
Precio de Shiba Inu TREATTREAT
EUR
No listado
€0.001094EUR
-1.00%1D
El precio de Shiba Inu TREAT (TREAT) en Euro será de €0.001094 EUR a partir de las 19:33 (UTC) de hoy.
Los datos proceden de proveedores externos. Esta página y la información proporcionada no respaldan ninguna criptomoneda específica. ¿Quieres tradear monedas listadas? Haz clic aquí
RegistrarseShiba Inu TREAT price EUR live chart (TREAT/EUR)
Última actualización el 2025-09-16 19:33:05(UTC+0)
TREAT/EUR price calculator
TREAT
EUR
1 TREAT = 0.001094 EUR. El precio actual de convertir 1 Shiba Inu TREAT (TREAT) a EUR es 0.001094. Las tasas son solo de referencia. Actualizado hace un momento.
Bitget ofrece las comisiones por transacción más bajas entre las principales plataformas de trading. Cuanto más alto sea tu nivel VIP, más favorables serán las comisiones.
Precio en tiempo real de Shiba Inu TREAT en EUR
The live Shiba Inu TREAT price today is €0.001094 EUR, with a current market cap of €0.00. The Shiba Inu TREAT price is down by 1.00% in the last 24 hours, and the 24-hour trading volume is €435,159.65. The TREAT/EUR (Shiba Inu TREAT to EUR) conversion rate is updated in real time.
¿Cuánto es 1 Shiba Inu TREAT en Euro?
A partir de ahora, el precio de Shiba Inu TREAT (TREAT) en Euro es de €0.001094 EUR. Puedes comprar 1 TREAT por €0.001094 o 9,139.89 TREAT por 10 € ahora. En las últimas 24 horas, el precio más alto de TREAT en EUR fue de €0.001110 EUR y el precio más bajo de TREAT en EUR fue de €0.001081 EUR.
¿Crees que el precio de Shiba Inu TREAT subirá o bajará hoy?
Total de votos:
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Los datos de votación se actualizan cada 24 horas. Reflejan las predicciones de la comunidad sobre la tendencia del precio de Shiba Inu TREAT y no deben considerarse un consejo de inversión.
Información del mercado de Shiba Inu TREAT
Rendimiento del precio (24h)
24h
Mínimo en 24h: €0Máximo en 24h: €0
Máximo histórico:
€0.01664
Cambio en el precio (24h):
-1.00%
Cambio en el precio (7d):
-12.30%
Cambio en el precio (1A):
-45.01%
Clasificación del mercado:
#3791
Capitalización de mercado:
--
Capitalización de mercado totalmente diluida:
--
Volumen (24h):
€435,159.65
Suministro circulante:
-- TREAT
Suministro máx.:
--
AI analysis report on Shiba Inu TREAT
Today's crypto market highlightsView report
Historial del precio de Shiba Inu TREAT (EUR)
El precio de Shiba Inu TREAT fluctuó un -45.01% en el último año. El precio más alto de en EUR en el último año fue de €0.01664 y el precio más bajo de en EUR en el último año fue de €0.001064.
FechaCambio en el precio (%)
Precio más bajo
Precio más alto 
24h-1.00%€0.001081€0.001110
7d-12.30%€0.001081€0.001260
30d-15.53%€0.001064€0.001789
90d-25.44%€0.001064€0.002288
1y-45.01%€0.001064€0.01664
Histórico-87.88%€0.001064(2025-08-21, 27 día(s) atrás)€0.01664(2025-01-25, 235 día(s) atrás)
¿Cuál es el precio más alto de Shiba Inu TREAT?
El máximo histórico (ATH) de TREAT en EUR fue €0.01664, el 2025-01-25. En comparación con el ATH de Shiba Inu TREAT, el precio actual de Shiba Inu TREAT es menor en un 93.43%.
¿Cuál es el precio más bajo de Shiba Inu TREAT?
El mínimo histórico (ATL) de TREAT en EUR fue €0.001064, el 2025-08-21. En comparación con el ATL de Shiba Inu TREAT, el precio actual de Shiba Inu TREAT es mayor en un 2.87%.
Predicción de precios de Shiba Inu TREAT
¿Cuándo es un buen momento para comprar TREAT? ¿Debo comprar o vender TREAT ahora?
