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XRP
XRP
$1,37
-1.07%
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Saiba mais sobre XRP(XRP)

What is Wrapped XRP (wXRP) and How Does it Work?
Intermediate
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Compra Institucional, Saída do Retalho? Análise da Divergência Estrutural por Detrás dos 1,4 mil milhões $ em Entradas nos ETF de XRP
Os ETFs spot de XRP registaram entradas acumuladas de 1,4 mil milhões $, com instituições de referência como a Goldman Sachs a manterem posições significativas. Contudo, o interesse em negociações on-chain caiu para mínimos históricos. Este artigo analisa os fatores estruturais que explicam esta divergência e explora as potenciais implicações para o mercado.
Ripple anuncia recompra de ações no valor de 750 milhões: análise da confiança no mercado de XRP e da avaliação de 50 mil milhões
Ripple lança programa de recompra de ações no valor de 750 milhões, avaliação da empresa atinge 50 mil milhões Este artigo apresenta uma análise aprofundada do contexto por detrás da recompra da Ripple, das alterações na sua estrutura de capital e do sentimento de mercado em torno do XRP. Examinamos ainda os desenvolvimentos institucionais e o impacto mais amplo para o
Análise Detalhada: O Braço-de-Ferro Regulatório por Detrás da Queda do XRP para 1,35 $ e o Ponto de Viragem da Lei CLARITY
XRP cai 15 % numa semana e desce abaixo de 1,50 $: análise de como o CLARITY Act poderá eliminar disputas sobre valores mobiliários através da legislação e o seu impacto abrangente no preço e na adoção institucional
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XRP Price Analysis 2025: Market Trends and Investment Outlook
As of April 2025, XRP's price has soared to $2.21, sparking intense interest in the XRP market trends 2025. This comprehensive XRP price prediction 2025 analysis explores key factors driving its growth, including institutional adoption and regulatory clarity. Dive into our XRP investment analysis and future outlook to understand the crypto's potential in the evolving digital finance landscape.
XRP Technical Analysis: Key Support and Resistance Levels Explained
Starting from the latest K-line chart, combined with the 24-hour price range (2.221 – 2.136 USD), this will quickly analyze the technical trend of XRP, teaching you how to grasp buying and selling opportunities, and understand the MACD, RSI, and SuperTrend indicators.
What is the correlation between XRP and Bitcoin prices? Latest data analysis for 2025
XRP price fluctuations are eye-catching, with a 1.46% increase to $2.15 within 24 hours, and a market value exceeding $12.5 billion. However, its correlation with Bitcoin has decreased, with a 90-day decline of 24.86%. Nevertheless, XRP still ranks fourth in the cryptocurrency market with a market value of $12.51 billion, accounting for 4.63% of the total market value. This series of data reflects the resilience and potential of XRP in turbulent markets, deserving close attention from investors.
Mais XRP Wiki

Últimas notícias sobre XRP(XRP)

2026-03-12 13:50Crypto Breaking
XRP ETF 尽管市场波动仍录得 14 亿美元流入
2026-03-12 13:34UToday
$0 XRP ETF 净流入可能对价格反弹有利 - U.Today
2026-03-12 13:00CryptoNewsFlash
Ripple 将回购 $750M 股份,尽管 XRP 价格下跌
2026-03-12 12:38Coinfomania
Ripple在澳大利亚扩展业务,瞄准亚太地区支付市场
2026-03-12 12:35区块客
不理币市寒冬!Ripple 斥 7.5 亿美元回购股票,公司估值飙至 500 亿美元
Mais notícias sobre XRP
In early 2025, a specific figure sparked widespread speculation across the crypto community: a claim that XRP would be backed by gold at a price point of $2,953.62. The assertion gained rapid traction on social media platforms, with XRP enthusiasts debating its authenticity and implications. But
airdrop_whisperer
2026-03-12 14:02
Is XRP Truly Backed by Gold? Breaking Down the Viral Claim
In early 2025, a specific figure sparked widespread speculation across the crypto community: a claim that XRP would be backed by gold at a price point of $2,953.62. The assertion gained rapid traction on social media platforms, with XRP enthusiasts debating its authenticity and implications. But
XRP
-1.41%
#GateDerivativesHitsNewHighInFebruary $XRP  ‌Based on Multi Time Frame analysis and the concepts (Wyckoff, SMC, order blocks), I have synthesized the data into a structured XRP/USDT Trade Plan.
Market Context Analysis (Synthesizing the Data)
· Current Price: ~$1.383 (hovering near the 24h Low of $1.366).
· Trend Structure: The screenshots show a descending timeframe analysis:
  · 4H: Price broke below the lower Bollinger Band (LB: 1.350) recently, indicating a sell-side excursion. It is currently attempting to hold above the 1.384 level but faces resistance at the middle band (BOLL: 1.381-1.386).
  · 15M(Later Images): As we zoom into the 15m/5m timeframe, the Bollinger Bands are tightening (UB: 1.395, LB: 1.378). This indicates low volatility and consolidation.
