购买 瑞波币XRP

便捷购买瑞波币,跟随我们的步骤指南。
预估报价
1 XRP0.00 USD
XRP
XRP
瑞波币
$1.59
-4.14%
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如何使用USD购买瑞波币(XRP)?

请输入金额
选择XRP/USD交易对,然后输入购买金额。
确认订单
查看交易详细信息,包括XRP/USD价格,费用和其他说明,确认后,提交订单。
接收瑞波币(XRP)
付款成功后,购买的XRP将自动存入您的 Gate.com 钱包。

如何使用银行卡/信用卡购买瑞波币(XRP)?

  • 1
    注册并完成身份验证 要购买XRP并确保交易安全,先注册 Gate.com 账户并完成 KYC 身份验证,保障您的资产安全。
  • 2
    选择XRP和支付方式进入“购买瑞波币(XRP)”版块,选择XRP,输入您购买的金额,并选择银行卡/信用卡作为付款方式,然后填写银行卡信息。
  • 3
    立即接收XRP确认订单后,您购买的XRP将即时、安全地存入您的 Gate.com 钱包,可随时用于交易、持有或转账。

为什么购买瑞波币(XRP)?

什么是瑞波币?——金融机构的跨境支付解决方案
瑞波币(Ripple,XRP)于2012年推出,专为国际汇款和即时结算设计。RippleNet允许银行和金融机构以极低成本、秒级速度完成全球资金转移,远超传统SWIFT系统。XRP作为流动性桥梁,简化了不同货币间的清算流程。
技术架构与应用场景
Ripple基于分布式账本技术(DLT)运行,支持xCurrent(即时结算)、xRapid(流动性解决方案)、xVia(全球支付接口)等产品。已有超过100家金融机构(如Santander、SBI Remit等)加入RippleNet,覆盖40多种法币,支持即时C2C支付、供应链结算、现金池管理等多元应用。
XRP供应与价值来源
XRP总量为1000亿枚,由Ripple Labs集中管理,部分由创始人持有。XRP主要用于跨境支付中的流动性桥梁,其价值取决于Ripple与金融机构的合作深度及实际应用落地。XRP流通量大、转账速度快、手续费低,适合大额、频繁的国际资金调度。
法规风险与中心化争议
美国SEC曾指控Ripple发行未注册证券,引发XRP价格剧烈波动。XRP由公司集中管理,去中心化程度较低,一直是市场争议焦点。尽管如此,如果Ripple成功解决法律纠纷并扩大生态合作,XRP有望受益于全球支付数字化趋势。
投资XRP的理由与风险
金融科技创新:专注于跨境支付和流动性管理,市场应用明确。 高速、低成本转账:适合大额、即时国际资金流动。 法规与中心化风险:监管政策与公司治理高度影响XRP价值。 竞争激烈:新兴支付公链和稳定币也在抢占市场份额。
怀疑者观点与替代思考
XRP虽然具备技术优势,但高度依赖金融机构采用与政策支持。如果监管不利或合作停滞,价值可能受到重挫。投资者需谨慎评估法律和市场风险。XRP虽然具备技术优势,但高度依赖金融机构采用与政策支持。如果监管不利或合作停滞,价值可能受到重挫。投资者需谨慎评估法律和市场风险。

瑞波币XRP 今日价格和市场趋势

XRP/USD
XRP
$1.59
-4.14%
行情
热度
市值
#5
$96.93B
交易量
流通量
$139.94M
60.85B

截至目前,瑞波币(XRP)的价格为$1.59。流通供应量约为 60,853,233,336 XRP,总市值为 $60.85B,当前市值排名:5。

在过去的 24 小时里,瑞波币的交易量达到了$139.94M,与前一天相比增加了-4.14%。在过去一周里,瑞波币的价格跃升至-14.81%,这反映了人们对XRP作为数字黄金和对冲通胀的工具的持续需求。

此外,瑞波币的历史最高点是$3.65。市场波动仍然很大,因此投资者应密切关注宏观经济趋势和监管动态。

瑞波币XRP 与其他加密货币比较

XRP VS
XRP
价位
24小时涨跌幅
7日涨跌幅
24小时成交额
市值
市场排名
流通供应量

购买瑞波币(XRP) 之后可以做什么?

