student
student
The article examines and analyzes the financial security of the Russian Federation in the banking and industrial sectors within the contemporary geopolitical situation, characterized as highly tense. It explores the influence of the banking and industrial sectors on the financial security of the Russian Federation and assesses the potential vulnerability of these sectors under the conditions of multiple sanctions restrictions. The potential impact on the population, as well as the vulnerability of both the population and the corporate sector under the existing conditions, is analyzed. The conclusion is drawn that, despite external political and economic pressure on the banking and industrial sectors of our state, methods to circumvent these difficulties have already been found, and development continues. It is asserted that there are no insurmountable obstacles, and there will always be an opportunity to bypass the sanctions of unfriendly states. With competent interaction between the interrelated sectors of the economy, a systematic and methodical solution to challenges is possible, allowing for an adaptive response to emerging difficulties, both internal and external.
financial security, banking sector, manufacturing sector, external constraints, government
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