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Harga Gold Standard

Harga Gold StandardBAR

Tidak dilisting
Rp18,648.33IDR
+0.38%1D
Harga Gold Standard (BAR) dalam Rupiah Indonesia adalah Rp18,648.33 IDR pada pukul 17:09 (UTC) hari ini.
Data bersumber dari penyedia pihak ketiga. Halaman ini dan informasi yang diberikan tidak mendukung mata uang kripto tertentu. Ingin trading koin yang listing?  Klik di sini
Daftar
Grafik harga Gold Standard (IDR/BAR)
Terakhir diperbarui pada 2025-09-12 17:09:47(UTC+0)

Info Pasar Gold Standard

Kinerja harga (24j)
24j
Terendah 24j Rp18,563.43Tertinggi 24j Rp18,879.06
Tertinggi sepanjang masa:
Rp339,275.87
Perubahan harga (24j):
+0.38%
Perubahan harga (7H):
+328.72%
Perubahan harga (1T):
-52.99%
Peringkat pasar:
#4194
Kapitalisasi pasar:
--
Kapitalisasi pasar yang sepenuhnya terdilusi:
--
Volume (24j):
Rp1,844,214,073.23
Suplai beredar:
-- BAR
Suplai maks.:
1000.00K BAR
Total suplai:
930.54K BAR
Tingkat peredaran:
0%
Kontrak:
0x777B...858fe6B(Ethereum)
Tautan:
Beli kripto

Harga live Gold Standard hari ini dalam IDR

Harga live Gold Standard hari ini adalah Rp18,648.33 IDR, dengan kapitalisasi pasar saat ini sebesar Rp0.00. Harga Gold Standard naik sebesar 0.38% dalam 24 jam terakhir, dan volume perdagangan 24 jam adalah Rp1.84B. Tingkat konversi BAR/IDR (Gold Standard ke IDR) diperbarui secara real time.
Berapa nilai 1 Gold Standard dalam Rupiah Indonesia?
Saat ini, harga Gold Standard (BAR) dalam Rupiah Indonesia adalah Rp18,648.33 IDR. Kamu dapat membeli 1 BAR dengan harga Rp18,648.33, atau 0.0005362 BAR dengan harga Rp10 sekarang. Dalam 24 jam terakhir, harga tertinggi BAR ke IDR adalah Rp18,879.06 IDR, dan harga terendah BAR ke IDR adalah Rp18,563.43 IDR.
Analisis AI
Sorotan utama hari ini di pasar kripto

Pada tanggal 12 September 2025, pasar cryptocurrency mengalami perkembangan signifikan di berbagai sektor. Laporan ini memberikan analisis mendalam tentang tren pasar saat ini, pembaruan regulasi, dan peristiwa penting yang membentuk lanskap aset digital.

Tinjauan Pasar

Bitcoin (BTC) telah mencapai harga $115,011, mencatat kenaikan 0,96% dari penutupan sebelumnya. Tinggi intraday adalah $116,312, dengan rendah $113,509. Ethereum (ETH) diperdagangkan pada $4,515.31, naik 2,21%, dengan tinggi intraday $4,558.54 dan rendah $4,392.61. BNB (BNB) berada di angka $907.18, mencerminkan kenaikan 0,86%. Solana (SOL) telah melonjak menjadi $238.36, peningkatan 6,24%, dengan tinggi intraday $239.38 dan rendah $224.35.

Adopsi Institusional dan Dinamika Pasar

Investor institusional semakin memengaruhi pasar crypto. Investor paus menengah, yang memegang antara 100 hingga 1,000 BTC, telah mengakumulasi Bitcoin secara agresif sejak Juli 2025, mencapai rekor tinggi lebih dari 3,65 juta BTC. Tren ini menunjukkan pandangan optimis di antara pelaku pasar yang signifikan.

