Bitget:全球日交易量排名前 4!
BTC 市占率63.36%
Bitget 新幣上架 : Pi Network
BTC/USDT$94757.22 (+1.01%)恐懼與貪婪指數60(貪婪)
山寨季指數:0(比特幣季)
盤前交易幣種SIGN比特幣現貨 ETF 總淨流量:+$591.2M(1 天);+$3.62B(7 天)。Bitget 新用戶立享 6,200 USDT 歡迎禮包!立即領取
到 Bitget App 隨時隨地輕鬆交易!立即下載
Bitget:全球日交易量排名前 4!
BTC 市占率63.36%
Bitget 新幣上架 : Pi Network
BTC/USDT$94757.22 (+1.01%)恐懼與貪婪指數60(貪婪)
山寨季指數:0(比特幣季)
盤前交易幣種SIGN比特幣現貨 ETF 總淨流量:+$591.2M(1 天);+$3.62B(7 天)。Bitget 新用戶立享 6,200 USDT 歡迎禮包!立即領取
到 Bitget App 隨時隨地輕鬆交易!立即下載
Bitget:全球日交易量排名前 4!
BTC 市占率63.36%
Bitget 新幣上架 : Pi Network
BTC/USDT$94757.22 (+1.01%)恐懼與貪婪指數60(貪婪)
山寨季指數:0(比特幣季)
盤前交易幣種SIGN比特幣現貨 ETF 總淨流量:+$591.2M(1 天);+$3.62B(7 天)。Bitget 新用戶立享 6,200 USDT 歡迎禮包!立即領取
到 Bitget App 隨時隨地輕鬆交易!立即下載

Blue Protocol 價格BLUE
未上架
報價幣種:
TWD
數據來源於第三方提供商。本頁面和提供的資訊不為任何特定的加密貨幣提供背書。想要交易已上架幣種? 點擊此處
NT$0.1092-0.00%1D
價格圖表
Blue Protocol價格走勢圖 (BLUE/TWD)
最近更新時間 2025-04-29 15:25:37(UTC+0)
市值:--
完全稀釋市值:--
24 小時交易額:--
24 小時交易額/市值:0.00%
24 小時最高價:NT$0.1092
24 小時最低價:NT$0.1092
歷史最高價:NT$69.64
歷史最低價:NT$0.02778
流通量:-- BLUE
總發行量:
42,000,000BLUE
流通率:0.00%
最大發行量:
42,000,000BLUE
以 BTC 計價:0.{7}3562 BTC
以 ETH 計價:0.8210 ETH
以 BTC 市值計價:
--
以 ETH 市值計價:
--
合約:
0x539e...5e0282b(Ethereum)
更多
您今天對 Blue Protocol 感覺如何?
注意:此資訊僅供參考。
Blue Protocol (BLUE) 簡介
蓝色协议是一种加密货币,它在加密货币领域具有重要的历史意义和关键特征。作为一种数字资产,蓝色协议的出现标志着区块链技术的进一步发展和应用。它基于密码学原理,使用分布式账本技术来确保交易的安全性和透明性。
蓝色协议具有一些关键特征,使其在加密货币市场中独具优势。首先,它采用去中心化的模式,没有中央机构控制和管理。这意味着没有政府或银行可以干预其运作,从而确保用户的资金安全和自主性。
另外,蓝色协议采用了匿名性和隐私保护的技术,使用户的交易难以追踪。这为用户提供了更高的安全性和隐私保护,特别是在一些敏感领域中的交易。
蓝色协议还具有高度的透明性。区块链技术使得所有的交易记录都可以被公开查看,确保了交易的可追溯性。这种透明性有助于防止欺诈或非法交易,并提高了市场的信任度。
此外,蓝色协议具有快速和低成本的交易速度。与传统金融机构相比,通过蓝色协议进行交易的手续费更低,并且交易可以在几分钟内完成,甚至可以实现即时交易。
总体而言,蓝色协议作为一种加密货币具有重要的历史意义和关键特征。它通过区块链技术实现了去中心化、匿名性、隐私保护、透明性、快速和低成本的交易。这使得蓝色协议在数字化经济时代具有广阔的应用前景,并能够为用户提供更安全、便捷和自主的交易体验。
Blue Protocol 的 AI 分析報告
今日加密市場熱點查看報告
今日Blue Protocol即時價格TWD
今日Blue Protocol即時價格為 NT$0.1092 TWD,目前市值為 NT$0.00。過去 24 小時內,Blue Protocol價格跌幅為 0.00%,24 小時交易量為 NT$0.00。BLUE/TWD(Blue Protocol兌換TWD)兌換率即時更新。
Blue Protocol價格歷史(TWD)
過去一年,Blue Protocol價格上漲了 +15.95%。在此期間,兌TWD 的最高價格為 NT$0.1123,兌TWD 的最低價格為 NT$0.02778。
時間漲跌幅(%)
最低價
最高價 
24h-0.00%NT$0.1092NT$0.1092
7d-0.00%NT$0.1092NT$0.1092
30d-0.00%NT$0.1092NT$0.1092
90d+27.40%NT$0.02778NT$0.1123
1y+15.95%NT$0.02778NT$0.1123
全部時間+87.31%NT$0.02778(2025-02-25, 63 天前 )NT$69.64(2018-01-09, 7 年前 )
Blue Protocol的最高價格是多少?
