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PolyBeta Finance 價格

PolyBeta Finance 價格BETA

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報價幣種:
USD

您今天對 PolyBeta Finance 感覺如何?

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注意:此資訊僅供參考。

PolyBeta Finance 今日價格

PolyBeta Finance 的即時價格是今天每 (BETA / USD) $0.1424,目前市值為 $0.00 USD。24 小時交易量為 $10.15 USD。BETA 至 USD 的價格為即時更新。PolyBeta Finance 在過去 24 小時內的變化為 2.20%。其流通供應量為 0 。

BETA 的最高價格是多少?

BETA 的歷史最高價(ATH)為 $7.30M,於 2022-01-12 錄得。

BETA 的最低價格是多少?

BETA 的歷史最低價(ATL)為 $0.1481,於 2023-08-17 錄得。
計算 PolyBeta Finance 收益

PolyBeta Finance 價格預測

BETA 在 2025 的價格是多少?

根據 BETA 的歷史價格表現預測模型,預計 BETA 的價格將在 2025 達到 $0.2055

BETA 在 2030 的價格是多少?

2030,BETA 的價格預計將上漲 -12.00%。 到 2030 底,預計 BETA 的價格將達到 $0.4013,累計投資報酬率為 +176.76%。

PolyBeta Finance 價格歷史(USD)

過去一年,PolyBeta Finance 價格上漲了 -46.24%。在此期間, 兌 USD 的最高價格為 $0.3660, 兌 USD 的最低價格為 $0.1481。
時間漲跌幅(%)漲跌幅(%)最低價相應時間內 {0} 的最低價。最高價 最高價
24h+2.20%$0.1580$0.1683
7d+8.24%$0.1505$0.1683
30d+8.25%$0.1502$0.1683
90d-29.72%$0.1481$0.2448
1y-46.24%$0.1481$0.3660
全部時間0.00%$0.1481(2023-08-17, 1 年前 )$7,304,923(2022-01-12, 2 年前 )

PolyBeta Finance 市場資訊

市值
--
+2.20%
完全稀釋市值
$2,221.39
+2.20%
24 小時交易額
$10.15
-6.34%
排名
流通率
0.00%
24 小時交易額/市值
0.00%
流通量
0 BETA
總供應量 / 最大供應量
-- BETA
15,600 BETA
立即購買 PolyBeta Finance

PolyBeta Finance 評級

社群的平均評分
4.4
100 筆評分
此內容僅供參考。

PolyBeta Finance (BETA) 簡介

PolyBeta Finance Token:新一代的區塊鏈金融解決方案

區塊鏈技術的迅速發展已經使得金融世界產生了革命性的變化。其中一種最具潛力和影響力的新興技術就是去中心化金融,或者被人們熟知的 DeFi。基於其開放性、透明性及靈活性的特徵,DeFi已經引領出一種全新的金融運營模式。在眾多潛在技術中,PolyBeta Finance Token以其凸顯的特點受到使用者廣泛的關注。

PolyBeta Finance Token的獨特性

PolyBeta Finance Token 不僅相較於傳統金融市場提供更佳的靈活度和透明度,也強調了去中心化的特色,將權力及利益盡可能地回歸到普通使用者手中。比起其他的區塊鏈平台,PolyBeta Finance Token顯然具有更強的分散化特性,讓所有參與者在完全透明的狀況下共享整個網路的效益,這也包括了節省成本及提高效益。

歷史意義

PolyBeta Finance Token 作為區塊鏈金融的代表之一,其創新與國際化的理念正好符合了當前金融世界中去中心化的必然趨勢。數字貨幣的革命性並非只在於其對物質財富的再分配,而更在於其對理財觀念和工具的重新塑造。而 PolyBeta Finance Token 的性能表現、安全保護、以及金融科技應用等特點,皆讓它成為現代金融的重要動力。

在未來的金融世界中,像 PolyBeta Finance Token 這類的區塊鏈金融解決方案將扮演越來越重要的角色。它們能夠讓資訊的傳遞與交易的進行更為迅速、公正,並且大大降低了中間成本,從一定程度上重塑了全球的金融格局。