A la hora de decidir si comprar o vender TREAT, primero debes tener en cuenta tu propia estrategia de trading. La actividad de trading de los traders a largo plazo y los traders a corto plazo también será diferente. El Análisis técnico de TREAT de Bitget puede proporcionarte una referencia para hacer trading.
Según el Análisis técnico de TREAT en 4h, la señal de trading es Vender.
Según el Análisis técnico de TREAT en 1D, la señal de trading es Venta fuerte.
Según el Análisis técnico de TREAT en 1S, la señal de trading es Venta fuerte.
Promociones populares
Precios mundiales de Shiba Inu TREAT
How much is Shiba Inu TREAT worth right now in other currencies? Last updated: 2025-09-16 19:33:05(UTC+0)
TREAT a ARS
Argentine Peso
ARS$1.91TREAT a CNYChinese Yuan
¥0.01TREAT a RUBRussian Ruble
₽0.11TREAT a USDUnited States Dollar
$0TREAT a EUREuro
€0TREAT a CADCanadian Dollar
C$0TREAT a PKRPakistani Rupee
₨0.37TREAT a SARSaudi Riyal
ر.س0TREAT a INRIndian Rupee
₹0.11TREAT a JPYJapanese Yen
¥0.19TREAT a GBPBritish Pound Sterling
£0TREAT a BRLBrazilian Real
R$0.01Preguntas frecuentes
¿Cuál es el precio actual de Shiba Inu TREAT?
El precio en tiempo real de Shiba Inu TREAT es €0 por (TREAT/EUR) con una capitalización de mercado actual de €0 EUR. El valor de Shiba Inu TREAT sufre fluctuaciones frecuentes debido a la actividad continua 24/7 en el mercado cripto. El precio actual de Shiba Inu TREAT en tiempo real y sus datos históricos están disponibles en Bitget.
¿Cuál es el volumen de trading de 24 horas de Shiba Inu TREAT?
En las últimas 24 horas, el volumen de trading de Shiba Inu TREAT es de €435,159.65.
¿Cuál es el máximo histórico de Shiba Inu TREAT?
El máximo histórico de Shiba Inu TREAT es €0.01664. Este máximo histórico es el precio más alto de Shiba Inu TREAT desde su lanzamiento.
¿Puedo comprar Shiba Inu TREAT en Bitget?
Sí, Shiba Inu TREAT está disponible actualmente en el exchange centralizado de Bitget. Para obtener instrucciones más detalladas, consulta nuestra útil guía Cómo comprar shiba-inu-treat .
¿Puedo obtener un ingreso estable invirtiendo en Shiba Inu TREAT?
Desde luego, Bitget ofrece un plataforma de trading estratégico, con bots de trading inteligentes para automatizar tus trades y obtener ganancias.
¿Dónde puedo comprar Shiba Inu TREAT con la comisión más baja?
Nos complace anunciar que plataforma de trading estratégico ahora está disponible en el exchange de Bitget. Bitget ofrece comisiones de trading y profundidad líderes en la industria para garantizar inversiones rentables para los traders.
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¿Dónde puedo comprar cripto?
Sección de video: verificación rápida, trading rápido

Cómo completar la verificación de identidad en Bitget y protegerte del fraude
1. Inicia sesión en tu cuenta de Bitget.
2. Si eres nuevo en Bitget, mira nuestro tutorial sobre cómo crear una cuenta.
3. Pasa el cursor por encima del ícono de tu perfil, haz clic en "No verificado" y haz clic en "Verificar".
4. Elige tu país o región emisora y el tipo de ID, y sigue las instrucciones.
5. Selecciona "Verificación por teléfono" o "PC" según tus preferencias.
6. Ingresa tus datos, envía una copia de tu ID y tómate una selfie.
7. Envía tu solicitud, ¡y listo! Habrás completado la verificación de identidad.
Compra Shiba Inu TREAT por 1 EUR
¡Un paquete de bienvenida con un valor de 6,200 USDT para los nuevos usuarios de Bitget!
