Bitcoin's Key Channel Broken? History Won't Simply Repeat Itself | Invited Analysis

marsbit發佈於 2026-01-26更新於 2026-01-26

文章摘要

This analysis by Odaily's guest market analyst Cody examines Bitcoin's recent price action and potential future trajectories. The key technical focus is the breach of Bitcoin's critical rising channel support, which had been acting as a "lifeline" for the market since the November 21, 2025, low of $80,600. The report compares the current market structure to the 2021 cycle, noting a similar three-wave corrective pattern (A-B-C) but cautioning that history does not simply repeat itself. The recent break below the $94,500-$95,000 support zone confirmed a return to a wider consolidation range between $84,000 and $94,500. Key scenarios are outlined: * If the price fails to reclaim the rising channel's support, a bearish C-wave could drive the price down towards key support levels at $84,000, $80,600 (the B-wave starting point), and potentially $75,200. * A recovery above the channel support could lead to a retest of the $94,500 resistance and the 21-week moving average, though this would require supportive macro conditions. The analyst details a successful short-term trade from the previous week, which yielded a 3.76% return using a quant model-based strategy. Current market structure is assessed as bearish on weekly and daily timeframes, with the daily momentum indicator dipping below zero. The upcoming week's strategy involves monitoring the confirmed break of the channel support. Operational plans include potential short positions (with a 60% allocation for mid-term and...

Odaily's Invited Market Analyst Cody, Master of Financial Statistics from Columbia University, USA, focused on quantitative trading of US stocks during university and gradually expanded to digital assets such as Bitcoin. He has built a systematic quantitative trading model and risk control system through practical experience; possesses keen data insight into market fluctuations and is committed to continuous深耕 in the professional trading field, pursuing steady returns; will deeply analyze changes in BTC technology, macroeconomics, capital flows, etc., weekly, review and display practical strategies, and preview major upcoming events for reference.

Core Summary of Trading Weekly Report:

In the previous article, we compared the BTC trend structure of 2021 and 2025, judging that history might repeat itself (BTC would continue to adjust), which received a lot of feedback, and some analysts had different views. Below, based on this week's updates, we provide a detailed analysis of the current market trend characteristics and future focus points. Welcome everyone to discuss together.

• Strategy (Short-term) Execution Effectiveness Verification: Last week's trading strictly followed the established strategy, completing one short-term operation (1x leverage), successfully achieving a return of 3.76%. (Detailed explanation see Figure 1)

• Core View (Short-term) Verification: At the beginning of last week, the price quickly fell below the core range of $94,500~$95,000, returning to the original震荡 range of $84,000~$94,500, and continued to move towards the lower轨 of the range. It is particularly emphasized that the lowest point of the price last week恰好 fell on the $86,000 support level we previously indicated. Overall, last week's market trend and the performance of key support levels were precisely verified by the market.

The following will详细回顾 the行情预判, strategy execution, and specific trading process.

一、Learning from History, Need a Dialectical View of the Current Market (See Figure 3)

By comparing the weekly-level adjustments after two historical highs of BTC, we observed that the adjustment starting in October 2025 and the adjustment in November 2021 share惊人相似 structural规律. Currently, the market is at a critical technical decision point.

1、Key Technical Position: Gain and Loss of the Rising Channel Lower轨

The rebound starting from the low of $80,600 on November 21, 2025, has formed a clear rising channel. The lower轨 of this channel has become the "lifeline" determining the short-term trend.

2、Two Possible Paths for Bitcoin's Later Trend:

• If it steadies itself back above the channel lower轨, the B-wave rebound行情 is expected to continue. The next step will first test the pressure near $94,500, then challenge the key resistance level of the 21-week moving average. The realization of this path requires the配合 of macro factors, particularly a shift towards宽松 in Fed policy expectations.

• If it effectively breaks below the channel lower轨 and the model momentum line (daily) breaks below the zero axis, it宣告 the daily level has returned to a bear market. This means the B-wave rebound行情 starting on November 21, 2025, may have ended, and the C-wave adjustment will further continue, significantly increasing the possibility of the price falling below $80,600.

