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Preço de Treat

Preço de TreatTREAT

Listada
Comprar
€0.001168EUR
-2.07%1D
O preço de Treat (TREAT) em Euro é €0.001168 EUR a partir de 20:15 (UTC) de hoje.
Gráfico de preços de Treat (EUR/TREAT)
Última atualização em 2025-09-11 20:15:35(UTC+0)

Informações de mercado sobre Treat

Desempenho do preço (24h)
24h
Baixa em 24h de €0Alta em 24h de €0
Máxima histórica:
€0.1329
Variação de preço (24h):
-2.07%
Variação de preço (7 dias):
-9.03%
Variação de preço (1 ano):
+37.00%
Classificação de mercado:
--
Capitalização de mercado:
--
Capitalização de mercado totalmente diluída:
--
Volume em 24h:
--
Oferta circulante:
-- TREAT
Oferta máxima:
--
Oferta total:
--
Porcentagem em circulação:
0%
Contratos:
--
Links:
Comprar/vender Treat agora

Preço atual de Treat em EUR

O preço em tempo real de Treat hoje é €0.001168 EUR, com uma capitalização de mercado atual de --. O preço de Treat caiu 2.07% nas últimas 24 horas e o volume de trading em 24 horas é €0.00. A taxa de conversão de TREAT/EUR (de Treat para EUR) é atualizada em tempo real.
Quanto custa 1 Treat em Euro?
A partir de agora, o preço de Treat (TREAT) em Euro é €0.001168 EUR. Você pode comprar 1 TREAT por €0.001168, ou 8,561.97 TREAT por €10 agora. Nas últimas 24 horas, o maior preço de TREAT para EUR foi €0.001196 EUR, e o menor preço de TREAT para EUR foi €0.001156 EUR.

Você acha que o preço de Treat vai subir ou cair hoje?

Total de votos:
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Os dados de votação são atualizados a cada 24 horas. Eles refletem as previsões da comunidade sobre a tendência de preço de Treat e não devem ser considerados como uma recomendação de investimento.
As seguintes informações estão incluídas:Previsão de preço de Treat, introdução ao projeto de Treat, histórico de desenvolvimento e mais. Continue lendo para saber mais sobre Treat.

Previsão de preço do token Treat

Qual será o preço do token TREAT em 2026?

Com base no modelo de previsão do desempenho histórico de preços de TREAT, estima-se que o preço de TREAT atinja €0.00 em 2026.

Qual será o preço do token TREAT em 2031?

Em 2031, espera-se que o preço de TREAT varie em +34.00%. Ao final de 2031, estima-se que o preço de TREAT atinja €0.00, com um ROI acumulado de -100.00%.

