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DoubleZero 價格

DoubleZero 價格2Z

新幣上架
買入
NT$11.63TWD
-5.90%1D
截至今日 17:11(UTC),DoubleZero(2Z)的 新台幣 價格為 NT$11.63 TWD。
DoubleZero價格走勢圖 (TWD/2Z)
最近更新時間 2025-10-09 17:11:46(UTC+0)

DoubleZero 市場資訊

價格表現(24 小時)
24 小時
24 小時最低價 NT$11.5924 小時最高價 NT$12.67
歷史最高價:
NT$22.95
漲跌幅(24 小時):
-5.90%
漲跌幅(7 日):
-42.70%
漲跌幅(1 年):
-19.60%
市值排名:
#67
市值:
NT$40,375,843,475.52
完全稀釋市值:
NT$40,375,843,475.52
24 小時交易額:
NT$41,079,864,863.54
流通量:
3.47B 2Z
‌最大發行量:
--
總發行量:
10.00B 2Z
流通率:
34%
合約:
J6pQQ3...7feMfvd(Solana)
相關連結:
立即買入/賣出 DoubleZero

今日DoubleZero即時價格TWD

今日DoubleZero即時價格為 NT$11.63 TWD,目前市值為 NT$40.38B。過去 24 小時內,DoubleZero價格跌幅為 5.90%,24 小時交易量為 NT$41.08B。2Z/TWD(DoubleZero兌換TWD)兌換率即時更新。
1DoubleZero的新台幣價值是多少?
截至目前,DoubleZero(2Z)的 新台幣 價格為 NT$11.63 TWD。您現在可以用 1 2Z 兌換 NT$11.63,或用 NT$ 10 兌換 0.8598 2Z。在過去 24 小時內,2Z 兌換 TWD 的最高價格為 NT$12.67 TWD,2Z 兌換 TWD 的最低價格為 NT$11.59 TWD。

您認為今天 DoubleZero 價格會上漲還是下跌?

總票數:
上漲
0
下跌
0
投票數據每 24 小時更新一次。它反映了社群對 DoubleZero 的價格趨勢預測,不應被視為投資建議。
以下資訊包括:DoubleZero 價格預測,DoubleZero 項目介紹和發展歷史等。繼續閱讀,您將對 DoubleZero 有更深入的理解。

DoubleZero價格預測

什麼時候是購買 2Z 的好時機? 我現在應該買入還是賣出 2Z?

在決定買入還是賣出 2Z 時,您必須先考慮自己的交易策略。長期交易者和短期交易者的交易活動也會有所不同。Bitget 2Z 技術分析 可以提供您交易參考。
根據 2Z 4 小時技術分析,交易訊號為 強力賣出
根據 2Z 1 日技術分析,交易訊號為 undefined
根據 2Z 1 週技術分析,交易訊號為 undefined

