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Starknet (STRK) 引領山寨幣跌幅,在過去 24 小時內下跌 13.4%。交易量維持在1.51億美元左右,市值縮水13.75%
Major altcoins, including STRK, AR, LDO, and CORE, faced double-digit losses on Oct. 2 as a downturn gripped the crypto market amid geopolitical tensions and a wave of long liquidations.
包括 STRK、AR、LDO 和 CORE 在內的主要山寨幣在 10 月 2 日面臨兩位數的損失,原因是地緣政治緊張局勢和一波長期清算浪潮席捲了加密貨幣市場。
Starknet (STRK) led the altcoin losses, dropping 13.4% over the past 24 hours. Its price downturn occurred as trading volume remained around $151 million, while the altcoin’s market capitalization shrunk by 13.75%, now sitting at $772 million.
Starknet (STRK) 引領山寨幣跌幅,在過去 24 小時內下跌 13.4%。其價格下跌是因為交易量維持在 1.51 億美元左右,而山寨幣的市值縮水了 13.75%,目前為 7.72 億美元。
Arweave (AR) fell 14.3% to $19.98, with a daily trading volume of $226 million and a market cap of $1.3 billion, marking the lowest point in the past seven days.
Arweave(AR)下跌14.3%至19.98美元,每日交易量為2.26億美元,市值為13億美元,創下過去7天的最低點。
Lido DAO (LDO) also suffered, down 12.7%, trading at $1.16. Lido’s market cap declined to $1.03 billion, with a daily volume of $179 million. Core (CORE) followed suit, slipping 12.4% to $0.9292, with $50.4 million in daily trading volume and a market cap reduced to $851 million.
Lido DAO (LDO) 也遭受重創,下跌 12.7%,交易價格為 1.16 美元。 Lido 的市值下降至 10.3 億美元,每日交易量為 1.79 億美元。 Core (CORE) 緊隨其後,下跌 12.4% 至 0.9,292 美元,每日交易量為 5,040 萬美元,市值降至 8.51 億美元。
The sharp decline in these altcoins coincided with a broader contraction in the cryptocurrency market, which saw its total market capitalization drop by over 5.5% to approximately $2.26 trillion. The downturn occurred against a backdrop of rising geopolitical instability, including Iran’s missile strikes on Oct. 1 and a pullback in US equities, which together created a pessimistic outlook for the traditionally bullish “Uptober.”
這些山寨幣的急劇下跌恰逢加密貨幣市場的更廣泛收縮,其總市值下降了 5.5% 以上,至約 2.26 兆美元。這次經濟低迷是在地緣政治不穩定加劇的背景下發生的,包括伊朗10月1日的飛彈襲擊和美國股市的回調,這些因素共同為傳統看漲的「Uptober」前景帶來了悲觀的前景。
Bitcoin (BTC), the market’s anchor asset, dropped 3.2% in the last 24 hours, shedding nearly $4,000 and hitting a two-week low of $60,315 earlier today, per data from crypto.news. The decline was partly driven by the geopolitical developments, which spurred sell-offs in risk assets across global markets.
根據 crypto.news 的數據,市場錨定資產比特幣 (BTC) 在過去 24 小時內下跌 3.2%,下跌近 4,000 美元,並於今天稍早觸及 60,315 美元的兩週低點。下跌的部分原因是地緣政治的發展,刺激了全球市場風險資產的拋售。
However, Bitcoin has since recovered slightly to $61,850, but its price action stands in stark contrast to that of traditional safe-haven assets like gold and oil. Gold surged 1.4% to $2,665 per ounce, nearing a record high, while crude oil spiked 7% to $72 per barrel.
然而,比特幣此後小幅回升至 61,850 美元,但其價格走勢與黃金和石油等傳統避險資產形成鮮明對比。黃金上漲1.4%至每盎司2,665美元,接近歷史新高,而原油上漲7%至每桶72美元。
The rising value of gold, oil, the US dollar, and bonds highlights the divergence between Bitcoin and traditional hedges, raising questions about Bitcoin’s status as a store of value during times of crisis.
黃金、石油、美元和債券價值的上漲凸顯了比特幣與傳統對沖工具之間的差異,引發了人們對比特幣在危機時期作為價值儲存手段的地位的質疑。
Data from CoinGlass shows the extent of market turbulence, with $453 million in long positions liquidated over the past 24 hours, compared to $72 million in short positions. This liquidation of long trades, where investors bet on price increases, added to the selling pressure, further accelerating the drop.
CoinGlass 的數據顯示了市場動盪的程度,過去 24 小時多頭部位清算了 4.53 億美元,而空頭部位則清算了 7,200 萬美元。投資者押注價格上漲的多頭交易的清算增加了拋售壓力,進一步加速了下跌。
This cycle of liquidations and sell-offs, especially in a volatile market, tends to ripple through the altcoin sector, dragging down the broader market.
這種清算和拋售的周期,尤其是在波動的市場中,往往會波及山寨幣產業,拖累大盤。
Veteran trader Peter Brandt noted that despite Bitcoin’s rally in the last weeks of September, it is still stuck in a seven-month pattern of lower highs and lower lows.
資深交易員 Peter Brandt 指出,儘管比特幣在 9 月最後幾週出現反彈,但仍陷入七個月高點較低和低點較低的模式。
According to Brandt, only a close above $71,000, accompanied by a new all-time high, would confirm that Bitcoin’s upward trend, which began in November 2022, is still going.
Brandt 表示,只有收盤價高於 71,000 美元並創下歷史新高,才能確認比特幣自 2022 年 11 月開始的上漲趨勢仍在繼續。
The Crypto Fear and Greed Index, which measures market sentiment, dropped from 59 last week (neutral) to 42 when writing, indicating a shift toward fear as geopolitical risks spook investors.
衡量市場情緒的加密貨幣恐懼和貪婪指數從上週的 59(中性)跌至撰寫本文時的 42,這表明隨著地緣政治風險嚇壞了投資者,人們開始轉向恐懼。
Historically, Bitcoin has seen heightened volatility during periods of conflict, as observed earlier this year following the Israeli-Iranian tensions, which triggered a major price correction.
從歷史上看,比特幣在衝突期間波動性加劇,正如今年稍早以色列和伊朗緊張局勢引發的價格大幅調整後所觀察到的。
Looking ahead, the current geopolitical situation could continue to impact the market, especially if the tensions escalate. Increased instability may lead to further sell-offs and heightened volatility in the cryptocurrency space.
展望未來,當前的地緣政治局勢可能會繼續影響市場,特別是如果緊張局勢升級。不穩定性的增加可能會導致加密貨幣領域的進一步拋售和波動性加劇。
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