现货交易
利用Gate.com丰富的交易对,随时买卖XRP,抓住市场波动机会,实现资产增值。
余币宝
使用闲置的XRP申购平台的活期/定期理财产品,轻松赚取额外收益。
兑换
快速将XRP兑换成其他加密资产。

通过Gate购买瑞波币的好处

有 3,500 种加密货币供您选择
自2013年以来,始终是十大CEX之一
自2020年5月以来100%储备证明
即时存款和取款的高效交易

Gate 上提供的其他加密货币

了解更多关于瑞波币(XRP)的信息

What is Wrapped XRP (wXRP) and How Does it Work?
Intermediate
更多XRP文章
XRP 价格走势分析:1 月 30 日最新动态与未来展望
尽管市场整体情绪偏向保守,但链上数据显示,自2026年初以来,持有至少100万枚XRP的“巨鲸”地址净增加了42个,这是自2025年9月以来的首次增长。
XRP 2026 最新价格解析:ETF 与欧元稳定币驱动短期波动与长期增长
尽管过去24小时下跌6.66%,瑞波币全球交易额仍高达2.98亿美元,市场正在为下一次价值发现积蓄能量。
SWIFT 对标 Ripple 推出透明化跨境支付新框架:传统金融转型下的 XRP 机遇与挑战
面对金融科技公司蚕食市场份额的压力,全球金融通信巨头 SWIFT 在 2026 年初宣布了一项重大改革,超过 40 家全球银行承诺提供透明的费用、全额到账保证和端到端支付追踪。
更多XRP博客
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.
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.
Potential Risks Associated with Using XRP for Financial Transactions
Using XRP for financial transactions, particularly in cross-border payments, comes with several potential risks that users and investors should be aware of:
更多XRP Wiki