Bitget 觀點

INVESTERCLUB
INVESTERCLUB
5小時前
$2Z Crypto Scalping: A High-Probability ICT Smart Money Strategy for a $1,500!!!
2Z/USDT Chart Analysis (October 9, 2025).$2Z Analysis across the specified timeframes (1D, 4H, and 15M). ZZ (DoubleZero) is trading at approximately $0.3915 USDT as of the latest data, up +1.14% in the last 24 hours, with a 24H volume of 1.71B ZZ (~$675M USD turnover). Market cap stands at $1.35B (circulating supply 3.47B ZZ), ranking #67. The coin hit an ATH of $0.7502 on Oct 2, 2025, and ATL of $0.2308 on the same day indicating high volatility post-launch. Fund flow analysis shows a net outflow of -856.76K ZZ in the recent 15M-1D window, with large orders net selling (-1.80M ZZ), but medium/small buys providing some support (net +595K and +347K ZZ respectively). This suggests institutional selling pressure but retail accumulation at lows. Overall sentiment: Bearish bias on HTF (declining from $0.45 highs), but LTF shows signs of exhaustion and potential reversal confluence. Bollinger Bands are contracting on 1D/4H (price hugging lower band), Stochastic RSI is oversold (K:72.41/D:60.93 on 15M, but neutral on 1D at K:-/D:-), and MAs/EMAs are sloping down (MA5:0.3899/EMA5:0.3905 on 15M). Volume is elevated (103.21% of market cap), pointing to capitulation. Chart Pattern Analysis 1D Timeframe: Classic descending channel since Oct 4 (~$0.45 to $0.39). Price broke below the channel low on Oct 6-8, forming a bearish flag consolidation around $0.385-$0.39. Recent red candles (Oct 8 close ~$0.3909) show weakening momentum, with a potential double bottom forming at $0.382 (24H low). No clear bullish engulfing yet, but volume spike on the dip suggests liquidity grab. IRL (Internal Range Liquidity) is clustered around $0.39-$0.40 (mid-range wicks), while ERL (External Range Liquidity) sits above at $0.45 (prior highs) and below at $0.38 (equal lows). 4H Timeframe: Tightening symmetrical triangle within the 1D channel, with price coiling near the apex (~$0.391). Bearish breakdown attempt on Oct 7-8 failed, leading to a higher low at $0.385. K-line shows doji/hammer patterns on Oct 8 (indecision), with upper shadows rejecting $0.395. Fund flow pie chart highlights large sell dominance (41.09% red), but net medium buy inflow (10.29% blue) as counterbalance. 15M Timeframe: Micro bear flag resolution with a bullish pin bar at 10:09:15 (sweep of $0.386 low, close $0.3909). Price action is choppy, with quick sweeps of $0.388 support. Bollinger squeeze (bands at 0.386-0.394) and SAR flipping bullish add confluence. K-Line (Candlestick) Pattern Analysis Dominant: Series of shooting stars and bearish marubozus on 1D/4H (Oct 5-8), confirming downtrend. Shift to hammers/dojis on 15M (e.g., 10:09:00 candle: open $0.389, low $0.386, close $0.391 long lower wick = rejection of lows). Key: No full bullish engulfing yet, but 15M shows three white soldiers micro-pattern post-sweep, signaling short-term reversal. ICT/SMC Elements: IRL, ERL, FVG, HTF + LTF Confluence; IRL/ERL: Internal liquidity (IRL) is thin around $0.39 (wicks from 15M candles), easily swept for manipulation. External (ERL) pools at buyside $0.40 (equal highs from Oct 4) and sellside $0.38 (Oct 6 lows) prime for grabs. FVG (Fair Value Gap): Identified on 4H/15M as an inefficiency gap between $0.388-$0.392 (Oct 8 candle: rapid drop from $0.395 to $0.386, leaving unfilled space). Price is retracing into this FVG, acting as a magnet for entries. HTF + LTF Confluence: 1D HTF shows bearish structure (lower highs/lows), but 4H LTF aligns with MSS (break above $0.391 invalidates Oct 8 low). 15M confirms micro-confluence with FVG overlap on OB (Order Block: bullish OB at $0.386-$0.388 from Oct 7 accumulation zone). High-Probability Setup: Liquidity Sweep + MSS + FVG/OB; This is a classic bullish reversal setup post-bearish exhaustion: Liquidity Sweep: On 15M/4H, price swept sellside ERL at $0.385-$0.386 (Oct 8 low, taking stops below 1D channel), with fakeout volume (1.71B ZZ). This cleared weak hands without new lows. Market Structure Shift (MSS): Bullish break on 15M above $0.391 (Oct 9:15 candle high), flipping 4H structure from bearish to neutral/bullish. HTF 1D channel resistance at $0.40 now in play as support-turned-resistance. Fair Value Gap (Entry): Enter long on pullback to FVG/OB zone ($0.388-$0.390), where price imbalances seek fill. High confluence here (MA5/EMA5 crossover bullish). Buyside Liquidity (Target): First target IRL at $0.395 (15M resistance), extension to ERL $0.40 (4H equal highs). RR potential 1:3+ if sweep holds. Confluence score: High (8/10) HTF bear bias mitigated by LTF reversal signals, oversold Stoch, and net retail inflow. Risk: Renewed large sells could retest $0.38. Trade Plan: $1500 Scalp (Long Setup) This is a scalping strategy under the ICT/SMC (Inner Circle Trader/Smart Money Concepts) framework, focusing on institutional manipulation patterns for quick, high-probability entries. Scalps aim for 0.5-2% moves in 15-60 minutes, ideal for volatile alts like ZZ (103% vol/cap ratio). Use Bitget futures (USDT-margined) for leverage for controlled risk (scalp, not swing). Position Sizing & Risk Management; Account/Investment: $1500 total capital. Leverage: 5x (effective exposure: $7500). Position Size: Risk 1% of capital per trade ($15 max loss). At entry ~$0.39, this buys ~96,154 ZZ ($1500 / 0.39 * 0.01 risk buffer, adjusted for leverage). Risk-Reward Ratio (RR): 1:2.5 (conservative for scalp; aim 0.5-1% gain). Entry/Exit Rules Entry (Long): Buy at FVG/OB pullback ($0.388-$0.390). Wait for 15M candle close above EMA5 ($0.3905) + volume > avg (confirm MSS). Enter ~$0.3895. Why? High confluence zone price likely fills gap before resuming up. Stop Loss (SL): $0.385 (below liquidity sweep low/1D channel). Distance: ~1% ($0.0045 risk). Max loss: $15 (1% capital). Take Profit (TP): TP1: $0.395 (buyside IRL, +1.4% or $21 gain) scale out 50% position. TP2: $0.40 (ERL high, +2.8% or $42 gain) close remainder. Trailing: Move SL to breakeven after TP1. Invalidation: If price breaks below $0.385 on 15M (MSS fails), exit immediately. Timeframe Filter: Execute on 15M signal, aligned with 4H (no counter-signal). Avoid if 1D closes red below $0.39. Expected Outcome; Win: +$30-50 net (2-3% ROI on $1500 after fees ~0.05%). Scenarios: 70% prob hit TP1 (confluence strong); trail to $0.405 if momentum builds (Stoch >80). Max Drawdown: Capped at $15 repeatable 3-5x/day in vol. Why This Strategy is Best for This Trade High Probability (Confluence-Driven): Combines liquidity engineering (sweep clears traps), structural confirmation (MSS flips bias), and inefficiency fill (FVG/OB as "smart money" entry). HTF (1D bear guardrail) + LTF (15M precision) reduces false signals unlike pure TA (e.g., RSI alone misses manipulation). Scalp Suitability: ZZ's volatility (24H range $0.458-$0.382) + elevated volume suits quick hits without overnight risk. Net outflow tempers greed, focusing on retail buy zones. Risk-Adjusted Edge: 1:2.5 RR beats random (win rate ~60% in backtests for ICT setups). Better than momentum chasing (e.g MA crossovers ignore liquidity) or HODL (ignores structure shifts). Market Fit: Post-ATH dump (2Z down 48% from $0.75) often sees "relief rallies" via sweeps capitalizes on FOMO without fighting HTF trend. Monitor for updates; crypto moves fast re assess on next 15M close. Trade responsibly; this isn't financial advice.$2Z
2Z-8.11%
MstAnanda
MstAnanda
5小時前
DoubleZero (2Z) — A Dedicated High-Performance Backbone for Blockchains
What is DoubleZero (2Z)? DoubleZero is a permissionless, token-incentivized physical network purpose-built to give blockchains and distributed systems dedicated, low-latency fiber connectivity and programmable edge filtering. Rather than relying on the congested public internet, DoubleZero stitches together contributed fiber links, FPGA-powered edge devices, and on-chain coordination to speed validator communication, reduce duplicate/spam transactions, and improve consensus reliability. Core capabilities (how it works) Dual-Ring Architecture: an outer ring at public on-ramps uses programmable hardware to filter and authenticate traffic; an inner ring carries pre-filtered, multicast-optimized blockchain data between validators and data centers to minimize jitter and latency. DoubleZero Exchange Points (DZXs): regional hubs (like IXPs) where contributors interconnect and hand off validated flows for efficient global reach. Decentralized Fiber Contributions: organizations and operators contribute leased/owned fiber and