
MAXの価格MAX
JPY
未上場
¥1.1JPY
+1.00%1D
本日10:08(UTC)時点のMAX(MAX)価格は日本円換算で¥1.1 JPYです。
最終更新:2025-09-12 10:08:06(UTC+0)
MAXからJPYへの交換
MAX
JPY
1 MAX = 1.1 JPY.現在の1 MAX(MAX)からJPYへの交換価格は1.1です。レートはあくまで参考としてご活用ください。更新されました。
Bitgetは、主要取引プラットフォームの中で最も低い取引手数料を提供しています。VIPレベルが高ければ高いほど、より有利なレートが適用されます。
MAXの市場情報
価格の推移(24時間)
24時間
24時間の最低価格:¥1.0324時間の最高価格:¥1.14
過去最高値:
¥28.27
価格変動率(24時間):
+1.00%
価格変動率(7日間):
+1.68%
価格変動率(1年):
+176.88%
時価総額順位:
#1290
時価総額:
¥1,103,928,504.21
完全希薄化の時価総額:
¥1,103,928,504.21
24時間取引量:
¥71,176,866.97
循環供給量:
999.84M MAX
最大供給量:
--
総供給量:
999.84M MAX
流通率:
99%
現在のMAX価格(JPY)
現在、MAXの価格は¥1.1 JPYで時価総額は¥1.10Bです。MAXの価格は過去24時間で1.00%上昇し、24時間の取引量は¥71.18Mです。MAX/JPY(MAXからJPY)の交換レートはリアルタイムで更新されます。
1 MAXは日本円換算でいくらですか?
現在のMAX(MAX)価格は日本円換算で¥1.1 JPYです。現在、1 MAXを¥1.1、または9.06 MAXを¥10で購入できます。過去24時間のMAXからJPYへの最高価格は¥1.14 JPY、MAXからJPYへの最低価格は¥1.03 JPYでした。
MAXの価格は今日上がると思いますか、下がると思いますか?
総投票数:
上昇
0
下落
0
投票データは24時間ごとに更新されます。これは、MAXの価格動向に関するコミュニティの予測を反映したものであり、投資アドバイスと見なされるべきではありません。
今日のMAXの価格の他にも以下を検索できます。
MAX(MAX)の購入方法MAX(MAX)の売却方法MAX(MAX)とはMAX(MAX)を購入していたらどうなっていたでしょうか?今年、2030年、2050年のMAX(MAX)の価格予測は?MAX(MAX)の過去の価格データはどこでダウンロードできますか?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。MAXの価格予測、MAXのプロジェクト紹介、開発履歴など。MAXについて深く理解できる情報をご覧いただけます。
MAXの価格予測
MAXの買い時はいつですか? 今は買うべきですか?それとも売るべきですか?
MAXを買うか売るかを決めるときは、まず自分の取引戦略を考える必要があります。長期トレーダーと短期トレーダーの取引活動も異なります。BitgetMAXテクニカル分析は取引の参考になります。
MAX4時間ごとのテクニカル分析によると取引シグナルは売却です。
MAX1日ごとのテクニカル分析によると取引シグナルは売却です。
MAX1週間ごとのテクニカル分析によると取引シグナルは売却です。
2026年のMAXの価格はどうなる?
MAXの過去の価格パフォーマンス予測モデルによると、MAXの価格は2026年に¥1.16に達すると予測されます。
2031年のMAXの価格はどうなる?
2031年には、MAXの価格は+22.00%変動する見込みです。 2031年末には、MAXの価格は¥3.07に達し、累積ROIは+175.57%になると予測されます。
Bitgetインサイト

Ted
15時
$3,360,000,000 in $BTC options will expire tomorrow.
Max pain: $113,000
$850,000,000 in $ETH options will expire tomorrow.
Max Pain: $4,400
Historically, prices tend to move closer to max pain during options expiration.
Expect some volatility.
