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Preço de Open Custody Protocol

Preço de Open Custody ProtocolOPEN

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Como é a sua opinião sobre Open Custody Protocol hoje?

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Observação: essas informações servem apenas como referência.

Preço de Open Custody Protocol hoje

O preço em tempo real do token Open Custody Protocol é de $0.009995 por (OPEN / USD). Sua capitalização de mercado atual é de $9.76M USD. Seu volume de trading em 24 horas é de $3.70M USD. O preço de OPEN em USD atualizado em tempo real. Open Custody Protocol variou -4.93% nas últimas 24 horas. Sua oferta circulante atual é de 976,553,300 .

Qual é o preço mais alto do token OPEN?

OPEN tem uma máxima histórica de $9.77, registrada em 2021-11-18.

Qual é o preço mais baixo do token OPEN?

OPEN tem uma mínima histórica (ATL) de $0.00, registrada em 2021-08-31.
Calcular o lucro de Open Custody Protocol

Previsão de preço do token Open Custody Protocol

Qual será o preço do token OPEN em 2025?

Com base no modelo de previsão do desempenho histórico de preços de OPEN, estima-se que o preço de OPEN atinja $0.02146 em 2025.

Qual será o preço do token OPEN em 2030?

Em 2030, espera-se que o preço de OPEN varie em +3.00%. Ao final de 2030, estima-se que o preço de OPEN atinja $0.04758, com um ROI acumulado de +371.34%.

Histórico de preços de Open Custody Protocol (USD)

O preço de Open Custody Protocol variou -82.36% no último ano. O preço mais alto de OPEN em USD no último ano foi $0.09516 e o preço mais baixo de OPEN em USD no último ano foi $0.004875.
PeríodoVariação de preço (%)Variação de preço (%)Preço mais baixoO preço mais baixo de {0} no período correspondente.Preço mais alto Preço mais alto
24h-4.93%$0.009904$0.01076
7d-30.55%$0.008811$0.01460
30d-22.75%$0.008811$0.01800
90d+16.31%$0.006141$0.02673
1y-82.36%$0.004875$0.09516
Todo o período-98.00%--(2021-08-31, 3 anos(s) atrás )$9.77(2021-11-18, 3 anos(s) atrás )

Informações de mercado de Open Custody Protocol

Capitalização de mercado
$9,760,890.75
-4.93%
Capitalização de mercado totalmente diluída
$12,469,812.08
-4.93%
Volume em 24h
$3,704,801.76
-21.49%
Classificação de mercado
Porcentagem em circulação
78.00%
Volume em 24h / capitalização de mercado
37.95%
Oferta circulante
976,553,300 OPEN
Oferta total / Oferta máxima
1.25B OPEN
-- OPEN
Compre Open Custody Protocol agora

Avaliações de Open Custody Protocol

Avaliações médias da comunidade
4.4
100 avaliações
Este conteúdo é apenas para fins informativos.

Sobre Open Custody Protocol (OPEN)

Cryptocurrency Qredo é uma inovação revolucionária no mundo das finanças digitais. Criada com o objetivo de fornecer segurança e privacidade excepcionais, a Qredo oferece aos usuários uma alternativa descentralizada ao sistema financeiro tradicional. Uma das principais características da Qredo é sua tecnologia de blockchain avançada. O blockchain é um registro digital que armazena todas as transações de Qredo de forma transparente e imutável. Isso significa que cada transação é verificada e registrada de forma segura, proporcionando aos usuários tranquilidade em relação à confiabilidade do sistema. Outra característica importante da Qredo é sua abordagem em relação à privacidade. Com a Qredo, os usuários têm controle total sobre seus dados financeiros. As informações pessoais são protegidas por meio de técnicas de criptografia robustas, garantindo que apenas o proprietário tenha acesso aos seus dados. Além disso, a Qredo possui uma velocidade de transação impressionante. Com uma arquitetura de rede eficiente, as transações são concluídas de forma rápida e eficiente, eliminando a necessidade de longos tempos de espera. A Qredo também oferece aos usuários a capacidade de trocar moedas digitais com facilidade. Isso permite que os usuários convertam suas criptomoedas em várias outras moedas, aumentando a interoperabilidade e melhorando a usabilidade do sistema. Por fim, a Qredo tem o objetivo de proporcionar uma infraestrutura financeira confiável para indivíduos e instituições em todo o mundo. Com sua segurança, privacidade e velocidade excepcionais, a Qredo está no caminho para se tornar uma importante força no ecossistema das criptomoedas. Em resumo, a Qredo é uma criptomoeda inovadora que oferece segurança, privacidade e velocidade aos usuários. Com sua tecnologia avançada de blockchain e compromisso com a proteção dos dados dos usuários, a Qredo está preparada para desempenhar um papel significativo no futuro das finanças digitais.

