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WAI Combinator by Virtuals 價格

WAI Combinator by Virtuals 價格WAI

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NT$0.04289TWD
-16.39%1D
截至今日 05:13(UTC),WAI Combinator by Virtuals(WAI)的 新台幣 價格為 NT$0.04289 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
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價格圖表
WAI Combinator by Virtuals價格走勢圖 (TWD/WAI)
最近更新時間 2025-08-20 05:13:06(UTC+0)

今日WAI Combinator by Virtuals即時價格TWD

今日WAI Combinator by Virtuals即時價格為 NT$0.04289 TWD,目前市值為 NT$0.00。過去 24 小時內,WAI Combinator by Virtuals價格跌幅為 16.39%,24 小時交易量為 NT$2.05M。WAI/TWD(WAI Combinator by Virtuals兌換TWD)兌換率即時更新。
1WAI Combinator by Virtuals的新台幣價值是多少?
截至目前,WAI Combinator by Virtuals(WAI)的 新台幣 價格為 NT$0.04289 TWD。您現在可以用 1 WAI 兌換 NT$0.04289,或用 NT$ 10 兌換 233.15 WAI。在過去 24 小時內,WAI 兌換 TWD 的最高價格為 NT$0.06230 TWD,WAI 兌換 TWD 的最低價格為 NT$0.04210 TWD。

您認為今天 WAI Combinator by Virtuals 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 WAI Combinator by Virtuals 的價格趨勢預測,不應被視為投資建議。

WAI Combinator by Virtuals 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$0.06
歷史最高價:
NT$0.7705
漲跌幅(24 小時):
-16.39%
漲跌幅(7 日):
+69.30%
漲跌幅(1 年):
+12.28%
市值排名:
#4065
市值:
--
完全稀釋市值:
--
24 小時交易額:
NT$2,052,453.19
流通量:
-- WAI
‌最大發行量:
--

WAI Combinator by Virtuals 的 AI 分析報告

今日加密市場熱點查看報告

WAI Combinator by Virtuals價格歷史(TWD)

過去一年,WAI Combinator by Virtuals價格上漲了 +12.28%。在此期間,兌TWD 的最高價格為 NT$0.7705,兌TWD 的最低價格為 NT$0.008901。
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-16.39%NT$0.04210NT$0.06230
7d+69.30%NT$0.02087NT$0.06230
30d+32.87%NT$0.01793NT$0.06230
90d+2.08%NT$0.01793NT$0.1494
1y+12.28%NT$0.008901NT$0.7705
全部時間-92.33%NT$0.008901(2025-04-23, 119 天前)NT$0.7705(2025-01-09, 223 天前)
WAI Combinator by Virtuals價格歷史數據(所有時間)

WAI Combinator by Virtuals的最高價格是多少?

WAI兌換TWD的歷史最高價(ATH)為 NT$0.7705,發生於 2025-01-09。相較於價格回撤了 WAI Combinator by Virtuals。

WAI Combinator by Virtuals的最低價格是多少?

WAI兌換TWD的歷史最低價(ATL)為 NT$0.008901,發生於 2025-04-23。相較於WAI歷史最低價,目前WAI價格上漲了 WAI Combinator by Virtuals。

WAI Combinator by Virtuals價格預測

什麼時候是購買 WAI 的好時機? 我現在應該買入還是賣出 WAI?

在決定買入還是賣出 WAI 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 WAI 技術分析 可以提供您交易參考。
根據 WAI 4 小時技術分析,交易訊號為 買入
根據 WAI 1 日技術分析,交易訊號為 強力買入
根據 WAI 1 週技術分析,交易訊號為 強力買入

WAI 在 2026 的價格是多少?

根據WAI的歷史價格表現預測模型,預計WAI的價格將在 2026 達到 NT$0.04986

WAI 在 2031 的價格是多少?

2031,WAI的價格預計將上漲 +30.00%。 到 2031 底,預計WAI的價格將達到 NT$0.1079,累計投資報酬率為 +171.32%。

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常見問題

WAI Combinator by Virtuals 的目前價格是多少?

WAI Combinator by Virtuals 的即時價格為 NT$0.04(WAI/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,WAI Combinator by Virtuals 的價格經常波動。您可以在 Bitget 上查看 WAI Combinator by Virtuals 的市場價格及其歷史數據。

WAI Combinator by Virtuals 的 24 小時交易量是多少?

