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MidasProtocol narxi

MidasProtocol narxiMAS

Bugun 21:23 (UTC) bo'yicha O'zbekiston so'midagi MidasProtocol (MAS) narxi -- UZS.
Ushbu tanganing narxi yangilanmagan yoki yangilanishni to'xtatdi. Ushbu sahifadagi ma'lumotlar faqat ma'lumotnoma uchun. Ro'yxatdagi tangalarni Bitget spot bozorlari saytida ko'rishingiz mumkin.
Ro'yxatdan o'tish

MidasProtocol bozor ma'lumoti

Narx ko'rsatkichi (24S)
24S
24S past so'm2.9424S yuqori so'm2.94
Bozor reytingi:
--
Bozor kapitali:
--
To’liq suyultirilgan bozor kapitali:
--
Hajm (24s):
--
Aylanma ta'minot:
195.54M MAS
Maksimal ta'minot:
--
Jami ta'minot:
500.00M MAS
Aylanma darajasi:
39%
Shartnomalar:
0x23cc...f832430(Ethereum)
Havolalar:
Hozir MidasProtocol sotib oling/soting

UZSda bugungi MidasProtocol jonli narxi

Jonli MidasProtocol narxi bugungi kunda so'm0.00 UZS tashkil etadi, joriy bozor qiymati so'm0.00. MidasProtocol narxi so'nggi 24 soat ichida 0.00% ga ko'tarildi va 24 soatlik savdo hajmi so'm0.00. MAS/UZS (MidasProtocol dan UZS ga) ayirboshlash kursi real vaqtda yangilanadi.
O'zbekiston so'mida 1 MidasProtocol qancha turadi?
Hozirda O'zbekiston so'midagi MidasProtocol (MAS) narxi so'm0.00 UZS. Siz so'm0.00 ga 1 MAS sotib olishingiz mumkin yoki so'm10 ga 0 MAS. Oxirgi 24 soat ichida, eng yuqori MAS ni UZSga narxi so'm2.94 UZS edi va eng pastMAS ni UZSga narxi so'm2.94 UZS.
Quyidagi ma'lumotlar kiritilgan:MidasProtocol narx prognozi, MidasProtocol loyiha tanishtiruvi, rivojlanish tarixi va boshqalar. MidasProtocol haqida chuqurroq tushuncha olish uchun o'qishni davom eting.