3、Three-stage Adjustment Structure Analysis: Based on the premise of the price effectively breaking the channel lower轨

The current adjustment starting from October 2025 presents a typical three-stage structure:

A-wave adjustment: $126,200 (2025-10-06) to $80,600 (2025-11-21), lasting 46 days, a drop of 36%.

B-wave rebound: $80,600 (2025-11-21) to $97,924 (2026-01-14), lasting 54 days, a rise of 21.5%, this stage belongs to technical repair.

C-wave adjustment: $97,924 (January 14) to present. Currently in this stage of operation, the gain and loss of the channel lower轨 will become the key basis for judging the strength of the C-stage adjustment.

4、C-wave Adjustment Target Prediction:

$80,600, this is the B-wave starting point. If this point is effectively broken, the A-B-C three-wave adjustment structure starting from $126,200 tends to be complete.

$75,200, this price is both the 50% Fibonacci retracement level of the A-wave decline and coincides with the adjustment low of April 2025, forming an important historical support area.

"History repeats itself, but does not simply repeat" is the most profound dialectic of financial markets. It requires investors to both respect historical laws and to discern the particularity of the current market. Therefore, all rational market predictions are probabilistic outlooks obtained after comprehensive fundamental and technical structure analysis, not deterministic prophecies. Their ultimate purpose is not to accurately predict the future, but to formulate more resilient coping strategies.

二、Bitcoin Last Week's Market Review: (01.19~01.25)

1、Last Week's Short-term Operation Review: As shown in (Figure 1)

1、Transaction Details Summary: (No leverage)

We strictly followed the trading signals issued by our self-built spread trading model and momentum quantitative model, combined with the预判 of market trends, and completed one short-term operation. This transaction profited 3.76%.

Specific transaction details and review are as follows:

Bitcoin 30-minute K-line chart: (Momentum Quantitative Model + Spread Trading Model)

Figure 1

2、Short-term Trading Review:

• First transaction (Profit 3.76%): This operation executed Plan B (Effectively break below the key area to go short) strategy: When the price fell below the $94,500~$95,000 area and反弹无力,同时 the spread trading model and momentum model共振 triggered a top signal,叠加 the two momentum lines formed a dead cross below (near) the zero axis, constituting a triple bearish signal. Based on this, we established a 30% short position at $92,565. Subsequently, the market trend adjusted as expected. When the price fell to an important support level, the spread model率先 issued a触底预警 signal (red dot), followed by the momentum quantitative model and spread trading model共振 again generating a bottom signal. Based on this, we平仓 all positions at $89,078, achieving the expected profit target.

2、Last Week's Trend Prejudgment and Operation Strategy Review:

1、Last week clearly提示: Focus on the gain and loss of the $94,500~$95,000 area. If effectively broken, it will maintain震荡 within the $84,000~$94,500 range.

2、Core point review: Pressure level at $94,500~$95,000 area; First support at $89,500~$91,000 area, Second support at $86,000~$86,500.

2、Operation Strategy Review:

• Mid-line strategy: Empty position.

• Short-term strategy: Because the price effectively broke below the $94,500~$95,000 area, execute operation according to Plan B (see below):

• Open position: If反弹 to this area confirms the break is effective, a 30% short position can be established.

• Risk control: Initial stop loss for short orders set about 1.5% above the cost price(i.e., 1.015*cost price).

• Close position: When it探至 $86,500附近并结合 model signals, can gradually清仓获利了结.

三、Bitcoin Trend Structure: Daily Level Maintains Bearish Pattern

Combining market operation, the author conducts a deep analysis of Bitcoin's trend structure from multiple models and dimensions based on a self-built trading system.

Bitcoin Weekly K-line chart: (Momentum Quantitative Model+Sentiment Quantitative Model)

Figure 2

1、As shown in (Figure 2), analysis from the weekly chart:

Momentum Quantitative Model: Technical indicators show that shorting momentum was released last week, the two momentum lines showed signs of opening, the negative energy column change was not obvious, pay attention to the bears' next performance.

Momentum Quantitative Model Predicts: Price decline index: High

Sentiment Quantitative Model: Blue sentiment line value 53.28, strength zero; Yellow sentiment line value 22.56, strength zero, peak value is 0.

