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Treat 價格

Treat 價格TREAT

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NT$0.04522TWD
-0.87%1D
截至今日 15:49(UTC),Treat(TREAT)的 新台幣 價格為 NT$0.04522 TWD。
Treat價格走勢圖 (TWD/TREAT)
最近更新時間 2025-09-09 15:49:08(UTC+0)

Treat 市場資訊

價格表現(24 小時)
24 小時
24 小時最低價 NT$0.0424 小時最高價 NT$0.05
歷史最高價:
NT$4.73
漲跌幅(24 小時):
-0.87%
漲跌幅(7 日):
-1.79%
漲跌幅(1 年):
+48.20%
市值排名:
--
市值:
--
完全稀釋市值:
--
24 小時交易額:
--
流通量:
-- TREAT
‌最大發行量:
--
總發行量:
--
流通率:
0%
合約:
--
相關連結:
立即買入/賣出 Treat

今日Treat即時價格TWD

今日Treat即時價格為 NT$0.04522 TWD,目前市值為 --。過去 24 小時內,Treat價格跌幅為 0.87%,24 小時交易量為 NT$0.00。TREAT/TWD(Treat兌換TWD)兌換率即時更新。
1Treat的新台幣價值是多少?
截至目前,Treat(TREAT)的 新台幣 價格為 NT$0.04522 TWD。您現在可以用 1 TREAT 兌換 NT$0.04522,或用 NT$ 10 兌換 221.16 TREAT。在過去 24 小時內,TREAT 兌換 TWD 的最高價格為 NT$0.04597 TWD,TREAT 兌換 TWD 的最低價格為 NT$0.04461 TWD。

您認為今天 Treat 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 Treat 的價格趨勢預測,不應被視為投資建議。
以下資訊包括:Treat 價格預測,Treat 項目介紹和發展歷史等。繼續閱讀,您將對 Treat 有更深入的理解。

Treat價格預測

TREAT 在 2026 的價格是多少?

根據TREAT的歷史價格表現預測模型,預計TREAT的價格將在 2026 達到 NT$0.00

TREAT 在 2031 的價格是多少?