在最近 24 小時內,WAI Combinator by Virtuals 的交易量為 NT$2.05M。

WAI Combinator by Virtuals 的歷史最高價是多少?

WAI Combinator by Virtuals 的歷史最高價是 NT$0.7705。這個歷史最高價是 WAI Combinator by Virtuals 自推出以來的最高價。

我可以在 Bitget 上購買 WAI Combinator by Virtuals 嗎?

可以,WAI Combinator by Virtuals 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 wai-combinator-by-virtuals 指南。

我可以透過投資 WAI Combinator by Virtuals 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 WAI Combinator by Virtuals?

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。

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加密貨幣投資(包括透過 Bitget 線上購買 WAI Combinator by Virtuals)具有市場風險。Bitget 為您提供購買 WAI Combinator by Virtuals 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 WAI Combinator by Virtuals 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。

WAI/TWD 匯率換算器

WAI
TWD
1 WAI = 0.04289 TWD,目前 1 WAI Combinator by Virtuals(WAI)兌換 TWD 的價格為 0.04289。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。

WAI 資料來源

WAI Combinator by Virtuals評級
4.4
100 筆評分
合約:
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相關連結:

Bitget 觀點

CRYPTO_HAUSA
CRYPTO_HAUSA
10小時前
📰 Wanne Coin Ya Fi Dacewa Da Trading? Kafin ka shiga kasuwar crypto, ka tuna cewa tana da volatility sosai. Wannan ba shawarwarin saka jari bane, illa dai ilimi domin taimako. Dogon Lokaci (Long-Term Holding) Bitcoin (BTC): Jagoran kasuwar crypto, yana da kwanciyar hankali fiye da sauran altcoins. Ethereum (ETH): Yana da amfani sosai saboda DeFi, NFTs, dApps da ecosystem mai girma. 👉 Idan kai sabon mai saka jari ne, waɗannan guda biyu sune “blue-chip” cryptos da ake yawan dogaro da su. Gajeren Lokaci (Short-Term Trading) Trending Coins: World3 (WAI) OKZOO (AIOT) WeFi (WFI) Top Gainers (24hr): Moonray (MNRY) +14% Ocean Protocol (OCEAN) +15% Treehouse (TREE) +13% 👉 Waɗannan suna iya bada damar riba cikin sauri, amma suna da haɗari sosai. Ka tabbatar kana amfani da stop-loss domin kare kudi. --- Takaitawa BTC da ETH: mafi dacewa ga masu son long-term. Trending altcoins: suna da kyau ga masu son day trading, amma suna da haɗari sosai. Ka raba jarinka (diversify), kada ka saka duka a coin guda ɗaya. Wanna ba financial advice bane. #CryptoTrading #KasuwarCrypto #Bitcoin #Ethereum #Altcoins #TradingTips #BitgetInsight #Blockchain #CryptoNews #RiskManagement
BTC+0.55%
BLUE+1.23%
CRYPTO_HAUSA
CRYPTO_HAUSA
10小時前
🔥 Trending Coins a Kasuwar Crypto (24hr) A cikin awanni 24 da suka gabata, ga coins da suka fi daukar hankali da ciniki: 🚀 Mafi Yin Trending (Momentum) World3 (WAI) OKZOO (AIOT) WeFi (WFI) Wannan coins suna da karfin motsi sosai, suna jawo hankalin ‘yan kasuwa da masu saka jari. Mafi Yawan Ciniki (High Trading Volume) Bitcoin (BTC) Ethereum (ETH) Mantle (MNT) Golem (GLM) Su ne suka fi samun kasuwanci a cikin awanni 24, suna nuna cewa har yanzu suna jan hankalin masu saka jari. 📈 Mafi Hawan Gaggawa (Top Gainers) Moonray (MNRY) +14.4% Ocean Protocol (OCEAN) +14.9% Treehouse Token (TREE) +13.8% Waɗannan sun nuna tashi mai karfi a farashi cikin awanni 24 da suka gabata. Takaitaccen Bayani World3, OKZOO, WeFi – sun fi daukar hankali da karfin motsi. BTC da ETH – har yanzu sune jagororin kasuwa da suka fi ciniki. Wasu altcoins kamar OCEAN da TREE sun nuna haɓaka sosai. Kasuwar crypto na cike da opportunity amma tana da volatility sosai. Ku kula da risk kafin ku saka jari. #CryptoTrending #KasuwarCrypto #Bitcoin #Ethereum #Altcoins #CryptoAfrica #BitgetInsight #Blockchain #CryptoNews
BTC+0.55%
WAI+13.61%
Jagaban28
Jagaban28
12小時前
$WAI / USDT — Advanced Risk-Reward Playbook Snapshot First World3 ($WAI) has become one of the more active AI + Web3 tokens, fueled by listings across exchanges and aggressive retail speculation. At present, price trades at $0.054–$0.056, digesting the sharp impulse rally from its base around $0.032–$0.048. This zone is not random — it represents the post-breakout digestion band, where early longs are trimming exposure and new buyers are positioning for continuation. The tone is still momentum-led but cooling, which is precisely where asymmetric setups emerge: downside is capped by structural support, while upside targets remain open if liquidity and flows align. The core takeaway for traders: $WAI is still in a constructive structure, but the best opportunities come from patient execution during retests, not chasing extensions. Deeper Technical Dissection 🔻 Price Structure Since the launch base at $0.032, WAI has respected its rising trendline without a confirmed breakdown. Breakouts above triangle and coil resistance validated continuation, with measured-move targets briefly tagged. Current price action = retest bandwidth, not weakness. Pullbacks here serve as structure-confirming digestion. 