Resilience of bank financial management to the sanctions regime and geopolitical transformations
Автор: Timchenko A.I., Aliyev Kh.S.
Журнал: Экономика и бизнес: теория и практика @economyandbusiness
Статья в выпуске: 2-2 (120), 2025 года.
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The article examines the issue of the "stress tolerance" of the financial system to the adverse effects of aggressive external factors, which include the existence of a sanctions regime and the instability of the geopolitical situation. The financial mechanism is constantly exposed to environmental factors, to which, as a rule, it adapts. Nevertheless, when sanctions seriously restrict banking activities, it becomes necessary to change not only development strategies, but also the entire internal system. If there is a transformation of the banking sector, then this process leads to changes in all related areas and industries. The financial sector is undoubtedly important for the state, it ensures the viability of the economy, and, accordingly, it must be "stress-resistant" to any impact factors and adaptive. This is especially true in modern conditions.
Sanctions, financial "stress tolerance", impact factors, financial "freeze", restructuring, competitiveness
Короткий адрес: https://sciup.org/170209672
IDR: 170209672 | DOI: 10.24412/2411-0450-2025-2-2-194-197