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<article article-type="research-article" dtd-version="1.3" xmlns:mml="http://www.w3.org/1998/Math/MathML" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xml:lang="ru"><front><journal-meta><journal-id journal-id-type="publisher-id">etl</journal-id><journal-title-group><journal-title xml:lang="ru">Экономика. Налоги. Право</journal-title><trans-title-group xml:lang="en"><trans-title>Economics, taxes &amp; law</trans-title></trans-title-group></journal-title-group><issn pub-type="ppub">1999-849X</issn><issn pub-type="epub">2619-1474</issn><publisher><publisher-name>Финансовый университет при Правительстве Российской Федерации</publisher-name></publisher></journal-meta><article-meta><article-id custom-type="elpub" pub-id-type="custom">etl-49</article-id><article-categories><subj-group subj-group-type="heading"><subject>Research Article</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="ru"><subject>ЭКОНОМИКА И УПРАВЛЕНИЕ</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="en"><subject>ECONOMICS AND MANAGEMENT</subject></subj-group></article-categories><title-group><article-title>Финансовые основы национальных и международных аспектов управления в условиях дисфункциональности мировой валютно-финансовой системы и роста гибридных угроз</article-title><trans-title-group xml:lang="en"><trans-title>The Financial Foundations of National and International Aspects of Governance in the Context of the Dysfunctionality of the Global Monetary and Financial System and the Growth of Hybrid Threats</trans-title></trans-title-group></title-group><contrib-group><contrib contrib-type="author" corresp="yes"><contrib-id contrib-id-type="orcid">https://orcid.org/0000-0002-7703-1660</contrib-id><name-alternatives><name name-style="eastern" xml:lang="ru"><surname>Чернов</surname><given-names>В. А.</given-names></name><name name-style="western" xml:lang="en"><surname>Chernov</surname><given-names>V. A.</given-names></name></name-alternatives><bio xml:lang="ru"><p>Владимир Анатольевич Чернов — доктор экономических наук, профессор кафедры бухгалтерского учета и аудита, профессор кафедры финансов и кредита</p></bio><bio xml:lang="en"><p>Vladimir A. Chernov — Dr. Sci. (Econ.), Prof. of Department of Accounting and Auditing, Prof. of the Department of Finance and Credit</p></bio><email xlink:type="simple">chernovva@rambler.ru</email><xref ref-type="aff" rid="aff-1"/></contrib></contrib-group><aff-alternatives id="aff-1"><aff xml:lang="ru">Институт экономики, Национальный исследовательский Нижегородский государственный университет им. Н.И. Лобачевского, Нижний Новгород, Россия<country>Россия</country></aff><aff xml:lang="en">Institute of Economics, National Research of Nizhny Novgorod State University named after N.I. Lobachevsky, Nizhny Novgorod, Russia<country>Russian Federation</country></aff></aff-alternatives><pub-date pub-type="collection"><year>2024</year></pub-date><pub-date pub-type="epub"><day>14</day><month>05</month><year>2025</year></pub-date><volume>17</volume><issue>6</issue><fpage>34</fpage><lpage>46</lpage><permissions><copyright-statement>Copyright &amp;#x00A9; Чернов В.А., 2025</copyright-statement><copyright-year>2025</copyright-year><copyright-holder xml:lang="ru">Чернов В.А.</copyright-holder><copyright-holder xml:lang="en">Chernov V.A.</copyright-holder><license license-type="creative-commons-attribution" xlink:href="https://creativecommons.org/licenses/by/4.0/" xlink:type="simple"><license-p>This work is licensed under a Creative Commons Attribution 4.0 License.</license-p></license></permissions><self-uri xlink:href="https://etl.fa.ru/jour/article/view/49">https://etl.fa.ru/jour/article/view/49</self-uri><abstract><p>Актуальность статьи обусловлена обострением международных отношений, регулирование которых невозможно без преодоления мирового финансового кризиса инструментами и механизмами финансовой политики. Предмет исследования — финансовые аспекты национального и международного управления, приводящие к дисфункциональности мировой валютно-финансовой системы. Цели работы — выявление составляющих международной валютнофинансовой системы, лежащих в основе регулирования мировых финансов и механизмов, порождающих кризисные явления в мире, и установление роли отдельных направлений единой государственной денежно-кредитной политики Банка России в части достижения экономического роста. В результате исследования выделены ключевые составляющие новой валютно-финансовой системы, предопределяющие трансформацию глобальной социально-экономической парадигмы. Раскрыт финансово-правовой механизм, лежащий в основе однополярного доминирования, и предложены пути его перехода к многополярному миру и экономике роста посредством финансово-правовых инструментов на основе применения диалектического подхода, способов сравнения, группировки, статистических, графических методов, а также дескриптивного анализа. В результате исследования сделаны выводы о том, что ключ к решению проблемы укрепления национальных суверенитетов и партнерских отношений между государствами на равноправной взаимовыгодной основе лежит в области финансовой политики и правовых основ, а также в системе международного валютного регулирования.</p></abstract><trans-abstract xml:lang="en"><p>The relevance of the article is due to the aggravation of international relations, the regulation of which is impossible without overcoming the global financial crisis with financial policy instruments and mechanisms. The subject of the study is the financial aspects of national and international governance, leading to the dysfunctionality of the global monetary and financial system. The objectives of the work are to identify the components of the international monetary and financial system underlying the regulation of global finance, the mechanisms that generate crisis phenomena in the world, and to establish the role of individual components of the Main Directions of the unified state monetary policy of the Bank of Russia in terms of achieving economic growth. As a result of the study, the key components of the new monetary and financial system that determine the transformation of the global socio-economic paradigm are highlighted. The financial and legal mechanism underlying unipolar dominance is revealed, and ways of its transition to a multipolar world and a growth economy are proposed through financial and legal instruments based on the application of a dialectical approach, methods of comparison, grouping, statistical, graphical methods, as well as descriptive analysis. As a result of the study, it was concluded that the key to solving the problem of strengthening national sovereignty and partnerships between states on an equal and mutually beneficial basis lies in the field of financial policy and legal frameworks, as well as in the system of international monetary regulation.</p></trans-abstract><kwd-group xml:lang="ru"><kwd>банковский эмиссионный капитал</kwd><kwd>финансиализм</kwd><kwd>денежно-кредитная политика</kwd><kwd>транснациональное доминирование</kwd><kwd>многополярный мир</kwd><kwd>полицентричность валют</kwd></kwd-group><kwd-group xml:lang="en"><kwd>bank equity</kwd><kwd>financialism</kwd><kwd>monetary policy</kwd><kwd>transnational dominance</kwd><kwd>multipolar world</kwd><kwd>polycentricity of currencies</kwd></kwd-group></article-meta></front><back><ref-list><title>References</title><ref id="cit1"><label>1</label><citation-alternatives><mixed-citation xml:lang="ru">Zara C., Ramkumar S. Circular economy and default risk. 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