Bitget Insights

Alan__
Alan__
5h
TRADOORUSDT 30m Market Insight: Key Support, Resistance, Momentum Signals and Risk Outlook
$TRADOOR a small-cap, high-turnover alt — tactical trades only. technically, the short-term trend is mildly bearish / neutral with pockets for mean-reversion bounces. fundamentals show a thin-cap token with active volume — research before sizing up. price snapshot (what i read from your charts) last seen ~2.03 usdt. annotated resistance zone: 2.44 → 2.49 (major supply area). immediate / micro support: 1.98 → 2.00 (chart-level). structural support: 1.74 → 1.82 (strong buy-side band on the chart). technical read — indicators (from your screenshots) trend: BBTrend histogram turned red and below zero — sellers have edge on the 30m. momentum: RSI ~50 (neutral but slightly below its MA) — no strong momentum bias. volatility: ATR ~0.068–0.07 — volatility is low; expect tighter moves and fakeouts. trend strength: ADX is rising (approaching mid-20s) — the current directional move is gaining conviction. interpretation (market behavior playbook) low ATR + rising ADX = a low-volatility move that’s consolidating into a trend; once volatility expands you’ll see directional confirmation (big move up or down). the 1.98–2.00 shelf is the short-term make-or-break. hold above it and look for range bounce; break below and the 1.74–1.82 zone is the next structural target. upside requires reclaimed momentum above ~2.20–2.25 to validate continuation toward 2.44–2.49. fundamentals (concise, high-impact) small market-cap token (order of magnitude ~tens of millions USD) with total supply ~60M and circulating supply ~14–14.5M (low float relative to max supply). this raises volatility and sensitivity to listings/news. high 24h volume vs market cap — heavy turnover means liquidity can appear quickly but also vanish; news/listings historically move price sharply. treat as event-driven. project positioning: positioning itself as a trading/DeFi product with non-deterministic market-making / leveraged features (read the docs before trusting product claims). fundamentals support speculative flows, not slow-money adoption yet. trade ideas (playbook — not financial advice) conservative (my preferred risk-managed path): wait for reclaim >2.25 on 30m close + RSI turning up. entry window 2.25–2.35. stop below 2.00. targets: 2.44 (partial take), 2.49 (finish). RR depends on entry but aim for ≥1.5:1. tactical mean-reversion scalp: buy 1.98–2.00 with tight ATR-based stop (~1.5×ATR ≈ 0.10) → stop around 1.88–1.90. target 2.20–2.30. small size only. aggressive short (only for experienced traders): failure to hold 1.98 on 30m close = short toward 1.74 (trail stop above recent local highs). very high risk — low-cap whipsaws common. risk & position sizing (governance rules) cap your position size: limit exposure to a small % of portfolio (suggest 1–3% for speculative entries). use ATR to size stops (volatility-aware). with ATR ≈0.07, a 1.5×ATR stop is ~0.105. scale-in/out; avoid full-size entries into single support level. be alert to news/listings — they can blow past technicals. watchlist / triggers bullish trigger: 30m close above 2.25 with rising RSI + BBTrend shifting green. bearish trigger: 30m close below 1.98 with ADX continuing to rise and BBTrend staying negative. volatility trigger: ATR spike >0.12 (expect directional follow-through).
RED-4.89%
ALT-0.20%
AroobJatoi
AroobJatoi
5h
$GATA — Updated 1-Hour Breakdown, Fundamentals & Trade Plan
$GATA — Updated 1-Hour Breakdown, Fundamentals & Trade Plan (≈1,000 words) Quick summary GATA is trading around the $0.03 neighborhood and remains a small-cap but liquid token with roughly 175M circulating of a 1B max supply — a structure that can magnify volatility and price moves. The project positions itself as decentralized AI infrastructure (products like DataAgent and GataGPT are being developed), and the token has seen fresh exchange attention (notably a Binance Alpha launch) which explains recent spikes in volume and the volatile chop. Price context & what just happened Over the past few sessions GATA has compressed after a period of high volatility. Listings and initial exchange demand pushed price up and then triggered a sizable retracement as liquidity and early sellers absorbed bids — typical behavior for newly listed, small-cap tokens. This created a base in the low-$0.02–$0.04 band where the market has been digesting supply and letting orderflow normalize. Technical read (1-hour) — the immediate picture On the 1-hour timeframe the market is forming a symmetrical triangle / narrowing range: lower highs meeting higher lows with steadily shrinking range and alternating rejection candles at both boundaries. Price action shows repeated long lower wicks when price tests the triangle bottom — an indication buyers defend that support — while several rejections at the top confirm sellers are capping rallies. This compression equals a buildup of directional energy: a measured breakout (confirmed by volume) tends to produce a fast move in the breakout direction. Key technical cues to watch now (1-hour): Support band: the triangle’s lower boundary — treat breaks with volume as a real shift to the downside. Resistance line: the triangle’s upper boundary — clean hourly close above this with higher-than-average volume is required for a valid upside breakout. Volume: the single most important confirmation — look for volume spike on the breakout candle (or a follow-through retest) before committing. Momentum: RSI/stochastics are neutral/midrange, so there is room for expansion either way — momentum won’t give an early long signal until the breakout occurs. Measured-move & targets (how to estimate) Take the triangle’s vertical height at its widest point and project from the breakout point to estimate a first objective. With a tight range on the 1-hour, expect the initial move to be swift — often 1–3x the triangle height before the next meaningful pause. Because supply is concentrated and liquidity can be thin, be ready for overshoots and whipsaws — use scaled exits. (Use the exact