Namun, perusahaan yang mengadopsi strategi "perbendaharaan crypto"—menahan sejumlah besar cryptocurrency untuk meningkatkan valuasi—menghadapi tantangan. Saham di perusahaan tersebut telah turun tajam, dengan saham Strategy turun 18% dalam sebulan. Penurunan ini menunjukkan potensi overvaluasi dan koreksi pasar.

Perkembangan Regulasi

Komisi Sekuritas dan Bursa AS (SEC) telah mengungkapkan agenda untuk merombak regulasi cryptocurrency. Usulan termasuk mendefinisikan penawaran dan penjualan aset digital dan memungkinkan aset crypto diperdagangkan di bursa sekuritas nasional. Perubahan ini bertujuan untuk mengintegrasikan cryptocurrency lebih sepenuhnya ke dalam pasar keuangan tradisional.

Selain itu, dua belas senator dari Partai Demokrat telah memperkenalkan kerangka legislasi untuk mengatur penerbitan dan perdagangan aset digital. Kerangka tersebut menekankan perlindungan konsumen, pencegahan kegiatan ilegal, dan transparansi, menyoroti urgensi politik yang semakin meningkat seputar pasar aset digital.

Perkembangan Bursa

Nasdaq telah mengajukan proposal kepada SEC untuk memungkinkan perdagangan sekuritas ter-tokenisasi di pasar utamanya. Jika disetujui, ini akan menjadikan Nasdaq sebagai bursa saham besar pertama di AS yang menerima sekuritas ter-tokenisasi, menggabungkan keuangan tradisional dan digital. Inisiatif ini sejalan dengan regulasi crypto yang dipermudah oleh pemerintahan dan mencerminkan tren yang lebih luas dalam mengintegrasikan teknologi blockchain ke dalam keuangan tradisional.

Gerakan Pasar

Harga Bitcoin dipengaruhi oleh data inflasi AS terbaru, yang menunjukkan kenaikan 2,9% tahun per tahun pada bulan Agustus. Data ini telah memicu harapan akan pemotongan suku bunga Federal Reserve, yang berkontribusi pada lonjakan harga Bitcoin. Selain itu, dompet besar telah aktif membeli cryptocurrency, mendorong momentum pasar lebih lanjut.

Kesimpulan

Pasar cryptocurrency pada 12 September 2025 dicirikan oleh pergerakan harga yang signifikan, peningkatan adopsi institusional, dan lanskap regulasi yang terus berkembang. Investor harus tetap terinformasi tentang perkembangan ini untuk menavigasi lingkungan aset digital yang dinamis dengan efektif.

Tampilkan lebih banyak

Menurut kamu, apakah harga Gold Standard akan naik atau turun hari ini?

Total voting:
Naik
0
Turun
0
Data voting diperbarui setiap 24 jam. Data ini mencerminkan prediksi komunitas mengenai tren harga Gold Standard dan tidak boleh dianggap sebagai saran investasi.
Informasi berikut mencakup:Prediksi harga Gold Standard, pengenalan proyek Gold Standard, sejarah pengembangan, dan lainnya. Teruslah membaca untuk mendapatkan pemahaman yang lebih dalam tentang Gold Standard.

Prediksi harga Gold Standard

Kapan waktu yang tepat untuk membeli BAR? Haruskah saya beli atau jual BAR sekarang?

Ketika memutuskan apakah akan membeli atau menjual BAR, Anda harus terlebih dahulu mempertimbangkan strategi trading Anda sendiri. Aktivitas trading trader jangka panjang dan trader jangka pendek juga akan berbeda. Analisis teknikal BAR Bitget dapat memberi Anda referensi untuk trading.
Menurut Analisis teknikal 4J BAR, sinyal tradingnya adalah Kuat beli.
Menurut Analisis teknikal 1H BAR, sinyal tradingnya adalah Kuat beli.
Menurut Analisis teknikal 1M BAR, sinyal tradingnya adalah Kuat beli.

Berapa harga BAR di 2026?

Berdasarkan model prediksi kinerja harga historis BAR, harga BAR diproyeksikan akan mencapai Rp5,126.3 di 2026.