Compra Shiba Inu TREAT ahora
Las inversiones en criptomoneda, lo que incluye la compra de Shiba Inu TREAT en línea a través de Bitget, están sujetas al riesgo de mercado. Bitget te ofrece formas fáciles y convenientes de comprar Shiba Inu TREAT, y hacemos todo lo posible por informar exhaustivamente a nuestros usuarios sobre cada criptomoneda que ofrecemos en el exchange. No obstante, no somos responsables de los resultados que puedan surgir de tu compra de Shiba Inu TREAT. Ni esta página ni ninguna parte de la información que incluye deben considerarse respaldos de ninguna criptomoneda en particular.
TREAT/EUR price calculator
TREAT
EUR
1 TREAT = 0.001094 EUR. El precio actual de convertir 1 Shiba Inu TREAT (TREAT) a EUR es 0.001094. Las tasas son solo de referencia. Actualizado hace un momento.
Bitget ofrece las comisiones por transacción más bajas entre las principales plataformas de trading. Cuanto más alto sea tu nivel VIP, más favorables serán las comisiones.
Recursos de TREAT
Clasificación de Shiba Inu TREAT
4.6
Contratos:
0xa02c...db599f4(Ethereum)
Bitget Insights

crypto_insider_trade
3h
I Watched 1000 Traders Blow Up Their Accounts. Here's the One Thing Winners Do Differently
Good Traders Manage Risk. Great Traders Manage Themselves.
The brutal truth about what separates profitable traders from the rest
Picture this: Two traders enter the same $BTC trade at $43,250. Both have identical strategies, stop losses, and profit targets. Six months later, one is up 180% on their portfolio while the other is down 40%.
What made the difference?
It wasn't market timing. It wasn't some secret indicator. It was something far more powerful—and far more overlooked.
The Psychology Behind Every Trade
Let me tell you about Sarah, a trader I mentored last year. She had everything figured out on paper—perfect risk-reward ratios, backtested strategies, even a color-coded trading journal.
→ But every time she hit a losing streak, she'd double down
→ Every time she made a quick profit, she'd get cocky and increase position sizes
Sound familiar?
✔ Sarah's technical analysis was flawless. Her psychology was a disaster.
The harsh reality? The market doesn't care about your bills, your ego, or your need to be right. But your brain does. And that's where most traders lose the game before they even start playing.
The Inner Game of Trading
Fear: The Silent Portfolio Killer
Fear manifests in two deadly forms:
→ Fear of Loss: You exit winning trades too early, watching profits slip away
→ Fear of Missing Out: You chase pumps and enter trades at the worst possible moments
✔ I've watched traders turn a 15% drawdown into a 70% account blow-up simply because fear hijacked their decision-making.
Fear makes you emotional. Emotion makes you stupid. Stupidity makes you broke.
Greed: The Seductive Destroyer
Greed whispers sweet lies:
→ "This altcoin will definitely 100x"
→ "Why take 20% when you could get 200%?"
→ "Just this once, I'll risk more than 2%"
✔ Greed turns calculated traders into gamblers. And gamblers always lose in the long run.
The Ego Trap
Your ego wants to be right more than it wants to be profitable.
→ It's why traders hold losing positions too long and cut winners too short.
→ Your ego sees a stop loss as defeat rather than smart business.
But here's what took me years to learn:
✔ The market is always right, even when it's wrong.
The Mindset Shift That Changes Everything
Great traders don't fight their psychology—they architect it.
1. Treat Trading Like Surgery
→ A surgeon doesn't get emotional about removing an appendix.
→ They follow protocols, stay detached, and focus on the process.
✔ Your trades should be the same—clinical, methodical, emotionless.
2. Embrace Being Wrong
→ In traditional careers, being wrong 40% of the time gets you fired.
→ In trading, being wrong 40% of the time can make you wealthy—if you manage that 40% correctly.
✔ The best traders celebrate stop losses as much as profits.
3. Develop Trading Rituals
Before each trade, ask yourself:
1. Why am I entering this position?
2. Where will I exit if I'm wrong?
3. How will this position affect my overall portfolio?
✔ If you can't answer all three clearly, you don't trade. Period.
The Compound Effect of Self-Mastery
Managing yourself compounds over time, just like your profits should.
◆ Month 1: You start following your rules religiously
◆ Month 3: You notice you're not revenge trading anymore
◆ Month 6: Your drawdowns are smaller and recoveries faster
◆ Month 12: You realize you've become consistently profitable
✔ It's not glamorous. It's not fast. But it works.