BTC-0.43%
ETH+1.19%

foreverdiana
20時
TRADOOR/USDT — Rising Channel Inflection: Break Above 2.38 Targets 2.60, Breakdown Risks 1.75–1.60
$TRADOOR appears to be sitting on a decision zone after a strong initial run — price carved a rising channel and is now testing mid-channel support. If hourly follow-through and tape confirm, the next leg can run; if not, a quick return toward lower support is likely. Below is a direct, copy-ready trade note using the wedge/decision structure you provided — explicit levels, clear triggers, and practical execution rules.
Why this is decisive (structure + market facts)
• Rising-channel resolution — price ran into a band of overhead supply and has compressed into the mid-channel. A clean breakout above the channel top removes the local cap; a breakdown below mid-channel support exposes deeper demand zones. Bitget
+1
• Supply profile & float — circulating float is limited relative to total supply (circulating ~14.35M of 60M max), meaning early unlocks or large holder moves can quickly shift available liquidity. Monitor announced unlock schedules. CoinMarketCap
+1
• Volume context — the strongest volume printed on the initial impulse; subsequent push legs show tapering volume, which raises the importance of a renewed volume pick-up to validate any breakout. Bitget Exchange
Top indicators to watch — quick rules (use 3–4 for confirmation)
• Volume / OBV — primary confirmation. Reject breakouts without rising volume.
• VWAP (session) — sustained trades above VWAP favor intraday longs.
• DEMA/EMA ribbon — ribbon expansion confirms trend; clustered EMAs indicate indecision.
• ATR (14) — low ATR during the coil; ATR expansion validates breakout size.
• RSI / MACD — use for momentum confirmation and spotting early divergence.
Concrete levels (decisive lines)
• Immediate pivot / mid-channel support: ~2.05 – 2.10 (watch price action and hourly closes).
• Channel top / near-term resistance: ~2.30 – 2.38 (overhead liquidity).
• First upside objectives: 2.50 → 2.60 (measured on clean breakout).
• Deeper defensive support: ~1.75 – 1.80.
• Structural floor if sellers dominate: ~1.60 (secondary buyer shelf).
(Use these bands for entries, stops, and partial trims.)
Two clean scenarios — exact triggers and conditions
Bull Breakout (validated)
• Trigger: hourly close above the channel top (~2.38) with rising volume.
• Confirm: Volume > 20-hr average or OBV trending up; VWAP above price; EMA ribbon expanding.
• Targets: T1 = 2.50 → T2 = 2.60; stretch toward 2.80 if momentum holds.
• Stop: below breakout candle low or −1.5× ATR on failed retest.
Bear Breakdown (validated)
• Trigger: decisive hourly close below mid-channel support (~2.05–2.00) with accelerating sell volume.
• Confirm: OBV falling, ATR expanding, RSI slipping toward 30s.
• Targets: 1.75–1.80 first, then 1.60 if selling continues.
• Stop: above breakdown wick or recent local swing highs.
Execution tactics (practical)
• Keep initial size small inside the channel; avoid full exposure pre-confirmation.
• Prefer limit entries on retests (buy the retest rather than chasing breakout candles).
• Ladder exits: take partial at the first target, trail remainder with a 1×ATR stop.
• If exchange promotions or sudden reward liquidity appear, widen stops or reduce size — those events often create whipsaws.
• Cross-check cross-exchange candles and VWAP to filter exchange-specific noise.
Indicator combo examples
• Conservative: Volume spike + hourly close above channel + MACD crossover → enter on retest.
• Aggressive: Partial entry at breakout close; add on successful retest if VWAP holds and OBV rises.
• Scalp: Stoch-RSI + VWAP intraday inside pattern; tiny stops and ATR-based quick targets.
Risk & market micro notes
• Watch orderbook depth — thin books can be pushed by concentrated sell walls or single-wallet moves.
• Campaign-driven volume or exchange-specific promos can be noisy — require cross-exchange confirmation for conviction.
• Size relative to visible liquidity; avoid single large market buys in shallow books.
Quick checklist before any trade
• Hourly close confirms breakout / breakdown.
• Volume > 20-hr average or OBV confirmation.
• VWAP aligns with chosen direction.
• ATR expands enough to justify move size.
• Orderbook shows fillable liquidity at planned execution levels.