Berapa harga BAR di 2031?

Di tahun 2031, harga BAR diperkirakan akan mengalami perubahan sebesar +12.00%. Di akhir tahun 2031, harga BAR diproyeksikan mencapai Rp5,517.37, dengan ROI kumulatif sebesar +30.21%.

Insight Bitget

ISF804
ISF804
1j
BOOST — updated range-retest play (concise verdict + context)
Short verdict: the original range-retest thesis remains the highest-probability edge — buy defined support, use ATR-based stops, trim into the supply ceiling. Since your snapshot BOOST saw exchange listings and high retail flow that raised intraday liquidity and volatility; that changes the execution environment (bigger spikes, more fakeouts) but not the structural levels. Key exchange listing and volume context below. Bitget +1 Updated market context (what changed) • Listing / market attention — BOOST was recently listed on Bitget (Innovation Zone) with trading opened in early September 2025, which created a concentrated inflow & distribution window. That listing + incentive campaign explains the large spikes and heavy retail activity. Bitget +1 • Price & liquidity snapshot — since your close at 0.09246 the token has traded back up into the low-0.10s; live exchange feeds show intraday highs near the 0.12 area and heavy 24-hour trading volume on the order books. Treat the immediate price band as moved up slightly versus your snapshot; that matters for sizing and stop placement. Bitget +1 • Why this matters: listing flow tends to concentrate two behaviors — (A) fast distribution into the initial buyer base (big sell bars), and (B) deeper structural retests as liquidity rebalances. Both increase false-break probability, so breakout trades should be smaller and retest entries should favor limit entries. Traders Union Price-action & structure — updated read The visible box still holds: major floor ≈ 0.07156, mid-range shelf ≈ 0.090–0.092, and repeated rejections up near ~0.121–0.122. Listing activity pushed price into the 0.11–0.12 zone (testing the range top) and then offered a distribution flush that retraced into the mid shelf — the same structural behaviour you documented, now with amplified volume. Use the shelf at 0.090–0.092 as the primary long edge; if price is above that shelf (e.g., ~0.10), prefer to wait for a disciplined retest or for clear volume acceptance above supply. Bitget +1 New / refined trade plans (clear, actionable) Plan A — Retest Long (core edge — highest R:R) Entry zones (updated): Primary layer: 0.092–0.098 (accept slightly higher entries when market grinds higher after listings). Deeper layer: 0.080–0.082 (wick retest nearest the volume-spike low). Execution: stagger limit buys across the band (3–4 slices). Add only after clear wick rejections and upticks in buy volume on the retest bar. Use OCO for stop + staggered TPs. Stops (ATR logic, unchanged concept): use 1.5× ATR beneath your entry. Using the ATR range you provided (~0.0075): 1.5 × ATR = 1.5 × 0.0075 = 0.0075 + 0.00375 = 0.01125. Example: entry at 0.095 → stop = 0.095 − 0.01125 = 0.08375 (round to 0.083–0.084 depending on price ticks). Sizing example (account $10,000, risk 1% = $100): Stop distance = 0.01125. Position size = $100 ÷ 0.01125. Do the division: 100 ÷ 0.01125 → 100 ÷ 0.01125 = 8,888.888... → ≈ 8,888 BOOST (round down to the nearest tradable size; use 8,800–8,850 to be conservative). If you keep your original entry at 0.092 with a rounded stop of ~0.081 (stop distance ≈ 0.011): $100 ÷ 0.011 = 9,090.909... → ≈ 9,090 BOOST (your original sizing example was consistent; this shows the small variance created by rounding stops). Targets (same structural answers): TP1: 0.105 (MA cluster / intraday pivot). TP2: 0.110–0.113 (upper half), trim 30–50%. TP3: 0.121–0.122 (full range resistance). Be ready to trim heavily at the upper band — the token has shown repeated rejection there. Bitget +1 Plan B — Breakout Momentum (low size, conditional) Trigger: two consecutive closes > 0.121 with volume that meaningfully exceeds recent heavy bars (use Bitget’s exchange volume or the visible spike as reference). Prefer a retest into the 0.118–0.121 pivot with bid defense before adding. Stops = 1.5× ATR under the breakout pivot (quick math gives ~0.109–0.110 with current ATR estimates). Targets: 