Abstract

The article analyzes the dynamics of the main indicators of economic growth in Russia after February 24, 2022, when sanctions pressure on it began to increase. Three periods of economic development under sanctions are identified and the differences between these periods are shown. The changes in the structure of the economy that occurred in 2022–2023 are considered and their reasons are revealed. The factors that ensured the stability of the Russian economy in the face of external shocks are identified, and the prospects for its development are assessed.

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