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Core 價格

Core 價格CORE

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注意:此資訊僅供參考。

Core 今日價格

Core 的即時價格是今天每 (CORE / USD) $1.15,目前市值為 $1.07B USD。24 小時交易量為 $58.37M USD。CORE 至 USD 的價格為即時更新。Core 在過去 24 小時內的變化為 5.94%。其流通供應量為 930,481,150 。

CORE 的最高價格是多少?

CORE 的歷史最高價(ATH)為 $6.47,於 2023-02-08 錄得。

CORE 的最低價格是多少?

CORE 的歷史最低價(ATL)為 $0.3432,於 2023-11-03 錄得。
計算 Core 收益

Core 價格預測

什麼時候是購買 CORE 的好時機? 我現在應該買入還是賣出 CORE?

在決定買入還是賣出 CORE 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 CORE 技術分析 可以提供您交易參考。
根據 CORE 4 小時技術分析,交易訊號為 買入
根據 CORE 1 日技術分析,交易訊號為 賣出
根據 CORE 1 週技術分析,交易訊號為 買入

CORE 在 2025 的價格是多少?

根據 CORE 的歷史價格表現預測模型,預計 CORE 的價格將在 2025 達到 $1.27

CORE 在 2030 的價格是多少?

2030,CORE 的價格預計將上漲 -17.00%。 到 2030 底,預計 CORE 的價格將達到 $1.91,累計投資報酬率為 +76.78%。

Core 價格歷史(USD)

過去一年,Core 價格上漲了 +110.85%。在此期間,CORE 兌 USD 的最高價格為 $4.29,CORE 兌 USD 的最低價格為 $0.4585。
時間漲跌幅(%)漲跌幅(%)最低價相應時間內 {0} 的最低價。最高價 最高價
24h+5.94%$1.08$1.18
7d-12.13%$0.9776$1.28
30d+11.88%$0.9776$2.04
90d+9.07%$0.7617$2.04
1y+110.85%$0.4585$4.29
全部時間-75.84%$0.3432(2023-11-03, 1 年前 )$6.47(2023-02-08, 1 年前 )

Core 市場資訊

市值
$1,074,638,595.48
+5.94%
完全稀釋市值
$2,425,348,445.24
+5.94%
24 小時交易額
$58,371,207.1
-6.42%
排名
流通率
44.00%
24 小時交易額/市值
5.43%
流通量
930,481,150 CORE
總供應量 / 最大供應量
2.09B CORE
2.1B CORE
ICO 價格
$0.05574 ICO 詳情
立即購買 Core

Core 評級

社群的平均評分
4.4
100 筆評分
此內容僅供參考。

Core (CORE) 簡介

什麼是 Core

Core 是新一代的 Layer 1 區塊鏈。該項目採用了一種名為 Satoshi Plus 的新機制,旨在解決區塊鏈三難困境,即區塊鏈網路只能實現安全性、可擴展性和去中心化等三大功能中的其中兩項。Core 的創新方法使其能夠保持最佳安全性和去中心化,同時實現高可擴展性,這讓它成為去中心化自治組織(DAO)和 DeFi 領域中前景看好的解決方案。

Core 的主網於 2023 1 14 日推出,已處理數百萬筆交易,支援智能合約和各種去中心化應用程式(DApp)。它致力成為 Web3 的核心,整合比特幣、以太坊、Solana Polygon 等知名區塊鏈的最佳功能,並專注於用戶主導的治理,確保網路不以任何單一創始人或開發者建構,維護高度易用性和去中心化。2023 4 月,Core 獲得全球領先的中心化交易所 Bitget 5,000 萬美元投資。

相關頁面

白皮書:https://docs.coredao.org/core-white-paper-v1.0 .5/

官方網站:https://www.coredao.org/

Core 如何運作?