0.135–0.140 initial extension; stretch into the 0.150s if momentum is clean. Keep size small (starter size ≤ 50% of your retest size). Bitget Plan C — Defensive / structural failure handling If 0.090–0.092 breaks on rising exchange volume, exit long immediately — distribution is the signal. If 0.080 collapses, expect a high-probability slide toward the major floor ~0.07156. Do not average into structural breaks. Execution & orderflow checklist (practical) Prefer limit buys on laddered entries; market orders on thin books will spike price + slippage. Use OCO orders for stop + TP automation. Watch order-book depth between you and the target: heavy asks stacked at 0.105–0.121 reduce effective R:R. Confirm conviction before scaling: high buy volume on the retest (comparing the retest bar to the recent 5.35M spike you flagged) and accumulation/tick-up on volume indicators. If listing incentives or airdrop campaigns are running, expect retail selling into spikes. Bitget +1 Confirmation signals to justify adds Retest shows wick rejection + faster buy-volume than the recent red distribution bar (use the 5.35M spike as a reference point). MACD histogram starts curling positive from the midline; Stoch RSI not rolling over from mid-band. Order-book shows no large asks inside your target zone (or they get lifted by buyers). If these are missing, keep size light. Why this still matters (succinct) The range is clearly defined and gives measurable R:R and explicit failure points — that’s a tradable edge. The listing and campaign events changed the amplitude and the noise profile (larger volume and more retail selling), which means smaller sizes, stricter execution, and a higher bar for breakout conviction. Treat the mid-range shelf as your primary edge and let breakouts be secondary, conviction-only plays. Bitget +1 Bottom line (one-liner) Keep the original range-retest playbook: defined support buys, ATR stops, scale out into the 0.105–0.121 zones — but size down for listing-era volatility and require volume acceptance for any breakout add. $BOOST
CORE+1.64%
BOOST-7.99%
pinjamin_townzwin
pinjamin_townzwin
3j
BOOST/USDT — Range Retest with Clear Resistance Band: Structured Trade Plans
Hello trader — I was looking at the $BOOST chart. Short version: $BOOST is trading inside a defined range, pulling back into support, and setting up a potential measured retest toward its resistance ceiling. Clear levels, ATR-based stops, and volume confirmation make this a structured, patient setup. Starter-size only until conviction builds. Last close: 0.09246. Session H/L: 0.10071 / 0.08057. Short MAs (trend refs): MA5 = 0.09977, MA10 = 0.10402, MA15 = 0.10547, MA30 = 0.10221. VWAP (intraday anchor): hovering ~0.098. Volume (recent spike): ~5.35M on the red bar — heaviest in the visible cluster. MACD: trending slightly negative, histogram in red, signal curling down. ATR (1H intraday est): ~0.007–0.008, use for stop sizing. Support shelf: 0.090–0.092 zone. Major support (base): 0.07156. Measured resistance targets: first 0.105–0.110 (supply zone), stretch toward 0.12113 if range top clears. Price Action & Structure BOOST printed a sharp impulse move into the 0.12s on strong volume before retracing into its mid-range structure. The visible chart defines a box range: major floor anchored near 0.07156, with repeated tops capped at 0.12113. Inside this structure, price has oscillated with several measured swings, testing support shelves and rejecting off the same resistance ceiling. The latest session shows a selloff from ~0.11 toward ~0.092, tagging the mid-range support band. Notably, volume expanded significantly on the downside move (5.35M vs recent averages), suggesting distribution pressure. However, the wick rejection at the support zone implies active buyers defending the shelf. Moving averages (MA5, MA10, MA15, MA30) are stacked above current price, reflecting near-term weakness, but their convergence above ~0.102 creates a dynamic pivot. MACD momentum is slightly bearish, but given the range structure, oscillators here are less predictive and more confirming. This is a range-retest setup: the trade edge comes from buying defined support with tight risk, then targeting the upper half of