Sentiment Quantitative Model Predicts: Price pressure and support index: Neutral

Digital Monitoring Model: The price has been below the bull-bear (yellow-blue line)分界线 for 10 weeks, the price has fallen again, the price is far from the分界线.

Digital Monitoring Model Predicts: Monitoring (top/bottom) digital signals have not appeared; Weekly K-line closed with a large阴线, decline about 7.55%; The recent three-week K-lines form a "strong top分型" bearish pattern.

The above data predicts: Bitcoin weekly bearish trend, beware of震荡下跌 risk.

Bitcoin Daily K-line chart: (Momentum Quantitative Model+Sentiment Quantitative Model)

Figure 3

2、As shown in (Figure 3), analysis from the daily chart:

Momentum Quantitative Model: Last week overall presented a "decline-震荡-decline" pattern. After Sunday's盘后, Momentum Line 1 has fallen below the zero axis, Line 2 is about to fall below the zero axis; Negative energy column is gradually放大.

Momentum Quantitative Model Predicts: Daily shorting momentum is being released, pay attention to the gain and loss of the zero axis.

Sentiment Quantitative Model: After last week's daily close, blue sentiment line value 19, strength zero; yellow sentiment line value 20, strength zero.

Sentiment Quantitative Model Predicts: Pressure and support index: Neutral

The above data提示: The daily level initially shows a bearish pattern,有效性 still待确认, pay attention to the bull-bear battle for the zero axis.

四、This Week's Market Prediction: (01.26~02.01)

1、This Week's Core View: Pay attention to the effective confirmation after breaking the rising channel lower轨.

• If the price effectively breaks below the lower轨, the price will accelerate adjustment, target first look at the lower edge of the original震荡 box near $84,000.

• If the price effectively stabilizes, it will maintain震荡 within the rising channel, but the height is limited.

2、Core Pressure Levels:

• First pressure area: $88,500~$91,200 area (previous震荡中枢)

• Second pressure area: $94,500~$95,000 area (previous震荡中枢)

• Important pressure area: Near the 21-week moving average

3、Core Support Levels:

• First support level: $86,000~$86,500 area (previous筹码密集成交区)

• Second support level: Near $84,000 (previous box lower edge)

• Important support level: Near $80,000~$80,600 (near last November's low)

五、This Week's Operation Strategy (Excluding Sudden News Impact): (01.26~02.01)

1、Mid-line strategy: If it effectively breaks below the rising channel lower轨, can choose to establish a 60% short position.

2、Short-term strategy: Use 30% of the position, set stop loss points, based on support and pressure levels, look for "spread" opportunities. (Use 30 minutes as the operation cycle).

3、In operation, focus on the gain and loss of the rising channel lower轨. To dynamically respond to market evolution and combine real-time model signals, we have formulated A/B two sets of short-term operation plans:

Plan A: If the price falls below the rising channel lower轨:

• Open position: After effective break and combined with model top signal, can establish a 30% short position.

• Risk control: Initial stop loss for short orders set about 1.5% above the cost price(i.e., 1.015*cost price).

• Close position: When falling to near important support levels and combined with model signals, can gradually清仓获利了结.

Plan B: If the price stabilizes back above the rising channel lower轨: (Sell on resistance)

• Open position: When反弹 to important pressure levels or the channel upper轨 shows受阻信号, and combined with model top signal, can establish a 30% short position.

• Risk control: Initial stop loss for short orders set about 1.5% above the cost price(i.e., 1.015*cost price).

• Close position: When falling to the channel lower轨 or support levels, and combined with model signals, can gradually清仓获利了结.

六、Special Tips:​​

1、When opening a position: Immediately set the initial stop loss level.

2、When profit reaches 1%: Move the stop loss to the opening cost price (break-even point), ensuring principal safety.

3、When profit reaches 2%​​: Move the stop loss to the position of 1% profit.

4、Continuous tracking: Thereafter, for every additional 1% profit, the stop loss level moves同步 1%, dynamically protecting and locking in profits.

相關問答

QWhat is the key technical level that determines the short-term trend of Bitcoin according to the analyst?