Core 採用專利 Satoshi Plus 共識,這是一種結合了工作量證明(PoW)和委託權益證明(DPoS)的混合機制,使其能夠利用比特幣安全共識機制和以太坊可擴展共識機制。這種共識確保了添加到區塊鏈的每個區塊都需要當前 CORE 持有者和算力的驗證,從而打造一個安全、可靠且去中心化的帳本。

Core 網路中的驗證者負責區塊生產和交易驗證,他們是根據質押 CORE 代幣和算力選出,確保 PoW DPoS 的平衡和高效組合。這種方法甚至允許小型代幣持有者參與網路治理和交易驗證,從而增強網路的去中心化和可擴展性。

Core 與以太坊虛擬機器(EVM)和 0x 協議的整合,分別確保了與以太坊智能合約和去中心化代幣交易的兼容性,為用戶提供了靈活性、經濟性和易用性。Core 的治理由 Core DAO 管理,允許社群成員提出提案、對建議進行投票並制定計劃,確保真正去中心化和用戶主導的治理結構。

什麼是 CORE 代幣?

CORE Core 網路的原生功能型和治理代幣,總供應量為 21 億枚。它用於支付交易手續費、在 Core 網路中質押以及參與 Core DAO 的治理過程。代幣分配規劃注重用戶、貢獻者、節點挖礦、儲備金、金庫、中繼者獎勵之間的公平分配,避免中心化,確保社群廣泛參與。

Core 也實現了類似以太坊的代幣銷毀模型,其中一部分區塊獎勵和交易費用會被銷毀,從而為代幣增值。CORE 代幣可在各大加密貨幣交易所進行交易,讓用戶能夠輕鬆參與 Core DAO 生態系並從其創新技術中受益。

Core 對金融的影響

Core 解決區塊鏈三難困境的獨特方法使其成為 DeFi 和區塊鏈領域的重要參與者。其用戶主導的治理和創新的共識機制有可能在安全性、去中心化和可擴展性方面樹立新標準,因而吸引了 DeFi 倡導者和開發者關注。

Core 與最大的中心化交易所之一 Bitget 的合作,為 Core DAO 生態系基金挹注 5,000 萬美元資金,突顯了其為大眾帶來去中心化,支持區塊鏈領域早期項目開發的潛力。此次合作旨在促進創新,為潛在項目提供財務援助,並支持 CORE 生態系中的項目上架,讓數百萬人參與 Core DAO 的革命性技術並從中受益。

Core 價格由什麼決定?

與其他加密貨幣一樣,Core 的價格受到多種因素影響,反映了加密貨幣市場的動態。Core 採用獨特的區塊鏈技術方法,透過 Satoshi Plus 共識將工作量證明和委託權益證明相結合,使其成為加密貨幣新聞中的一個著名實體,可能會影響其價格。加密貨幣價格通常受到市場趨勢、監管發展和加密貨幣社群整體情緒的影響。Core 的合作夥伴關係、技術進步和採用率(尤其是與領先交易所 Bitget 的合作),對其市場估值具有重要意義,更使其成為加密貨幣愛好者和專家進行加密貨幣分析和討論的焦點。

有鑑於加密貨幣市場的波動性,對 Core 的加密貨幣價格預測本質上是一種投機活動,應謹慎對待。想要購買加密貨幣(尤其是 Core)的投資者應該考慮各種因素,包括加密貨幣的安全性、風險和項目的長期可行性。Core 的價格也受到其代幣經濟影響,包括其供需動態、代幣銷毀模型和分配策略,這些都是加密貨幣圖表和分析的關鍵點。CORE Bitget 等領先交易所的上架,為更廣泛的投資者提供了機會,可能會推動其需求和價格。

對於考慮購買 Core 等加密貨幣以及思考它是否值得投資的人來說,有必要進行全面研究、及時了解加密貨幣新聞,並考慮加密貨幣專家的建議。Core 對區塊鏈三難困境的創新解決方案及對去中心化和安全性的承諾,使其成為加密貨幣領域值得注意的競爭者,有可能成為 2023 年及未來的最佳加密貨幣投資。然而,潛在投資者應採用合理的加密貨幣交易策略,考慮加密貨幣稅務影響,並有效管理其加密貨幣投資組合,以應對加密貨幣市場的複雜性和波動性。

Core 的相關文章

Bitget Core DAO 生態系基金挹注 5,000 萬美元向中本聰思想致敬

Core 社群媒體數據

過去 24 小時,Core 社群媒體情緒分數是 4,社群媒體上對 Core 價格走勢偏向 看漲。Core 社群媒體得分是 496,在所有加密貨幣中排名第 144。

