.042–0.048 and bids inside the demand box; beware thin-book slippage. Execution notes: prefer limit entries near the edge of demand, use smaller intraday lots, avoid market orders during low liquidity, and move trailing stops aggressively after each visible partial to protect gains. Takeaway / rules of engagement I’m not chasing spikes through stacked supply. My approach is a controlled retest into the MA/demand cluster (0.034 / 0.030–0.032), using ATR-based stops (1.5×) and modest sizing. If $ART clears supply on clean volume and protocol flows show sustained activity, I scale on confirmation and target the primary magnet. If price breaks down below the demand box with volume, treat that as structural failure and step aside or flip defensively. Final rule: keep sizes conservative in thin books, trim into the first visible supply, and shift stops to breakeven after initial partials. $ART
MAJOR0.00%
LIVE-2.52%
Chareenlovi
Chareenlovi
13小時前
$SWTCH retests demand shelf with mixed momentum — clear levels define next
Hello traders I’ve been watching $SWTCH through the recent impulse and consolidation. The short-term structure shows a neutral-to-bearish pickup after a listing thrust; defined gates exist if you respect horizontal supply and the MA cluster. Below I walk the plan from preferred entry to defensive exits. 📊 Market snapshot Last close: 0.11201 Session high / low: 0.11713 / 0.11138 MA cluster: 0.11550 / 0.12231 / 0.12188 VWAP / dynamic: ~0.117 Recent volume bar: 3.19M (watch for continuation spikes) RSI: 45.58 MACD: -0.00198 / 0.00137 ATR: 0.00962 On-chain & fundamentals Switchboard is a decentralized oracle network providing data feeds and randomness. Utility centers on node operators, staking, and consumer integrations. Exchange listings and integrations have driven most short-term flow; sustained protocol demand depends on growing consumer usage and node participation. Sentiment & liquidity The rise followed concentrated inflows and stacked asks near swing highs. Liquidity is shallow intraday, so expect quick reverts on low-volume spikes. Monitor staking participation and exchange inflows—staking reduces available float and supports bids; exchange inflows raise distribution risk. Also watch large-wallet accumulation on shorter timeframes as an early durable-demand signal. Avoid increasing size when book depth is thin. ⚙️ Trade structure & key levels Immediate resistance / supply band: 0.117–0.1417 Primary upside magnet: 0.14172 Near-term support: 0.10515 Major support: 0.09236 → deeper 0.08287 Dynamic reference: MA cluster 0.11550–0.12231 and VWAP (~0.117) as preferred retest. These levels make $SWTCH a defined-levels trade: reward path is visible; invalidation is clear under major support. 📝 Trade plan (pick one) A) Pullback Starter (preferred) Condition: pull to MA/VWAP band (0.115–0.117) or demand shelf (~0.105) with rejection wick + buy-volume. Entry: ladder limit across band; split 50/50 at VWAP touch and wick confirmation. Stop: 1.5× ATR below entry → 1.5 × 0.00962 ≈ 0.0144. Targets: partial at ~0.117–0.122 → extend to 0.14172 on clean supply acceptance. B) Breakout / Add Condition: two-candle acceptance above 0.122–0.1417 with session volume > recent bars. Entry: small starter; add on retest / two-bar confirmation. Stop: 1.5× ATR under breakout pivot. Note: stacked asks can absorb headline bids; keep adds disciplined. C) Defensive / Quick Flip Condition: rapid supply rejection + RSI rollover or MACD bearish crossover. Action: lock profits, lower size; only consider shorts if breakdown below 0.105 is accompanied by rising sell volume. Targets on fail: 0.105 → 0.09236; stop back above pivot. 💰 Position sizing example Assume account = $10,000, risk = 1% = $100. Using 1.5×ATR stop = 0.0144. Size = Risk / Stop = 100 ÷ 0.0144 ≈ 6,944 SWTCH. Approx entry cost at 0.11201 × 6,944 ≈ $777. Notes: ATR is elevated relative to price action and books are thin; prefer smaller initial size. 🔔 Live monitor / alerts Volume: continuation candles > recent 3.19M spike confirm conviction. Price action: two closes above 0.122–0.142 band = breakout confirmation. RSI & MACD: watch for divergence or signal flips that confirm distribution vs accumulation. Orderbook: large asks 0.12–0.14; large bids near 0.105; thin-book slippage risk persists. Takeaway / rules of engagement I’m not chasing headline-driven spikes through stacked supply. My play is a measured retest into the MA/VWAP cluster (0.115–0.117) or the demand shelf near 0.105, using ATR-based stops (1.5×) and modest size. If $SWTCH clears supply with clean volume and node/stake flows turn positive, I add on confirmation and target 0.14172. If price breaks down below 0.105 with volume, treat this as a structural fail and step aside or flip defensively. Final rule: keep sizes small in thin books, trim into the first visible supply, and move stops to breakeven after initial partial profits. $SWTCH
LIVE-2.52%
NEAR+1.97%