recent high/low on your chart to compute the measured move for precise targets.) Fundamentals & catalysts (why volatility may continue) Gata the project is focused on decentralized AI infrastructure and user-facing apps (e.g., GataGPT, DataAgent), which is a credible growth narrative if they deliver functioning products and partnerships. Exchange activity (Binance Alpha listing and other venues showing GATA trading pairs) has driven initial demand and then profit-taking; future exchange listings, product releases, or partnership announcements will remain primary catalysts. Keep an eye on official channels for product milestones and listings which can trigger squeezes. Liquidity & tokenomics risks Only ~17–18% of the max supply is circulating (~175M of 1B), which concentrates floating supply and can make price moves exaggerated on modest buy/sell volume. FDV and locked team/reserve allocations are important to confirm (check official tokenomics and vesting schedules) — these are non-technical risks that materially change expectations for sustained rallies. Trading strategies (practical entry / risk rules) Below are two plans — Aggressive and Conservative — depending on your risk tolerance. Aggressive (short-term momentum) Entry: buy on a clean hourly close above triangle resistance with at least 1.5–2× average hourly volume. Stop: place a stop under the breakout retest level (or 1–1.5 ATR below your entry). Take profits: scale out — 30–40% at first measured-move target, another 40% on extension, keep 20% for run-to-next major resistance. Notes: expect false breakouts; keep position small (see sizing rules). Conservative (confirmation + retest) Entry: wait for a retest where broken resistance acts as support and price holds on a 1-2 hour timeframe. Enter on confirmation candle with volume and tighten stops. Stop: below the retest low. Take profits: similar scaling approach; hold a trailing stop on remaining size. Bearish plan (if breakdown) Entry: short (or sell / reduce longs) after hourly close below triangle support with elevated volume. Targets: measured move down to last demand zone and earlier liquidity pools; use partial covers along the way. Manage risk: tight initial stops above the breakdown candle or above the nearest structural resistance. Position sizing & risk management (keep it simple Risk per trade: 1–2% of total capital. Use 3-way sizing if you prefer: 40% quick momentum, 40% swing, 20% accumulation/longer term (your allocation split is reasonable). Always size to stop distance — the dollar risk per trade (stop distance × position size) should meet your 1–2% risk rule. What to watch right now (actionable checklist) 1. Hourly close above triangle + volume spike = prepare to enter long. 2. Failure to hold support on hourly + volume = consider short or reduce exposure. 3. News: watch official channels for exchange listings, product announcements, or major wallet movements. 4. Tokenomics: confirm vesting/lockups — big scheduled unlocks change risk. Final words (not financial advice) GATA’s 1-hour chart is at a classic decision point: compression inside a symmetrical triangle means a high-probability breakout eventually arrives, but the direction is not predetermined. Use volume and clean hourly closes as your gatekeepers, keep position sizes small given the project’s small market cap and concentrated token supply, and combine technical triggers with any fundamental catalysts you observe. Always do your own research — verify tokenomics, official announcements, and exchange details before trading.$GATA
ALPHA-2.08%
MOVE-2.42%
Sarah-Khan
Sarah-Khan
9h
$TRADOOR Daily Chart Signals A Critical Turning Point For 2025
The daily K-line chart of $TRADOOR/USDT has been shaping a structure that deserves deep focus from both technical and fundamental perspectives. The candles show a sequence of tightening ranges after a strong upward push, creating the kind of consolidation that often sets up the next big directional move. When read carefully, this daily formation highlights both near-term trade setups and long-term strategic opportunities. On the K-line side, the recent candles reflect market hesitation. The large impulsive green candle that began this cycle is followed by a series of smaller bodies, showing a shift from explosive momentum into compression. Wicks on both sides reveal testing of both buyers and sellers without decisive control. Volume has been steadily reducing, a classic signal of a market storing energy. In K-line terms, this is the calm before a breakout storm. Technically, the chart suggests that $TRADOOR is forming a broader symmetrical triangle on the daily frame. Each lower high and higher low converge into a narrowing range. History of this structure shows that once volume returns, a powerful move follows. The breakout direction will dictate the next trend: upward would confirm bullish continuation toward new price discovery, while downward would risk a retest of earlier accumulation zones. Traders should treat this apex zone as a trigger area. From a fundamental analysis lens, the project behind $TRADOOR continues to drive narrative. Recent developments in its ecosystem point toward ongoing utility expansion, and the network’s community growth strengthens its resilience. Tokenomics have created a consistent supply-demand balance, with locked allocations reducing active float. That makes price more sensitive to inflows when sentiment improves. Macro conditions such as broader crypto liquidity and institutional flows also weigh in - when the market risk-on cycle returns, projects with engaged communities tend to lead. The project’s roadmap further supports this stance. With planned integrations and ecosystem updates, there is potential for sustainable traction. While fundamentals cannot time the exact breakout, they provide conviction that a bullish continuation is supported if technical levels confirm. Trading strategies on the daily frame require patience. One strategy is breakout confirmation: enter on a clean daily close outside the triangle with rising volume, placing stops