Your Psychological Trading Blueprint
Daily Practices:
→ Morning routine: Review your rules before checking charts
→ Pre-trade checklist: Never enter without completing it
→ Evening review: What worked? What didn’t? Why?
Weekly Habits:
→ Review your journal for emotional patterns
→ Calculate your actual risk-adjusted returns
→ Plan your upcoming trades when markets are closed
Monthly Assessments:
→ Analyze your biggest winners and losers
→ Identify psychological triggers that hurt performance
→ Adjust position sizing based on recent performance
The Hard Truth About Market Success
✔ The markets are littered with brilliant analysts who went broke and average traders who got rich.
The difference? The rich ones mastered themselves first.
→ You can have the best strategy in the world, but if you can't execute it consistently, it's worthless.
→ You can predict market moves with 80% accuracy, but if you can't handle the 20% you're wrong, you'll still lose money.
The market rewards discipline, not intelligence.
Your Next Move
Right now, you have two choices:
1. Keep believing that the next indicator, strategy, or "insider tip" will change everything
2. Start the hard work of becoming the type of person who succeeds in any market
✔ The second path isn't easy. It requires brutal self-honesty, consistent discipline, and the humility to admit when you're wrong. But it's the only path that leads to consistent profitability.
The greatest trade you'll ever make is the one you make on yourself.
Start today. Your future self will thank you.
What's your biggest psychological challenge in trading? Drop a comment below and let's help each other grow. If this resonated with you, share it with a fellow trader who needs to hear this truth.
Remember: The market doesn't care about your feelings, but your success depends on mastering them.
Follow for more real-talk about trading psychology and market insights that actually matter.
$ETH $XRP
BTC+0.95%
MOVE+1.94%

Alan__
3h
ART short-term demand test — bounce📈 vs. breakdown📉
ARTUSDT (15m) is trading around 0.03236 after a sharp intraday slide from the 0.04147 area into a clear demand test near 0.02976. price carved a lower-low wick into that support then produced a rebound — classic liquidity sweep + bounce. short-term bias: neutral-to-bearish until reclaim of the 0.035–0.036 band.
$ART
price action & structure structure
shows a failed continuation higher at ~0.04147 (multi-touch resistance), followed by a trend leg lower with consecutive bearish candles and higher-volume sell spikes. the pullback found a magnet at 0.02976 (black horizontal), produced a wick and quick recovery — this suggests short-term buying interest, but not enough yet to confirm a trend flip.
support levels (watchlist)
primary support:
0.02976 — proven demand line (daily cluster on this intraday frame).
secondary support: 0.02800 region — recent wick low and psychological handle.
risk buffer: if 0.02976 breaks decisively, look to 0.02600–0.02450 for deeper mean reversion.
resistance levels (watchlist)
immediate resistance: 0.03450–0.03500 — intraday supply zone and minor fib confluence.
next resistance: 0.03800 — supply zone from the mid-session distribution.
major resistance: 0.04147 — multi-touch acceptance area; failure to clear keeps the path of least resistance downward.
volume & orderflow read on-balance volume sits near 21.7M with a sharp spike earlier that quickly normalized — indicating a short-lived capitulation/flush then distribution. the quick OBV spike + price wick pattern points to transient stop-hunt behavior: shorts may have been squeezed, but sustained accumulation is not obvious. monitor OBV for a rising trend alongside higher highs in price to validate demand.
technical indicators (15m / short-term lens) momentum indicators (15m) are likely negative given the sequence of red candles; moving average slope is downward on the short intraday MA. look for RSI to recover above 50 and MACD cross to confirm momentum shift — until then, treat rallies as lower-probability mean-reversion moves within a down-leg.
fundamentals & sentiment context no exchange-specific news on-chain in this snapshot; this looks like price action driven by liquidity dynamics, not a fundamental catalyst. broader market risk-off or sector rotation (small-cap alt weakness) would amplify downside; conversely, any macro relief or rotation back to alts would help validate the bounce.
risk management & actionable playbook scalp/mean-reversion: consider a short intraday long only if price holds above 0.0335–0.0340 with tight stop below 0.0297 — target 0.038 then 0.0414, scale out.
trend-following short: if price reclaims below 0.0297 on elevated volume, consider a short with stop above 0.0335 and targets toward 0.0260–0.0245. size positions to risk 0.5–1.5% of account per trade; respect slippage and spread.