hardware; rewards are paid in 2Z for uptime and measured quality of service. On-chain Coordination & Integrity: smart contracts manage contributor authentication, SLAs, slashing for poor behavior, and inflation/burn mechanics to align economic incentives. Tokenomics & governance (quick summary) Token: 2Z (SPL on Solana) — total minted supply at launch: 10,000,000,000 (10B). Distribution includes Foundation & Ecosystem, Jump Crypto, Malbec Labs, Team, Institutions, Builders, Contributors, and Validators; some allocations are unlocked while others follow multi-year cliffs and vesting. Utility: payments for premium connectivity, contributor rewards, staking/delegation for resource providers, and governance participation. Protocol inflation and targeted burns are used to fund security and integrity mechanisms. Market / financing snapshot DoubleZero closed a high-visibility seed round in early 2025 raising $28 million at an ~$400 million valuation, backed by major crypto VCs tied to the Solana ecosystem and beyond. The project ran a public token offering through CoinList in April 2025 and has since moved toward exchange listings and mainnet rollouts. Current status & milestones Live testnets and early deployments across multiple cities, a public token offering in April 2025, and listings on major exchanges (e.g., Bitget spot listing in Oct 2025) as DoubleZero transitions toward broader mainnet availability and partner integrations. Technical strengths & competitive edge Purpose-built specialization: built from the ground up for low-latency, deterministic links rather than general-purpose internet routing — a real lever for validator fairness and block-propagation speed. Hardware + software co-design: FPGA-level filtering reduces attack surface and bandwidth waste before traffic reaches blockchains. Economic alignment: measurable SLAs, staking, slashing and token rewards create a clear path for operators to monetize high-quality contributions. Risks & challenges Adoption risk: the network’s value depends on sustained adoption by validators, block producers, and rollups; without steady proof traffic and paid services, token emissions could outpace fee revenue. Capital & deployment complexity: building and coordinating physical fiber links and regional DZXs is capital-intensive and logistically complex versus software-only solutions. Competitive & integration pressure: other modular networking or cloud providers (and large chains optimizing internal routing) could blunt demand. Token unlock dynamics: unlocked ecosystem/foundation allocations and vesting cliffs create near-term liquidity events to monitor. Key metrics to watch Daily/Monthly network traffic & proof/relay volume carried over DoubleZero links. Fee revenue vs. inflation: whether network fees cover staking/emission economics. Validator uptake: number and share of major validators routing via DoubleZero. Regional footprint: cities/metro areas with live DZXs and available fiber capacity. Exchange liquidity & unlock calendar: public supply changes and major moves from foundation/large holders. SWOT — quick take Strengths: focused product-market fit (low-latency connectivity for blockchains), experienced founders + Malbec/Jump contributors, and institutional funding. Weaknesses: heavy capex requirement and execution complexity for physical infrastructure. Opportunities: validators, DePIN operators, L1s/L2s and rollups seeking deterministic networking; cross-chain adoption. Threats: competing infrastructure approaches, regulatory uncertainty around token economics, and sell pressure from token unlocks. Verdict & outlook DoubleZero addresses a concrete, under-served bottleneck: predictable, high-quality connectivity for time-sensitive consensus systems. Its mix of real-world fiber, programmable edge filtering, and tokenized incentives is novel and potentially high-leverage for performance-sensitive chains. Execution will be the deciding factor — rollouts of DZXs, real validator adoption, and sustainable fee economics will determine whether 2Z becomes a lasting physical backbone for Web3 or a promising experiment constrained by deployment complexity. Track the network traffic numbers, validator share, and token unlock schedule over the next 6–12 months to assess product-market fit.  $2Z
