多空比率(BTC、ETH 和 SOL)

实时追踪币安、Bybit、Hyperliquid等交易所的多空比率。查看BTC、ETH及SOL的实时市场情绪,捕捉潜在趋势反转信号。

交易所多空比率

跨交易所追踪BTC、ETH和SOL的多空比率,提供5分钟、1小时、12小时及24小时的间隔数据。

1
45.44%
54.56%
Long
$102.98M
Short
$123.67M
2
47.46%
52.54%
Long
$65.18M
Short
$72.16M
3
43.43%
56.57%
Long
$40.86M
Short
$53.22M
4
46.07%
53.93%
Long
$3.52M
Short
$4.12M
5
48.66%
51.34%
Long
$56.37M
Short
$59.49M
6
43.31%
56.69%
Long
$33.74M
Short
$44.16M
7
95.32%
4.68%
Long
$88.97M
Short
$4.37M
8
48.74%
51.26%
Long
$15.58M
Short
$16.39M
9
48.8%
51.2%
Long
$192.47M
Short
$201.97M
10
52.35%
47.65%
Long
$9.80M
Short
$8.92M
12

山寨币多空情绪实时扫描器

获取来自顶级永续合约交易所的实时持仓数据聚合。分析AAVE、HYPE、AVAX、XRP、BNB等山寨币在5分钟、15分钟及30分钟时间框架内的情绪变化趋势。

符号
价格
价格(24小时)
长(5米)
短(5米)
长(15米)
短(15米)
长(30米)
短篇(30分钟)
$92.4K
2.22%
$55.46M
$36.45M
$189.54M
$158.12M
$360.32M
$304.24M
$3.2K
1.27%
$21.91M
$21.56M
$99.42M
$94.08M
$235.55M
$232.06M
$138.02
5.42%
$8.72M
$11.48M
$48.04M
$43.87M
$95.85M
$78.10M
$2.0369
1.06%
$2.57M
$2.31M
$8.48M
$8.44M
$23.71M
$18.88M
$0.14087
2.04%
$1.44M
$1.38M
$4.89M
$5.11M
$9.70M
$9.66M
$1.6406
6.17%
$882.0K
$1.10M
$3.29M
$3.91M
$8.19M
$7.73M
$29.521
6.96%
$1.82M
$2.56M
$7.03M
$11.57M
$9.75M
$14.69M
$0.4257
0.4%
$778.7K
$713.5K
$3.49M
$3.59M
$6.26M
$6.47M
$885.5
2.18%
$549.0K
$682.1K
$2.55M
$3.27M
$4.31M
$5.63M
$14.076
3.47%
$1.50M
$1.45M
$6.05M
$5.04M
$11.33M
$10.49M
$84
3.7%
$2.53M
$998.1K
$3.53M
$1.98M
$5.72M
$4.14M
$0.3856
10.61%
$1.36M
$1.98M
$3.29M
$3.85M
$6.21M
$6.67M
$5.69
1.1%
$95.9K
$81.5K
$393.5K
$216.1K
$798.1K
$608.9K
$13.568
2.29%
$467.0K
$598.7K
$1.82M
$2.10M
$4.00M
$4.60M
$0.000004562
2.45%
$379.0K
$233.1K
$1.88M
$1.61M
$3.13M
$3.12M
$0.4761
1.97%
$143.9K
$151.3K
$397.2K
$414.6K
$923.4K
$929.7K
$0.2641
5.09%
$473.2K
$240.8K
$1.38M
$1.40M
$2.95M
$2.97M
$205.79
8.17%
$396.6K
$588.9K
$1.51M
$1.83M
$3.30M
$3.67M
$2.043
-0.05%
$272.2K
$205.7K
$1.03M
$843.4K
$2.13M
$2.05M
$0.3951
4.39%
$189.1K
$234.3K
$636.1K
$746.8K
$1.15M
$1.74M
12345

什么是加密货币中的多空比率?

加密货币中的多空比率指多头和空头头寸占总未平仓合约的百分比。该指标反映市场参与者的持仓状况,有助于交易者评估市场情绪及潜在方向性偏好。

例如,若70%的头寸为多头而30%为空头,则市场整体呈看涨态势。反之,若60%的头寸为空头而40%为多头,则看跌情绪占主导。当这些比例出现极端失衡时,可能预示空头或多头挤压风险加剧,因过度拥挤的头寸更易遭受平仓压力。

同时追踪多空比率、资金费率及强制平仓数据,能更清晰地把握市场情绪及潜在转折点。

为什么多空比在交易中很重要?

多空比之所以重要,在于它揭示了多数交易者的持仓方向。当市场过度向单一方向倾斜时,挤压风险便随之上升。例如,若85%的交易者持有多头头寸,价格急剧下跌可能引发大规模平仓,从而加速下跌趋势。反之,高空头比例可能导致空头回补——价格上涨迫使空头平仓,进而推高价格。

通过观察该比率随时间的变化趋势,交易者能够察觉市场情绪的变化,并据此调整交易策略。

交易者如何利用多空比率优化策略?

多空比值通过揭示市场是否存在过度做多或做空的情况,帮助交易者做出更明智的决策。若该比率显示多头持仓比例异常偏高,可能表明市场乐观情绪已达不可持续的水平——这将增加市场修正的可能性。当空头占据主导时,则可能暗示市场存在悲观情绪或恐慌心理,若市场情绪发生转变,则可能为潜在的逼空行情埋下伏笔。

结合多空比与未平仓量、资金费率及历史模式等指标,可更清晰地预判潜在市场走势。