RED-0.63%
ALT+2.84%

Alan__
3h
Reversal at the 0.9 hinge — short-term setup for AVNT📈
Current market:📊
AVNT is trading around the $0.95–$1.00 area after a rapid multi-day advance and a pullback into the 0.9 zone. liquidity and market-cap metrics show AVNT as a mid-cap/large-launch token with heavy intraday turnover, which increases the probability of sharp swings around listings and promotional events. $AVNT
Price structure:
support and resistance levels
key intraday support: 0.90–0.96 (purple zone on the chart). secondary support: ~0.57 (lower red horizontal). immediate resistance: ~1.25–1.35 (recent consolidation highs). ultimate near-term supply cap / all-time high area: ~1.50–1.55 (upper red band / fib extension). trading range to watch: holding 0.90 keeps a bullish invalidation intact; a clean break below 0.90 opens a path to the 0.57 band. these levels come from the current 4-hour structure, observed fib extensions and visible prior accumulation zones on the chart.
technicals:
momentum and pattern read
the 4-hour candles show a classic run-up then pullback: strong impulsive climb followed by a retracement that looks like a healthy correction rather than an immediate trend reversal. stochastic RSI on the 4-hour frame is tracking into oversold territory (very low reading), suggesting the pullback may be exhausted soon and is susceptible to a short-term bounce. the low chop/higher-volume bars earlier in the move indicate the prior leg was liquidity-driven; watch volume to confirm any reversal — strength should arrive with rising buy volume and a reclaim of the 1.10–1.25 band.
fundamentals:
protocol and token mechanics
AVNT (Avantis) positions itself as a derivatives/leverage-focused protocol with governance and utility features tied to protocol fees, staking and on-chain synthetic markets. token supply dynamics include a capped max supply with staged unlocks, which can amplify price sensitivity around scheduled unlock events. the narrative driving recent flows has been exchange onboarding and token-distribution initiatives that materially increase retail visibility and trading volume. these fundamental elements justify both rapid inflows and elevated volatility.
catalysts and risk factors
near-term bullish catalysts: centralized exchange onboarding and token distribution programs that increase access and speculative demand; technical reclaim of 1.10–1.25 with volume confirmation. risk factors: scheduled token unlocks (supply shocks), heavy retail profit-taking after a sharp rally, and a break below 0.90 which would signal failure of the corrective low and likely accelerate a move toward the 0.57 area. treat listings/airdrop-driven volume as transitory unless matched by on-chain usage growth.
trade framework:
scenarios and sizing
bull scenario (favored if 0.90 holds): look for a reversal candle + uptick in volume on 4-hour; targets: 1.25 then 1.50–1.55; manage position size because volatility is elevated. bear scenario (if 0.90 fails): expect swift move to 0.57; use tight risk controls — stop-loss below 0.88 if entering long near the hinge. for traders: prefer conviction entries on momentum-confirming retest or breakout above 1.25 with volume; for investors: assess tokenomics schedule and unlock cadence before adding size.
RED-0.63%
SOON+0.80%

lagartha
5h
LiveArt (ART) — Updated deep analysis & cleaner facts
LiveArt (ART) — Updated deep analysis & cleaner facts
TL;DR: LiveArt aims to make cultural assets (fine art, watches, cars, wine, collectibles) tradeable on-chain by combining tokenization, AI authentication/valuation, and DeFi liquidity. The narrative and roadmap are compelling, but many claims are team-reported and need verification (listings, pipeline $ amounts, token allocations, vesting). Technically, ART looks bullish while holding the 0.041–0.042 breakout zone and the rising trendline; failure there risks a drop toward ~0.03. Below you’ll find a tightened, more cautious version of the previous post with clearer due diligence, practical metrics to watch, and a short trading plan
1) Cleaner factual framing — what to correct/remove from earlier copy
Avoid presenting team claims as proven fact. Statements like “$200M+ asset pipeline,” “13M wallets across 17 chains,” token allocation percentages, and specific listing dates should be prefaced with “team reports” or “as announced by LiveArt.” Treat these as useful signals but confirm independently (audit, exchange announcements, on-chain data).
Tokenomics detail needs verification. Saying “15% to investors” is fine as a headline, but investors must check total supply, circulating supply, vesting schedule, cliff/lockups, and any team/treasury unlocks — those affect price pressure.