Bottom line
$TRADOOR sits at a clear short-term inflection: validated volume and an hourly close above the channel top (~2.38) would open a measured run toward 2.50 → 2.60 (+ stretch). Failure to hold mid-channel support (~2.05) on rising sell volume would open a slide toward 1.75 → 1.60. Trade confirmed signals rather than guesses: example plan — take 50% on a validated breakout and add 50% on a successful retest; risk no more than 1–2% of capital on a full position and trail the remainder with 1×ATR.
HOLD-0.90%
MOVE+0.19%

ISF804
1日
⚡️ $TRADOOR/USDT Price Action Update
⚡️ $TRADOOR/USDT Price Action Update – September 11, 2025
Current Price: $2.1213
Timeframe: 4H | Market Bias: Neutral-to-Bullish Compression
Trend Structure: Higher Lows on Ascending Base | EMA Cluster Support
🔹 TL;DR
$TRADOOR continues consolidating within a tight ascending wedge after its explosive Bitget listing run. Price currently hovers around $2.12 with visible support from the EMA cluster and diagonal trendline. Liquidity remains stacked just overhead, with a critical breakout trigger above $2.395. Until then, price action favors either dip buys into the $2.128–$2.132 region or high-volume breakouts.
🧠 Chart Structure Breakdown
$TRADOOR has maintained bullish structure post-listing, with a series of higher lows and a tightening price range.
Local high at $2.5531 remains intact.
Current range: $2.0100 (24h low) to $2.3600 (24h high)
A clean ascending trendline is supporting price since the $1.2603 base.
Price is currently squeezing between short EMAs and the upper diagonal boundary, hinting at an imminent directional move.
Key Zones:
Type Price Zone Significance
Buy Zone $2.128 – $2.132 Support + EMA(5) cluster
Invalidation $2.111 Structural break level
Resistance 1 $2.395 Local high + breakout trigger
Resistance 2 $2.448 Target 1
Resistance 3 $2.528 – $2.556 Extended bullish target
📉 Momentum Metrics
EMA(5/10/20): Price hugging short EMAs = market equilibrium.
MACD Histogram: Losing strength, but no bearish crossover yet.
Volume: Fading gradually since the listing pump, which is normal during pre-breakout compression.
RSI: ~55 on 4H – mildly bullish, not overbought.
🔍 Trade Setups (Refined)
🟢 Setup A: High-Momentum Breakout
Trigger: Hourly close above $2.395 with volume ≥ 20H average
Entry: Ladder $2.396–$2.402 on retest
Stop: ~1.5× ATR below entry (e.g. 0.026 ATR → Stop at $2.370)
Targets:
T1: $2.448 (initial breakout zone)
T2: $2.480–$2.528 (scale area)
T3: $2.556 (stretch goal)
🟡 Setup B: Retest Entry (Safe Plan)
Condition: Wick into $2.128–$2.132 zone with buyer defense
Entry: Mid-band entry at $2.130
Stop: Close < $2.111
Targets:
First: $2.395
Then: $2.448 (trim), $2.480 (scale)
🔴 Setup C: Breakdown / Defensive
Trigger: Hourly close < $2.111 on high volume
Action: Exit all longs; short on retest (optional)
Targets: $2.080 → $2.050
Stop: Above $2.180
📌 Volume, VWAP, Orderbook Checklist
Factor Bullish Bearish
VWAP Position Price above = ✅ Below = ⚠️
Volume vs 20H Avg Breakout = ✅ Weak = ❌
Orderbook Thin above $2.395 = ✅ Large sell wall = ❌
OBV Trend Higher OBV = ✅ Flattening = ⚠️
🪙 Tokenomics Snapshot
Circulating Supply: ~14.35M
Max Supply: 60M
FDV: $127.2M at $2.12
Unlock Watch: Only ~24% circulating. Vesting = major risk.
Holder Concentration: High → whale-driven volatility likely.
⚠️ If any large wallets send to Bitget, expect immediate sell pressure.
🔬 On-Chain Behavior (What to Monitor)
Exchange Flows: Sudden inflows to Bitget = bearish → monitor wallet tracking tools.