· Volume: 24h Vol is consistent (~23.1M XRP). This suggests the recent drop was not high-volume panic, but rather a controlled move.
· Key Levels Identified:
  · Resistance: 1.395 - 1.401 (UB of the inner bands), 1.408 (24h High).
  · Support: 1.378 - 1.383 (Current LB/consolidation zone), 1.366 (24h Low), 1.350 (Recent swing low).
The Trade Plan: The "Wyckoff & SMC" Approach
We will assume the current consolidation is either a Re-Accumulation (bullish) or a Distribution (bearish) range. We will let price tell us which one it is.
Scenario A: The Bullish Setup (Wyckoff Spring / SMC Mitigation)
The Logic: The drop to 1.350 was a "Spring" (liquidity grab). The market is now accumulating before moving up. We need to see the market take out the high of this consolidation range.
1. The Inducement / Liquidity Sweep:
   · Action: Watch for price to break above 1.395.
   · Why: This would take out the minor highs inside the range, sweeping buy-stop liquidity.
2. The Reclaim / Mitigation:
   · Action: Price should not run away immediately. It should retrace back into the range (specifically to the 1.386 - 1.388 zone).
   · Why: This retracement "mitigates" the break. The breakout level (1.395) becomes a new support.
3. The Entry (Institutional Funding Candle):
   · Trigger: Look for a strong bullish candle (Institutional Funding Candle) closing firmly above 1.395 after the retracement.
   · Entry: 1.396 - 1.398 (Market execution on the breakout of the retracement high).
4. Refined Order Block (ROB):
   · The zone between 1.380 and 1.388 becomes the new Order Block (where institutions likely placed bids during the retracement).
5. Targets (Premium Zones):
   · TP1: 1.408 (24h High / Previous resistance).
   · TP2: 1.435 - 1.443 (Visual resistance from the top of the chart range).
6. Stop Loss:
   · Place below the Refined Order Block, at 1.377 (below the consolidation low and the Breaker Block logic).
Scenario B: The Bearish Setup (Liquidity Run / Rejection Block)
The Logic: The bounce from 1.366 is weak. The market is using this consolidation to distribute coins before heading down to grab the liquidity below 1.350.
1. The Inducement / Liquidity Grab:
   · Action: Watch for a fake pump towards 1.395 - 1.398.
   · Why: This traps breakout traders long.
2. The Rejection (Rejection Block):
   · Action: Price fails to hold above 1.395 and forms a bearish engulfing candle or a long upper wick (a "Rejection Block") at that level.
3. The Entry (Mitigation of Sell-side):
   · Trigger: Price breaks and closes below the immediate support of the consolidation at 1.380.
   · Entry: 1.379 - 1.378 (on the break of the range low).
4. Discount Zones (Targets):
   · TP1: 1.366 (24h Low / Equal lows).
   · TP2: 1.350 (Previous low / Major liquidity target).
5. Stop Loss:
   · Place above the "Rejection Block" or the recent range high, at 1.400.
Risk Management
Based on the current structure, here is a specific risk calculation:
1. Account Risk: Assume 1% of your total account per trade.
2. Position Sizing:
   · Bullish Case: Stop loss is roughly $0.021 away from entry (1.398 -> 1.377).
   · Bearish Case: Stop loss is roughly $0.022 away from entry (1.378 -> 1.400).
   · Calculate your position size so that if the stop loss is hit, you lose exactly 1% of your account.
3. Risk-Reward Ratio (RR):
   · Bullish (to 1.435): Risk $0.021 to make $0.037 = ~1:1.76 (Decent).
   · Bearish (to 1.350): Risk $0.022 to make $0.028 = ~1:1.27 (Moderate).
Execution Checklist (Using SMC Indicators)
· Is price trading inside the BOLL range (1.378 - 1.395)? (Yes - Wait).
· Has a "Mitigation" occurred? (Price swept a high/low and returned).
· Is there a clear "Breaker Block" or "Order Block" visible? (Identify the last 1-2 candles before the move).
· Is volume confirming the breakout? (If price breaks 1.395 on low volume, it is likely a trap - Scenario B).
· Enter only if 3 out of 4 of these conditions align.