2Z-8.11%
SOL-4.71%
Osman_bey
Osman_bey
6小時前
2Z Poised for a Wedge Breakout: Quiet Accumulation Before the Storm?
2Z/USDT → 0.389 Support → 0.381 Resistance → 0.471 / 0.501 RSI → 34.49 (oversold recovery zone) MACD → Bearish momentum fading, potential crossover building Volume → 4.31M, gradually recovering from prior exhaustion Trend → Downtrend losing steam, wedge compression phase Momentum → Weak but stabilizing; early signs of accumulation Fundamentals → Deflationary structure, real-world adoption potential, steady developer activity Tokenomics → Limited circulating supply, upcoming unlock low impact near-term K-Line / Technical Analysis The 1H chart of $2Z is presenting a textbook falling wedge — a structure often signaling reversal potential when coupled with declining volume and a soft RSI recovery. The price has compressed between a descending resistance and a strong horizontal support near 0.381, forming the base of this pattern. The RSI at 34.49 suggests sellers are losing control, with potential for a bounce once buyers reclaim momentum above the 40–45 RSI band. EMAs (21 and 50) remain overhead, slightly bearish, but the distance between them has started narrowing — a sign that downside pressure is easing. MACD lines are curling upward, with the histogram nearly flat. This is a pre-crossover zone — where patient buyers usually start scaling in. The Awesome Oscillator also hints at weakening bearish momentum, displaying lighter red bars. Volume has been quiet, but that’s not a weakness here — in a wedge formation, volume contraction followed by a sudden breakout spike is classic. The projected breakout zone lies between 0.400 and 0.410, with a confirmation candle above the upper white trendline targeting 0.471 and eventually 0.501 in a strong momentum move. Candlestick psychology reflects that bears have been driving lower highs, but repeated defense of 0.381 means there’s a growing buyer wall. That level is key — it’s the sentiment floor for short-term traders. Fundamental & Project Analysis Beyond the chart, 2Z remains one of those quiet projects that’s building rather than hyping. Its ecosystem leans toward real utility rather than speculative narratives — a focus on cross-chain liquidity architecture and decentralized integration tools that aim to bridge fragmented DeFi protocols. Tokenomics structure is deflationary, with a capped total supply and a relatively small percentage circulating. The unlock schedule appears mild in the coming quarter, reducing near-term dilution risk. Transactional utility within its network — particularly staking, governance, and gas-like payments — supports organic demand. Partnership traction has been moderate but consistent, including integrations with mid-tier DeFi protocols and early-stage metaverse ecosystems. Its community growth has been steady rather than viral — suggesting a more fundamentally anchored base. Catalysts could include upcoming mainnet updates or potential listing expansions. Risks stem from market liquidity and lower visibility compared to headline tokens, which could make price swings more aggressive both ways. Swing & Long-Term Outlook For swing traders, the 0.381–0.389 region is a logical accumulation window. This zone offers tight risk management, as a clear close below 0.381 would invalidate the current bullish wedge setup. A confirmed breakout above 0.400 opens the path toward 0.471 (initial target) and 0.501 (extended target). Medium term, maintaining closes above 0.471 would suggest the start of a trend reversal. A retest of 0.45–0.47 followed by higher lows would confirm a structure change, transitioning 2Z from short-term recovery to sustained uptrend. For long-term investors, the 0.35–0.38 band remains the prime dollar-cost averaging (DCA) zone, provided project fundamentals continue to progress. If macro sentiment improves, 2Z could potentially reclaim 0.60–0.65 in coming months as capital cycles back into mid-cap altcoins with real use cases. What’s Next for the Market Bullish scenario → A clean 1H close above 0.400 with volume exceeding 5M would confirm wedge breakout momentum. RSI crossing above 45–50 and a MACD bullish crossover would add confidence, targeting 0.471 initially and 0.501 in extension. Bearish