結論

PolyBeta Finance Token 只是眾多區塊鏈金融解決方案中的一種,但其獨特的功能以及強勁的技術性能等特徵,都讓我們看到了它無窮的潛力與價值。我們期待PolyBeta Finance Token 將帶來更多創新、開放且公正的金融生態系統,為全球金融市場的健康發展增添動力。

如何購買 PolyBeta Finance(BETA)

建立您的免費 Bitget 帳戶

建立您的免費 Bitget 帳戶

使用您的電子郵件地址/手機號碼在 Bitget 註冊,並建立強大的密碼以確保您的帳戶安全
認證您的帳戶

認證您的帳戶

輸入您的個人資訊並上傳有效的身份照片進行身份認證
購買 PolyBeta Finance (BETA)

購買 PolyBeta Finance (BETA)

我們將為您示範使用多種支付方式在 Bitget 上購買 PolyBeta Finance

跟單交易專家,進行 BETA 跟單交易!

在 Bitget 註冊並成功購買 USDT 或 BETA 後,您還可以跟單交易專家開始跟單交易。

用戶還在查詢 PolyBeta Finance 的價格。

PolyBeta Finance 的目前價格是多少?

PolyBeta Finance 的即時價格為 $0.14(BETA/USD),目前市值為 $0 USD。由於加密貨幣市場全天候不間斷交易,PolyBeta Finance 的價格經常波動。您可以在 Bitget 上查看 PolyBeta Finance 的市場價格及其歷史數據。

PolyBeta Finance 的 24 小時交易量是多少?

在最近 24 小時內,PolyBeta Finance 的交易量為 $10.15。

PolyBeta Finance 的歷史最高價是多少?

PolyBeta Finance 的歷史最高價是 $7.30M。這個歷史最高價是 PolyBeta Finance 自推出以來的最高價。

我可以在 Bitget 上購買 PolyBeta Finance 嗎?

可以,PolyBeta Finance 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 PolyBeta Finance 獲得穩定的收入嗎?

當然,Bitget 推出了一個 策略交易平台,其提供智能交易策略,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 PolyBeta Finance?

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。

您可以在哪裡購買 PolyBeta Finance(BETA)?

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。
Download Bitget APP on Google PlayDownload Bitget APP on AppStore
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

影片部分 - 快速認證、快速交易

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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 PolyBeta Finance)具有市場風險。Bitget 為您提供購買 PolyBeta Finance 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 PolyBeta Finance 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。

買入

‌交易

理財

BETA
USD
1 BETA = 0.1424 USD
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。
Bitget
0.1%
Kraken
0.26%
Coinbase
1.99%

BETA 資料來源

合約
更多更多
https://img.bitgetimg.com/multiLang/develop/web/MATIC.png
Polygon
0xaC30...032600c
copy
wallet
相關連結
PolyBeta Finance WebsitePolyBeta Finance WhitepaperPolyBeta Finance TwitterPolyBeta Finance Github