Bitget Insaytlari

Imran804
Imran804
5S
$OPEN — 1H Tactical Breakdown & Deep Read
TL;DR: $OPEN is trading around $0.82 on the 1-hour frame and is compressing along the lower boundary of a narrowing descending channel / falling-wedge. Short MAs are stacked above price (bearish), RSI sits in the mid-30s (room to bounce), and the token recently experienced exchange-driven distribution (listings + airdrops) that spiked volume and created short-term sell pressure. Key overhead sits near $1.05–$1.16; a clean reclaim and volume above the MA cluster flips bias. Current market context: recent Binance/MEXC listing events and airdrops materially moved supply and liquidity — treat intraday setups as tactical while respecting the larger distribution risk. CoinMarketCap +2CCN.com +2 Snapshot — what the 1H chart is saying Price is trading near $0.82, hugging the lower trendline of a contracting down-channel that is forming a classic falling-wedge shape. Candles are compressing and volume off the local highs — this creates a low-risk, asymmetric entry for aggressive intraday buys while the wedge completes. Short & medium moving averages cluster overhead (~$0.85–$0.94 on the 1H) and remain resistance until reclaimed. RSI sits in the mid-30s — oversold-to-neutral region — leaving room for a technical bounce if momentum returns. Live price and high 24h liquidity confirm that this is an actively traded listing (heavy volume days since launch). CoinMarketCap +1 Market context & catalysts (why price has been choppy) The token’s public launch and exchange listings included community airdrops and launchpool events that injected short-term liquidity and distributed coins to many addresses. Those distribution events — notably a large listing/airdrop around the Binance debut — triggered massive initial flows and both spikes and immediate re-selling as recipients realized gains. Exchange-level promotions (Binance / MEXC / others) amplified volume and created the hammer-and-squeeze price action we see on the 1H. Market data across major aggregators shows the post-listing volatility and elevated 24-hour volume levels. CCN.com +2AInvest +2 Technical read — structure, momentum, and what to watch Structure: lower highs & lower lows inside a contracting channel; wedge slope is easing and price is compressing at support. Momentum: RSI mid-30s (space to bounce); MACD on short frames likely flat/weak (watch for cross). MAs: short MAs are above price and act as a resistance band (~0.85–0.94). A sustained close and hold above that band shifts the short-term bias to neutral/bullish. Pattern watch: a confirmed break + close above the upper wedge trendline with rising volume typically signals a wedge resolution to the upside; conversely, a decisive breakdown with rising volume invalidates the bullish thesis and favors continuation lower. Tactical 1-hour plays (concise entry/exit rules) Adjust sizes to your risk plan. Aggressive intraday long (starter position) Entry: scale in near the lower channel support (~current price ≈ $0.82) only after a visible price-reaction wick and rising intrabar volume. Stop: tight, just below the recent swing low (protect capital). Targets: partial at the MA cluster (~$0.85–$0.94); second partial at $1.05–$1.10; final tactical take near $1.16 on the first impulse. Rationale: asymmetric R:R when buying structural support inside a compressing wedge. Safer confirmation long Entry: wait for a clear 1H close above the upper wedge trendline and the MA cluster on above-average volume. Stop: below the breakout candle or trendline retest. Targets: scale out at $0.94 and $1.05; hold a run to $1.16 if momentum remains strong. Flip to short on failure Trigger: decisive break and hold below the wedge with rising volume. Entry: short on break + retest (former support = new resistance). Targets: measured extension to the next demand zone on lower timeframes; tighten stops if momentum stalls. Key rule: volume confirms direction. Low-volume breakouts are high probability to fail. Swing plan & mid-term handling Position sizing: starter size while wedge completes; add on confirmed breakout plus daily timeframe confirmation. Profit ladder: take partials at MA cluster and again at $1.05–$1.10. Let a piece run toward $1.16 for a full swing. Daily alignment: if the daily candle closes above $1.16 with strong volume, treat that as a regime shift and consider larger allocations. If the daily fails or price breaks below the wedge low, reduce exposure and wait for re-accumulation. Longer-term scenarios Bull case: reclaim and hold above $0.94–$1.05, then clear $1.16 on strong volume — that signals intermediate trend flip and could attract swing buyers from higher timeframes, turning the current accumulation into the base of the next leg. Bear case: continued distribution (exchange airdrops, unlocks, or aggressive seller pressure) or a confirmed daily breakdown leaves $OPEN in a multi-week correction until a new structural base forms. Given the token’s heavy initial distribution events, manage conviction until distribution tails off. CCN.com +1 Risk checklist — trade-ready items Watch for bullish RSI divergence as an early internal confirmation. Require above-average volume on any breakout; low-volume moves are suspect. Confirm MA cluster behavior — reclaim + retest = higher confidence. Align 1H setups with daily bias when holding beyond intraday timeframes. Final summary (actionable) The 1-hour chart offers a favorable tactical long with clear rules: scale small near $0.82 with a tight stop, or wait for a volume-backed breakout to add larger size. Respect the distribution risk created by recent listings and airdrops — they can produce sharp, unpredictable swings even inside bullish patterns. If you trade the support bounce, keep stops tight and book partials on the way up; if you trade the breakout, let volume and daily confirmation carry conviction. Current live metrics and the post-listing airdrop/listing events are central to the short-term narrative — trade the structure, not the wish. $OPEN
