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Maxityの価格

Maxityの‌価格MAX

本日23:16(UTC)時点のMaxity(MAX)価格は日本円換算で-- JPYです。
この通貨の価格は更新されていないか、更新が止まっています。このページに掲載されている情報は、あくまでも参考情報です。上場した通貨はBitget現物市場で確認できます。
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Maxityの市場情報

価格の推移(24時間)
24時間
24時間の最低価格:¥22.0824時間の最高価格:¥22.08
時価総額順位:
--
時価総額:
--
完全希薄化の時価総額:
--
24時間取引量:
--
循環供給量:
-- MAX
‌最大供給量:
1.00B MAX
‌総供給量:
1.00B MAX
流通率:
0%
コントラクト:
0x63f7...7c40de4(Ethereum)
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リンク:
今すぐMaxityを売買する

現在のMaxity価格(JPY)

現在、Maxityの価格は¥0.00 JPYで時価総額は¥0.00です。Maxityの価格は過去24時間で0.00%下落し、24時間の取引量は¥0.00です。MAX/JPY(MaxityからJPY)の交換レートはリアルタイムで更新されます。
1 Maxityは日本円換算でいくらですか?
現在のMaxity(MAX)価格は日本円換算で¥0.00 JPYです。現在、1 MAXを¥0.00、または0 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¥22.08 JPY、MAXからJPYへの最低価格は¥22.08 JPYでした。
以下の情報が含まれています。Maxityの価格予測、Maxityのプロジェクト紹介、開発履歴など。Maxityについて深く理解できる情報をご覧いただけます。

Maxityの価格予測

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¥24.87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+18.00%変動する見込みです。 2031年末には、MAXの価格は¥88.81に達し、累積ROIは+60.34%になると予測されます。

Maxity (MAX)について

マクシティトークンの歴史と特徴

マクシティトークン(Maxity Token)は、デジタル資産としての新たな活路を開いた、歴史的に重要な暗号通貨です。この記事では、その歴史的な意義や主要な特徴について掘り下げます。

歴史的意義

マクシティトークンの登場は、通貨の概念そのものを変革しました。マネーの形態を物理的な存在からデジタルな存在へと移行させ、個々の価値や取引を劇的に増大させる可能性を持っています。

この変化は、世界経済に対する金融サービスの役割とアクセシビリティに深い影響を与え、主に以下の二つの大きな意義があります。

  1. 全球的なアクセシビリティ:従来の通貨は国や地域によって異なりますが、マクシティトークンはボーダレスな通貨として機能します。これにより、どの国にも属さない「全球的通貨」としての可能性を秘めています。

  2. 透明性と安全性:マクシティトークンはブロックチェーン技術に基づいています。この技術は全ての取引をパブリックなレジャーに記録するため、その透明性と安全性は従来の通貨システムを大きく上回ります。

主要な特徴

マクシティトークンは、以下の主要な特徴により他の暗号通貨と一線を画しています。

  1. カスタマイズ可能な取引:マクシティトークンは個々の取引をカスタマイズする能力を持っています。これにより、ユーザーは自分自身のニーズに合わせて通貨を使うことができます。

  2. スケーラビリティ:ブロックチェーン技術を用いることで、マクシティトークンは高度なスケーラビリティを実現しています。これにより、世界中の誰でも無制限に取引を行うことが可能になります。

  3. 高速なペイメント:マクシティトークンの取引速度は非常に高速であり、これは主にその技術的な基盤となるブロックチェーン技術によるものです。

以上がマクシティトークンの歴史的な意義と主要な特徴です。その革新性と利便性は、通貨の未来に露骨な影響を与える可能性を持っており、我々の経済システムをより公平で効率的なものに変える可能性があります。

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foreverdiana
foreverdiana
9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+2.03%
MOVE-1.12%
ISF804
ISF804
15時
⚡️ $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+0.74%
TRADOOR-3.20%
Imran804
Imran804
15時
📊 $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+0.74%
TRADOOR-3.20%
BGUSER-Z0HDVN9S
BGUSER-Z0HDVN9S
22時
$RAY what is so difficult in reaching 4$??? If crypto were a test in school in which 100 points is the max., you "people" would be happy with just having 3.45 out of 100 Where I am from, you got 1 point fo just having written your name correctly!! Which ofc is so sad in itself!!!🤦 If this was a test, you guys would be failing left and right, up and down!!! For f's sake, Ray had reached 16.93!!!!! You can either delete this app, go back to primary school or f...ing get the s... right!!! And don't bother me with "economy" bs!! I have studied economy!! I know what you parrots repeat and how your owners train you!! Stop being a parrot and get to the level we all need to be on!!!
ME-0.07%
MAX+0.50%

MAXの各種資料

Maxityの評価
4.4
100の評価
コントラクト:
0x63f7...7c40de4(Ethereum)
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リンク:

Maxity(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

暗号資産の購入方法は?

最初の暗号資産をすぐに手に入れる方法を学びましょう。
チュートリアルを見る

暗号資産の売却方法は?

すぐに暗号資産を現金化する方法を学びましょう。
チュートリアルを見る

Maxityとは?Maxityの仕組みは?

Maxity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Maxityの保管、送金、受取が可能です。
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よくあるご質問

Maxityの現在の価格はいくらですか?

Maxityのライブ価格は¥0(MAX/JPY)で、現在の時価総額は¥0 JPYです。Maxity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。Maxity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。

Maxityの24時間取引量は?

過去24時間で、Maxityの取引量は¥0.00です。

Maxityの過去最高値はいくらですか?

Maxity の過去最高値は¥21,637.68です。この過去最高値は、Maxityがローンチされて以来の最高値です。

BitgetでMaxityを購入できますか?

はい、Maxity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maxityの購入方法 ガイドをご覧ください。

Maxity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。

Maxity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。

‌注目のキャンペーン

Maxity(MAX)はどこで買えますか?

Bitgetアプリで暗号資産を購入する
数分で登録し、クレジットカードまたは銀行振込で暗号資産を購入できます。
Download Bitget APP on Google PlayDownload Bitget APP on AppStore
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Bitgetに暗号資産を入金し、高い流動性と低い取引手数料をご活用ください。

動画セクション - 素早く認証を終えて、素早く取引へ

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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。
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