2031,TREAT的價格預計將上漲 +34.00%。 到 2031 底,預計TREAT的價格將達到 NT$0.00,累計投資報酬率為 -100.00%。

Bitget 觀點

Tajoo_nakamato
Tajoo_nakamato
3小時前
TRADOOR/USDT — Retest at Pivot (1.87–1.90) or Breakout Toward 2.25?
I’m watching $TRADOOR /USDT on Bitget — starter sized only; waiting for a clean retest or an ATH acceptance on strong volume. Trade with reduced size until the book proves depth. MARKET SNAP → 15m close: 1.9035 (C). Session H / L: 1.9160 / 1.8089. → App snapshot: recent ask 2.0134, bid 1.9950 (short spread print). → Recent 15m/1H volume: ~1.26M (notable session spikes). > Market context: $TRADOOR was recently listed on Bitget’s Innovation Zone (early Sept listing) — that listing is the main driver of the big intraday liquidity & campaign flows. STRUCTURE & KEY LEVELS → Short decision band / pivot: ~1.866–1.916 (recent intraday cap & pivot cluster). → Near-term support / hinge: 1.2193 (annotated structural support). → Short invalidation / defensive pivot: hourly close < 1.2193 (major rotate). → Breakout target / channel completion: ~2.25 (annotated primary swing target). → Deeper demand shelf / liquidity magnet: ~0.8–1.2 area (historical accumulation range on the image). TOP INDICATOR READS → EMA ribbon / short DEMA references (app): EMA(5) ~ 2.0087, EMA(10) ~ 1.9200, EMA(20) ~ 1.8182 — short EMAs flipped and have recently supported the push. → MACD: strong positive shift on recent bars (MACD histogram expanding on app panel). → KDJ / RSI: short RSI readings near mid-high (~62–64 in app), KDJ showing short-term momentum — risk of chop / pullback after the spike. → OBV / volume: clear spike then elevated OBV trend — on-exchange accumulation behavior visible (need follow-through volume to confirm breakouts). TRADOOR trading heavy 24h volume and a mid-tens of millions market interest since listing . WHAT I’M WATCHING 1. Retest acceptance: rejection wick + buy volume into ~1.866–1.903 → acceptable long entry. 2. Breakout confirmation: hourly close >1.9160–2.00 on volume > prior spike average → momentum add. 3. Fail state: hourly close <1.2193 with rising sell volume → rotate out & avoid averaging. TRADE SETUPS (practical & size-driven) A) Structured Retest (preferred — best R:R) Condition: Price drops into 1.866–1.903 (pivot box), prints wick rejection + buy volume. Entry: limit at wick low (split 50/50). Stop: just below 1.2193 or use ATR-based micro stop if you scalp. Targets: partial at 1.916–2.00, scale to 2.25 on acceptance. B) Momentum Break (smaller size) Condition: 1H close > 2.00 and volume sustains > session spike. Entry: small starter (20–30% intended). Add after two-candle acceptance. Stop: 1.5× intraday ATR below pivot. Targets: 2.25 → extend if book depth supports higher. C) Defensive / Short (if structure breaks) Condition: hourly close < 1.2193 + OBV falling. Action: exit longs immediately; consider short if book & flow confirm. Targets: structural demand zones. ORDER EXECUTION & RISK → Risk per trade: 1% equity recommended on exploratory positions (0.5–1% in early listing thin-book scenarios). → Use LIMIT entries, OCO stop + TP, and split fills (50/50 retest / confirmation). → Check 5–10 level book depth before committing; if depth is shallow, reduce size or slice orders. → Example sizing: compute position = Risk $ / stop-distance (use ATR or annotated support as stop baseline). SCENARIO MATRIX Bull continuation (40%) — sustained buying & OBV confirm → run to 2.25; ladder TP. Controlled retest (45%) — best R:R: retest pivot, wick rejection, then measured upside. Breakdown (15%) — lack of follow-through volume and heavy exchange inflows → flush toward structural demand. FUNDAMENTAL / FLOW NOTES → Listing & visibility: Bitget listing (Innovation Zone) on Sept 4 produced large initial flows and campaign-driven retail interest — this explains early high volume / volatility. → Market footprint: Aggregators report heavy 24h volume and market cap in the low-tens of millions since listing — treat early price moves as liquidity-driven and watch OI/funding on derivatives if available. → Project note: Tradoor positions itself as a trading/perps protocol and is pushing exchange / product integrations — positive narrative but execution risk (tech/delivery) exists. ALERTS TO SET → 1H close > 2.00 (watch vol). → 1H close < 1.2193 (invalidation). → OBV new HH / large exchange inflow spike. FINAL BYTE → Best edge = patient limit buys on 1.866–1.903 with ATR/stop discipline; require volume + OBV confirmation to add — if hourly close under 1.2193, step aside and re-evaluate. $TRADOOR
TREAT-0.99%
MAJOR-0.06%
Mandieng02
Mandieng02
5小時前
$Q 🔑 Key Levels to Watch 24h High: 0.0233120 → resistance zone. Current Price: 0.0172365 → mid-range. 24h Low: 0.0102572 → strong support. Short-term support (MA20/EMA20): ~0.0120–0.0131. Psychological level: 0.0200 → watch for breakout/rejection. 📈 Momentum and Flow Price is up +65.91% in 24h → strong momentum. Sharp pump to 0.0233 then retrace to ~0.017. Volume: 9.77B Q (~144M USDT) → liquidity surge. Currently consolidating after breakout → potential continuation OR further correction. 📝 Trade Plans Bullish Scenario: If price reclaims and holds above 0.0200, target 0.0233 and then 0.0255+. Bearish Scenario: If price breaks below 0.0145, expect retest of 0.0120–0.0130 zone. Scalps: Trade inside range 0.015–0.020 with tight stops. Swing: Buy dips near EMA20 (~0.013) with stop below 0.010. ✅ Pre-Trade Checklist Check BTC/ETH trend → correlation matters. Confirm order book depth (spot vs futures). News catalysts? Any listings, partnerships, or unlocks? Define stop loss BEFORE entering. Position sizing < 2–5% of portfolio. 📊 Fundamentals Research what “Q” token actually is (use case, team, unlocks). Look at tokenomics: supply schedule, emissions, inflation. Check if liquidity is organic or exchange-driven. If no clear fundamentals → treat it as a speculative short-term play. 🔗 On-chain Snapshot Wallet distribution: Are a few wallets holding most supply? Whale movements: Inflows/outflows to exchanges? Holder growth trend. 💧 Liquidity & Structure Notes Sharp wick to 0.0233 = liquidity grab. Now consolidating between 0.015–0.020 → range-bound until breakout. Order book likely stacked near 0.020 (sellers) and 0.015 (buyers). ⚖️ Risk Management Max risk per trade: 1–2% of portfolio. Always set stop-loss (don’t just rely on mental stops). Avoid chasing green candles → wait for pullbacks. Take profits in layers (25%-50% at key resistances). 👀 Live Watch List Q/USDT (main). BTC/USDT (market sentiment driver). ETH/USDT (altcoin momentum). Other low-cap alts pumping (rotation plays). 📖 Executive Walkthrough Zoom out → Identify structure (breakout, retrace, range). Locate liquidity zones → Where traps/liquidations happen. Check momentum → Volume, EMAs, RSI (if available). Plan entries/exits → Don’t trade blind. Confirm with order book flow → Big walls = manipulation zones. 🚫 What to Avoid Don’t FOMO into pumps. Don’t over-leverage (esp. on low-cap like Q). Don’t ignore BTC/market context. Don’t go all-in — position sizing is key. Don’t hold blindly without stop-loss.$Q