🔻 Momentum Grid Momentum indicators remain supportive, but not without nuance: MACD: firmly > 0 and widening, signaling macro bullish momentum. Trend is still alive. RSI: sits mid-60s. This is “strong but not exhausted.” Only a sustained push > 75 would warn of overheating. Stoch-RSI: rolling down, which signals a short-term correction. This is an opportunity, not a risk, because it typically sets up discount entries within an intact uptrend. 🔻 Liquidity & Market Microstructure The breakout coincided with campaign-driven volume and artificial orderbook depth provided by exchange market makers. This means: Liquidity can appear deeper than it truly is, creating a trap for size traders. Thin orderbooks exaggerate volatility. Expect 2–3% slippage risk on larger orders — especially in off-peak hours. Execution edge = limit orders inside liquidity pockets (not market chasing). 🔻 Volume & Flow Dynamics Breakout volume surged as traders chased momentum. That surge has now cooled — which is normal. Healthy trends require volume reset before the next leg. If inflows fail to resume, expect deeper retests toward $0.048–$0.050. If inflows reignite, continuation to $0.070+ is back on the table. Risk-Reward Map Trading edge comes from defining precise levels where risk is limited and reward is open. Buy Zone (optimal retest): $0.048–$0.050 (EMA ribbon + VWAP confluence). Hard Stop (trend invalidation): below $0.046. If lost, trend structure breaks. Upside Range (extensions): T1 = $0.070 (measured move + psychological magnet). T2 = $0.085 (extension leg). T3 = $0.100 (round-number stretch target). Downside Cushion: $0.033–$0.037 = long-term demand. If retested, represents structural re-accumulation. This map creates an asymmetric trade box: risking $0.004–$0.006 downside for potential $0.015–$0.045 upside. Trade Frameworks (Three Scenarios) Scenario A: Patient Retest (highest R:R setup) Condition: price tests $0.048–$0.050 with rejection wick + buy-volume spike. Entry: limit order inside retest pocket. Stop: below $0.046 (trend break). Targets: T1 = $0.070, T2 = $0.085. Risk/Reward: ~1:4 to 1:6 if executed cleanly. Scenario B: Breakout Ride (opportunistic momentum add) Condition: hourly close > $0.058 with volume ≥ 20-hr average. Entry: breakout confirmation. Stop: 1.5× ATR to avoid noise. Targets: ladder toward $0.070+. Notes: smaller size recommended, as entries here have higher slippage and risk of fakeouts. Scenario C: Failed Retest (defensive play) Condition: hourly close < $0.046 with rising sell volume + OBV breakdown. Action: reduce longs, consider flipping short. Targets: $0.041 → $0.035 demand test. Notes: keep stops strict; momentum downlegs can be violent. Pro-Level Risk Controls 🔻 Sizing via ATR stop distance: position sizing adjusts with volatility. 🔻 Split orders: 50% entry on retest, 50% on confirmation. 🔻 Mandatory OCO (One-Cancels-Other): automate TP + stop to prevent emotional overrides. 🔻 Depth check before execution: ensure orderbook can absorb your size; avoid thin-hour trades. Example Calculation: Account = $10,000. Risk = 1% = $100. ATR ≈ $0.004. Stop distance = 1.5×ATR = $0.006. Position = $100 ÷ $0.006 ≈ 16,600 units of WAI. If slippage = 2%, adjust size downward to compensate. Fundamental Angle Beyond the chart, macro and project-specific fundamentals matter: Speculative Energy: $WAI thrives at the intersection of AI + Web3 hype. Narrative flows can sustain volatility even when structure cools. On-Chain Supply Watch: vesting schedules and token unlocks = structural risk. Pre-unlock rallies often face sudden dumps. Liquidity Flywheel: listings on Bitget, MEXC, and other exchanges fuel both liquidity and volatility. As long as WAI remains a “trending coin,” intraday plays remain viable. Fundamentals do not override structure, but they frame your risk sizing: size smaller if an unlock looms; lean larger when listing-driven volume is sticky. Trading Psychology Note One of the most overlooked edges: discipline in timing. Most traders chase green candles (momentum). The highest-probability setups? Buying when volatility forces weak hands to capitulate. Retests separate conviction buyers from FOMO chasers. The trader who waits for OBV confirmation on a retest will outperform the one who panic-buys an extended candle. Multi-Timeframe Alignment (added depth) 1H Chart: tactical retest zone clearly defined. 