Listing & exchange notes. If you wrote “debuted on Bitget spot in September 2025,” either cite the exchange announcement or say “listed according to team announcement.” Don’t assume all venues (spot, futures, margin) are open just because a listing was announced.
Replace absolute language with conditional language. Use “could,” “may,” “if,” and “project reports” when referencing pipeline numbers, cross-chain reach, and partnerships.
2) Fundamentals — what actually matters and what to watch
Key on-chain and off-chain metrics that validate LiveArt’s thesis:
1. Provenance & custody: Proof that assets are physically secured, insured, and held by credible custodians. Look for audit-style custody reports or third-party attestations.
2. Authentication & valuation tech: Independent review or whitepaper section showing how the AI model is trained, sources of truth for comps, and how it handles provenance/fraud.
3. Tokenomics transparency: Total supply, circulating supply, schedule of unlocks, vesting/lockups for team and investors, and any token burn mechanisms.
4. Liquidity & TVL: On-chain liquidity in DEX pools, TVL in LiveArt vaults, and depth of orderbooks on centralized exchanges. Shallow liquidity = volatility and manipulation risk.
5. Asset pipeline & tokenized assets: Number and dollar value of tokenized items, average tranche size, and geographic/valuation diversity (auctions, private sales, galleries).
6. Partnerships & regulatory compliance: Auction houses, insurers, custodians, legal counsel, and proof of KYC/AML processes for RWA onboarding.
7. Governance & smart contract audits: Public audits, bug bounty programs, and governance structure for major protocol changes.
3) Risk checklist (don’t skip these)
Valuation risk: Cultural assets are illiquid and subjective; AI valuations can be wrong or gamed.
Custody risk: Theft/damage or insurance gaps can destroy the underlying value.
Oracle/manipulation risk: Price or appraisal oracles can be attacked; watch for decentralization of oracle providers.
Token unlock risk: Large scheduled unlocks (team/seed) can create sell pressure.
Regulatory risk: RWA tokenization sits at a regulatory grey area in many jurisdictions.
Smart contract risk: Even audited contracts can be exploited; verify audits and the last audit date.
4) Clean technical/trading plan (practical)
Structure: Bullish while price > breakout zone (0.041–0.042) and above the rising trendline. Momentum cooled after a ~23% run; consolidation is normal.
Scenario A — Bull continuation
Entry: scale-in on a clean retest of 0.041–0.042 with strong volume and candle rejection (prefer 4H confirmation).
Targets: first partial take at 0.045–0.046; extend to 0.05 if momentum and volume return.
Stop loss: conservative stop under the breakout, e.g., below 0.039 (or a percentage-based stop that matches your risk tolerance).
Sizing: scale 25–35% at first retest, add remaining on confirmation (reclaim of 0.045 with volume).
Scenario B — Rejection
Fail: decisive close under 0.041 with rising sell volume.
Risk: next structural support sits around ~0.030; in that case, move to reduce exposure or set tight stops.
Plan: avoid adding into weakness unless you see clear accumulation and on-chain liquidity improving.
Timeframes: short-term (days → weeks) for retest trades; medium-term (months) for thesis-based positions contingent on pipeline & partnerships.
5) Actionable due-diligence checklist for readers
1. Read the LiveArt whitepaper and any technical docs; pay attention to appraisal/AI methodology.
2. Verify smart contract audits and read summaries.
3. Check token distribution on a block explorer (top holders, token concentration).
4. Confirm custody & insurance partners via independent statements.
5. Track DEX and CEX liquidity, orderbook depth, and daily volume.
6. Follow governance proposals and major partner announcements (auction houses, insurers).
Conclusion
LiveArt’s idea—bringing cultural assets on-chain with AI-driven authentication and DeFi plumbing—is a strong, differentiated RWA angle. The narrative and product roadmap are attractive, but the difference between a great thesis and a safe investment is proof. Replace absolute promotional claims with verifiable, sourced statements. On the chart, bulls remain in control if ART holds the 0.041–0.042 zone; failure there raises the probability of a deeper pullback to ~0.03.