AThe key technical level is the lower rail of the ascending channel formed since the low of $80,600 on November 21, 2025. Its hold or break will determine if the B-wave rally continues or if a C-wave decline begins.

QWhat are the two possible paths for Bitcoin's price movement outlined in the analysis?

AThe two paths are: 1. If the price stabilizes above the ascending channel's lower rail, the B-wave rally could continue, targeting resistance near $94,500 and then the 21-week moving average. 2. If it effectively breaks below the channel's lower rail and the daily momentum line breaks below the zero axis, it would signal a return to a daily bear market, likely starting a C-wave decline with targets at $80,600 or even $75,200.

QWhat was the result of the short-term trade executed last week?

AA short-term trade was executed with 1x leverage, resulting in a successful profit of 3.76%.

QWhat is the significance of the $80,600 price level in the current market structure analysis?

AThe $80,600 level is the starting point of the B-wave rally. If this level is effectively broken, it would complete the A-B-C three-wave correction structure that began from the high of $126,200.

QWhat trading strategy is recommended for the current week if the price breaks below the ascending channel's lower rail?

AIf the price effectively breaks below the ascending channel's lower rail, the strategy is to opportunistically establish a 60% short position for medium-term, and use 30% of capital for short-term 'spread' opportunities based on support and resistance levels, using a 30-minute operating cycle with strict stop-loss rules.

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什麼是 $S$

什麼是 AGENT S

Agent S:Web3中自主互動的未來 介紹 在不斷演變的Web3和加密貨幣領域,創新不斷重新定義個人如何與數字平台互動。Agent S是一個開創性的項目,承諾通過其開放的代理框架徹底改變人機互動。Agent S旨在簡化複雜任務,為人工智能(AI)提供變革性的應用,鋪平自主互動的道路。本詳細探索將深入研究該項目的複雜性、其獨特特徵以及對加密貨幣領域的影響。 什麼是Agent S? Agent S是一個突破性的開放代理框架,專門設計用來解決計算機任務自動化中的三個基本挑戰: 獲取特定領域知識:該框架智能地從各種外部知識來源和內部經驗中學習。這種雙重方法使其能夠建立豐富的特定領域知識庫,提升其在任務執行中的表現。 長期任務規劃:Agent S採用經驗增強的分層規劃,這是一種戰略方法,可以有效地分解和執行複雜任務。此特徵顯著提升了其高效和有效地管理多個子任務的能力。 處理動態、不均勻的界面:該項目引入了代理-計算機界面(ACI),這是一種創新的解決方案,增強了代理和用戶之間的互動。利用多模態大型語言模型(MLLMs),Agent S能夠無縫導航和操作各種圖形用戶界面。 通過這些開創性特徵,Agent S提供了一個強大的框架,解決了自動化人機互動中涉及的複雜性,為AI及其他領域的無數應用奠定了基礎。 誰是Agent S的創建者? 儘管Agent S的概念根本上是創新的,但有關其創建者的具體信息仍然難以捉摸。創建者目前尚不清楚,這突顯了該項目的初期階段或戰略選擇將創始成員保密。無論是否匿名,重點仍然在於框架的能力和潛力。 誰是Agent S的投資者? 由於Agent S在加密生態系統中相對較新,關於其投資者和財務支持者的詳細信息並未明確記錄。缺乏對支持該項目的投資基礎或組織的公開見解,引發了對其資金結構和發展路線圖的質疑。了解其支持背景對於評估該項目的可持續性和潛在市場影響至關重要。 Agent S如何運作? Agent S的核心是尖端技術,使其能夠在多種環境中有效運作。其運營模型圍繞幾個關鍵特徵構建: 類人計算機互動:該框架提供先進的AI規劃,力求使與計算機的互動更加直觀。通過模仿人類在任務執行中的行為,承諾提升用戶體驗。 敘事記憶:用於利用高級經驗,Agent S利用敘事記憶來跟蹤任務歷史,從而增強其決策過程。 情節記憶:此特徵為用戶提供逐步指導,使框架能夠在任務展開時提供上下文支持。 支持OpenACI:Agent S能夠在本地運行,使用戶能夠控制其互動和工作流程,與Web3的去中心化理念相一致。 與外部API的輕鬆集成:其多功能性和與各種AI平台的兼容性確保了Agent S能夠無縫融入現有技術生態系統,成為開發者和組織的理想選擇。 這些功能共同促成了Agent S在加密領域的獨特地位,因為它以最小的人類干預自動化複雜的多步任務。隨著項目的發展,其在Web3中的潛在應用可能重新定義數字互動的展開方式。 Agent S的時間線 Agent S的發展和里程碑可以用一個時間線來概括,突顯其重要事件: 2024年9月27日:Agent S的概念在一篇名為《一個像人類一樣使用計算機的開放代理框架》的綜合研究論文中推出,展示了該項目的基礎工作。 2024年10月10日:該研究論文在arXiv上公開,提供了對框架及其基於OSWorld基準的性能評估的深入探索。 2024年10月12日:發布了一個視頻演示,提供了對Agent S能力和特徵的視覺洞察,進一步吸引潛在用戶和投資者。 這些時間線上的標記不僅展示了Agent S的進展,還表明了其對透明度和社區參與的承諾。 有關Agent S的要點 隨著Agent S框架的持續演變,幾個關鍵特徵脫穎而出,強調其創新性和潛力: 創新框架:旨在提供類似人類互動的直觀計算機使用,Agent S為任務自動化帶來了新穎的方法。 自主互動:通過GUI自主與計算機互動的能力標誌著向更智能和高效的計算解決方案邁進了一步。 複雜任務自動化:憑藉其強大的方法論,能夠自動化複雜的多步任務,使過程更快且更少出錯。 持續改進:學習機制使Agent S能夠從過去的經驗中改進,不斷提升其性能和效率。 多功能性:其在OSWorld和WindowsAgentArena等不同操作環境中的適應性確保了它能夠服務於廣泛的應用。 隨著Agent S在Web3和加密領域中的定位,其增強互動能力和自動化過程的潛力標誌著AI技術的一次重大進步。通過其創新框架,Agent S展現了數字互動的未來,為各行各業的用戶承諾提供更無縫和高效的體驗。 結論 Agent S代表了AI與Web3結合的一次大膽飛躍,具有重新定義我們與技術互動方式的能力。儘管仍處於早期階段,但其應用的可能性廣泛且引人入勝。通過其全面的框架解決關鍵挑戰,Agent S旨在將自主互動帶到數字體驗的最前沿。隨著我們深入加密貨幣和去中心化的領域,像Agent S這樣的項目無疑將在塑造技術和人機協作的未來中發揮關鍵作用。