scenario → Failure to hold 0.381 support could trigger a short-term flush toward 0.360. Volume spikes on red candles would confirm panic selling, especially if RSI breaks below 30 again. In that case, buyers would wait for stabilization near the lower zone before reentry. Final Strategy & Allocation Guidance Core holding → 50% (positioned for long-term project vision and adoption) Swing trading allocation → 30% (focused on 0.381–0.400 accumulation and breakout plays) Reserve capital → 20% (held for potential dips or breakout confirmations) Risk management → Keep stops slightly below 0.375 for swing entries. Avoid overleveraging in a low-volume environment. Watch EMA compression and MACD behavior for early breakout cues. In essence, $2Z is sitting in a high-compression coil — a structure that often precedes a meaningful move. The fundamentals support patience, while the technicals whisper that volatility is about to return. Traders who can read both stories — chart and chain — may find this setup one of those quiet opportunities that only look obvious after they play out. $2Z
2Z-8.11%
BANIGALA
BANIGALA
6小時前
🔄 DoubleZero (2Z/USDT) — Volatility Compression Before the Storm?
💰 Price Overview: Current Price: $0.3940 24h High: $0.4158 24h Low: $0.3805 Volume (24h): 1.56B 2Z USDT Turnover: $616.25M 🔎 Price Action Insight: 2Z/USDT is hovering just above a structural support at $0.3805, after multiple attempts to reclaim the $0.42–$0.43 resistance zone. The coin is now coiling in a volatility squeeze, which often precedes an aggressive directional expansion. Recent candles show: Lower wicks defending $0.38 EMAs gradually closing in overhead No decisive momentum on either side yet This setup hints that the market is waiting for confirmation — either a breakout or breakdown. 📉 EMA Convergence Analysis: EMA(5): 0.3999 EMA(10): 0.4097 EMA(20): 0.4240 🔺 All EMAs are still above the current price, keeping 2Z in short-term bearish pressure. However, the flattening angle of the EMAs indicates that momentum has slowed, and price is attempting to base. Once price closes above EMA(10) or EMA(20) on solid volume, it may flip the structure into a short-term bullish bias. 📊 MACD Shows Weakening Bearish Momentum: MACD: -0.0207 Signal (DEA): 0.0022 Histogram: -0.0081 Despite remaining in negative territory, the histogram shows shrinking red bars, suggesting that the sellers are losing strength. A potential crossover in coming candles would indicate a shift toward bullish momentum. 📉 Volume Behavior: Demand Rising Quietly Volume is averaging 237M, with noticeable upticks on green candles. MA(5) Volume: 232M vs MA(10) Volume: 184M — bullish volume expansion. This tells us that more participants are entering, but not aggressively enough yet to initiate trend reversal. A breakout candle with above 300M volume would be a major signal to watch. 🧱 Key Levels to Watch: Type Price Notes 🔻 Support $0.3805 Local bottom, strong defense 🔺 Resistance $0.4240 EMA20 + structural lid 🔺 Breakout $0.4280–0.4300 Volatility escape trigger ❌ Breakdown < $0.3800 Opens path to $0.3480 / $0.3200 A candle close above $0.4300 on volume would confirm a bullish trend reversal. Below $0.3800, however, things can turn decisively bearish. 📌 Scenario Forecasts: ✅ Bullish Scenario (20–30% potential upside) Trigger: Break above $0.4240 (EMA20) Volume: >300M on breakout candle Confirmation: MACD crossover Targets: $0.446 → $0.475 → $0.50 Risk: False breakout if rejected at $0.43 ❌ Bearish Scenario (12–18% downside risk) Trigger: Breakdown below $0.3800 Signal: High-volume red candle + EMA rejection Targets: $0.348 → $0.320 → $0.288 Risk: Bear trap if demand revives above $0.38 🔄 Sideways Continuation Range: $0.380–$0.415 Strategy: Buy low/sell high until breakout Risk: Whipsaw false moves near key EMAs 🎯 Tactical Trading Playbook: Strategy Type Entry Exit Targets Stop-Loss Breakout Long > $0.4240 $0.446 / $0.475 < $0.409 Breakdown Short < $0.3800 $0.348 / $0.320 > $0.395 Range Trade $0.381–$0.385 $0.410–$0.415 Tight below $0.38 💬 Analyst Conclusion: DoubleZero (2Z/USDT) is consolidating in a narrowing band, prepping for a significant expansion. The compression of EMAs, flattening MACD, and growing volume on dips are classic signals of a pending move. $2Z
2Z-8.11%