below the opposite boundary. Conservative traders can wait for a retest of the breakout level before committing size. For risk control, allocate no more than five percent of portfolio value to one position, with potential scaling into strength. A secondary strategy is range trading until the breakout: accumulate near support of the triangle and reduce exposure near resistance, but this demands strict discipline to avoid being caught on the wrong side of a breakout. Allocation planning is critical. For traders focused on daily structures, divide positions into three layers. The first layer is a test allocation to confirm direction. The second layer scales when price moves in favor with confirmation. The third layer is reserved for retest opportunities. This staggered method reduces exposure to false breaks and maximizes profit if the move follows through. Snapshot analysis of the daily chart shows key levels. The lower boundary of the triangle holds strong demand where buyers repeatedly stepped in. The upper boundary has been tested multiple times but not yet broken. Momentum oscillators on the daily remain neutral, neither overbought nor oversold, leaving room for expansion once direction is set. Looking ahead to the long term through 2025, if the breakout occurs upward and sustains, $TRADOOR can aim for measured move targets based on the triangle’s height. That projects into zones not yet seen on this chart, signaling potential for a multi-month bullish cycle. On the bearish side, failure to hold the lower boundary could drag price toward previous accumulation levels, but fundamentals suggest such a pullback would invite new accumulation rather than full breakdown. Project analysis further reinforces this. $TRADOOR continues to position itself as a utility-driven ecosystem token rather than a purely speculative play. This adds weight to longer-term holders who align allocation not just with chart patterns but with use-case growth. Tokens with sustained utility adoption tend to recover quickly from technical pullbacks. The broader market cycle also matters. With crypto sentiment entering another build-up phase in 2025, assets with strong technical bases and expanding fundamentals stand best placed to outperform. $TRADOOR’s structure aligns well with this wider context. What’s next for $TRADOOR depends entirely on this imminent breakout. Traders should prepare for both scenarios but lean bullish given structure, fundamentals, and momentum building beneath the surface. For those building longer-term positions, accumulating gradually during this compression phase may prove rewarding when volatility expands. In summary, the daily K-line of $TRADOOR tells a story of energy being stored, waiting for release. Fundamentals add conviction, technicals define the strategy, and allocation keeps risk under control. The year 2025 may see this token move from consolidation into trend, offering both traders and investors multiple layers of opportunity. $TRADOOR
HOLD-0.12%
MOVE-2.42%
Chareenlovi
Chareenlovi
22h
$GATA/USDT — Watching the Shelf Hold at 0.027 Before Breakout Levels
I’ve been tracking $GATA over the last sessions, and structure is finally giving something tradable. Price has defended the 0.027 zone multiple times while pressing against short diagonal resistance. Momentum is ticking up (MACD and AO showing fresh positives), volume spiked to ~194K on the latest push, and Stoch RSI sits mid-to-high, leaving space for continuation. The one caution flag is the distribution line (−78.6M A/D), which tells me sellers are still active in the background. That’s why my plan is selective: only entries with clean setups, stops tied to ATR, no chasing. 📊 Market Snapshot Last close: 0.03066 Session high/low: 0.03086 / 0.03058 DEMA (dynamic ref): 0.03060 VWAP: 0.03007 (session anchor) Volume (recent bar): 194.6K Accum/Dist: −78.6M (distribution bias) Stoch RSI: 67.1 / 55.8 (upper-mid reading) MACD: 0.00001 / 0.00023 (lines curling upward) AO: 0.00058 (positive histogram) ATR: 0.00048 (risk scale) ⚙️ Key Technical Structure Primary support shelf: 0.02713 — tested repeatedly, still respected. Breakout gates: 0.03376 → 0.03669 → 0.03982 (layered resistance stack). Final stretch target: 0.04997 (macro liquidity pocket). Trend note: Slight downtrend is losing momentum; DEMA acting as short-term pivot. 📝 Trade Plan 1. Pullback Long (preferred setup) Condition: retest into DEMA 0.03060 or shelf at 0.02713 with wick rejection + strong green volume. Entry: limit orders split across levels. Stop: 1.5× ATR ≈ 0.00072 below entry. Target ladder: 0.03376 → 0.03669 → 0.03982. R:R potential: 2.5–3.5× depending on entry depth. 2. Breakout Add-On (scaling, not chase) Condition: two closes above 0.03376–0.03669 with volume >200K. Entry: starter with add on retest. Stop: under breakout pivot (using ATR reference). Target extension: 0.03982 → 0.04997 if buyers keep pressure. 3. Defensive Flip (risk-first) Breakdown through 0.02713 with heavy sell volume = close longs. Short exposure only if orderbook confirms liquidity buildup; thin books = high risk for fakeouts. 💰 Position Sizing Example (risk-managed) Account: $10,000, Risk: 1% ($100). Entry: 0.03060, Stop: 0.02988 (−0.00072). Position size: $100 ÷ 0.00072 ≈ 138,889 GATA. Notional: ≈ $4,250. Adjust lower for depth/slippage. OCO orders = required. Live Monitoring Checklist Continuation volume >200K confirms buyers. A/D curve flattening or reversing = accumulation is back. Stoch RSI rollover warns of near-term retest. AO/MACD must stay green; if both fade, breakout likely fails. Spread and liquidity depth — avoid oversizing in thin book moves. 📌 Takeaway for Traders $GATA is shifting from chop to breakout attempt. The shelf at 0.02713 is the make-or-break zone for bulls. Best play is starter longs on pullback into DEMA or the shelf, scaling only if market accepts above 0.03669. Reward zones are clearly stacked toward 0.03982–0.04997. Treat every trade with ATR-based risk; chasing breakouts here without a retest is the fastest way to get clipped. Patience > impulse.
TREAT-0.94%
ME-1.07%