BTC-1.05%
TREAT-0.99%
Global_ABD
Global_ABD
6小時前
Market Views The BOOST token is currently trading at about 0.108 dollars, with modest intraday volatility. In recent days, the token has recorded a surge of nearly 50 percent over both the past 24 hours and the past week. This level of growth has outpaced the wider cryptocurrency market and seems to be driven largely by speculation about possible exchange listings and the effects of low market liquidity. A key warning is its extremely high volatility. At times, its trading volume has exceeded its market capitalization, with a rollover ratio of about six. This makes the token highly vulnerable to sudden and dramatic price swings. The rally also appears to lack solid fundamentals. There have been no new updates, partnerships, or technological developments announced. The increase is more likely driven by speculative buying, which increases the risk of a sharp reversal. Price Predictions Forecasts for the BOOST token are inconsistent and should be treated with caution. For example, one projection suggests that by 2025 the token could fall to about 0.000028 dollars, an unrealistically low estimate when compared to current prices. On the other hand, another model estimates a modest five percent annual gain through 2050, which also fails to match the token’s highly volatile behavior. These contradictions show that predictions for small-cap tokens carry a wide margin of error and are not reliable indicators of future performance. Possible Strategies Several approaches are commonly considered for trading or investing in tokens like $BOOST: Short-term speculative trading: Taking advantage of volatility by buying during periods of hype and selling quickly into strength. This strategy requires constant monitoring and readiness to exit at the first sign of reversal. Momentum trading with risk management: Entering trades only when rallies are supported by strong volume, while applying strict stop-loss limits to protect against sudden declines. Avoiding FOMO-driven decisions: The BOOST token shows patterns often associated with pump-and-dump schemes. A recent analysis of a similar meme token revealed how hype can be used to disguise opportunistic selling by insiders, leaving late investors with heavy losses. Because of its low liquidity and high turnover ratio, even small trades can cause large price swings. Traders must be prepared for wide bid-ask spreads and price slippage. Lessons from Similar Tokens The experience of other low-cap tokens provides important lessons. Research shows that about a quarter of new tokens introduced in 2022 were designed primarily as pump-and-dump schemes. Some common tactics include: Locking liquidity to create the appearance of safety. Using bots to artificially boost trading activity. Announcing token burns or roadmaps to present an illusion of long-term planning. Launching airdrops or paying influencers to create short-lived market excitement. These strategies often highlight speculation rather than real value and should be seen as warning signs. Summary and Final Thoughts Market sentiment around $BOOST is driven mainly by hype and momentum rather than fundamentals. The token is extremely volatile, its long-term outlook is undefined, and predictions are highly unreliable. The risks are significant, with pump-and-dump behavior and market manipulation being real possibilities. The best strategy, if one chooses to engage with BOOST at all, is to treat it as a short-term trade with strict risk controls. It is not advisable as a long-term investment. In summary, BOOST reflects the typical profile of a micro-cap, hype-driven token. It offers potential for fast gains but carries an equally high risk of sharp losses. Only those willing to accept the possibility of losing their entire investment should consider entering this market.
TREAT-0.99%
HYPE+2.73%
INVESTERCLUB
INVESTERCLUB
6小時前
Q/USDT: Mapping Key Levels, Momentum Flows, and Risk Controls in a Volatile Breakout!!
$Q 🔑 Key Levels to Watch 24h High: 0.0233120 → resistance zone. Current Price: 0.0172365 → mid-range. 24h Low: 0.0102572 → strong support. Short-term support (MA20/EMA20): ~0.0120–0.0131. Psychological level: 0.0200 → watch for breakout/rejection. 📈 Momentum and Flow Price is up +65.91% in 24h → strong momentum. Sharp pump to 0.0233 then retrace to ~0.017. Volume: 9.77B Q (~144M USDT) → liquidity surge. Currently consolidating after breakout → potential continuation OR further correction. 📝 Trade Plans Bullish Scenario: If price reclaims and holds above 0.0200, target 0.0233 and then 0.0255+. Bearish Scenario: If price breaks below 0.0145, expect retest of 0.0120–0.0130 zone. Scalps: Trade inside range 0.015–0.020 with tight stops. Swing: Buy dips near EMA20 (~0.013) with stop below 0.010. ✅ Pre-Trade Checklist Check BTC/ETH trend → correlation matters. Confirm order book depth (spot vs futures). News catalysts? Any listings, partnerships, or unlocks? Define stop loss BEFORE entering. Position sizing < 2–5% of portfolio. 📊 Fundamentals Research what “Q” token actually is (use case, team, unlocks). Look at tokenomics: supply schedule, emissions, inflation. Check if liquidity is organic or exchange-driven. If no clear fundamentals → treat it as a speculative short-term play. 🔗 On-chain Snapshot Wallet distribution: Are a few wallets holding most supply? Whale movements: Inflows/outflows to exchanges? Holder growth trend. 💧 Liquidity & Structure Notes Sharp wick to 0.0233 = liquidity grab. Now consolidating between 0.015–0.020 → range-bound until breakout. Order book likely stacked near 0.020 (sellers) and 0.015 (buyers). ⚖️ Risk Management Max risk per trade: 1–2% of portfolio. Always set stop-loss (don’t just rely on mental stops). Avoid chasing green candles → wait for pullbacks. Take profits in layers (25%-50% at key resistances). 👀 Live Watch List Q/USDT (main). BTC/USDT (market sentiment driver). ETH/USDT (altcoin momentum). Other low-cap alts pumping (rotation plays). 📖 Executive Walkthrough Zoom out → Identify structure (breakout, retrace, range). Locate liquidity zones → Where traps/liquidations happen. Check momentum → Volume, EMAs, RSI (if available). Plan entries/exits → Don’t trade blind. Confirm with order book flow → Big walls = manipulation zones. 🚫 What to Avoid Don’t FOMO into pumps. Don’t over-leverage (esp. on low-cap like Q). Don’t ignore BTC/market context. Don’t go all-in — position sizing is key. Don’t hold blindly without stop-loss.$Q
BTC-1.05%
TREAT-0.99%