HOLD+0.31%
MAS-7.04%
Sarah-Khan
Sarah-Khan
5S
OPEN Long View One Day Plan – Position Building, Project Health, and Multi-Month Targets
Snapshot Quick Facts → Ticker symbol: OPEN → Recent price visible on chart: around 0.135 USDT → 24-hour range: high near 0.150, low near 0.106 → Recent volume surge highlights strong trading interest and a shift in order flow → Prior swing low near 0.0888 acts as structural support for reference → Short-term moving averages show upward turn on intraday candles, confirming early momentum Executive Summary This analysis reviews OPEN from a 1-day timeframe, blending fundamentals, daily K-line structure, and long-term trading strategies. Recent activity shows an impulse rally followed by consolidation with a noticeable rise in volume. For long-term holders, the ideal approach is layered accumulation, catalyst-aware scaling, and disciplined stops based on daily invalidation levels. Below is a clear breakdown of fundamentals, technical levels, daily setups, and strategies designed for multi-month positioning. Project Fundamentals and Use Case → Utility token supporting a decentralized infrastructure with a focus on cross-chain routing and payments. → Value drivers include active wallet addresses, transaction volumes, and integrations across partner platforms. → Tokenomics considerations: distribution schedules, any unlocks, staking programs reducing circulating supply. → Community signals: protocol adoption, governance activity, and engagement around releases and updates. → Product milestones: mainnet upgrades, integrations, and strategic partnerships that expand usage. Daily K-Line Technical Read → A clear base was built near 0.0888 before the rally into the 0.15 zone. → Daily candles now show compression after the impulse, a typical digestion phase before the next move. → Moving averages on daily and weekly frames will confirm whether a sustained long-term trend is forming. → Bollinger contraction suggests volatility build-up, hinting at a large move on resolution. → Volume spike confirms both buyers and sellers are active, increasing follow-through potential. Key Daily Levels and Price Targets → Immediate resistance: 0.150 (recent swing high, needs strong daily close above). → Near-term support: 0.12–0.10 (zone of current consolidation and demand). → Structural support: 0.088–0.075 (former base, high-confidence accumulation area). → Invalidation: below 0.060 (requires full strategy reassessment). → Conservative multi-month upside: 0.30–0.50 if adoption improves. → Aggressive bull scenario: 0.75+ with major integrations and strong macro backdrop. Long-Term Predictions and Scenarios Base case (12–18 months): gradual adoption produces 2x–4x appreciation with volatility. Bullish case (12–24 months): rapid integrations drive 5x+ gains through network effects. Bearish case (12–24 months): token unlocks or adoption weakness lead to retests of deep supports. Trading Strategies for Long-Term Positioning Strategy A – Layered Accumulation → Ladder entries across support zones to average costs. → Add after bullish daily candle confirmations (engulfing or closes above key MAs). → Stops placed below structural support. Strategy B – Catalyst Driven Scaling → Enter before protocol upgrades or major integrations. → Scale positions only if fundamentals + daily chart confirm momentum. → Limit risk around event windows. Strategy C – Scheduled DCA → Spread buys systematically across weeks/months. → Pair DCA with recurring reviews of fundamentals. → Avoid averaging into weakening conditions. K-Line Setups to Watch → Green engulfing candles breaking resistance on volume → strong long entry. → Hammer candles around 0.088–0.075 base followed by higher daily closes → position-building signal. → Bearish marubozu candles closing below structural support → warning to exit or reduce exposure. Catalyst Checklist → Product integrations and bridge updates fuel bullish momentum. → Staking/burns reduce circulating supply, strengthening thesis. → Token unlocks or large transfers could pressure price negatively. → Macro liquidity shifts and regulatory news amplify moves. Risk Management → Risk small % of portfolio per allocation. → Base stop levels on daily closes, not intraday noise. → Take partial profits at pre-planned zones while holding core positions. → Reassess if tokenomics/adoption change materially. Daily Checklist Going Forward → Watch for a daily close above 0.150 with volume for continuation. → Track on-chain activity (addresses, swaps) for proof of adoption. → Monitor unlock schedules and big transfers. → Validate entries only on daily confirmations. Final Perspective OPEN is at a critical accumulation and breakout stage. The daily chart shows healthy consolidation after a strong move, while fundamentals indicate long-term potential if adoption accelerates. For multi-month holders, the best approach is patient accumulation across support zones, scaling with catalysts, and disciplined stop use. The token has clear upside potential if product milestones and adoption align, but capital preservation remains key if fundamentals weaken. Arrow Quick Reference – Actionable Levels → Immediate resistance: 0.150 → Near-term support: 0.12–0.10 → Structural support: 0.088–0.075 → Invalidation: below 0.060 → Key catalysts: integrations, staking updates, tokenomics shifts $OPEN
