К содержимому
learnspaceYOUR NEXT CHAPTER
ПРОСТРАНСТВО ОБУЧЕНИЯ
ГлавнаяКаталог курсовМоё обучениеCoursera

Знания без границ

Учитесь у лучших университетов и компаний мира.

Открыть Coursera
Интеграция
Пространство университета
Моё пространствоСтраница курса
↵
ЯЛичный кабинетСтудент
© 2026 LearnSpaceКаждый день — возможность узнать больше.Помощь
Strategic Forecasting & Risk Management · LearnSpace
Назад в каталог
courseraБизнес

Strategic Forecasting & Risk Management

Курс от STARWEAVER
Средний≈ 8.1 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

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. The course covers financial forecasting techniques including trend analysis, scenario planning, and Monte Carlo simulation, alongside essential capital budgeting tools such as Net Present Value (NPV), Internal Rate of Return (IRR), payback analysis, and Weighted Average Cost of Capital (WACC). Learners also examine market, credit, operational, and liquidity risks through stress testing, sensitivity analysis, Value at Risk (VaR), and practical risk management strategies. Through hands-on exercises and a comprehensive CFO-focused project, learners build forecasting models, evaluate investments, and develop risk management plans that support informed financial decision-making in dynamic business environments.

Навыки, которые вы освоите

Risk ManagementFinancial ModelingFinancial ForecastingRisk AnalysisCapital BudgetingRisk MitigationStrategic CommunicationInvestment ManagementRisk Management FrameworkForecastingFinancial AnalysisCash Flow ForecastingPerformance Stress TestingFinancial ManagementRevenue ForecastingCompetitive AnalysisFinancial AccountingBusiness StrategyBusiness Risk ManagementMarket Analysis

Программа курса

3 модулей · 50 учебных материалов

01Industry Analysis & Forecasting17 материалов

Lesson 1: Industry Drivers for Financial Forecasting

Industry Analysis & Forecasting: From Market Context to Forecast AssumptionsDIALOGUEIntro Video to Course ВидеоWelcome to the Course: Course OverviewЧтениеModule Introduction Видео

Учитесь у экспертов

Manish Gupta

Finance Expert and Business Strategist

Starweaver

Global Leaders in Professional & Technology Education

Strategic Forecasting & Risk Management
В каталоге вашей программы

Инвестируйте в себя

Новые знания — в удобное для вас время.

Начать на Coursera

Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 8.1 ч

3 модулей

Язык: Английский

Часть программы вашего университета
Macro to Model: GDP, Inflation, Rates, FX, and Commodity Pass-Through Видео
Micro Drivers: Capacity, Cost Curves, Supply Chains, and Unit Economics Видео
Five Forces in Finance: Profitability, Barriers, and Long-Run Margins Видео

Lesson 2: Competitive Positioning & Industry Trajectory

SWOT to Strategy: Converting SWOT into Modeling Assumption ВидеоIndustry Life Cycle: Growth, Maturity, Decline, and What to Forecast ВидеоAI for Industry Intelligence: Mining News, Filings, and Sentiment for Assumptions Видео

Lesson 3: Forecasting Basics

Revenue Bridges: Volume, Price, Mix, Share, and TAM/SAM/SOM Links ВидеоForecasting Costs: Operating Leverage, Productivity, and Inflation ВидеоBuilding to FCF: Taxes, Working Capital, Capex, and Internal Consistency ВидеоIMF World Economic Outlook Databases: Macro Indicators and ProjectionsЧтениеMicro Drivers & Unit Economics: Where Forecasts BreakОбсуждениеHands-On-Learning: Driver Sheet: Translating Macro Signals into 3–5 Forecast DriversВзаимная проверкаIndustry Analysis & ForecastingЗадание
02Forecasting & Capital Budgeting15 материалов

Lesson 1: Time Series, Scenarios, and Simulations

Forecasting & Investment EvaluationDIALOGUEModule Introduction ВидеоTrend Analysis: Moving Averages, Growth Rates, and Seasonality ВидеоScenario Design: Base/Upside/Downside with Triggers ВидеоMonte Carlo 101: Distributions, Simulations, and Interpreting Outcome Ranges Видео

Lesson 2: Core Capital Budgeting Methods

Net Present Value in Practice: Discounted Cash Flows and Go/No-Go Decisions ВидеоInternal Rate of Return Explained: Multiple IRRs, Scale Effects, and Decision Conflicts ВидеоPayback and Discounted Payback: Liquidity Focus Under Uncertainty Видео

Lesson 3: Estimating the Discount Rate

Cost of Debt: Yield Curves, Spreads, Ratings, and After-Tax Effects ВидеоCost of Equity: CAPM, Betas, and Practical Adjustments ВидеоWACC That Fits: Aligning Capital Structure and Project Risk ВидеоWeighted Average Cost of Capital (WACC) Overview and Calculation ЧтениеNPV Decisions: Finance vs. Strategy ConflictОбсуждениеHands-On-Learning: Mini DCF: Scenarios → NPV at WACC → Monte Carlo (1 Driver)Взаимная проверка
03Risk Analysis & Mitigation18 материалов

Lesson 1: Market Risk-Measuring Exposure and Impact

Risk Analysis & Mitigation: Measuring, Stressing, and Mitigating RiskDIALOGUEModule Introduction ВидеоValue at Risk (VaR) in Practice: Historical vs Parametric and Decision Thresholds ВидеоStress Scenarios: Macro and Idiosyncratic Shocks to P&L and Liquidity ВидеоSensitivities that Matter: Tornado Charts and Driver Prioritization Видео

Lesson 2: Beyond Markets: Counterparty, Process, and Funding Risks

Credit Risk ВидеоOperational Risk ВидеоLiquidity at Risk Видео

Lesson 3: Mitigation-Practical Risk Mitigation Strategies

Hedging Toolkit: Forwards, Options, Swaps, Costs and Basis RisksВидеоDiversification in Practice: Product, Customer, Supplier, and Allocation ВидеоAI-Powered RISK Scoring Models and Recommendations ВидеоUK Stress Testing framework and methodology: Clear Overview of Scenarios and Translation to ImpactsЧтениеHands-On-Learning: Fast Risk Triage: Three-Risk One-Pager + Quick Stress + Mitigation OwnersВзаимная проверкаHedging Under StressОбсуждение
Forecasting & Capital BudgetingЗадание
Industry Analysis & ForecastingDIALOGUE
Project: Forecasting Under Uncertainty: A CFO’s DilemmaВзаимная проверка
Risk Analysis & MitigationЗадание
Course Wrap-UpВидео