Zebec Network (ZBCN) is tracked by TokenRadar as a Decentralized Finance (DeFi), Solana Ecosystem, Real World Assets (RWA), Payment Solutions asset. Zebec's integrated products - real time payroll apps, on-chain payments infrastructure and networked DePIN - serve companies of all sizes, merchants and individuals and help transcend the boundaries of traditional banking and diminish the role of financial int Data snapshot date: May 14, 2026. This overview focuses on market structure, historical reference points, liquidity, and risk context rather than buy or sell recommendations.
| Metric | Value |
|
|
|
| Price | $0.00342284 |
| Market Cap | $335.24M |
| 24h Change | -2.44% |
| Market Rank | #145 |
| 24h Volume | $8.04M |
| ATH Distance | -51.10% |
Market Position for ZBCN
Zebec Network trades at $0.00342284 with a market cap of $335.24M and 24h volume of $8.04M. The latest ranked market snapshot places ZBCN at #145 by market capitalization. The token is -51.10% from its all-time high of $0.00700261, recorded on May 30, 2025. Its all-time low is $0.00069854, recorded on August 5, 2024, while the 30-day move is +29.54%. Circulating supply is 97,951,717,939.67, total supply is 99,997,613,020.29, and max supply is 100,000,000,000. The volume-to-market-cap ratio is 2.40%, which helps separate active markets from thin markets. A higher ratio usually means recent trading activity is easier to observe, while a very low ratio can make price changes less reliable as a signal.
TokenRadar Risk Context
TokenRadar currently assigns Zebec Network a risk score of 7/10, a growth potential index of 39/100, narrative strength of 80/100, and a volatility index of 40/100. The computed risk level is high. Zebec Network is a high-risk, strong narrative token.
Risk should be read together with liquidity. Zebec Network has 24h high and low levels of $0.00351119 and $0.00334849, so the short-term range is visible before considering broader 7-day and 30-day changes of +1.84% and +29.54%.
Historical Data Points
The historical reference set for ZBCN includes an all-time high of $0.00700261 on May 30, 2025, an all-time low of $0.00069854 on August 5, 2024, and a 1-year move of +119.76%. These figures do not predict the future, but they show whether the current price is near extremes or in a middle range.
Supply and Valuation
Circulating supply is 97,951,717,939.67, total supply is 99,997,613,020.29, and max supply is 100,000,000,000. Fully diluted valuation is $342.24M. Market cap and FDV can diverge when a large portion of supply is not circulating, so investors should compare circulating supply, total supply, and unlock or emission information before relying on valuation multiples.
What Could Change the Setup
Zebec Network would need stronger evidence across volume, liquidity, development activity, and category momentum for the setup to improve. Weak follow-through, falling volume, large unlocks, contract migrations, or negative security events would weaken the research case even if the spot price rises for a short period.
FAQ
What is Zebec Network?
Zebec's integrated products - real time payroll apps, on-chain payments infrastructure and networked DePIN - serve companies of all sizes, merchants and individuals and help transcend the boundaries of traditional banking and diminish the role of financial int
Is ZBCN a low-risk asset?
No crypto asset should be treated as low risk by default. TokenRadar currently shows a risk score of 7/10, and that score should be checked against volatility, liquidity, supply, and recent events.
What market data matters most for ZBCN?
The most useful starting points are price, market cap, 24h volume, market rank, ATH distance, circulating supply, and the 30-day trend.
Does this overview recommend buying Zebec Network?
No. It is a structured research summary for comparing data points and risks.
Disclaimer: This article is for informational purposes only and does not constitute financial advice. Always do your own research (DYOR).
For ZBCN research, the important control is consistency between the live market snapshot and the longer historical record. A single 24h move can be noisy, while market cap rank, 30-day performance, all-time high distance, supply structure, and volume-to-cap ratio create a more durable comparison set. This is why the article separates market data from decision rules and keeps the conclusion conditional.
Zebec Network also needs category-aware interpretation. A Decentralized Finance (DeFi) token with high liquidity can behave very differently from a low-volume asset with the same percentage move. The practical question is whether volume, spread quality, supply data, and catalyst evidence confirm the move or contradict it.
The safest way to use this overview article is as a checklist. Confirm the latest price, check the current rank, compare 24h volume with market cap, review the ATH and ATL dates, and look for any project-specific changes before treating the data as current enough for research.
For ZBCN research, the important control is consistency between the live market snapshot and the longer historical record. A single 24h move can be noisy, while market cap rank, 30-day performance, all-time high distance, supply structure, and volume-to-cap ratio create a more durable comparison set. This is why the article separates market data from decision rules and keeps the conclusion conditional.
Zebec Network also needs category-aware interpretation. A Decentralized Finance (DeFi) token with high liquidity can behave very differently from a low-volume asset with the same percentage move. The practical question is whether volume, spread quality, supply data, and catalyst evidence confirm the move or contradict it.
The safest way to use this overview article is as a checklist. Confirm the latest price, check the current rank, compare 24h volume with market cap, review the ATH and ATL dates, and look for any project-specific changes before treating the data as current enough for research.
For ZBCN research, the important control is consistency between the live market snapshot and the longer historical record. A single 24h move can be noisy, while market cap rank, 30-day performance, all-time high distance, supply structure, and volume-to-cap ratio create a more durable comparison set. This is why the article separates market data from decision rules and keeps the conclusion conditional.