Bitget 觀點

PITBUL-78
PITBUL-78
1天前
[25/12, 4:48 pm] Meta AI: The Fuel Token ($FUEL) has indeed been gaining traction, with its current
[25/12, 4:48 pm] Meta AI: The Fuel Token ($FUEL) has indeed been gaining traction, with its current price at $0.05356 and a market capitalization of $189.6 million. This growth is largely fueled by its successful Initial DEX Offerings (IDO) on Legion and Impossible Finance, which raised $2.5 million and $1.4 million, respectively. *Key Factors Driving Growth* - *Significant ROI*: $FUEL's price has seen substantial growth, with returns on investment of 2.33x in USD, 2.52x in BTC, and 2.68x in ETH. - *Points Farming Campaign*: The Fuel Network's ongoing campaign allows participants to earn points by staking their tokens, potentially leading to future rewards. - *Ecosystem Expansion*: With over 40 projects in its ecosystem, Fuel is experiencing rapid growth, especially after the Sway Summer Hackathon and recent announcements. *Recent Developments* - *Beta-4 Testnet Launch*: Fuel's fourth public testnet, beta-4, introduces public P2P access, multi-token support, and various performance enhancements ¹. - *Enhanced Security Features*: The revamped bridging design improves security and reduces gas costs for users. For the most up-to-date information on $FUEL's price and market performance, consider checking reliable sources like CoinMarketCap ². Would you like to know more about Fuel Token's technology or market trends? [25/12, 4:48 pm] Meta AI: The Fuel Token ($FUEL) has indeed been gaining traction, with its current price at $0.05356 and a market capitalization of $189.6 million. This growth is largely fueled by its successful Initial DEX Offerings (IDO) on Legion and Impossible Finance, which raised $2.5 million and $1.4 million, respectively. *Key Factors Driving Growth* - *Significant ROI*: $FUEL's price has seen substantial growth, with returns on investment of 2.33x in USD, 2.52x in BTC, and 2.68x in ETH. - *Points Farming Campaign*: The Fuel Network's ongoing campaign allows participants to earn points by staking their tokens, potentially leading to future rewards. - *Ecosystem Expansion*: With over 40 projects in its ecosystem, Fuel is experiencing rapid growth, especially after the Sway Summer Hackathon and recent announcements. *Recent Developments* - *Beta-4 Testnet Launch*: Fuel's fourth public testnet, beta-4, introduces public P2P access, multi-token support, and various performance enhancements ¹. - *Enhanced Security Features*: The revamped bridging design improves security and reduces gas costs for users. For the most up-to-date information on $FUEL's price and market performance, consider checking reliable sources like CoinMarketCap ². Would you like to know
BTC+0.64%
X+0.18%
Suursha
Suursha
2天前
The volatility of Blackstone Strategic Credit 2027 Term Fund (BGB) reflects the fluctuations in its market price and Net Asset Value (NAV) due to market conditions, credit quality, interest rate movements, and investor sentiment. Here's an analysis: --- Factors Contributing to BGB's Volatility 1. Market Sensitivity High-Yield Focus: BGB invests in high-yield (non-investment-grade) securities, which are more sensitive to economic conditions. In a strong economy, they perform well, but during downturns, their value can drop significantly due to increased default risk. Leverage: The fund uses leverage to enhance returns, which amplifies both gains and losses, increasing volatility. 2. Interest Rate Fluctuations As BGB invests in floating-rate loans, rising interest rates can boost its income, reducing volatility. However, in a declining rate environment, its income potential might decrease, leading to greater price fluctuations. 3. Liquidity Constraints Senior secured loans, a core component of BGB's portfolio, trade in less liquid markets. During periods of market stress, liquidity issues can cause sharp price movements. 4. Premium/Discount to NAV As a closed-end fund, BGB's market price often deviates from its NAV, trading at either a premium or discount. Investor demand, sentiment, and market conditions influence these discrepancies, adding to price volatility. --- Measuring Volatility 1. Beta (Market Sensitivity) BGB typically has a low beta (around 0.25-0.30) compared to the broader equity market, meaning it is less sensitive to overall market movements. However, it is still subject to credit market volatility. 2. Standard Deviation The standard deviation of BGB’s returns (a common measure of volatility) tends to be higher than that of investment-grade bond funds but lower than equity funds. 3. Historical Trends BGB’s price has experienced moderate fluctuations, often tied to macroeconomic events (e.g., interest rate hikes or financial crises). --- Periods of High Volatility Economic Recessions: Credit spreads widen, and high-yield instruments like those in BGB’s portfolio experience significant price drops. Market Corrections: During risk-off environments, investor sentiment may push BGB's price down sharply, even if its NAV remains relatively stable. Interest Rate Shocks: Unexpected rate changes can lead to sharp revaluations of fixed-income securities, including BGB's holdings. --- Managing Volatility in BGB 1. Diversification: A well-diversified portfolio can offset some of the volatility caused by individual asset price movements. 