677 人學過發佈於 2025.01.14更新於 2025.01.14

什麼是 AGENT S

如何購買S

歡迎來到HTX.com!在這裡,購買Sonic (S)變得簡單而便捷。跟隨我們的逐步指南,放心開始您的加密貨幣之旅。第一步:創建您的HTX帳戶使用您的 Email、手機號碼在HTX註冊一個免費帳戶。體驗無憂的註冊過程並解鎖所有平台功能。立即註冊第二步:前往買幣頁面,選擇您的支付方式信用卡/金融卡購買:使用您的Visa或Mastercard即時購買Sonic (S)。餘額購買:使用您HTX帳戶餘額中的資金進行無縫交易。第三方購買:探索諸如Google Pay或Apple Pay等流行支付方式以增加便利性。C2C購買:在HTX平台上直接與其他用戶交易。HTX 場外交易 (OTC) 購買:為大量交易者提供個性化服務和競爭性匯率。第三步:存儲您的Sonic (S)購買Sonic (S)後,將其存儲在您的HTX帳戶中。您也可以透過區塊鏈轉帳將其發送到其他地址或者用於交易其他加密貨幣。第四步:交易Sonic (S)在HTX的現貨市場輕鬆交易Sonic (S)。前往您的帳戶,選擇交易對,執行交易,並即時監控。HTX為初學者和經驗豐富的交易者提供了友好的用戶體驗。

1.4k 人學過發佈於 2025.01.15更新於 2025.03.21

如何購買S

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