SCENARIO PLANNING
3–6 weeks | Foresight | Optionality | Resilience
When the future is murky and today is chaotic, we surface pivotal market uncertainties, develop a set of data-rich alternative futures, and stress-test your current strategy against them. Together we distill leading indicators, no-regret moves, and scenario-specific playbooks complete with owners and KPIs so the roadmap is ready to execute the moment you leave the room.
What you get:
A clear set of “no-regret” moves and contingent plays that work regardless of market tilts.
Early warning radar that gives you time to pivot.
A shared narrative that gets Finance, Ops, and Product pulling in the same direction.
Concrete risk-mitigation and opportunity-capture plans tied to owners, timelines, and KPIs.
Ideal for leaders asking:
Do we have a plan B that won’t torch the P&L if our biggest market or funding source shifts overnight?
We’re betting millions on this strategy—what external shocks could blindside us?
How do we make sure our teams aren’t paralyzed by uncertainty and still prepared for drastically different futures?
How quickly could an AI-native competitor undercut our business model and what could we spin up in response?