
How geopolitics disrupts banking (SWIFT bans, asset freezes, de-risking).
Case studies (Russian bank sanctions, Chinese digital yuan expansion).
Strategies for banks (diversification, AI-driven risk analytics).
Using SWIFT data, IMF reports, and expert interviews, the study provides a framework for banks to navigate geopolitical volatility.
Map 3 geopolitical conflicts to banking sector impacts.
Analyze a bank’s annual report for sanctions disclosures (e.g., HSBC).
Propose a "sanctions-proof" payment.
Compare digital Rupees vs. US Dollar adoption strategies.