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

Gain insight into a topic and learn the fundamentals.
Intermediate level
Recommended experience
7 hours to complete
Flexible schedule
Learn at your own pace
What you'll learn
Evaluate industry dynamics using strategic frameworks.
Forecast revenues, expenses, and cash flows.
Apply capital budgeting & risk management techniques.
Details to know

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Recently updated!
June 2026
Assessments
3 assignments
Taught in English
91% of learners achieved a positive career outcome
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There are 3 modules in this course
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