Como comprar Open Custody Protocol(OPEN)

Crie sua conta na Bitget gratuitamente

Crie sua conta na Bitget gratuitamente

Crie sua conta na Bitget com seu e-mail ou número de celular e escolha uma senha forte para proteger sua conta.
Verifique sua conta

Verifique sua conta

Verifique sua identidade inserindo suas informações pessoais e enviando um documento de identidade válido com foto.
Compre Open Custody Protocol (OPEN)

Compre Open Custody Protocol (OPEN)

Compre Open Custody Protocol com diversas opções de pagamento na Bitget.

Siga traders de elite e faça Copy Trade de OPEN.

Depois de criar sua conta na Bitget e comprar tokens USDT ou OPEN, você também pode começar a seguir traders de elite e fazer copy trades.

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Perguntas frequentes

Qual é o preço atual de Open Custody Protocol?

O preço em tempo real de Open Custody Protocol é $0.01 por (OPEN/USD), com uma capitalização de mercado atual de $9,760,890.75 USD. O valor de Open Custody Protocol sofre oscilações frequentes devido às atividades 24h do mercado de criptomoedas. O preço atual e os dados históricos de Open Custody Protocol estão disponíveis na Bitget.

Qual é o volume de trading em 24 horas de Open Custody Protocol?

Nas últimas 24 horas, o volume de trading de Open Custody Protocol foi $3.70M.

Qual é o recorde histórico de Open Custody Protocol?

A máxima histórica de Open Custody Protocol é $9.77. Essa máxima histórica é o preço mais alto para Open Custody Protocol desde que foi lançado.

Posso comprar Open Custody Protocol na Bitget?

Sim, atualmente, Open Custody Protocol está disponível na Bitget. Para informações detalhadas, confira nosso guia Como comprar .

É possível obter lucros constantes ao investir em Open Custody Protocol?

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

Onde posso comprar Open Custody Protocol com a menor taxa?

Temos o prazer de anunciar que a plataforma de trading estratégico já está disponível na corretora da Bitget. A Bitget é líder de mercado no que diz respeito a taxas de trading e profundidade, o que garante investimentos lucrativos para os traders.

Onde posso comprar Open Custody Protocol (OPEN)?

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1. Faça login na sua conta Bitget.
2. Se você for novo na Bitget, assista ao nosso tutorial sobre como criar uma conta.
3. Passe o mouse sobre o ícone do seu perfil, clique em "Não verificado" e clique em "Verificar".
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Os investimentos em criptomoedas, incluindo a compra de Open Custody Protocol na Bitget, estão sujeitos a risco de mercado. A Bitget fornece maneiras fáceis e convenientes para você comprar Open Custody Protocol. 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 Open Custody Protocol. Esta página e qualquer informação incluída não são um endosso de investimento ou a nenhuma criptomoeda em particular.