根據 LunarCrush 統計,過去 24 小時,社群媒體共提及加密貨幣 1,058,120 次,其中 Core 被提及次數佔比 0.01%,在所有加密貨幣中排名第 335。

過去 24 小時,共有 496 個獨立用戶談論了 Core,總共提及 Core 140 次,然而,與前一天相比,獨立用戶數 減少 了 11%,總提及次數增加。

Twitter 上,過去 24 小時共有 2 篇推文提及 Core,其中 100% 看漲 Core,0% 篇推文看跌 Core,而 0% 則對 Core 保持中立。

在 Reddit 上,最近 24 小時共有 2 篇貼文提到了 Core,相比之前 24 小時總提及次數 減少 了 50%。

社群媒體資訊概況

平均情緒(24h)
4
社群媒體分數(24h)
496(#144)
社群媒體貢獻者(24h)
496
-11%
社群媒體提及次數(24h)
140(#335)
+180%
社群媒體佔有率(24h)
0.01%
Twitter
推文(24h)
2
0%
Twitter 情緒(24h)
看漲
100%
中立
0%
看跌
0%
Reddit
Reddit 分數(24h)
0
Reddit 貼文(24h)
2
-50%
Reddit 評論(24h)
0
0%

如何購買 Core(CORE)

建立您的免費 Bitget 帳戶

建立您的免費 Bitget 帳戶

使用您的電子郵件地址/手機號碼在 Bitget 註冊,並建立強大的密碼以確保您的帳戶安全
認證您的帳戶

認證您的帳戶

輸入您的個人資訊並上傳有效的身份照片進行身份認證
購買 Core (CORE)

購買 Core (CORE)

我們將為您示範使用多種支付方式在 Bitget 上購買 Core

交易 CORE 永續合約

在 Bitget 上註冊並購買 USDT 或 CORE 後,您可以開始交易衍生品,包括 CORE 合約和槓桿交易,增加收益。

CORE 的目前價格為 $1.15,24 小時價格變化為 +5.94%。交易者可透過做多或做空 CORE 合約獲利。

CORE 合約交易指南

跟單交易專家,進行 CORE 跟單交易!

在 Bitget 註冊並成功購買 USDT 或 CORE 後,您還可以跟單交易專家開始跟單交易。

Core 動態

BTCFi 頭部項目 Core 完成 Fusion 升級:一文詳解變化及市場機遇
BTCFi 頭部項目 Core 完成 Fusion 升級:一文詳解變化及市場機遇

近期,Core完成了Fusion升級,引入兩項創新產品:Core雙重質押和Core LstBTC。本文將深入解析此次升級的重要變化,並探討機構對BTCFi的採用趨勢。

Chaincatcher2024-12-20 01:33
Omni Core 主網上線,培育更統一的以太坊生態系統
Omni Core 主網上線,培育更統一的以太坊生態系統

簡單來說 Omni Network 宣布推出其核心主網,解決匯總碎片挑戰並使以太坊實現更大的可擴展性和功能。

Mpost2024-12-19 01:44
Omni Network 推出「Core」主網以統一以太坊分散的 Rollup 生態系統
Omni Network 推出「Core」主網以統一以太坊分散的 Rollup 生態系統

快速概覽 Omni Network 是一個基於 EigenLayer 的以太坊擴展解決方案,已經推出其 Omni Core 主網。該協議旨在通過促進跨鏈通信和互操作性來統一分散的以太坊 Layer 2 生態系統。

The Block2024-12-17 21:56
更多 Core 動態

用戶還在查詢 Core 的價格。

Core 的目前價格是多少?

Core 的即時價格為 $1.15(CORE/USD),目前市值為 $1,074,638,595.48 USD。由於加密貨幣市場全天候不間斷交易,Core 的價格經常波動。您可以在 Bitget 上查看 Core 的市場價格及其歷史數據。

Core 的 24 小時交易量是多少?

在最近 24 小時內,Core 的交易量為 $58.37M。

Core 的歷史最高價是多少?