Blue Protocol兌換TWD的歷史最高價(ATH)為 NT$69.64,發生於 2018-01-09。相較於價格回撤了 99.84%。
Blue Protocol的最低價格是多少?
Blue Protocol兌換TWD的歷史最低價(ATL)為 NT$0.02778,發生於 2025-02-25。相較於Blue Protocol歷史最低價,目前Blue Protocol價格上漲了 293.06%。
Blue Protocol價格預測
BLUE 在 2026 的價格是多少?
根據BLUE的歷史價格表現預測模型,預計BLUE的價格將在 2026 達到 NT$0.09360。
BLUE 在 2031 的價格是多少?
2031,BLUE的價格預計將上漲 +46.00%。 到 2031 底,預計BLUE的價格將達到 NT$0.2129,累計投資報酬率為 +94.97%。
常見問題
Blue Protocol 的目前價格是多少?
Blue Protocol 的即時價格為 NT$0.11(BLUE/TWD),目前市值為 NT$0 TWD。由於加密貨幣市場全天候不間斷交易,Blue Protocol 的價格經常波動。您可以在 Bitget 上查看 Blue Protocol 的市場價格及其歷史數據。
Blue Protocol 的 24 小時交易量是多少?
在最近 24 小時內,Blue Protocol 的交易量為 NT$0.00。
Blue Protocol 的歷史最高價是多少?
Blue Protocol 的歷史最高價是 NT$69.64。這個歷史最高價是 Blue Protocol 自推出以來的最高價。
我可以在 Bitget 上購買 Blue Protocol 嗎?
可以,Blue Protocol 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 指南。
我可以透過投資 Blue Protocol 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 Blue Protocol?
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。
Blue Protocol持幣分布集中度
巨鯨
投資者
散戶
Blue Protocol地址持有時長分布
長期持幣者
游資
交易者
coinInfo.name(12)即時價格表
全球Blue Protocol價格
目前Blue Protocol用其他貨幣計價是多少?最近更新時間:2025-04-29 15:25:37(UTC+0)
BLUE 兌換 MXN
Mexican Peso
Mex$0.07BLUE 兌換 GTQGuatemalan Quetzal
Q0.03BLUE 兌換 CLPChilean Peso
CLP$3.19BLUE 兌換 HNLHonduran Lempira
L0.09BLUE 兌換 UGXUgandan Shilling
Sh12.4BLUE 兌換 ZARSouth African Rand
R0.06BLUE 兌換 TNDTunisian Dinar
د.ت0.01BLUE 兌換 IQDIraqi Dinar
ع.د4.41BLUE 兌換 TWDNew Taiwan Dollar
NT$0.11BLUE 兌換 RSDSerbian Dinar
дин.0.35BLUE 兌換 DOPDominican Peso
RD$0.2BLUE 兌換 MYRMalaysian Ringgit
RM0.01BLUE 兌換 GELGeorgian Lari
₾0.01BLUE 兌換 UYUUruguayan Peso
$0.14BLUE 兌換 MADMoroccan Dirham
د.م.0.03BLUE 兌換 AZNAzerbaijani Manat
₼0.01BLUE 兌換 OMROmani Rial
ر.ع.0BLUE 兌換 KESKenyan Shilling
Sh0.44BLUE 兌換 SEKSwedish Krona
kr0.03BLUE 兌換 UAHUkrainian Hryvnia
₴0.14- 1
- 2
- 3
- 4
- 5
購買其他幣種
在哪裡可以購買加密貨幣?