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OPEN
USD
1 OPEN = 0.009995 USD
A Bitget oferece as menores taxas de transação do mercado. Quanto mais alto for seu nível VIP, melhores serão as taxas.
Bitget
0.1%
Kraken
0.26%
Coinbase
1.99%

Recursos de OPEN

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Contratos
MaisMais
https://img.bitgetimg.com/multiLang/develop/web/ETH.png
Ethereum
0x4123...56c2463
copy
wallet
Links
Open Custody Protocol WebsiteOpen Custody Protocol WhitepaperOpen Custody Protocol TwitterOpen Custody Protocol Github

Bitget Insights

QasimBhie23
QasimBhie23
1h
FLOKI confirms a ‘double-top’ pattern: Is it the right time to buy?
FLOKI's confirmation of a 'double-top' pattern is a bearish reversal signal, indicating a potential trend reversal from bullish to bearish ¹. This pattern is characterized by two consecutive peaks at a resistance level, resembling the shape of the alphabet "M". Given this pattern, it's essential to exercise caution before making a buying decision. The current market sentiment around FLOKI is mixed. While the token has gained 9% in the last 24 hours, its price is still down by 21% over the past seven days ². The open interest has also declined, indicating a lack of conviction among traders. Before buying FLOKI, consider the following key levels: - *Resistance Level*: The neckline of the double-top pattern, currently at $0.000207. A breakout above this level could invalidate the bearish thesis. - *Support Level*: The 200-day Simple Moving Average (SMA) at $0.000166. This level has often acted as a strong resistance in the past. It's crucial to keep in mind that trading with a double-top pattern requires careful risk management. If you decide to buy FLOKI, make sure to set a stop-loss above the highest high of the double-top pattern and aim for a risk-reward ratio of at least 1:2 ¹.
FLOKI+1.13%
OPEN-0.57%
Kirill_Gaitan
Kirill_Gaitan
1h
#BTC $BTC #BTC #ETH $ETH Hey guys.  ✅ As always on Monday we are doing a crypto market review.  📌 Last time we traded in the 103K zone and I said that the nearest target where I expect the price is in the range of 106-110K, in the middle of the week the price reached 108K, thus fulfilling the local target, after that the market correction started, the main triggers were: Fed rate cut (sell the facts) and quarterly derivatives expiration.  📊The correction in bitcoin amounted to 15% and an important support zone of 92-94K$ was tested,  📊The correction in ethereum amounted to 25% and the price reached the important zone of 3.3K$. After which the price V figuratively bought back, you can often see a test of such lows.  📌Onchain is not showing significant deviations. 📌Spot ETFs last 2 days demonstrated outflows and closed the week with results of BTC ETFs - 447 mln, and ETH ETFs - 63 mln.  📌Open interest in derivatives is down 10%.  The current week is short due to Christmas, this is something to keep in mind.  🚨At this point I expect a continuation of the bounce, from this zone, you have to keep in mind before it can remove the lows, making a false breakout.  🔍The important support zones that should not be broken in bitcoin are 92-90K, in ethereum 2.9-3K. 🔍The important resistance zones that should be broken above to continue the growth in bitcoin are 95-96K, and in ethereum 3.5K. If this was useful, subscribe to not miss anything and give us a reaction 👍
BTC+1.13%
ETH+2.00%
slimboss
slimboss
1h
My $HYPE Trading Strategy and Returns Trading $HYPE has been a rewarding journey, and my approach to this cryptocurrency has evolved as I’ve learned more about its potential, market behavior, and technical patterns. $HYPE has positioned itself as a token with strong growth prospects due to its unique use cases, community-driven initiatives, and the broader market trends supporting blockchain adoption. Below is an overview of my $HYPE trading strategy and the returns I’ve seen from it. --- 1. My $HYPE Trading Strategy a. Fundamental Analysis Before making any trade, I conduct thorough research to understand the core value proposition of $HYPE. Use Case Monitoring: I keep a close eye on how $HYPE is being used within its ecosystem, whether in decentralized finance (DeFi), NFTs, or content creation. If there are significant partnerships, collaborations, or increased adoption, I consider these events in my strategy. Tokenomics Evaluation: I analyze $HYPE’s supply, staking rewards, burns, and inflation rates. An increase in utility and a well-managed token supply are key indicators that suggest potential price appreciation. Development and Roadmap: I stay updated on $HYPE’s roadmap, including new features, upgrades, or projects the team is working on. These can be major price catalysts. By staying informed about the fundamentals, I ensure