Chareenlovi
Chareenlovi
13小時前
$AVNT tests VWAP/MA band — breakout over 1.45 or fade back to 1.05 support zone
I’ve been watching $AVNT through the recent impulse and consolidation. The short-term pattern looks like exchange-driven distribution sitting on fresh listings; defined gates give clear R:R when you respect local supply and demand. Below I walk the plan from preferred entry to defensive exits. 📊 Market snapshot Last close: 1.2116 Session high / low: 1.2446 / 1.2076 MA cluster: 1.2075 / 1.1881 / 1.1596 Average price: 1.22097 VWAP: 1.18968 Recent volume bar: 926.55K (watch for continuation spikes) Accum/Dist: 36.09M RSI: 55.06 MACD: 0.00849 / -0.00429 ATR: 0.05162 On-chain & fundamentals Circulating supply ≈ 241.6M AVNT; max supply 1,000,000,000; FDV ≈ $1.18B. Catalyst: recent Bitget listing and reward events have materially increased centralized liquidity and headline flows. Protocol: Base-focused perpetuals + staking/governance/fee utility create optional structural demand if user activity rises. Sentiment & liquidity Listings and reward pools are the proximate bid; concentrated float amplifies moves. Expect elevated intraday volume and fast reverts when exchange books refill. Recent 24h turnover spiked dramatically on listing momentum. Monitor on-chain staking flows and large-wallet movements: growing staking reduces available float and supports price; sustained exchange inflows indicate transient demand and raise risk of quick reversals if reward programs end and liquidity. ⚙️ Trade structure & key levels Immediate resistance / supply band: 1.30–1.45 (stacked asks) Primary upside magnet / ATH: 1.51 Near-term support: demand shelf ~1.05–1.10 Major support: ~0.80 Dynamic reference: VWAP 1.18968 and MA cluster 1.20–1.16 (preferred retest) These levels make $AVNT a defined-levels trade: reward path is visible; invalidation is clear under the major support. 📝 Trade plan (pick one) A) Pullback Starter (preferred) Condition: pull to VWAP/MA band (1.19–1.16) or demand shelf with rejection wick + buy-volume. Entry: ladder limit across band; split 50/50 on VWAP touch and wick confirmation. Stop: 1.5× ATR below entry → 1.5 × 0.05162 ≈ 0.0774. Targets: partial at ~1.30 → extend to 1.51 on clean supply acceptance. B) Breakout / Add Condition: two-candle acceptance above 1.45 with session volume > recent bars. Entry: small starter; add on retest / two-bar confirmation. Stop: 1.5× ATR under breakout pivot. Note: listing liquidity can spike then fade; keep adds disciplined. C) Defensive / Quick Flip Condition: rapid supply rejection + Accum/Dist rollover. Action: lock profits, lower size; only consider shorts if breakdown below 1.05 comes with rising sell volume. Targets on fail: 1.05 → 0.80; stop back above pivot. 💰 Position sizing example Assume account = $10,000, risk = 1% = $100. Using 1.5×ATR stop = 0.0774. Size = Risk / Stop = 100 ÷ 0.0774 ≈ 1,291 AVNT. Approx entry cost at 1.2116 × 1,291 ≈ $1,565. Notes: ATR is elevated and listings thin the book; prefer smaller initial size or 0.5% risk for retail. 🔔 Live monitor / alerts Volume: continuation candles > recent 926.55K spike confirm conviction. Price action: two closes above supply band (1.45) = breakout confirmation. Accum/Dist: flattening → accumulation; rollover → distribution. Orderbook: large asks 1.30–1.60; large bids near 1.05; watch for thin-book slippage. Takeaway / rules of engagement I’m not chasing listing-driven spikes through stacked supply. My play is a measured retest into VWAP/MA cluster (1.19–1.16) or the demand shelf toward 1.05, using ATR-based stops (1.5×) and modest size. If AVNT clears supply with clean volume and on-chain flows turn positive, I add on confirmation and target the ATH. If price breaks down below 1.05 with volume, treat this as a structural fail and step aside or flip defensively. Final rule: keep sizes small in thin books, trim into the first visible supply, and move stops to breakeven after partial profits. $AVNT
AVNT-19.48%
ATH-6.61%

BAR/TWD 匯率換算器

BAR
TWD
1 BAR = 33.92 TWD,目前 1 Gold Standard(BAR)兌換 TWD 的價格為 33.92。匯率即時更新,僅供參考。
在所有主流交易平台中,Bitget 提供最低的交易手續費。VIP 等級越高,費率越優惠。

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?

輕鬆充值,快速提領買入增值,賣出套利進行現貨交易套利進行合約交易,高風險和高回報透過穩定利率賺取被動收益使用 Web3 錢包轉移資產

如何購買 Gold Standard?

了解如何在幾分鐘內立即獲得您的首筆 Gold Standard。
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我如何出售 Gold Standard?

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$33.92(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$3.21M。

Gold Standard 的歷史最高價是多少?

Gold Standard 的歷史最高價是 NT$622.75。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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在哪裡可以購買加密貨幣?

透過 Bitget App 購買
數分鐘完成帳戶註冊,即可透過信用卡或銀行轉帳購買加密貨幣。
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透過 Bitget 交易所交易
將加密貨幣存入 Bitget 交易所,交易流動性大且費用低

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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。