Core 的歷史最高價是 $6.47。這個歷史最高價是 Core 自推出以來的最高價。

我可以在 Bitget 上購買 Core 嗎?

可以,Core 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 CoreDAO 指南。

我可以透過投資 Core 獲得穩定的收入嗎?

當然,Bitget 推出了一個 策略交易平台,其提供智能交易策略,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 Core?

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。

您可以在哪裡購買 Core(CORE)?

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。
Download Bitget APP on Google PlayDownload Bitget APP on AppStore
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

影片部分 - 快速認證、快速交易

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如何在 Bitget 完成身分認證以防範詐騙
1. 登入您的 Bitget 帳戶。
2. 如果您是 Bitget 的新用戶,請觀看我們的教學,以了解如何建立帳戶。
3. 將滑鼠移到您的個人頭像上,點擊「未認證」,然後點擊「認證」。
4. 選擇您簽發的國家或地區和證件類型,然後根據指示進行操作。
5. 根據您的偏好,選擇「手機認證」或「電腦認證」。
6. 填寫您的詳細資訊,提交身分證影本,並拍攝一張自拍照。
7. 提交申請後,身分認證就完成了!
加密貨幣投資(包括透過 Bitget 線上購買 Core)具有市場風險。Bitget 為您提供購買 Core 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 Core 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。

買入

‌交易

理財

CORE
USD
1 CORE = 1.15 USD
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。
Bitget
0.1%
Kraken
0.26%
Coinbase
1.99%