that I’m making trades based on a solid understanding of $HYPE’s potential. b. Technical Analysis Technical analysis is crucial to my $HYPE trading strategy. Here’s how I use key indicators to make my trades: Support and Resistance Levels: I identify critical support and resistance levels to help me make informed buy and sell decisions. If $HYPE reaches a support level, I’m likely to buy, and if it hits resistance, I may sell or take profits. Moving Averages (MA): I use the 50-day and 200-day moving averages to gauge the longer-term trend of $HYPE. Crossovers between these moving averages help me identify potential entry and exit points. Relative Strength Index (RSI): I use RSI to identify when $HYPE is overbought or oversold, helping me time my entries or exits based on market sentiment. Volume Analysis: Volume spikes often signal new trends or reversals. When combined with other indicators, this can provide a strong confirmation for entering or exiting a position. With these tools, I refine my trades to capture potential price movements and trends effectively. c. Risk Management Risk management is a key component of my $HYPE strategy. I use the following techniques to protect my capital: Position Sizing: I allocate a small percentage of my portfolio to each $HYPE trade, typically no more than 5% per position, to minimize the impact of potential losses. Stop-Loss Orders: I set stop-loss orders to limit my downside risk. These are typically placed at strategic levels based on key support zones to prevent significant losses. Profit-Taking: I establish predefined exit points based on resistance levels or price targets, locking in profits when $HYPE hits my goals. With these strategies in place, I can manage risk while maximizing the chances of profitable trades. d. Timeframe and Trade Types My strategy involves a combination of different trade types, depending on market conditions: Day Trading: I engage in day trading when $HYPE shows significant intraday price volatility. I focus on capturing small price movements with tight stop-loss and take-profit levels. Swing Trading: I also focus on medium-term price movements, holding positions for several days or weeks to capitalize on broader trends. Long-Term Holding: For a portion of my portfolio, I hold $HYPE for the long term, benefiting from its growth as the ecosystem expands and adoption increases. This diversified approach helps me adapt to market conditions and take advantage of different trading opportunities. --- 2. My $HYPE Trading Returns Since implementing my $HYPE trading strategy, I’ve achieved solid returns. Below is a breakdown of the returns from various types of trades: Day Trading: By taking advantage of $HYPE’s intraday volatility, I’ve seen consistent monthly returns of [specific percentage, e.g., “7–10%”], capitalizing on short-term price fluctuations. Swing Trading: Medium-term price moves have resulted in returns of [specific percentage, e.g., “25–30%”] over the course of a few weeks, driven by trend-following strategies. Long-Term Positions: My long-term holdings in $HYPE have appreciated by [specific percentage, e.g., “50%”] over the past year, reflecting the growth of $HYPE’s ecosystem and increased demand for the token. On average, my total portfolio returns from trading $HYPE have been [specific percentage, e.g., “80%”] since I started trading it, benefiting from both short-term trades and long-term growth. --- 3. Notable Trades and Highlights Some of the most profitable trades in my $HYPE portfolio include: Breakout Trades: Recognizing when $HYPE broke through key resistance levels allowed me to capitalize on major price rallies, yielding gains of [specific percentage, e.g., “20–25%”] in a short period. Buying During Corrections: I’ve been able to acquire $HYPE during market corrections or pullbacks, allowing me to lower my average entry price and profit from subsequent rebounds. Trend Following: My swing trades during strong upward trends in $HYPE have consistently provided solid returns, especially during market-wide bullish conditions. These trades have contributed significantly to my overall returns and have reinforced the effectiveness of my strategy. --- 4. Lessons Learned Trading $HYPE has taught me several important lessons: Patience is Key: Some of my best trades have come from waiting for the right entry points and allowing trends to play out. Impulsive decisions can often lead to missed opportunities or unnecessary losses. Risk Management is Essential: Protecting my capital is just as important as securing profits. Without solid risk management, even the best strategies can fail during volatile market periods. Flexibility and Adaptation: I’ve learned that adapting to changing market conditions and being open to tweaking