CORE+1.88%
MAS-7.04%
Ishque_Wafa
Ishque_Wafa
6S
🚀 AVNT/USDT 4H Outlook – Bullish Trend, But Watch the Pullback! 🔥📊 📌 Snapshot • Pair AVNT/USDT on the 4H chart is trending bullish 📈 but showing signals of a measured pullback ⚠️. • Current price: ~1.21 USDT, with recent high near 1.38 USDT 💎. • RSI-14 is elevated at ~80 🔺 → short-term overbought conditions raise correction risk. • MA Ribbon stacked bullish ✅ (short-term MAs above long-term MAs). Key support cluster: highlighted blue zone 0.95–0.75 USDT. • Price structure: impulsive 1–2–3–4 wave count → possible 5th wave extension if support holds 🎯. 🕯️ K-line Read & Technical Facts The 4H candles show strong impulsive moves upward ⬆️, driven by heavy buying. • A rejection wick at the top followed by a red candle 🚩 signals profit-taking. • Short-term MAs slope up 🔼 and ribbon is widening → momentum expansion confirmed. • RSI ~79.8 ⚠️ is a warning → usually precedes pullback to support / mid-MA band before continuation. • Fibonacci + Gann overlays align resistance near 1.38 → breakout zone to monitor 🔑. 📐 Market Structure & Pattern View • Completed impulsive advance → shallow corrective wave 4 = bullish continuation bias 🐂. • Alt view: rising wedge ⚠️ could trigger sharper correction if breakdown occurs. • Blue support rectangle remains make-or-break zone: bounce = textbook buy 📘, breakdown = path to 0.65. 🌐 Fundamental Pulse & Catalysts • Heavy volume today 🔥 → boosted by exchange listings & margin availability. • Liquidity inflows + smart money accumulation fueling rally 💰. • Market cap expansion adds weight to momentum 🚀. 📊 4H Timeframe Scenarios ✅ Bullish Path: Pullback into support box + bullish reversal candle with volume ↑ → breakout above 1.38 → targets at 1.6+. ❌ Bearish Path: Support fails ↓ → breakdown with volume → retest near 0.65. 🎯 Trading Strategy & Risk Plan • Risk: 1–2% per trade, swing allocation: 1–3% of portfolio 💼. • Entry: bullish 4H candle off support ↑ or breakout above 1.38. • Stop-loss: below support zone ↓ (or under 0.65 if wider). • Targets: T1 = 1.38 🎯, T2 = 1.60 🚀, beyond if momentum sustains. • Cut exposure quickly if support fails ❌. 📆 Swing & Midterm Plan Swing traders: accumulate on support bounces ↑ and breakout confirmations. • Two-tranche strategy → first on bounce, second on breakout 🔑. • Stops wider, targets aligned with 1.38 → 1.60 zones. ⏳ Long-Term View • Fundamentals + liquidity expansion support staged accumulation strategy 📈. • Best approach: DCA (Dollar-Cost Averaging) 🪙. • Watch unlock schedules + whale flows 🐋 → trim size if distribution risk grows. 📌 Practical Checklist Before Trading ✔ Confirm bullish 4H candle at support ↑ ✔ Confirm RSI cools off ↓ not overheated ✔ Size positions correctly 📏 ✔ Set stops ↓ & mark profit targets ↑ ✔ Trail stops on breakout 🚀 🔮 Final Note The chart leans bullish ✅ but with overbought risks ⚠️. Best edge: buy confirmed support bounces ↑ or breakout above 1.38. If support fails ↓ → avoid longs until new structure forms. Use trade journaling 📒 + on-chain confirmations 🔗 for accountability. 💎 $AVNT – Bulls in control, but discipline matters most. 🐂🔥$AVNT
RED-0.06%
ALT+2.96%
MarketNexus
MarketNexus
6S
OPEN 1h Bottom Watch — Falling wedge into a tactical long, clear swing path to 1.16 if volume return
Snapshot → Price on the 1 hour frame is trading near 0.82 and hugging the lower boundary of a descending channel that is narrowing into a potential falling wedge. → Short term moving averages sit above price and are stacked bearish with a cluster around 0.84 to 0.94. → RSI sits in the mid 30s showing oversold to neutral territory and giving room for a technical bounce if momentum picks up. → Key visible resistance sits near 1.16 where a prior structural supply area was rejected. This note reads the chart first and then layers a clean tactical 1 hour play, a swing plan, and a longer term scenario. Technical read — what the 1 hour chart is saying Price structure The chart shows lower highs and lower lows inside a contracting channel. The slope is easing and candles are compressing near the lower trendline which creates a classic low risk reward buying area for aggressive entries. The drawn projection on the chart shows a small bottoming structure followed by a recovery into the 1.10 to 1.17 area if momentum returns. Momentum and MAs Short term momentum is weak but not exhausted. RSI in the mid 30s indicates room to bounce before hitting neutral territory. Short and medium MAs are above price and act as dynamic resistance. A clean reclaim of the 0.85 to 0.94 MA cluster would shift bias to neutral and open the path to the larger resistance around 1.16. Patterns to watch → Falling wedge forming inside a larger down channel. Falling wedges in this context often resolve to the upside when confirmed with a break of the upper trendline and rising volume. → Look for a potential bullish divergence on RSI as price prints local lower lows while RSI fails to follow through lower. That divergence would be a useful confirmation for a tactical long. Tactical 1 hour trading strategies These are tactical entries tailored to the chart structure shown. Adjust sizes and stops to your own risk rules. 