ETH Strategy Price (strat/CAD)

Buy strat Canada

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ETH Strategy
Currency
ETH Strategy
ETH Strategy
STRAT
ETH Strategy Price (STRAT/CAD)
$0.14
Price Change 24h
$0.00
2.1%
24h Low / 24h High
$0.00 / $0.00
Market Cap
$12,108,553.00
Fully Diluted Market Cap
13,526,641
Market Rank
#1527
Bitcoin
Bitcoin
BTC
Bitcoin Price (BTC/CAD)
$87,479.26
Price Change 24h
$80.82
24h Low / 24h High
$87,230.00 / $87,581.00
Market Cap
$1,755,833,706,082.00
0.1%
Fully Diluted Market Cap
1,755,833,706,082
Market Rank
#1
Ethereum
Ethereum
ETH
Ethereum Price (ETH/CAD)
$2,608.84
Price Change 24h
$1.87
0.1%
24h Low / 24h High
$2,600.85 / $2,614.76
Market Cap
$314,841,508,882.00
0.07%
Fully Diluted Market Cap
314,841,508,882
Market Rank
#2
Tether
Tether
USDT
Tether Price (USDT/CAD)
$1.39
Price Change 24h
$0.00014
24h Low / 24h High
$1.39 / $1.39
Market Cap
$253,969,389,079.00
Fully Diluted Market Cap
261,550,065,818
Market Rank
#3
BNB
BNB
BNB
BNB Price (BNB/CAD)
$840.43
Price Change 24h
-$7.06
0.8%
24h Low / 24h High
$839.91 / $849.05
Market Cap
$111,910,785,805.00
0.83%
Fully Diluted Market Cap
111,910,786,940
Market Rank
#4
USDC
USDC
USDC
USDC Price (USDC/CAD)
$1.39
Price Change 24h
$0.000071
24h Low / 24h High
$1.39 / $1.39
Market Cap
$99,708,108,881.00
0.03%
Fully Diluted Market Cap
99,697,106,671
Market Rank
#5
Official Site
GitHub
White Paper
Official Site
GitHub
White Paper

ETH Strategy market data

Trading Volume
24h
Circulating Supply
42,493,787.9131059
54.835%
Volume / Market Cap
$0.00 / 0
Market Dominance
0%
Total Supply
77,493,787.9131059
BID
N/A
ASK
N/A

What Is ETH Strategy (STRAT)?

We're a treasury strategy with a continually expanding pool of ETH. ETH grows through long-term convertible debt, with ETH treasury growth outstriping STRAT supply growth, leading to accretive dilution.

The ETH in the ETH Strategy treasury is deployed between various staking services and into a STRAT/ETH borrow lend. In this way the ETH is constantly earning yield.

STRAT mechanics are designed to autonoumously control the level of debt in the system, by reducing the value of the call options as debt increases. This ensures that the protocol as a whole has strong risk fundamentals.

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