Conversão de TREAT para EUR

TREAT
EUR
1 TREAT = 0.001168 EUR. O preço atual de conversão de 1 Treat (TREAT) para EUR é 0.001168. A taxa serve apenas como referência. Atualizado agora.
A Bitget oferece as menores taxas de transação do mercado. Quanto mais alto for seu nível VIP, melhores serão as taxas.

Recursos de TREAT

Avaliações de Treat
4.3
103 avaliações
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O que é Treat e como o token Treat funciona?

Treat é uma criptomoeda popular. Como uma moeda descentralizada ponto a ponto, qualquer pessoa pode armazenar, enviar e receber Treat sem a necessidade de uma autoridade centralizada, como bancos, instituições financeiras ou outros intermediários.
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Perguntas frequentes

Qual é o preço atual de Treat?

O preço em tempo real de Treat é €0 por (TREAT/EUR), com uma capitalização de mercado atual de -- EUR. O valor de Treat sofre oscilações frequentes devido às atividades 24h do mercado de criptomoedas. O preço atual e os dados históricos de Treat estão disponíveis na Bitget.

Qual é o volume de trading em 24 horas de Treat?

Nas últimas 24 horas, o volume de trading de Treat foi --.

Qual é o recorde histórico de Treat?

A máxima histórica de Treat é €0.1329. Essa máxima histórica é o preço mais alto para Treat desde que foi lançado.

Posso comprar Treat na Bitget?

Sim, atualmente, Treat está disponível na Bitget. Para informações detalhadas, confira nosso guia Como comprar treat .

É possível obter lucros constantes ao investir em Treat?

Claro, a Bitget fornece uma plataforma de trading estratégico com robôs de trading para automatizar suas operações e aumentar seus lucros.

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Compre Treat por 1 EUR
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Os investimentos em criptomoedas, incluindo a compra de Treat na Bitget, estão sujeitos a risco de mercado. A Bitget fornece maneiras fáceis e convenientes para você comprar Treat. Fazemos o possível para informar totalmente nossos usuários sobre cada criptomoeda que oferecemos na corretora. No entanto, não somos responsáveis ​​pelos resultados que possam advir da sua compra Treat. Esta página e qualquer informação incluída não são um endosso de investimento ou a nenhuma criptomoeda em particular.