Whale Wallets: Use block explorers to trace top 10 wallets.
Campaign Unlocks: Check for Bitget airdrop/trade reward vesting windows.
📢 If team/treasury wallets move to exchanges, stand down or reduce positions.
📣 Sentiment Pulse
Social Buzz: High due to recent listing + $12K rewards campaign
Community Chatter: Positive, but watch for overexposure → spikes in hype without matching volume is dangerous.
Retail Entry: Incoming users = volatility + FOMO wicks.
🔎 Use Twitter/X, Telegram groups, and TradingView ideas sentiment for edge.
📊 Microstructure Insights
Orderbook Thinness: Thin above $2.395 → makes for high-wick breakouts
Slippage Risk: High → always split orders
Spread: Normal for Bitget; DEX pairs may be wider.
Execution Tip: Use laddered limit buys for both breakout and support setups.
🔐 Risk Management Matrix
Risk Profile Max Account Risk Stop Strategy
Conservative 0.5–1% Hard stop below structure
Moderate 1–1.5% ATR-based stop
Aggressive 2% max Scale out faster at targets
Always use:
✅ Partial take-profits (T1 = 20–40% trim)
✅ Stop move to breakeven post-T1
✅ Avoid re-entry until setup fully confirms again
🧭 Forward Scenarios
Scenario What to Watch
Bullish Expansion Break >$2.395 with >75K volume → rally to $2.528+
Baseline Range Rangebound $2.128–$2.395 → best for dip buys
Bear Slide Break < $2.111 → drop to $2.080, $2.050 with weak recovery
🎯 Final Take
$TRADOOR/USDT is a high-volatility, low-cap name fueled by recent listing momentum. While early adopters may still benefit from breakout and retest plays, risks are non-trivial due to whale control, thin liquidity, and rapid sentiment shifts. Trade the structure, not the hype.
🟩 Retest Play (Safer):
Buy wick into $2.128–$2.132 → stop under $2.111 → target $2.395 → $2.448.
🟥 Breakout Play (Aggressive):
Reclaim $2.395 with >20hr avg volume → enter $2.396–$2.402 → target $2.528.
⚠️ Breakdown (Exit or Short):
Hourly close < $2.111 = bearish shift → target $2.080.
$TRADOOR
MAJOR-0.73%
TRADOOR-2.92%

Imran804
1日
📊 $TRADOOR/USDT Technical Analysis
📊 $TRADOOR/USDT Technical Analysis – September 11, 2025
Current Price: $2.1213 (+0.54%)
Timeframe: 4H
24h Range: $2.0100 – $2.3600
Volume: 487.5K TRADOOR (Spot)
EMA Levels: EMA(5) – $2.1281 | EMA(10) – $2.0735 | EMA(20) – $1.9407
🔍 Market Structure Overview
$TRADOOR is currently consolidating above its recent ascending support trendline following the volatile price expansion triggered by the Bitget listing and associated campaign activity. After bottoming out at $1.2603, price rallied significantly to a local high of $2.5531, forming a parabolic leg followed by consolidation into a high-base structure.
On the 4H chart, price is tightly compressed between the EMA(5) and EMA(10) with minor rejection near the psychological zone of $2.12–$2.13, which forms the key buy band (green shelf) in this current setup.
Key Structural Levels:
Type Level Description
Support $2.111 Structural invalidation (breakdown)
Support $2.128–$2.132 Entry band for safer buys
Resistance $2.395 First major liquidity block
Resistance $2.448 Second liquidity stack
Resistance $2.556 Post-listing high target
Support $2.010 24h low; last defense zone
📈 Trend Indicators and Volume
EMA Ribbon: Price is supported by the short EMA cluster (5/10/20), showing a neutral-to-bullish alignment. EMA(5) is slightly above price, indicating compression but not rejection.
MACD (12,26,9):
MACD Line: 0.0305
Signal Line: 0.1496
Histogram is contracting, suggesting a cool-off in bullish momentum.
Volume Profile:
4H volume has declined post-spike, aligning with consolidation.
Need >20-hour average volume (~70K+) for breakout confirmation.