the range, trimming into resistance. Breakouts are secondary plays, not primary. Trade Plans Plan A — Retest Long (best R:R) Entry zones: First layer: current 0.092–0.095 (mid support). Optional deeper layer: 0.080–0.082 (wick retest, closer to volume spike low). Execution: Use limit buys staggered across the band. Watch for rejection wicks + buy volume uptick before committing size. Stops: 1.5× ATR under entry (ATR ≈ 0.0075 → stop buffer ≈ 0.011). For entry ~0.092, that places stop ~0.081. Targets: TP1: 0.105 (MA cluster + minor resistance). TP2: 0.110–0.113 (upper box mid-line). TP3: 0.121 (full range resistance). Sizing example (account $10,000, risk 1% = $100): Stop distance ~0.011. Position size = $100 ÷ 0.011 ≈ 9,090 BOOST at entry 0.092. Adjust for liquidity/slippage. This plan offers defined downside with ~2.5–3.0× R:R if resistance retests play out. Plan B — Breakout Momentum (smaller size) Trigger: If price clears 0.121 on two consecutive closes with volume >5.35M, treat it as a breakout from the established box. Entry: Buy small starter on breakout confirmation, then add only after retest into 0.118–0.121 pivot with strong bid defense. Stops: Same ATR logic, ~1.5× ATR under breakout pivot (~0.109–0.110). Targets: First 0.135–0.140 (extension), stretch into 0.150s if breakout is impulsive. Given BOOST’s thin liquidity, expect frequent fakeouts; breakout trades must be smaller to avoid outsized drawdowns. Plan C — Defensive / Failure Handling If price loses 0.090–0.092 support on rising volume, exit longs. If the deeper shelf at 0.080 collapses, probability of retest to the major floor at 0.07156 sharply increases. Do not average down into structural breaks — the edge is lost when range support fails. Stand aside and reassess for fresh structure. This plan prevents capital bleed in a thin market. Risk Management & Execution BOOST trades with relatively thin order book depth. Slippage is real — avoid large market orders. Always prefer limit entries on retests, slicing fills into smaller chunks. Use OCO orders (one-cancels-other) to automate stops and staggered TPs. Position sizing is critical. Example given (risk 1% of $10K = $100) scales to ~9K tokens per entry. Adjust proportionally for your account. Never exceed sizing beyond the liquidity available on the top of book. ATR-based stops (1.5× ATR ≈ 0.011) are wide enough to avoid noise but tight relative to range structure. Placing stops tighter risks whipsaw; wider invalidates the R:R. Always trim profits into resistance bands. BOOST has shown repeated rejection near 0.121 — it’s not a breakout level until proven with volume acceptance. Selling into strength at each tier reduces emotional load and locks gains. Confirmation Signals Before Adding Volume: Continuation buy volume ≥ 5.35M spike on green bars. Accum/Dist: Look for stabilization or tick up after distribution flush. Oscillators: Stoch RSI not rolling over from mid-band; MACD histogram curling positive. Liquidity check: No heavy asks stacked inside your target zone (watch order book). If these confirm, conviction increases and adds are justified. If they don’t, keep size light and focus on trimming early. Why I’m Watching BOOST The range is well-defined: major support anchored at 0.07156, visible mid shelf at 0.090–0.092, and consistent rejection near 0.121. These clear levels give measurable risk/reward with transparent failure points. The recent volume spike on selloff highlights distribution, but the wick defense at support shows buyers active. The opportunity is not chasing upside momentum, but entering on structured retests with stops and scaling into resistance. BOOST also carries thin liquidity risks, so execution discipline matters more than usual. Avoid chasing, respect stops, and trade in smaller slices. The clean structure makes it attractive, but only if managed with patience. Bottom Line BOOST/USDT offers a structured range-retest setup. The plan is simple: Plan A: Buy retests into 0.092 (optionally 0.080), stop below 0.081, targets 0.105 → 0.110 → 0.121. Plan B: Breakout add-ons only if 0.121 clears with conviction volume. Plan C: Exit if 0.090 shelf breaks; stand aside if 0.080 collapses. Best edge = patient entries at support with volume confirmation. Chasing highs into resistance sharply reduces probability. Size small, use ATR stops, and scale out into resistance bands. Trade with structure, not emotion. BOOST’s chart gives defined levels — let the market do the work.