1 Aggressive intraday long → Entry area: buy into the lower channel support around current price near 0.82 on a showing of two things together price reaction wick plus rising intrabar volume. → Stop loss: tight under the recent swing low. → Targets: first take profit at the MA cluster near 0.85 to 0.94. Second level profit at 1.05 to 1.10 if momentum confirms. Final tactical take near 1.16 on the first run. Rationale: low risk entry near a structural support inside a contracting range. Reward multiples can be attractive if the wedge breaks upward. 2 Safer confirmation long → Entry: wait for a clear break and close above the upper trendline of the wedge on the 1 hour with above average volume. → Stop loss: under the breakout candle or under the trendline retest. → Targets: partial at 0.94, hold the rest toward 1.16 on a sustained move. 3 Short bias if structure fails → If price breaks decisively below the wedge with rising volume then flip to short. → Entry: on confirmed break and retest of the broken support now resistance. → Targets: measured move down to the next demand area on lower timeframes. Risk control is essential because the overall path shown on the chart favors a mean reversion bounce while the longer trend remains damaged. Swing plan and mid term handling For swing players who want to hold beyond intraday moves: → Position sizing: start with starter size while the pattern completes. Add on confirmed breakout and daily confirmation. → Partial profit ladder: take partials at MA cluster and again near 1.05 to 1.10. Let a portion run to 1.16 for a full swing. → If price breaks and holds above 1.16 on strong volume expect a larger swing leg that can extend to higher resistance zones seen on higher timeframes. → If the price breaks down below the channel low on the hourly and holds, reduce size and wait for re-accumulation. Long term view and scenario mapping Bull scenario → Hold and reclaim of the 0.94 to 1.05 band followed by a clean breakout above 1.16 with volume will shift the intermediate trend bullish. That would open a higher time frame path and attract swing buyers. In that case the current consolidation becomes a classic deep accumulation zone before trend resumption. Bear scenario → Continued distribution, high sell pressure from large token events or unlocks, or a decisive breakdown below the current wedge invalidates the bullish setup and opens a deeper correction. Under that scenario expect extended sideways to lower prices until a new base forms. What to watch next — real time checklist → Watch for bullish divergence on RSI as an early internal confirmation. → Watch volume on any breakout. A false breakout with low volume is likely to fail. → Watch MA cluster behavior. Reclaim and hold above the 0.85 to 0.94 zone means bulls are regaining control. → Watch daily price action. 1 hour setups are best traded in alignment with the daily trend. Quick actionable plan summary → Aggressive buyers can scale in near 0.82 with a tight stop under recent low. → Conservative traders wait for a 1 hour close above the upper wedge trendline with volume then scale in. → Partial take profit at 0.85 to 0.94. Add more at 1.05. Final target for the first swing sits around 1.16. → Flip to short only on confirmed breakdown below the wedge with volume. Short project notes and market context → Project focus summary in brief: the token is tied to a recently launched protocol that has been distributing tokens via hodler style events and promotional airdrops. These events have created short term spikes in liquidity and occasional selling pressure from distributed tokens.  → Current market signals: price has recently been trading around the low to mid eighties cent range and the project has seen a mix of listing and airdrop related activity that is influencing short term volatility.  → Community events and exchange level promotions increased selling and unlocking pressure during the launch window. That can keep swings sharp and volatile until distribution completes.  Risk and final notes → Always size positions to an amount you can tolerate losing. Consider defaulting to small starter positions until the pattern confirms. → Timeframes matter. The 1 hour gives clean tactical edges but higher timeframes control the broader bias. Use this 1 hour plan as a set of rules not a holy script. → If you trade the breakout, use volume and follow through as your confirmation. If you trade a support bounce, keep stops tight and book partials on the way up. Final thought The chart shows a favorable risk to reward for a tactical long from the current area while the longer trend remains contested. The path to 1.16 is visible and realistic if buyers return and volume supports a breakout. If the market refuses to support a bottom, respect a breakdown and step aside. Trade the structure not the wish. Sources used for recent events and price context Relevant recent project announcements and market write ups informed the news context above.  Good luck and trade your plan $OPEN
HOLD+0.31%
MAS-7.04%