CORE 資料來源

相關連結
Core WebsiteCore WhitepaperCore TwitterCore Github

Bitget 觀點

No_thing
No_thing
2小時前
Your description of the $USUAL token and its role within the DeFi ecosystem highlights key aspects of the project. Here's a refined version to provide clearer and more professional articulation: --- $USUAL: A DeFi Revolution in Stablecoins $USUAL is a decentralized finance (DeFi) protocol that aims to redefine the concept of stablecoins by introducing USD0, a stablecoin backed by certified, verifiable assets. This approach enhances both the security and stability of the token, distinguishing it from other stablecoins in the market. Key Features of $USUAL: Stablecoin Backed by Certifiable Assets: Unlike traditional stablecoins, USD0 is supported by verifiable and certified assets, ensuring higher security and stability. This innovation addresses concerns related to the transparency and trustworthiness of collateral backing, providing users with a more reliable digital asset. Governance Rights for Token Holders: $USUAL token holders are granted governance privileges, allowing them to actively participate in the protocol’s decision-making process. This decentralized governance model empowers users to influence the future direction of the protocol, making it a community-driven initiative. Focus on User Experience: The protocol places a strong emphasis on enhancing user experience, aiming to simplify access to DeFi services. With an intuitive and easy-to-use interface, $USUAL ensures that both new and experienced users can interact with DeFi seamlessly. Decentralization, Security, and User-Centric Design: The core principles of decentralization, security, and user experience differentiate $USUAL from other DeFi protocols, positioning it as a promising option for users seeking a more stable, secure, and user-friendly entry point into the DeFi ecosystem. Conclusion: $USUAL is positioned to attract a broader audience within the DeFi space by addressing critical issues related to stablecoin stability, security, and usability. Its focus on decentralization, governance, and user experience makes it a strong contender in the evolving DeFi landscape. --- This refined version organizes the key features of $USUAL clearly and succinctly, while highlighting its unique selling points and its potential within the DeFi ecosystem.
SPACE+1.28%
CORE+3.07%
kingsman1664
kingsman1664
5小時前
Understanding ISLAND Coin Tokenomics: Supply, Distribution, and Growth
$ISLAND Coin has emerged as a standout player in the cryptocurrency market, thanks to its robust tokenomics model. At its core, tokenomics involves understanding the supply, distribution, and growth mechanisms that govern a cryptocurrency. ISLAND Coin’s tokenomics are designed to ensure sustainability, drive value, and foster adoption within creative communities. Supply Structure ISLAND Coin operates with a capped total supply, ensuring scarcity and driving long-term value. This fixed supply limits inflationary risks, making it an attractive investment for those looking to hedge against devaluation. The careful allocation of tokens between development, marketing, and staking rewards reflects a well-balanced strategy that prioritizes growth and user engagement. Token Distribution The distribution model is community-centric, ensuring that a significant portion of tokens is allocated to creators, investors, and liquidity providers. Early adopters benefit from lower acquisition costs, while staking mechanisms incentivize long-term holding. Additionally, a dedicated reserve supports ecosystem expansion and partnerships, which is key to scaling the project. Growth Strategy ISLAND Coin’s growth strategy hinges on its strong focus on utility. By integrating with NFT platforms and creative hubs, it provides real-world use cases that enhance its adoption. The coin also leverages strategic collaborations and DeFi functionalities, such as staking and yield farming, to attract diverse users. In summary, ISLAND Coin’s tokenomics are a perfect blend of scarcity, community focus, and growth-driven mechanisms. This ensures not only a strong foundation but also long-term viability. As more creators and investors join the ecosystem, ISLAND Coin is well-positioned to redefine the relationship between blockchain and creative communities.
CORE+3.07%
ISLAND+16.68%
Trader5
Trader5
8小時前
Analyst Tips Ripple (XRP) To Hit $0.65, KangaMoon (KANG) Buyers Up 50%, Hedera (HBAR) Liaises With D
Analyst Tips Ripple (XRP) To Hit $0.65, KangaMoon (KANG) Buyers Up 50%, Hedera (HBAR) Liaises With Digital Euro Ripple (XRP) has shown huge progress since the start of the year as analysts project a surge to $0.65. Moreso, Hedera (HBAR) platform development continues with the network integrating with digital euro for seamless payment innovation. Meanwhile, KangaMoon (KANG) has showcased potential as one of the meme coins to watch out for during the bull run. With the project currently in stage 2 of the presale, let’s have a look and see what analysts say about it.  Amidst the exciting prospect of Ripple and Hedera, KangaMoon is set to dominate the meme coin market in years to come. KangaMoon is a new meme coin integrating P2E gaming features for seamless community development. Through this broad arrangement, users on KangaMoon will be able to experience the core features of a community-driven .
CORE+3.07%
HBAR+9.15%
Debby001#
Debby001#
8小時前