影片部分 - 快速認證、快速交易

如何在 Bitget 完成身分認證以防範詐騙
1. 登入您的 Bitget 帳戶。
2. 如果您是 Bitget 的新用戶,請觀看我們的教學,以了解如何建立帳戶。
3. 將滑鼠移到您的個人頭像上,點擊「未認證」,然後點擊「認證」。
4. 選擇您簽發的國家或地區和證件類型,然後根據指示進行操作。
5. 根據您的偏好,選擇「手機認證」或「電腦認證」。
6. 填寫您的詳細資訊,提交身分證影本,並拍攝一張自拍照。
7. 提交申請後,身分認證就完成了!
加密貨幣投資(包括透過 Bitget 線上購買 Blue Protocol)具有市場風險。Bitget 為您提供購買 Blue Protocol 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 Blue Protocol 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。
Blue Protocol評級
社群的平均評分
4.4
此內容僅供參考。
Bitget 觀點

CHUMAIR
5小時前
Coin update
Ye update ha, Signal nahi. Agr learning apnay complete ki ha technical analysis ki toh ap es update ko samaj saktay hai.
FLRUSDT ka chart dekh kar lagta hai ke price apne pehle downward trend se recover kar raha hai, aur abhi 20-day moving average (blue line) ke upar stable hai, jo ke ab immediate support ban gaya hai around $0.01618. Yeh short-term bullish momentum ko show karta hai. Filhal price $0.01821 ke aas paas trade kar raha hai aur agay potential resistance levels ko test karne ki koshish kar raha hai, jo ke dash lines se dikhaye gaye hain — pehla resistance $0.01915 aur uske baad $0.02008 par hai. 200-day moving average (yellow line) kareeb $0.02008 par strong resistance provide karega, aur price ko wahan break karna zaroori hoga taake agla target $0.02183 achieve ho sake. Volume recent rally ke dauran thora improve hua hai, jo bullish move ko support kar raha hai. Lekin agar price 20 MA ke neeche gir gaya to pullback ka risk barh sakta hai. Overall trend cautiously bullish hai, lekin 200 MA ke upar clear breakout aana zaroori hai taake strong bullish continuation confirm ho sake.
The FLRUSDT chart shows a strong recovery from its earlier downtrend, with the price recently stabilizing above the 20-day moving average (blue line), which now acts as immediate support at approximately $0.01618. This suggests a short-term bullish momentum is developing. The price is currently trading around $0.01821, attempting to push higher toward key resistance levels marked by dashed lines at $0.01915 and $0.02008. The 200-day moving average (yellow line), positioned near $0.02008, is a major resistance zone that may cap the upside in the near term. A successful breakout above the 200 MA could open the door for a move toward the next resistance at $0.02183. Volume has shown slight expansion during the recent upward movement, supporting the current bullish attempt. However, failure to hold above the 20 MA support could trigger a pullback and weaken the bullish structure. Overall, the trend is cautiously positive, but clear confirmation above the 200 MA is needed for a stronger bullish continuation.
BAN+3.86%
BLUE-11.04%

Coinedition
5小時前
XRP Holds $2.20 Support as April 30 Nears – ETF Buzz Fades, Traders Eye Next Move
XRP is currently trading near $2.28, slightly below its recent high of $2.35, and just above key technical support at the 50-day Exponential Moving Average (EMA) of $2.20. The token has faced renewed resistance near $2.50, capping upside momentum going into the final trading day of April.
This 50-day EMA has emerged as a key support zone for XRP, while the 20-day EMA, currently sitting at $2.17, has shown reliability during past pullbacks. Together, these levels could define whether XRP consolidates or breaks down in the near term.
On the daily chart, the Moving Average Convergence Divergence (MACD) shows the blue MACD line still above the orange signal line, which is typically bullish. However, the MACD histogram is shrinking—indicating that upward momentum is slowing.
If the MACD crosses below the signal line, it could mark the start of bearish momentum. This makes the $2.20 support level a key decision point for XRP’s short-term trend as April ends.
XRP is now trading near the upper Bollinger Band, which often indicates overbought conditions. If the price fails to stay above the middle band—defined by the 20-day Simple Moving Average (SMA)—XRP could slide toward the lower Bollinger Band. That would likely align with tests of the $2.20 and $2.17 EMAs.
Bollinger Bands tightening also suggests that a larger move may be coming—either a breakdown or breakout—depending on how XRP closes the month.