MAS manbalar

MidasProtocol reyting
4.4
100 reyting
Shartnomalar:
0x23cc...f832430(Ethereum)
Havolalar:

MidasProtocol (MAS) kabi kriptovalyutalar bilan nima qilishingiz mumkin?

Osonlik bilan depozit qo'ying va tezda yechib olingO'sish uchun sotib oling, foyda uchun sotingArbitraj uchun spot savdosini qilingYuqori xavf va yuqori daromad uchun kelajak savdosini qilingBarqaror foiz stavkalari bilan passiv daromad olingWeb3 hamyoningiz bilan aktivlarni o'tkazing

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MidasProtocol nima va qanday qilib MidasProtocol ishlaydi?

MidasProtocol mashhur kriptovalyuta hisoblanadi. Peer-to-peer markazlashtirilmagan valyuta sifatida, har kim MidasProtocolni banklar, moliyaviy muassasalar yoki boshqa vositachilar kabi markazlashtirilgan organlarsiz saqlashi, yuborishi va qabul qilishi mumkin.
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MidasProtocol ning hozirgi narxi qancha?

MidasProtocolning jonli narxi (MAS/UZS) uchun so'm0, joriy bozor qiymati so'm0 UZS. Kripto bozorida 24/7 doimiy faoliyat tufayli MidasProtocol qiymati tez-tez o'zgarib turadi. MidasProtocolning real vaqtdagi joriy narxi va uning tarixiy maʼlumotlari Bitget’da mavjud.

MidasProtocol ning 24 soatlik savdo hajmi qancha?

Oxirgi 24 soat ichida MidasProtocol savdo hajmi so'm0.00.

MidasProtocolning eng yuqori koʻrsatkichi qancha?

MidasProtocolning eng yuqori ko‘rsatkichi so'm6.66M. Bu MidasProtocol ishga tushirilgandan beri eng yuqori narx hisoblanadi.

Bitget orqali MidasProtocol sotib olsam bo'ladimi?

Ha, MidasProtocol hozirda Bitget markazlashtirilgan birjasida mavjud. Batafsil koʻrsatmalar uchun foydali midasprotocol qanday sotib olinadi qoʻllanmamizni koʻrib chiqing.

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