MAS-2.40%
BOOST-7.99%
Osman_bey
Osman_bey
5j
BOOST on the 4 hour chart: distribution warning, clear risk zones, and a concise trade roadmap
Snapshot quick facts → Pair BOOST USDT → Timeframe focus 4 hour chart → Last close near 0.1007, recent high 0.1140, recent low 0.0991 → Moving averages MA 5 at 0.105008 and MA 10 at 0.101337 → RSI 14 at 53.22 neutral but rolling down → MACD line -0.000811 signal 0.004831 histogram -0.005642 bearish momentum → Awesome Oscillator 0.010030 small positive reading → ADX 14 at 28.97 trend strength moderate → ATR 14 at 0.012209 intrabar volatility baseline → Volume recent bar 221.37 million with higher selling volume visible → Key horizontal to defend 0.072959 major demand below the current market Headline read Price formed a clear topping structure on the 4 hour chart with two clear peaks and a failing right shoulder. Price sits below the short MA ribbon and momentum indicators are mixed to bearish. If the neckline near the blue horizontal is taken out with follow through, sellers have a clear path to the major demand band shown. If buyers defend the shorter support and reclaim the MA area, a neutral to bullish shift becomes possible. The setup is binary and actionable. Price structure and K line read The 4 hour candles show a fast run into the 0.114 zone followed by lower highs and a sharp red candle that closed below the short moving average cluster. There are long upper wicks at the recent highs and multiple small body candles that signal distribution and indecision. The recent bearish candle is a momentum candle with higher volume which increases the probability that the top is genuine rather than a minor pullback. Dip buyers have shown interest earlier near the lower wick region but so far they have not been able to reclaim the MA 5 and MA 10 area. Pattern identification and target zones A head and shoulders type distribution is visible across recent bars with a right shoulder failing to make a new high. The blue horizontal acts as the neckline and is the critical structural support. A decisive break below that line increases the chance of a deeper correction into the large demand region shown on the chart. Conversely a reclaim above MA 5 at 0.105 and a clean close above the recent peak cluster will invalidate the immediate bearish case. Indicator checklist and what each tells us → MA 5 0.105008 and MA 10 0.101337 Price below both is bearish short term. → RSI 14 53.22 Neutral but turning lower; watch for drop under 50 to confirm momentum shift. → MACD negative histogram at -0.005642 Bearish crossover recently and histogram showing momentum to the downside. → Awesome Oscillator slightly positive at 0.010030 Suggests short bursts of buying but insufficient to dominate. → ADX 14 28.97 Shows the market has trend strength above noise threshold; the direction is defined and currently biased downward. → ATR 14 0.012209 Means a typical 4 hour move around 0.012; use this to size stops and targets. → Volume 221.37M Recent selling volume higher than recent average; volume supports bearish move. What to expect next and decision rules Bear case if price fails MA 10 and the neckline: continued decline into the blue demand area near 0.073 is likely. Watch for accelerating volume and expanding ATR on breakdown to confirm sellers are serious. Do not assume a retest will hold. A clean 4 hour close below the neckline followed by another bearish 4 hour candle is the trigger to favor lower targets. Bull case if price reclaims MA 5 and MA 10 decisively: buyers must close 4 hour candles above 0.105 and then 0.114 to prove distribution was exhausted. Look for declining volume on pullbacks and rising volume on green candles as confirmation. RSI moving back above 55 and MACD histogram turning positive will confirm bullish rotation. Practical setups and trade plan on the 4 hour base 1 Aggressive short entry for traders who accept risk Enter on a 4 hour close below the neckline with volume confirmation. Entry around breakdown price. Initial stop above the right shoulder or above MA 10 depending on entry. Take partial profits into the demand zone near 0.073. Trail remaining position with ATR based stops. 