INVESTERCLUB
2026-03-12 14:01
#GateDerivativesHitsNewHighInFebruary $XRP ‌Based on Multi Time Frame analysis and the concepts (Wyckoff, SMC, order blocks), I have synthesized the data into a structured XRP/USDT Trade Plan. Market Context Analysis (Synthesizing the Data) · Current Price: ~$1.383 (hovering near the 24h Low of $1.366). · Trend Structure: The screenshots show a descending timeframe analysis: · 4H: Price broke below the lower Bollinger Band (LB: 1.350) recently, indicating a sell-side excursion. It is currently attempting to hold above the 1.384 level but faces resistance at the middle band (BOLL: 1.381-1.386). · 15M(Later Images): As we zoom into the 15m/5m timeframe, the Bollinger Bands are tightening (UB: 1.395, LB: 1.378). This indicates low volatility and consolidation. · Volume: 24h Vol is consistent (~23.1M XRP). This suggests the recent drop was not high-volume panic, but rather a controlled move. · Key Levels Identified: · Resistance: 1.395 - 1.401 (UB of the inner bands), 1.408 (24h High). · Support: 1.378 - 1.383 (Current LB/consolidation zone), 1.366 (24h Low), 1.350 (Recent swing low). The Trade Plan: The "Wyckoff & SMC" Approach We will assume the current consolidation is either a Re-Accumulation (bullish) or a Distribution (bearish) range. We will let price tell us which one it is. Scenario A: The Bullish Setup (Wyckoff Spring / SMC Mitigation) The Logic: The drop to 1.350 was a "Spring" (liquidity grab). The market is now accumulating before moving up. We need to see the market take out the high of this consolidation range. 1. The Inducement / Liquidity Sweep: · Action: Watch for price to break above 1.395. · Why: This would take out the minor highs inside the range, sweeping buy-stop liquidity. 2. The Reclaim / Mitigation: · Action: Price should not run away immediately. It should retrace back into the range (specifically to the 1.386 - 1.388 zone). · Why: This retracement "mitigates" the break. The breakout level (1.395) becomes a new support. 3. The Entry (Institutional Funding Candle): · Trigger: Look for a strong bullish candle (Institutional Funding Candle) closing firmly above 1.395 after the retracement. · Entry: 1.396 - 1.398 (Market execution on the breakout of the retracement high). 4. Refined Order Block (ROB): · The zone between 1.380 and 1.388 becomes the new Order Block (where institutions likely placed bids during the retracement). 5. Targets (Premium Zones): · TP1: 1.408 (24h High / Previous resistance). · TP2: 1.435 - 1.443 (Visual resistance from the top of the chart range). 6. Stop Loss: · Place below the Refined Order Block, at 1.377 (below the consolidation low and the Breaker Block logic). Scenario B: The Bearish Setup (Liquidity Run / Rejection Block) The Logic: The bounce from 1.366 is weak. The market is using this consolidation to distribute coins before heading down to grab the liquidity below 1.350. 1. The Inducement / Liquidity Grab: · Action: Watch for a fake pump towards 1.395 - 1.398. · Why: This traps breakout traders long. 2. The Rejection (Rejection Block): · Action: Price fails to hold above 1.395 and forms a bearish engulfing candle or a long upper wick (a "Rejection Block") at that level. 3. The Entry (Mitigation of Sell-side): · Trigger: Price breaks and closes below the immediate support of the consolidation at 1.380. · Entry: 1.379 - 1.378 (on the break of the range low). 4. Discount Zones (Targets): · TP1: 1.366 (24h Low / Equal lows). · TP2: 1.350 (Previous low / Major liquidity target). 5. Stop Loss: · Place above the "Rejection Block" or the recent range high, at 1.400. Risk Management Based on the current structure, here is a specific risk calculation: 1. Account Risk: Assume 1% of your total account per trade. 2. Position Sizing: · Bullish Case: Stop loss is roughly $0.021 away from entry (1.398 -> 1.377). · Bearish Case: Stop loss is roughly $0.022 away from entry (1.378 -> 1.400). · Calculate your position size so that if the stop loss is hit, you lose exactly 1% of your account. 3. Risk-Reward Ratio (RR): · Bullish (to 1.435): Risk $0.021 to make $0.037 = ~1:1.76 (Decent). · Bearish (to 1.350): Risk $0.022 to make $0.028 = ~1:1.27 (Moderate). Execution Checklist (Using SMC Indicators) · Is price trading inside the BOLL range (1.378 - 1.395)? (Yes - Wait). · Has a "Mitigation" occurred? (Price swept a high/low and returned). · Is there a clear "Breaker Block" or "Order Block" visible? (Identify the last 1-2 candles before the move). · Is volume confirming the breakout? (If price breaks 1.395 on low volume, it is likely a trap - Scenario B). · Enter only if 3 out of 4 of these conditions align.
XRP
-1.41%
XRP is flashing a rare technical signal that has historically preceded some of its most reliable price reversals. After a grueling six-week downtrend that saw the asset shed over 60% of its January value, on-chain metrics specifically the MVRV Z-Score have entered a deep "undervaluation" zone.
Coinstages
2026-03-12 13:57
📈 XRP AT A CROSSROADS: WHY A HISTORIC BOTTOM SIGNAL SUGGESTS A 12% BREAKOUT IS IMMINENT 🚀
XRP is flashing a rare technical signal that has historically preceded some of its most reliable price reversals. After a grueling six-week downtrend that saw the asset shed over 60% of its January value, on-chain metrics specifically the MVRV Z-Score have entered a deep "undervaluation" zone.
XRP
-1.41%
BTC
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