4H Chart: trend still intact, showing consolidation band mid-structure. 1D Chart: first big breakout leg from base; plenty of room before parabolic extension. This alignment shows that 1H traders can lean on higher timeframe strength while still playing tactical pullbacks. Market Psychology & Liquidity Dynamics When price expands this quickly, two forces dominate: FOMO Retail Bidders: chase upside candles, but often exit too early or get trapped in chop. Smart Money: bids the retests, scales out into retail strength. The game is to trade like smart money: Buy when retail is fearful (during pullbacks). Sell partials when retail is euphoric (into green spikes). If OBV climbs while RSI resets lower, conviction is present → scale in. If RSI collapses faster than OBV, the move is being faded → reduce exposure. Final Copy Sentence 🔻 $WAI remains constructive, backed by volume-validated breakouts and intact rising structure. The tactical edge lies in disciplined bids at $0.048–$0.050 with ATR stops. If the retest confirms, upside opens toward $0.070–$0.100. If the level fails under $0.046, flip bias short to $0.041–$0.035. Trade the structure, not the noise.
FUEL+0.62%
WAI+13.61%
aizazpak12
aizazpak12
13小時前
WAI/USDT — Smart Money Playbook: BOS, CHoCH, Demand Zone Retest & Weak High Liquidity Hunt
The $WAI /USDT 1H chart is currently showing an extremely technical structure that blends Smart Money Concepts (SMC) with key liquidity dynamics. By reading this chart in depth, we can understand where the price is heading and what opportunities are forming for both short-term and mid-term traders. ➡️ Break of Structure (BOS) Confirmations The first key observation in this chart is the series of Breaks of Structure (BOS). Each BOS marked on the chart shows how buyers have been gaining control, shifting momentum upward. A BOS in SMC confirms strength in the underlying trend, and here, multiple BOS levels stack together, reinforcing bullish intent. ➡️ Change of Character (CHoCH) Following the initial BOS, we see a CHoCH that establishes a clear shift from consolidation to bullish expansion. This moment signals that the market is no longer ranging but has transitioned into a structured bullish phase. CHoCH is critical because it is often the first clue before larger impulsive moves, and here it set the stage for the rally we see. ➡️ Strong Low vs Weak High The chart clearly highlights a strong low marked around the liquidity base (0.04323 – 0.04568). This zone has been respected multiple times, and price has built bullish structure above it. On the other hand, the top side shows a weak high, meaning it is vulnerable to being taken out. In Smart Money terms, weak highs are liquidity pools for future price hunts. ➡️ Liquidity Zone Demand The shaded blue demand block (0.04323 – 0.04568) is a high-probability reaction zone. This is where institutions typically look to engineer entries after liquidity sweeps. Price is expected to revisit or at least test near this demand area before attempting new highs. Smart traders should pay attention to how candles react here for confirmation of long entries. ➡️ Current Price Action At 0.05514, price is in between the weak high and demand zone. The chart signals a short-term retracement is possible, with liquidity likely to be grabbed before another bullish push. This setup suggests that traders should remain patient and not chase price at highs but rather watch for demand retests. ➡️ Volume Confirmation Notice the rising volume on bullish impulses, particularly during BOS moves. This is not random — it shows genuine buying pressure behind each upward leg. Combined with liquidity engineering, this strengthens the probability of continuation after pullbacks. ➡️ Possible Scenarios Ahead 1. Bullish Play: If price dips into the demand zone (0.04323 – 0.04568) and reacts strongly with bullish engulfing or BOS on lower timeframes, then longs toward and above the weak high (0.06120 – 0.06500) become valid. Liquidity above weak highs is the magnet for this play. 2. Failure Play: If the demand zone breaks with high volume, then structure may flip bearish, invalidating bullish bias. In that case, deeper lows near 0.04000 could be targeted. ➡️ Smart Risk Management Traders should place stops below the strong low when entering near demand. This protects from liquidity sweeps that may extend but keeps risk minimal. Risk-to-reward remains favorable if targeting weak highs or higher liquidity grabs. ➡️ Market Psychology This chart reflects textbook market psychology. Weak hands enter long at highs, providing liquidity. Strong hands engineer pullbacks into demand zones, filling positions before driving price upward. Understanding this dynamic prevents traders from being trapped at the wrong side of the move. ➡️ Strategic Outlook Given the BOS confirmations, CHoCH shift, strong low, and liquidity demand zone, the bias remains bullish. The key is timing — waiting for a retracement is more professional than entering blindly. If bullish reactions occur from demand, WAI has the potential to expand beyond its weak highs, possibly opening up new structural targets in the 0.07 – 0.08 range in the near term. ✅ Conclusion The $WAI /USDT 1H chart is an excellent case study of SMC principles in action. BOS ➡️ CHoCH ➡️ liquidity zones ➡️ weak highs all align to project the next moves. Traders should focus on the demand zone as the critical decision area. If protected, we are likely to see continuation to higher levels. If broken, the bias flips and deeper liquidity hunts come into play
MORE+0.28%
BLUE+1.23%
Crypto_Vista
Crypto_Vista
13小時前
WAI/USDT 1H: pullback-and-go setup near 0.054–0.057
Price has broken out on the 1‑hour and is consolidating under a clear resistance band. Short‑term structure is bullish: EMA5 ≈ 0.0427 is above EMA20 ≈ 0.0420, showing momentum leadership, and candles are riding the fast EMA. RSI sits around 63–64, strong but not overheated. MACD has flipped positive with rising histogram bars, confirming momentum expansion. ADX ~22 is climbing from a low base, hinting that trend strength is building rather than fading. CMF ~0.05 is modestly green, so buy‑side pressure is present without the blow‑off risk you see when it spikes. Key levels I’m working with on the chart: • Support: 0.0458 (major horizontal and prior acceptance). • Reload zone: 0.0544–0.0575 (confluence of recent demand and the fast EMA on pullbacks). • Range high / resistance: 0.0716 (wick top and liquidity magnet). What’s next The path of least resistance is a shallow dip toward 0.054–0.057 to refill bids and then a second leg toward 0.0716. The drawn projection on the chart even sketches that exact retrace‑then‑impulse. If price accepts above 0.0575 on expanding volume/MACD, a squeeze through the highs is on the table. Trading plan on 1H • Long idea: stagger entries 0.0556, 0.0546, with a final catch near 0.053 if offered. • Invalidation: hourly close below 0.052 turns this from healthy retest into structure failure; conservative invalidation sits under 0.0458. • Targets: 0.060 first response, 0.064 continuation, 0.0716 range high. Extension if momentum accelerates: 0.075–0.078. Scale out along the way. Bearish contingency If 0.054 breaks decisively and RSI rolls under 50 with MACD crossing down, the setup flips into a range unwind. Below 0.0458, short bounces back to that level with targets at 0.042 and 0.038–0.040. Keep size smaller until ADX >25 confirms trend strength. Risk and execution notes • Use isolated margin; keep per‑trade risk 0.5–1.0% with a hard stop. • Trail a stop under the 20‑EMA once price closes above 0.060. • Avoid chasing green candles into 0.0716; the better R:R remains the dip into 0.054–0.057. Longer‑term map As long as 0.0458 holds on closing bases, the market is printing higher lows and has room to trend. A clean weekly acceptance above 0.0716 opens 0.085 first and 0.10 as a medium‑term objective. Lose 0.0458 on higher time frames and the bias retreats to neutral‑bearish until a fresh base forms. $WAI
WAI+13.61%
MAJOR+1.41%