TREAT/TWD 匯率換算器

TREAT
TWD
1 TREAT = 0.04522 TWD,目前 1 Treat(TREAT)兌換 TWD 的價格為 0.04522。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。

TREAT 資料來源

Treat評級
4.3
103 筆評分
合約:
--
相關連結:

您可以用 Treat (TREAT) 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 Treat?

了解如何在幾分鐘內立即獲得您的首筆 Treat。
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我如何出售 Treat?

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

Treat 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 Treat,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

Treat 的目前價格是多少?

Treat 的即時價格為 NT$0.05(TREAT/TWD),目前市值為 -- TWD。由於加密貨幣市場全天候不間斷交易,Treat 的價格經常波動。您可以在 Bitget 上查看 Treat 的市場價格及其歷史數據。

Treat 的 24 小時交易量是多少?

在最近 24 小時內,Treat 的交易量為 --。

Treat 的歷史最高價是多少?

Treat 的歷史最高價是 NT$4.73。這個歷史最高價是 Treat 自推出以來的最高價。

我可以在 Bitget 上購買 Treat 嗎?

可以,Treat 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 treat 指南。

我可以透過投資 Treat 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 Treat?

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Treat(TREAT)?

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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7. 提交申請後,身分認證就完成了!
1 TWD 即可購買 Treat
新用戶可獲得價值 6,200 USDT 的迎新大禮包
立即購買 Treat
加密貨幣投資(包括透過 Bitget 線上購買 Treat)具有市場風險。Bitget 為您提供購買 Treat 的簡便方式,並且盡最大努力讓用戶充分了解我們在交易所提供的每種加密貨幣。但是,我們不對您購買 Treat 可能產生的結果負責。此頁面和其包含的任何資訊均不代表對任何特定加密貨幣的背書認可,任何價格數據均採集自公開互聯網,不被視為來自Bitget的買賣要約。