📌 Trade Plans & Scenarios
✅ Scenario A: Aggressive Momentum Breakout
Condition: Hourly close > $2.395 with volume ≥ 20-hr average
Entry Ladder: $2.396–$2.402 on confirmed retest
Stop Loss: 1.5× ATR(14) below entry (get value from TradingView; assume ATR = 0.017 → Stop ≈ $2.370)
Targets:
T1: $2.448 → Trim 20–40%
T2: $2.480–$2.528 → Scale out
T3 (stretch): $2.556 → Final resistance, reduce risk exposure
📉 Scenario B: Safe Retest Entry
Condition: Wick and buy-spike inside $2.128–$2.132 (green band)
Entry Ladder: Around $2.130
Stop: Close below $2.111 (hard structural invalidation)
Targets:
Primary: $2.395
Extended: $2.448, then watch price action for breakout continuation
Consider breakeven stop once price closes > $2.395
⚠️ Scenario C: Defensive / Short Bias (Bear Break)
Condition: Hourly close < $2.111 with rising sell volume
Action: Exit longs; open small-sized short if structure breaks cleanly
Targets:
T1: $2.080
T2: $2.050
Stop: Above $2.180 (reclaim of broken structure)
✅ Pre-Trade Checklist (Pass/Fail Criteria)
Checkpoint Criteria
✅ Hourly candle close confirms setup Required for breakout/retest plays
✅ Volume ≥ 20H average Around 70–75K TRADOOR
✅ Price > VWAP (for longs) Sign of positive flow
✅ EMA ribbon alignment Prefer short EMAs above long EMAs
✅ Orderbook: No whale sell walls at $2.395 Thin book = easy wicks
✅ No large exchange inflow (whale sell risk) Watch explorer or Bitget flows
✅ Bitget news / campaign updates Listings can trigger large moves both ways
🔢 Risk Management: Position Sizing Examples
Account Size: $10,000
Risk Per Trade: 1% = $100
🔹 Momentum Example
Entry: $2.400
Stop: $2.374
Risk Distance: $0.026
Size: 100 ÷ 0.026 = ~3,846 TRADOOR
Entry Cost: 3,846 × $2.400 = ~$9,230
🔹 Retest Example
Entry: $2.130
Stop: $2.111
Distance: $0.019
Size: 100 ÷ 0.019 = ~5,263 TRADOOR
Entry Cost: 5,263 × $2.130 = ~$11,210
👉 Always round position size to whole tokens and check exchange limits. Use laddering for entries to reduce slippage risk.
🔍 Tokenomics & Supply Considerations
Circulating Supply: ~14.35M TRADOOR
Max Supply: 60M → FDV = $2.12 × 60M = $127.2M
Unlocked %: Only ~23.9% in circulation — WATCH for future unlocks
Concentration: High — limited public distribution so far, meaning whales control large chunks. If they sell, price may fall fast.
🔎 Watch:
Vesting schedules
Team/treasury wallets
Large exchange deposits (early unlock selloff)
Use Etherscan/BSCScan depending on contract chain.
🌐 Exchange & On-Chain Flows
Bitget Campaign: $12,000 TRADOOR campaign → short-term buyer interest
CEX listing = short-term speculation spike
Watch for:
Wallet inflows to Bitget = bearish
Wallet outflows = accumulation
💡 Tip: Use tools like Arkham, Nansen, or Dexscreener to track wallet behavior.
📉 Market Sentiment
High community engagement due to recent listing
Social volume spike on Twitter and Telegram
Watch sentiment divergence: if social chatter increases but price doesn’t, that’s often exit liquidity forming.
📊 Microstructure & Execution Notes
Orderbook: Thin liquidity above $2.395 → high wick risk
Avoid market buys above resistance
Split entries: ladder into plays to reduce slippage
Monitor spreads if trading on DEX pairs (wide spreads = high entry cost)
🧠 Extended Timeframe Scenarios
Scenario Description
Bullish Expansion Reclaim $2.395 → push to $2.448–$2.556
Range Base Consolidation between $2.128–$2.395 with reentry setups
Breakdown Close < $2.111 → slide to $2.080, then $2.050 or lower
📌 Summary
$TRADOOR/USDT remains a speculative low-cap trade with upside potential if momentum builds, but with clear risks tied to thin orderbooks, concentrated token holders, and short-term listing hype. Your priority is risk control via strict stop-loss placement and precise sizing.
