CURRENT PROBLEMS AND THE IMPACT OF POLITICAL CHANGES IN THE WORLD FINANCIAL MARKET
Abstract
This scientific article comprehensively analyzes the impact of unprecedented changes in international financial markets, global economic problems and geopolitical conflicts on financial stability. Today, the financial market is shaken not only by economic laws, but also by international sanctions, interstate conflicts and protectionist policies. The article examines the rise in global inflation, the tight monetary policy of the US Federal Reserve and the European Central Bank, the debt crisis, the risks of digital currencies, and the financial integration of ESG (Environmental, Social and Governance) standards. The study concludes with
scientifically sound recommendations for developing countries to mitigate these risks.
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