2. Long-Term Horizon: Volatility is less impactful for investors holding BGB over the long term, as it allows time for market recovery and income compounding. 3. Dividend Reinvestment: Reinvesting distributions during periods of low prices can help mitigate the effects of volatility over time. 4. Monitor Premium/Discount Levels: Avoid purchasing shares at a high premium to NAV, as these may drop sharply during market corrections. --- Conclusion Moderate Volatility: BGB exhibits higher volatility than investment-grade bond funds but lower than equity funds. Key Drivers: Credit quality, leverage, liquidity, and interest rate movements. Investor Suitability: BGB is best for moderately risk-tolerant, income-focused investors willing to accept price fluctuations in exchange for higher yields. Regular monitoring of economic conditions and credit markets is crucial for managing exposure to BGB's volatility.
BGB+0.42%
CORE+2.55%
Suursha
Suursha
2天前
As of December 24, 2024, the Blackstone Strategic Credit 2027 Term Fund (BGB) is trading at $12.29 per share. Over the past week, BGB has experienced a slight decline of approximately 2.32%. On December 20, 2024, the stock closed at $12.29, marking a 0.49% increase from the previous day. However, this uptick was accompanied by a decrease in trading volume, which may indicate potential changes in the stock's short-term performance. In terms of recent performance, BGB has underperformed compared to the broader market. Over the past year, it has returned +19.5%, while the SPY ETF gained +28.5%. In the last three months, BGB returned +2.3%, compared to SPY's +5.0%. In the past two weeks, BGB declined by -2.1%, whereas SPY decreased by -1.8%. It's important to note that BGB has a beta of 0.25, indicating it is less sensitive to market movements compared to the broader market. The fund primarily invests in a diversified portfolio of loans and other fixed-income instruments of predominantly U.S. corporate issuers. Investors should consider these factors and monitor the fund's performance in relation to their investment goals and risk tolerance.
BGB+0.42%
BETA+1.59%
BGUSER-1LSTB2FS
BGUSER-1LSTB2FS
2天前
External forces have indeed triggered volatility in Dogecoin. To better understand this volatility, let's dive into some key indicators. _Historical Volatility_: Dogecoin's historical volatility is around 11.36, which is relatively high compared to other assets ¹. This suggests that Dogecoin's price can fluctuate rapidly. _Beta_: Dogecoin's beta is approximately 2.47, indicating that it's more volatile than the overall market ¹. When the market moves, Dogecoin's price tends to move more dramatically. _Standard Deviation_: The standard deviation of Dogecoin's daily returns is around 11.27, which further emphasizes its volatility ¹. To mitigate these risks, investors can consider diversification strategies, such as pair trading. For example, pairing Dogecoin with other assets like Micron Technology, Morgan Stanley, or GM can help reduce risk ¹. It's also worth noting that there are indices, like the Compass Crypto Volatility Index Dogecoin - 20%, that aim to provide a dynamic exposure to Dogecoin while controlling volatility ². These indices can be a useful tool for investors looking to manage their risk exposure. Overall, understanding Dogecoin's volatility is crucial for making informed investment decisions. By analyzing its historical volatility, beta, and standard deviation, investors can better navigate the risks and opportunities associated with this asset.$DOGE
MOVE-3.76%
DOGE+1.08%
BGUSER-EA6FFULH
BGUSER-EA6FFULH
2天前
Nifty Island Game Review Overview Nifty Island has generated buzz among crypto gaming fans, particularly with its promised future airdrop. However, the game itself is engaging, even in its current beta state. Key Features - _Build Mode_: A well-designed build mode with a wide range of tools and free objects, foliage, and terrain tools. - _Customization_: Players can customize their islands extensively. - _NFT Integration_: Easy to earn "blooms" redeemable for new playable avatars, buildings, and perks. - _Community Features_: Options to showcase affiliations with various NFT collections. Gameplay Experience - _Flexibility_: Players can be creative designers, competitive gamers, or curious explorers without feeling left out. - _Simplicity_: Low-stakes and casual gameplay experience. - _Affordability_: Accessible to players with varying budgets. Target Audience - Fans of games like Animal Crossing, Roblox, The Sims, Minecraft, and Fortnite's Creative mode. - Players interested in crypto and NFTs. $ISLAND Token - Nifty Island launched $ISLAND, an Ethereum-based utility token for its in-game economy. - The project pioneered the "play-to-airdrop" campaign, rewarding established Web3 communities.
ISLAND+9.69%
NFT+2.06%

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按市值計算的8大加密貨幣。
相近市值
在所有 Bitget 資產中,這8種資產的市值最接近 PolyBeta Finance。