🟩 Safer Plan
Wait for buy wick into $2.128–$2.132 with confirmation; enter with stop below $2.111.
🔺 Aggressive Plan
Breakout reclaim above $2.395 with strong volume → ladder entries $2.396–$2.402.
🟥 Risk Plan
Structure fails if price closes hourly < $2.111 → exit longs; potential light short.
$TRADOOR
MAJOR-0.73%
TRADOOR-2.92%
MAXからJPYへの交換
MAX
JPY
1 MAX = 1.1 JPY.現在の1 MAX(MAX)からJPYへの交換価格は1.1です。レートはあくまで参考としてご活用ください。更新されました。
Bitgetは、主要取引プラットフォームの中で最も低い取引手数料を提供しています。VIPレベルが高ければ高いほど、より有利なレートが適用されます。
MAXの各種資料
MAX(MAX)のような暗号資産でできることは?
簡単入金&即時出金買って増やし、売って利益を得ようアービトラージのための現物取引ハイリスク・ハイリターンの先物取引安定した金利で受動的収入を得ようWeb3ウォレットで資産を送金しようMAXとは?MAXの仕組みは?
MAXは人気の暗号資産です。ピアツーピアの分散型通貨であるため、金融機関やその他の仲介業者などの中央集権型機関を必要とせず、誰でもMAXの保管、送金、受取が可能です。
もっと見るMAXのグローバル価格
現在、MAXは他の通貨の価値でいくらですか?最終更新:2025-09-12 10:08:06(UTC+0)
もっと購入する
よくあるご質問
MAXの現在の価格はいくらですか?
MAXのライブ価格は¥1.1(MAX/JPY)で、現在の時価総額は¥1,103,928,504.21 JPYです。MAXの価値は、暗号資産市場の24時間365日休みない動きにより、頻繁に変動します。MAXのリアルタイムでの現在価格とその履歴データは、Bitgetで閲覧可能です。
MAXの24時間取引量は?
過去24時間で、MAXの取引量は¥71.18Mです。
MAXの過去最高値はいくらですか?
MAX の過去最高値は¥28.27です。この過去最高値は、MAXがローンチされて以来の最高値です。
BitgetでMAXを購入できますか?
はい、MAXは現在、Bitgetの取引所で利用できます。より詳細な手順については、お役立ちmax-2の購入方法 ガイドをご覧ください。
MAXに投資して安定した収入を得ることはできますか?
もちろん、Bitgetは戦略的取引プラットフォームを提供し、インテリジェントな取引Botで取引を自動化し、利益を得ることができます。
MAXを最も安く購入できるのはどこですか?
戦略的取引プラットフォームがBitget取引所でご利用いただけるようになりました。Bitgetは、トレーダーが確実に利益を得られるよう、業界トップクラスの取引手数料と流動性を提供しています。
今日の暗号資産価格
Bitgetに新規上場された通貨の価格
注目のキャンペーン
暗号資産はどこで購入できますか?
動画セクション - 素早く認証を終えて、素早く取引へ

Bitgetで本人確認(KYC認証)を完了し、詐欺から身を守る方法
1. Bitgetアカウントにログインします。
2. Bitgetにまだアカウントをお持ちでない方は、アカウント作成方法のチュートリアルをご覧ください。
3. プロフィールアイコンにカーソルを合わせ、「未認証」をクリックし、「認証する」をクリックしてください。
4. 発行国または地域と身分証の種類を選択し、指示に従ってください。
5. 「モバイル認証」または「PC」をご希望に応じて選択してください。
6. 個人情報を入力し、身分証明書のコピーを提出し、自撮りで撮影してください。
7. 申請書を提出すれば、本人確認(KYC認証)は完了です。
MAXを1 JPYで購入
新規Bitgetユーザー向け6,200 USDT相当のウェルカムパック!
今すぐMAXを購入
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