关于瑞波币(XRP)的最新消息

2026-02-02 01:32Coinpedia
Ripple传递机构转变信号:银行拥抱代币化和支付策略
2026-02-02 01:26Gate News bot
XRP(XRP)24小时下跌3.49%
2026-02-01 23:35Coinpedia
Schwartz 表示他不知道 Epstein 与 XRP 或 Ripple 有任何关联,警告称存在“巨大冰山”,并强调目前尚未发现任何证据证明两者之间存在联系。
2026-02-01 21:35Coinpedia
Ripple 法务主管识别推动加密货币进入主流金融的3大看涨力量
2026-02-01 17:31Crypto News Land
XRP 在接近 2.30 美元的阻力位时,测试关键卖单墙,价格逼近 1.91 美元,市场情绪紧张,投资者密切关注后续走势。
更多 XRP 新闻
 Ripple CTO emeritus breaks silence on XRP and XLM in Epstein files
 Peter Brandt sets $93,000 as key level for Bitcoin trend reversal
 Ripple reiterates XRP's central role amid ecosystem expansion
 SHIB enters symmetrical triangle as volatility compresses
 XRP millionaire wallets rise
UToday
2026-02-01 17:03
Shiba Inu Buyers Step In, Peter Brandt Reveals Bitcoin Price Rebound Target, Ripple Exec Confirms XRP as Priority — Top Weekly Crypto News - U.Today
Ripple CTO emeritus breaks silence on XRP and XLM in Epstein files Peter Brandt sets $93,000 as key level for Bitcoin trend reversal Ripple reiterates XRP's central role amid ecosystem expansion SHIB enters symmetrical triangle as volatility compresses XRP millionaire wallets rise
SHIB
-1.13%
BTC
-3.35%
XRP
-4.61%
XLM
-3.69%
#WaitOrAct Navigating Volatility with Discipline
Market volatility is rising, yet directional clarity remains elusive, presenting a challenge for traders and investors alike. Across BTC, ETH, and major altcoins like XRP, DOGE, and SUI, recent price action reflects heightened uncertainty. Support zones are being tested, resistance levels remain intact, and cascading liquidations have intensified intraday swings. In such an environment, reactive positions without structural validation can quickly magnify risk. At the same time, cautious participation offers opportunities for tactical accumulation and early positioning ahead of confirmed directional moves.
Strategic Perspective — Layered & Disciplined Approach
A layered and disciplined approach is essential in these conditions. Waiting for confirmation, such as a break and close above critical resistance for bullish setups or a confirmed support test for defensive accumulation, reduces exposure to false signals. Simultaneously, gradual engagement through partial entries, scaled allocations, and defined stop-losses enables participation in early momentum without overleveraging. By combining technical confirmation with measured exposure, traders can balance opportunity and risk effectively.
On-Chain & Derivative Insights
Additional context comes from monitoring on-chain metrics, whale activity, and derivative market signals. These indicators help anticipate liquidity zones, funding rate spikes, and potential short-term swings. For example, large whale accumulation near key support levels may hint at defensive positioning, while sudden inflows to exchanges can indicate heightened sell pressure. Funding rate extremes in perpetual futures also provide early warning signals of leveraged stress and possible short squeezes.
Macro Considerations — Broader Market Influence
Macro factors continue to shape risk sentiment. Fed policy decisions, interest rate expectations, and global liquidity conditions all influence market behavior. Even if on-chain or technical setups appear favorable, adverse macro developments can override short-term momentum. Traders who integrate macro awareness into their strategy are better equipped to navigate unexpected swings and optimize positioning during periods of elevated uncertainty.
Discipline as a Core Principle
Periods of rising volatility with unclear direction are ultimately a test of discipline and timing. High-probability zones for engagement, technical confirmation, and careful exposure management are key to maintaining capital and positioning for potential gains. BTC and ETH often serve as a defensive backbone during uncertain phases, providing relative stability, while selective altcoin entries can capture upside if momentum materializes. The balance between defensive core holdings and tactical opportunities is essential for risk-adjusted performance.
Measured Exposure & Tactical Participation
Gradual, measured engagement allows traders to participate opportunistically without overextending. Partial position sizing, layered entries, and defined exit strategies reduce downside risk while enabling participation in early market moves. Combining technical analysis, on-chain monitoring, and macro awareness ensures that positions are informed and aligned with structural signals rather than speculation alone.
High-Probability Zones & Risk Management
Identifying high-probability zones for entry or accumulation is critical. This includes key support levels for defensive positions and confirmed breakouts for bullish setups. Stop-loss discipline, position sizing, and exposure limits are fundamental to surviving periods of volatility while remaining positioned for upside. Traders who adhere to these principles avoid the pitfalls of reactive trading and preserve capital for strategic opportunities.
Conclusion — Patience Meets Opportunity
In volatile markets with unclear direction, patience, disciplined engagement, and structured exposure are essential. Waiting for confirmation protects against adverse moves, while gradual tactical participation enables opportunistic accumulation. By integrating technical signals, on-chain insights, macro factors, and measured execution, participants can navigate uncertainty effectively, optimize risk-adjusted returns, and be ready to capitalize on directional shifts once market clarity emerges. Those who combine patience with strategic action are positioned to consistently outperform in both short-term swings and medium-term positioning.