Chart analyst “Charting Guy” shared his XRP forecast on X (formerly Twitter), pointing to a gradual rally toward $8. His 4-hour chart shows price structures supported by multi-sigma deviation bands. Before hitting $8, he identified resistance at $3 and $4.20.
But he also warned against irrational expectations. A run from $0.28 to $8 represents a 2,750% gain—a massive cycle move by historical standards. He advised profit-taking along the way rather than waiting for unrealistic price targets that often trap retail traders.
Earlier reports claiming that a ProShares XRP ETF would launch on April 30 have been dismissed.
Bloomberg ETF analyst James Seyffart and a ProShares spokesperson clarified that no official launch is scheduled yet.
While a launch is still expected in the short to medium term, no official date has been set. The rumors stemmed from a regulatory filing from April 15, which was misinterpreted by some media outlets.
Related: Charts reveal high likelihood of altcoins to rally faster than expected in 2025
As confirmed by Nate Geraci of The ETF Store, the upcoming ProShares ETFs will not be spot-based . Instead, they will offer exposure to XRP via futures contracts, including leveraged and inverse options. That distinction matters for traders expecting direct market flows from an ETF listing.
Disclaimer: The information presented in this article is for informational and educational purposes only. The article does not constitute financial advice or advice of any kind. Coin Edition is not responsible for any losses incurred as a result of the utilization of content, products, or services mentioned. Readers are advised to exercise caution before taking any action related to the company.
NEAR-0.34%
X-2.17%

Rekt Capital
23小時前
#BTC
Two weeks ago, Bitcoin faced a Triple Resistance:
• Weekly Downtrend (red)
• Weekly Horizontal Resistance (blue, $86k)
• 21-Week EMA Resistance (green)
Bitcoin broke them all last week
Bitcoin broke the Triple Resistance
$BTC #Crypto #Bitcoin
BTC-0.27%
BLUE-11.04%

GENTLE-09ALR4T4
1天前
Overview of Risk Management for Holding $INIT in a Bullish Market.
### **Overview of Risk Management for Holding $INIT in a Bullish Market**
When holding IntriCon Corporation ($INIT) in a bullish market, effective **risk management** is essential to protect your capital, maximize potential gains, and navigate inevitable market fluctuations. While a bullish market presents favorable conditions for growth, it is crucial to manage risks appropriately to avoid significant losses if conditions change. Here’s how to effectively manage risk when holding $INIT in a bullish market:
### **1. Position Sizing**
- **Strategic Allocation**: The size of your position in $INIT should align with your overall portfolio size, risk tolerance, and investment goals. In a bullish market, investors may be tempted to increase exposure to stocks like $INIT that are benefiting from positive trends, but overexposure to any one stock can increase risk. A typical recommendation is to limit individual stock exposure to **5-10%** of your total portfolio value.
- **Avoid Over-Leverage**: While leverage can amplify gains in a bullish market, it also increases the potential for significant losses. If you are trading with margin or options, make sure to carefully calculate your exposure to $INIT to avoid over-leveraging your position.
### **2. Diversification**
- **Sector and Asset Diversification**: While $INIT may benefit from bullish conditions in the medical device or healthcare sector, ensure that your portfolio is well-diversified across multiple sectors and asset classes. This strategy reduces the risk of being overly dependent on the performance of a single stock or sector, especially if market conditions change or if $INIT faces unforeseen challenges.
- **Global Diversification**: In addition to sector diversification, consider exposure to international markets. A global approach to diversification can mitigate country-specific risks, such as changes in government policy, local economic downturns, or currency fluctuations that may affect $INIT’s performance.
### **3. Setting Stop-Loss Orders**
- **Limit Downside Risk**: A **stop-loss order** is a risk management tool that helps you limit your potential loss by automatically selling your shares of $INIT if the price falls to a certain level. For instance, if $INIT is trading at $40, you might set a stop-loss order at $35, which would trigger a sale if the stock price drops below that point.
- **Trailing Stop**: A **trailing stop** order adjusts the stop price as the stock price increases. For example, if $INIT rises to $45, the trailing stop might adjust to $40 (a set percentage below the current price). This allows you to protect gains in a bullish market while still allowing for further upside.
### **4. Regular Portfolio Rebalancing**
- **Monitor Position Weighting**: As $INIT appreciates in value during a bullish market, it may become a larger portion of your portfolio. **Rebalancing** your portfolio periodically helps ensure that you don’t become overly concentrated in a single stock. If $INIT grows to represent a disproportionate share of your total holdings, consider trimming your position or reallocating funds into other assets.
