Navigate uncertainty with a structured approach to strategic forecasting, investment evaluation, and risk management. This course explores how macroeconomic trends, industry dynamics, competitive positioning, and company-specific drivers shape financial performance and long-term value creation. Learners use frameworks such as Porter's Five Forces, SWOT analysis, and industry life cycle analysis to develop realistic assumptions for revenue growth, margins, cash flows, and capital allocation decisions.

Strategic Forecasting & Risk Management
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Strategic Forecasting & Risk Management
This course is part of Financial Analyst Academy Specialization


Instructors: Manish Gupta
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What you'll learn
Evaluate industry dynamics and competitive positioning using strategic frameworks like Porter's Five Forces and SWOT.
Build financial forecasts for revenues, expenses, and cash flows using trend analysis, scenario planning, and Monte Carlo simulation.
Apply capital budgeting and risk management tools, including NPV, IRR, WACC, stress testing, and Value at Risk.
Skills you'll gain
- Risk Management
- Forecasting
- Financial Analysis
- Risk Analysis
- Business Risk Management
- Market Analysis
- Capital Budgeting
- Risk Mitigation
- Financial Accounting
- Financial Modeling
- Investment Management
- Risk Management Framework
- Business Strategy
- Financial Management
- Performance Stress Testing
- Cash Flow Forecasting
- Strategic Communication
- Competitive Analysis
- Financial Forecasting
- Revenue Forecasting
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June 2026
3 assignments
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