$FUEL Trading Strategy and Returns Analysis: A Comprehensive Guide Trading $FUEL has become an attractive opportunity for both short-term and long-term traders, offering ample potential for significant returns. With its unique position in the blockchain and decentralized finance (DeFi) ecosystems, $FUEL presents a dynamic market where both volatility and growth provide excellent opportunities for traders. This article outlines my $FUEL trading strategy, followed by a thorough analysis of the returns from implementing this strategy. --- 1. $FUEL Trading Strategy: A Balanced Approach My $FUEL trading strategy combines technical analysis, market sentiment, and solid risk management practices. The primary objective is to capture consistent profits while managing risk, ensuring that every trade has a high probability of success. Key Elements of the Strategy: Trend Following: Identifying and capitalizing on established price trends is crucial. By tracking the direction of $FUEL’s market momentum, I enter trades when the trend is clear (either up or down). Breakout Trading: Waiting for $FUEL to break through key resistance or support levels with strong volume. This strategy aims to enter the market when a significant price movement is expected after a consolidation period. Swing Trading: Leveraging medium-term price movements, I focus on entering positions during retracements within an established trend and exiting when the price reaches a resistance or support zone. Scalping: During periods of heightened volatility, I execute short-term trades to take advantage of small, frequent price fluctuations. This approach aims for quick profits from small price changes within minutes or hours. Risk Management: Protecting capital is as important as capturing profits. A strict risk-reward ratio is adhered to, where potential losses are capped using stop-loss orders, and take-profit levels are set to secure gains at key price targets. --- 2. Key Tools and Indicators Several technical indicators and tools form the foundation of my $FUEL trading strategy: Moving Averages (MA): I use the 50-day and 200-day moving averages to gauge the overall trend. A crossing of the shorter MA above the longer MA (golden cross) signals a bullish trend, while the opposite (death cross) signals bearish potential. Relative Strength Index (RSI): The RSI helps determine overbought and oversold conditions. A reading above 70 suggests overbought conditions, while below 30 suggests oversold conditions, often signaling potential reversal points. Bollinger Bands: These bands provide insight into market volatility. When the price moves outside the bands, it can indicate overextension and potential for reversal, presenting opportunities to trade in the opposite direction. Volume Analysis: Volume is a critical confirmation tool. High volume during price breakouts supports the validity of a move, while low volume can signal a lack of conviction, making it a potential risk factor. --- 3. Trading Returns Analysis The returns from trading $FUEL have been impressive, particularly due to the effective application of the strategy and the asset’s favorable market conditions. Below are key performance metrics and examples of successful trades. Performance Metrics: Average Monthly Return: My average monthly return has been approximately X%, driven by successful trend-following and breakout trades. Annualized Return: Over the last year, my $FUEL trading strategy has delivered an annualized return of Y%, outperforming most benchmark assets. Win Rate: With a win rate of Z%, the strategy has proven successful in capturing profitable moves, especially in volatile market conditions. Maximum Drawdown: The maximum drawdown has been limited to A%, reflecting a disciplined risk management approach that ensures losses are contained even during adverse market conditions. Example Trades and Returns: 1. Breakout Trade Example: Entry Point: $FUEL at $8, breaking above resistance at $7.80 with high volume. Exit Point: Sold at $10.50 after price reached the upper Bollinger Band. Profit: 31% gain in 5 days. Risk-Reward Ratio: 1:3 (risked $0.50 to gain $1.50). 2. Swing Trade Example: Entry Point: $FUEL at $9.20 after retracing to the 50-day MA during an uptrend. Exit Point: Sold at $12 after hitting a resistance zone. Profit: 30% gain in 10 days. Risk-Reward Ratio: 1:2.5. 3. Scalping Example: Entry Point: $FUEL at $11.10, taking advantage of small fluctuations during a volatile market. Exit Point: Sold at $11.30. Profit: 1.8% gain in 45 minutes. These examples highlight the effectiveness of using both technical analysis and strategic timing to capture substantial returns. --- 4. Risk Management and Capital Preservation Effective risk management is essential in maintaining profitability over the long term. My approach includes the following: Position Sizing: No more than 2-3% of the total capital is allocated to any single trade, ensuring that losses on any single trade are contained. Stop-Loss Orders: A tight stop-loss is placed below key support levels to limit losses if the market moves against the position. Take-Profit Levels: Predefined take-profit levels are set based on resistance or support zones, ensuring that profits are locked in as the price approaches key levels. Diversification: Although $FUEL is a core part of my portfolio, it’s balanced with other assets to avoid overexposure to any single market movement. --- 5. Challenges and Adjustments While the strategy has proven successful, there are always challenges that can impact returns: Market Volatility: The high volatility of $FUEL can sometimes result in price swings that trigger stop-losses before reversing. Adjusting stop-loss strategies based on volatility can reduce this risk. Liquidity Concerns: During periods of low liquidity, slippage can affect the execution of trades. I prefer trading during high-volume sessions to avoid this. Emotional Bias: Emotional reactions to market fluctuations can lead to impulsive decisions. To mitigate this, I rely on automated orders and strictly follow the trading plan. Conclusion Trading $FUEL has proven to be a highly rewarding endeavor when approached with a disciplined, strategic mindset. By utilizing technical indicators, trend-following, and breakout strategies, combined with strong risk management practices, my $FUEL trading strategy has delivered impressive returns over the past year. As we move into 2025, $FUEL’s market position and liquidity are expected to improve, presenting even more opportunities for profitable trading. With continued attention to risk management and adapting to market dynamics, the potential for further gains remains strong. Are you ready to take advantage of $FUEL’s market opportunities? The strategy outlined here offers a structured approach to navigating the asset’s exciting potential, and with the right tools and mindset, you can achieve impressive trading returns.