my strategy is essential for long-term success in crypto trading. --- 5. Future $HYPE Trading Plans Looking ahead, I plan to: Increase Position Size Gradually: As $HYPE’s ecosystem grows, I’ll consider scaling my positions while continuing to manage risk through diversification and risk controls. Explore Advanced Trading Techniques: I plan to incorporate more advanced strategies such as options trading or margin trading as my knowledge of the market and trading tools increases. Stay Updated on Developments: I’ll continue monitoring updates from the $HYPE team, particularly regarding new features and community initiatives that could drive price movements. --- Conclusion Trading $HYPE has been a highly rewarding experience, combining a disciplined approach to risk management with an informed understanding of market trends and technical indicators. My strategy has allowed me to navigate the volatility of the crypto market while achieving solid returns. As $HYPE’s ecosystem expands and more use cases are developed, I remain confident in its potential for continued growth. With a well-rounded strategy and a focus on both short-term and long-term opportunities, I look forward to continuing my profitable journey with $HYPE.
HOLD-3.46%
CORE+2.20%
Trader5
Trader5
2h
Bitcoin: Bullish sentiment, yes, but are buyers tired now? The Korean market could be viewed as the
Bitcoin: Bullish sentiment, yes, but are buyers tired now? The Korean market could be viewed as the closest approximation to retail traders’ sentiment. Bitcoin [BTC] trended even higher in February and managed to smash past the psychological round-number resistance of $50k. This filled the market with bullish conviction, as seen from the rising Open Interest behind BTC, according to Coinglass data. Yet, another metric has been climbing higher, one that usually marks the local top for Bitcoin. The Bitcoin Korea Premium Index hit a 3.98% high on the 16th of February. The Korean crypto market has regulations against institutional investors. Hence, it is made up largely of retail traders, who might not be privy to the data that institutions possess. In a way, the Korean market could be viewed as the closest approximation to retail traders’ sentiment. Source: CryptoQuant On the 12th of January, the KPI.
BTC+1.13%
BITCOIN-0.52%
E_Perry
E_Perry
3h
Navigating $FUEL: Comprehensive Price Analysis and Future Strategy The $FUEL /USDT pair has displayed significant volatility, with its price currently at $0.04269, reflecting a substantial decline of 13% in the last 24 hours. The chart reveals critical price movements, indicating both challenges and opportunities for traders. Price Action and Technical Indicators The price tested a low of $0.04101 within the last 24 hours, showcasing strong selling pressure. However, the bounce from this level hints at potential buyer interest. Key exponential moving averages (EMAs) also paint a picture of declining momentum: EMA(5): $0.04322 EMA(10): $0.04384 EMA(20): $0.04486 The convergence of these EMAs above the current price signals bearish sentiment in the short term. Furthermore, the RSI values are hovering between 29 (RSI(6)) and 41 (RSI(24)), suggesting that $FUEL is nearing oversold conditions. This could lead to a short-term rebound if buyers capitalize on the discounted price levels. Volume Profile and Market Behavior The 24-hour volume for $FUEL stands at 7.01M USDT, reflecting heightened activity as traders react to sharp price movements. The volume profile shows significant accumulation around the $0.04269-$0.04840 range, indicating this zone as a key area of interest for both bulls and bears. Future Outlook and Strategy While the broader trend remains bearish, $FUEL could experience a technical bounce as RSI approaches oversold territory. Traders should closely monitor the $0.04101 support level, as a break below this could signal further downside, potentially targeting the $0.03726 region. Conversely, a sustained move above $0.04840 may open the door to a retest of $0.05293, the recent high. Strategy Recommendations Short-Term Traders: Look for potential scalping opportunities around the $0.041-$0.042 zone, with tight stop-losses to manage risks. Swing Traders: Wait for a breakout confirmation above $0.04840 or further dips toward the $0.037 level for better entry points. Long-Term Investors: Consider accumulating in small portions if $FUEL continues to decline, as oversold conditions often attract reversals. In conclusion, while $FUEL faces downward pressure, strategic entries and close attention to key levels can yield profitable opportunities in this dynamic market. Always employ risk management to navigate the volatility effectively.
FUEL-1.84%
MOVE-6.98%

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