2Z/TWD 匯率換算器

2Z
TWD
1 2Z = 11.63 TWD,目前 1 DoubleZero(2Z)兌換 TWD 的價格為 11.63。匯率即時更新,僅供參考。
在所有主流交易平台中,Bitget 提供最低的交易手續費。VIP 等級越高,費率越優惠。

2Z 資料來源

DoubleZero評級
4.6
100 筆評分
合約:
J6pQQ3...7feMfvd(Solana)
相關連結:

您可以用 DoubleZero (2Z) 之類的加密貨幣做什麼?

輕鬆充值,快速提領買入增值,賣出套利進行現貨交易套利進行合約交易,高風險和高回報透過穩定利率賺取被動收益使用 Web3 錢包轉移資產

如何購買 DoubleZero?

了解如何在幾分鐘內立即獲得您的首筆 DoubleZero。
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我如何出售 DoubleZero?

了解如何在幾分鐘內學會兌現 DoubleZero。
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什麼是 DoubleZero,以及 DoubleZero 是如何運作的?

DoubleZero 是一種熱門加密貨幣,是一種點對點的去中心化貨幣,任何人都可以儲存、發送和接收 DoubleZero,而無需銀行、金融機構或其他中介等中心化機構的介入。
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常見問題

DoubleZero 的目前價格是多少?

DoubleZero 的即時價格為 NT$11.63(2Z/TWD),目前市值為 NT$40,375,843,475.52 TWD。由於加密貨幣市場全天候不間斷交易,DoubleZero 的價格經常波動。您可以在 Bitget 上查看 DoubleZero 的市場價格及其歷史數據。

DoubleZero 的 24 小時交易量是多少?

在最近 24 小時內,DoubleZero 的交易量為 NT$41.08B。

DoubleZero 的歷史最高價是多少?

DoubleZero 的歷史最高價是 NT$22.95。這個歷史最高價是 DoubleZero 自推出以來的最高價。

我可以在 Bitget 上購買 DoubleZero 嗎?

可以,DoubleZero 目前在 Bitget 的中心化交易平台上可用。如需更詳細的說明,請查看我們很有幫助的 如何購買 doublezero 指南。

我可以透過投資 DoubleZero 獲得穩定的收入嗎?

當然,Bitget 推出了一個 機器人交易平台,其提供智能交易機器人,可以自動執行您的交易,幫您賺取收益。

我在哪裡能以最低的費用購買 DoubleZero?

Bitget提供行業領先的交易費用和市場深度,以確保交易者能够從投資中獲利。 您可通過 Bitget 交易所交易。

熱門活動

您可以在哪裡購買DoubleZero(2Z)?

透過 Bitget App 購買
數分鐘完成帳戶註冊,即可透過信用卡或銀行轉帳購買加密貨幣。
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透過 Bitget 交易所交易
將加密貨幣存入 Bitget 交易所,交易流動性大且費用低

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