2 Conservative short plan Wait for the second confirming 4 hour candle after a breakdown and then enter. This reduces false breakout risk. Stop above last local swing high. Scale out in two tranches as price approaches the demand band. 3 Defensive long accumulation Buy the dip into the major demand band shown around 0.073 only if you are a long term holder and fundamentals support the thesis. Use staggered buys with very wide stops under the demand box. Consider waiting for bullish reversal K line structures at that level such as multiple long lower wicks or bullish engulfing 4 hour candles. 4 Momentum long pivot for swing traders Buy on a 4 hour close above MA 5 at 0.105008 with volume above recent average. Initial target 0.114 then 0.125 then the higher supply zones. Stop under 0.101 to protect from a failed breakout. Allocation and risk management rules → Risk per trade keep the loss to less than 1 percent of portfolio value. → Suggested position sizing for medium risk allocate 2 to 3 percent of portfolio to this single idea. → For higher conviction trades where the neckline proves false and you hold to demand, reduce size to 1 to 1.5 percent per entry. → Use ATR 14 0.012209 to set protective stops and to calculate position size. If ATR expands by 50 percent, widen stops accordingly or step back. Fundamental reminders for longer term holders Check token utility updates token distribution schedules vesting and burn mechanics before committing significant capital to long term positions. Technical pressure can persist even when fundamentals are constructive. Use fundamental catalysts to time larger accumulations and to avoid catching a long distribution phase. Long term view and scenario projection If the neckline remains intact and buyers reclaim the MA zone the longer term trend can resume towards the previous supply levels. If the neckline breaks and the demand zone near 0.073 is tested and holds it will form a deeper base that could set up a stronger multi week rally after absorption. If that demand zone fails the structural outlook shifts bearish for an extended period. Short final summary and checklist for action → Immediate bias cautious to bearish while price is below MA 10 and MACD histogram is negative. → Key triggers to watch 4 hour close below the blue neckline and 4 hour close above 0.105. → Use volume ATR and a clear stop plan. → Allocation stay conservative and size positions with ATR based stops to protect capital. $BOOST
HOLD-1.14%
MOVE+1.45%
Chareenlovi
Chareenlovi
7j
$BOOST/USDT — Buy the Retest: 0.1004–0.1063 Confluence | Stop <0.0976, Target 0.1213–0.1227
I’m watching $BOOST price behavior around the short-term support band with starter-size exposure only. The best edge is to buy low inside the confluence and only scale after clear acceptance. If the support gives, step aside and wait for structure to rebuild. Market snapshot (live reads) Current price: 0.102201 (recent close). Session high / low reference: 0.113213 / 0.101718. Bollinger: mid 0.105826 • upper 0.111221 • lower 0.100430. DEMA (short dynamic): 0.102817. VWAP (session anchor): 0.109288. Recent volume: 98.38K on last bars; watch for sustained prints above this. Momentum panels: Stoch RSI low (≈ 12–13), MACD recently rolled negative, AO slightly negative. ATR (intraday reference): 0.004946 — use this for stop sizing. Why this is tradeable Price moved inside a rising pitch then broke down toward a support shelf that has shown reactive buying. Momentum oscillators are soft to oversold on the short side, offering a mean-reversion edge into a defined demand zone. The VWAP and short DEMA sit near the decision band, giving a compact entry zone with measurable invalidation. Volume has spiked on earlier pushes but needs follow-through; that’s the confirmation signal I’ll wait for. Trade-grade levels (exact) Preferred buy zone / confluence: 0.1004 – 0.1063 (Bollinger LB → DEMA → lower price band). Immediate pivot / local resist: 0.1132 (first flip/acceptance gate). Primary upside target: 0.1213 – 0.1227 (measured channel target). Lower invalidation / defensive pivot: hourly close < 0.0976 (SAR region / lower band area). Deeper demand shelf: ~0.076 – 0.070 (structural buffer if the confluence fails). The setups (choose one that matches your risk appetite) A) Structured Retest — my preferred, highest R:R Condition: price revisits 0.1004–0.1063, prints a clear rejection wick and shows above-average buy volume on the rejection candle. Entry: limit order at wick low or mid-wick; split size 50/50 (half at initial limit, half on confirmation). Stop: set just below 0.0976 or use 1.5× ATR below your entry (ATR = 0.004946 → stop-distance ≈ 0.0074 if you use ATR methodology — adjust per timeframe). Targets: trim partial at 0.1132, take further partials into 0.1213 – 0.1227 on clean acceptance. Notes: best if OBV/Accum starts to turn up on the retest; this setup avoids chasing the high and offers tight invalidation. B) Momentum Add (smaller size) Condition: 1H close above 0.1132 with 1H volume higher than recent session averages and expanding MACD histogram. Entry: small starter (25–30% of intended size), add after two-candle acceptance over the pivot. Stop: 1.5× recent micro-ATR under breakout pivot. Targets: quick ladder to 0.1213, then stretch to 0.1227 if orderbook depth supports it. Notes: expect retests even on validated breakouts; trim early and re-enter on successful retests. C) Defensive / Short (if structure breaks) Condition: hourly close and continuation below 0.0976 with falling OBV and rising sell volume. Action: exit longs immediately; consider small short exposure only if book depth and on-chain flow confirm distribution. Targets: structured demand shelf 0.076 – 0.070; stop above the failed pivot or recent consolidation high. Notes: do not average into a breakdown; capital preservation is primary. Position sizing — exact example Use risk per trade = 1% of account as a baseline; lower to 0.5% on thin books. Example: $10,000 account → risk = $100. If you enter at 0.1022 and use stop at 0.0976 (stop distance = 0.0046), position size = $100 / 0.0046 ≈ 21,739 units. Convert to appropriate lot size on Bitget and round down to avoid fractional issues and fees. If preferred, split into starter (50%) and add-on (50%) to manage execution risk. Execution mechanics & order rules Use limit entries on retests to avoid slippage. If liquidity is thin, slice the order into two or more micro-limits. Always attach an OCO: stop + multi-target take-profit legs (e.g., TP1 at 0.1132, TP2 at 0.1213, TP3 at 0.1227). If spread or depth at intended entry point is poor, reduce size or wait. Thin-book fills will decimate R:R on early-stage listings. If you receive a partial fill and the remaining liquidity dries, cancel the rest and reassess — never force the full size into a thin book. Live monitoring checklist (pass all before scaling) Two-candle confirmation or clear wick rejection in the buy zone. Rejection candle shows volume > recent average (last bar > 98.38K or rising trend). OBV/Accumulation begins to flatten or turn up on the retest. MACD histogram begins expansion in the direction of the trade after entry. Orderbook depth sufficient for your remaining add size (check 5 levels each side). If any of these conditions fail, reduce size or step back. Alerts to set (immediate) Hourly close > 0.1132 (watch volume). Hourly close < 0.0976 (invalidation). Volume spike on retest candle (>= last big bar). OBV new higher-low during retest. Psychology & trade management Expect chop even when the setup is valid — listings and campaign-driven flows produce whipsaws. Take the first partial off at TP1; never hold the entire position into the first major supply band. Move stop to breakeven after capturing TP1 and let the remainder run to TP2/T P3 with trailing stops sized to ATR. If the market shows clear distribution after your entry (significant sell imbalance), cut size immediately and re-evaluate. Final rule (one line) Highest-probability plan: limit buys into 0.1004–0.1063, stop tight under 0.0976, add only after clear volume + OBV confirmation; treat moves above 0.1132 as validated continuation and scale carefully.
HOLD-1.14%
BOOST-7.99%

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