$ART
MOVE+1.94%
TREAT-0.98%

BGUSER-1A2BDSY9
5h
🚀 Quick Take: LiveArt ($ART) – Momentum Meets RWA Hype 🎨💎
LiveArt ($ART) is a newly listed “ArtFi / RWA” token that has seen heavy listing-driven flows and elevated turnover since early September. On-exchange liquidity and 24h volume spikes create tradable setups for short-term momentum traders ⚡, but its small market cap, contest-driven volume, and tokenomics opacity pose material risks for buy-and-hold investors ⚠️.
📊 Headline Price & Market Snapshot
Price (spot): ~$0.04 / ART (varies $0.03–$0.045 across exchanges)
24h Volume: $15–18M 💥 (high for small-cap)
Supply: Total 1B ART 🪙 | Circulating ~130M 💠 (market cap in low single-digit millions)
💡 Takeaway: Volume is driven by listings & incentives (Bitget, Gate, other CEX campaigns). Strong short-term momentum exists, but underlying liquidity and on-chain distribution remain key risk factors.
📰 Recent News & Ecosystem Context
Bitget Listing (Innovation Zone): Deposits/trading started 9 Sep 2025, promos ran 🏆
Gate Launchpool & CEX Promotions: Wider access + short-term liquidity boosts
Project Positioning: “ArtFi” + tokenized high-value art, luxury watches & collectibles, AI pricing/discovery, DeFi primitives (fractionalization, DEX, borrowing) 🎨💻
Narrative Takeaway: Market interest is real 🌍, but much upside is listing-driven, not yet organic DeFi adoption.
⚡ Technical Snapshot & Levels
Short-term (Intraday → 7-day):
Momentum: Strong bullish bias, driven by listing flows 🔥
Support: $0.028–$0.032 🛡️ | break < $0.02 signals fading pump
Resistance: $0.045–$0.05 💎 | structural resistance to ATH ~$0.087
EMA(20): Low-mid $0.03s 📈 → price above confirms short-term trend
RSI (14): Elevated 50–75 ⚖️ → bullish momentum, watch >80 for exhaustion
Intermediate / Long-term:
Volatility: Extremely high 🌪️, volume vs market cap ratios show speculative chop
Trend identification depends on actual RWA tokenization and on-chain activity
🎯 Short-term Trading Strategies
1️⃣ Momentum Entries (Breakout):
Entry: Close > $0.045–$0.05 on heavy volume 🚀
Stop: Just under breakout candle low (1–2 ATR)
R:R: ≥ 2:1
2️⃣ Mean-Reversion Scalps:
Fade intraday spikes back to 20EMA / VWAP 🔄
Small size, tight stops only
3️⃣ Event-Driven Play:
Participate in exchange promos 🎁
Exit quickly post-reward distribution to avoid dump
Risk Controls:
Position size small (single-digit % equity) 💰
Prefer exchanges with better order book depth (Bitget / Gate / KuCoin)
📈 Long-term Investor View
Bull Case: LiveArt proves recurring revenue from tokenized assets, fractionalization & on-chain fees → potential utility + governance demand 🏛️
Bear Case / Risks:
Tokenomics & circulation unclear ⚠️
Exchange-driven liquidity collapses post-promo 💧
RWA execution risk (custody, legal, insurance, regulatory) ⚖️
Investor Playbook: Scale in small, treat current market action as speculative runway 🛫. Monitor top holders, token distribution & product KPIs (value tokenized, liquidity pools, borrowing volume).
🔍 Data-driven Signals to Monitor
Exchange flows: deposit/withdraw spikes 📥📤
On-chain supply & major wallet moves 🧾
Product KPIs: value tokenized, auctions, partnerships 🖼️
Volume/depth on top CEXes: sudden drop + widening spreads → liquidity risk ⚡
✅ Conclusion — Actionable Takeaways
1. Short-term traders: Tradable momentum setups exist due to listings & promos. Use strict stops, manage slippage. ⚡
2. Long-term investors: Only small speculative allocation until adoption, transparency, and durable liquidity are confirmed 💎
3. Risk management: Preserve capital, tight sizing, avoid chasing FOMO after promo periods ⏳
💡 Bottom Line: LiveArt ($ART) combines ArtFi hype, RWA potential, and short-term liquidity spikes — but extreme volatility and listing-driven flows require disciplined entries and vigilant risk management.
🎨💎⚡ $ART$ART
TREAT-0.98%
HYPE-0.35%
Precios de las monedas recién listadas en Bitget