Peacefulheart
2026-02-02 04:22
#WaitOrAct Navigating Volatility with Discipline Market volatility is rising, yet directional clarity remains elusive, presenting a challenge for traders and investors alike. Across BTC, ETH, and major altcoins like XRP, DOGE, and SUI, recent price action reflects heightened uncertainty. Support zones are being tested, resistance levels remain intact, and cascading liquidations have intensified intraday swings. In such an environment, reactive positions without structural validation can quickly magnify risk. At the same time, cautious participation offers opportunities for tactical accumulation and early positioning ahead of confirmed directional moves. Strategic Perspective — Layered & Disciplined Approach A layered and disciplined approach is essential in these conditions. Waiting for confirmation, such as a break and close above critical resistance for bullish setups or a confirmed support test for defensive accumulation, reduces exposure to false signals. Simultaneously, gradual engagement through partial entries, scaled allocations, and defined stop-losses enables participation in early momentum without overleveraging. By combining technical confirmation with measured exposure, traders can balance opportunity and risk effectively. On-Chain & Derivative Insights Additional context comes from monitoring on-chain metrics, whale activity, and derivative market signals. These indicators help anticipate liquidity zones, funding rate spikes, and potential short-term swings. For example, large whale accumulation near key support levels may hint at defensive positioning, while sudden inflows to exchanges can indicate heightened sell pressure. Funding rate extremes in perpetual futures also provide early warning signals of leveraged stress and possible short squeezes. Macro Considerations — Broader Market Influence Macro factors continue to shape risk sentiment. Fed policy decisions, interest rate expectations, and global liquidity conditions all influence market behavior. Even if on-chain or technical setups appear favorable, adverse macro developments can override short-term momentum. Traders who integrate macro awareness into their strategy are better equipped to navigate unexpected swings and optimize positioning during periods of elevated uncertainty. Discipline as a Core Principle Periods of rising volatility with unclear direction are ultimately a test of discipline and timing. High-probability zones for engagement, technical confirmation, and careful exposure management are key to maintaining capital and positioning for potential gains. BTC and ETH often serve as a defensive backbone during uncertain phases, providing relative stability, while selective altcoin entries can capture upside if momentum materializes. The balance between defensive core holdings and tactical opportunities is essential for risk-adjusted performance. Measured Exposure & Tactical Participation Gradual, measured engagement allows traders to participate opportunistically without overextending. Partial position sizing, layered entries, and defined exit strategies reduce downside risk while enabling participation in early market moves. Combining technical analysis, on-chain monitoring, and macro awareness ensures that positions are informed and aligned with structural signals rather than speculation alone. High-Probability Zones & Risk Management Identifying high-probability zones for entry or accumulation is critical. This includes key support levels for defensive positions and confirmed breakouts for bullish setups. Stop-loss discipline, position sizing, and exposure limits are fundamental to surviving periods of volatility while remaining positioned for upside. Traders who adhere to these principles avoid the pitfalls of reactive trading and preserve capital for strategic opportunities. Conclusion — Patience Meets Opportunity In volatile markets with unclear direction, patience, disciplined engagement, and structured exposure are essential. Waiting for confirmation protects against adverse moves, while gradual tactical participation enables opportunistic accumulation. By integrating technical signals, on-chain insights, macro factors, and measured execution, participants can navigate uncertainty effectively, optimize risk-adjusted returns, and be ready to capitalize on directional shifts once market clarity emerges. Those who combine patience with strategic action are positioned to consistently outperform in both short-term swings and medium-term positioning.
BTC
-3.35%
ETH
-7.93%
XRP
-4.61%
DOGE
-0.77%
Recent crypto news developments reveal a notable shift in market sentiment, as exchange-traded products tracking XRP experienced their first significant outflow since launch. The pullback saw approximately $40.8 million exit XRP-related ETFs in a single trading session, marking a reversal of the
DeFiGrayling
2026-02-02 04:07
Crypto News Today: XRP ETF Momentum Slows While Alternative Assets Attract Fresh Investment
Recent crypto news developments reveal a notable shift in market sentiment, as exchange-traded products tracking XRP experienced their first significant outflow since launch. The pullback saw approximately $40.8 million exit XRP-related ETFs in a single trading session, marking a reversal of the
XRP
-4.61%
SOL
-3.88%
TOKEN
-3.59%
更多 XRP 帖子

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