- **Adjust for Changing Market Conditions**: The bullish market may evolve over time. If broader market conditions shift (e.g., interest rates rise, economic growth slows), re-evaluating your holdings in $INIT and making adjustments based on your risk tolerance and market outlook is crucial.
### **5. Hedging with Options**
- **Protective Puts**: A **protective put** strategy involves buying a put option for $INIT as a form of insurance against significant declines in the stock price. This gives you the right to sell your $INIT shares at a specified strike price, providing downside protection if the stock price drops. This can be particularly useful in a bullish market where the stock has risen significantly, and you want to protect your gains.
- **Covered Calls**: If you already own $INIT shares, selling covered calls can generate additional income by collecting premium. This strategy allows you to capitalize on the stock’s upward momentum in a bullish market while potentially capping your upside. Selling calls at a higher strike price (e.g., $50 when $INIT is at $45) can allow you to earn premium while still benefiting from moderate stock price increases. However, if $INIT rises above the strike price, your shares may be called away.
### **6. Monitoring Earnings Reports and Company Updates**
- **Quarterly Earnings and Guidance**: In a bullish market, investor sentiment can shift quickly if $INIT misses earnings expectations or provides weak forward guidance. To mitigate risk, stay updated on $INIT’s earnings reports, any changes in revenue or profit margins, and updates on its strategic plans. Positive earnings beats will likely continue to support the bullish case, but any disappointment could trigger sharp declines.
- **Key Announcements**: Pay attention to other significant company news, such as new product launches, regulatory approvals, or acquisitions. While bullish sentiment may drive growth, any negative news (e.g., regulatory issues, product recalls) can quickly reverse bullish momentum.
### **7. Keeping Track of Market Conditions**
- **Broader Market Sentiment**: The performance of $INIT is influenced not just by the company itself but also by broader market conditions. If the overall market enters a correction or experiences volatility, it can negatively impact $INIT, even if the company is fundamentally strong. Monitor key indicators like interest rates, inflation, economic growth, and political factors that could influence the market's overall sentiment.
- **Sector-Specific Developments**: Keep track of developments within the healthcare and medical device sectors that could affect $INIT. This could include changes in government policy, new healthcare regulations, or shifts in market demand for medical devices.
### **8. Volatility Management**
- **Volatility Adjustments**: Even in a bullish market, the volatility of individual stocks can increase, especially for growth stocks like $INIT. Be prepared for price swings, and assess your tolerance for short-term volatility. While a stock like $INIT may have strong growth prospects, its price may fluctuate more than traditional blue-chip stocks. If you’re uncomfortable with these fluctuations, you may need to adjust your position or use hedging strategies like protective puts or trailing stops to limit exposure to downside risks.
- **Avoid Chasing Momentum**: In a bullish market, it’s tempting to buy more shares as a stock continues to rise. However, chasing momentum can lead to overpaying for the stock, especially if its price has risen significantly. To manage this risk, consider waiting for pullbacks or buying incrementally (through dollar-cost averaging) to avoid buying at overvalued levels.
### **9. Long-Term Focus**
- **Stick to Your Thesis**: In a bullish market, it can be easy to get swept up in short-term price movements or euphoria. However, maintaining a long-term focus is key. If you’ve invested in $INIT based on solid fundamentals and growth prospects, stay disciplined to your investment thesis. Don’t be swayed by daily price swings, and avoid making decisions based on short-term market noise.
- **Avoid Emotional Decisions**: Emotional decision-making, driven by greed or fear, can undermine a well-thought-out risk management plan. Stick to your predetermined strategy and risk limits, and avoid making impulsive moves based on market sentiment alone.
### **Conclusion:**
Risk management when holding $INIT in a bullish market involves a combination of proactive strategies to protect against downside risk while maximizing upside potential. By carefully considering position sizing, diversification, setting stop-loss orders, hedging, and monitoring market conditions, you can help safeguard your investment and ensure that your bullish outlook on $INIT remains on track. Regularly reviewing your portfolio and adapting to changes in market conditions will help you maintain a disciplined approach while navigating a bullish market.
BLUE-11.04%
INIT+22.25%

DeFi Planet
1天前
If you could own one blue chip $NFT which one would it be?
BLUE-11.04%
ONE+3.72%
相關資產
相近市值
在所有 Bitget 資產中,這8種資產的市值最接近 Blue Protocol。
關於Blue Protocol的更多資訊