X+7.67%
FUEL-0.63%
Debby001#
Debby001#
8小時前
$EARNM Trading Strategy and Returns Analysis Trading $EARNM has become an exciting opportunity for both seasoned and new market participants due to its high volatility, strong market presence, and growing adoption. This article delves into my $EARNM trading strategy and provides a detailed returns analysis, showcasing how disciplined approaches can yield consistent results in this dynamic market. --- Trading Strategy Overview 1. Core Approach The $EARNM trading strategy focuses on a mix of technical analysis, market sentiment, and fundamental insights. The core principles include: Risk-Adjusted Trading: Ensuring a healthy risk-reward ratio for each trade. Diversification: Avoiding overexposure to $EARNM by balancing positions with other assets. Emotional Discipline: Sticking to predefined rules and avoiding impulsive decisions. 2. Key Trading Techniques Trend Following: Leveraging momentum by entering trades during confirmed uptrends or downtrends. Breakout Trading: Capturing profits when $EARNM breaks critical resistance or support levels with strong volume. Scalping: Executing multiple short-term trades during periods of high volatility to capture small, consistent gains. Swing Trading: Holding positions for days or weeks to capitalize on medium-term price movements. 3. Tools and Indicators Moving Averages (MA): To identify trends and potential reversal zones. Relative Strength Index (RSI): For spotting overbought or oversold conditions. Fibonacci Retracement Levels: To identify key support and resistance levels. Volume Analysis: To confirm the strength of price movements. --- Returns Analysis 1. Performance Metrics Average Monthly Return: The strategy has delivered an average monthly return of X% over the last year. Annualized Return: A consistent growth of Y% annually, outperforming most traditional assets. Win Rate: A success rate of approximately Z%, reflecting the effectiveness of the strategy. Maximum Drawdown: Kept within manageable limits of A%, highlighting robust risk management. 2. Key Drivers of Returns Volatility: $EARNM’s price movements create ample opportunities for intraday and swing trading. Market Sentiment: Tracking news, partnerships, and adoption trends has been critical in identifying profitable trades. Liquidity: High trading volumes on $EARNM ensure efficient order execution with minimal slippage. 3. Example Trade Entry Point: $EARNM at $5 after breaking above a resistance level with strong RSI and volume support. Exit Point: Sold at $6.50 after reaching the upper Bollinger Band, signaling potential overextension. Profit: 30% gain in 2 days. Risk-Reward Ratio: 1:3 (risking $0.50 to gain $1.50). --- Risk Management 1. Position Sizing Allocating no more than 2-3% of the total portfolio to a single trade. Adjusting position sizes based on volatility and risk tolerance. 2. Stop-Loss and Take-Profit Levels Setting stop-loss orders below key support levels to cap losses. Using trailing stop-losses to lock in profits during favorable trends. 3. Hedging Strategies Utilizing derivatives or inverse ETFs to hedge against adverse market conditions. 4. Diversification Avoiding over-reliance on $EARNM by balancing exposure with other assets in the portfolio. --- Challenges and Solutions 1. Market Volatility Challenge: Sudden price swings can trigger stop-losses. Solution: Adjusting stop-losses dynamically and using partial exits to secure profits. 2. Liquidity Constraints Challenge: During low-volume periods, trades may face slippage. Solution: Focusing on trading during peak market hours for optimal liquidity. 3. Emotional Bias Challenge: Emotional reactions can lead to impulsive trades. Solution: Sticking to predefined trading plans and using automated orders where possible. --- Future Outlook for $EARNM Trading By 2025, $EARNM is expected to experience: Increased Volatility: Driven by expanding adoption and evolving market conditions, creating more trading opportunities. Enhanced Liquidity: Listings on additional exchanges and growing user adoption will improve market depth. Broader Ecosystem: Innovations within the $EARNM ecosystem will increase its relevance and market value. Traders should remain adaptive, continuously updating their strategies to align with market dynamics. --- Conclusion $EARNM trading offers substantial potential for profits when approached with discipline, strategic planning, and robust risk management. By combining technical and fundamental analysis with a focus on long-term trends, traders can capitalize on $EARNM’s growth in the evolving market landscape. As $EARNM’s ecosystem matures, the opportunities for traders will only increase, making now the perfect time to refine strategies and prepare for a prosperous future. Are you ready to unlock the potential of $EARNM trading? Let’s navigate this journey together!
X+7.67%
CORE+3.07%

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