Marketing Strategy, Financial Risk and Sensitivity Analysis, business and finance homework help

I am currently working on a project, but need help in only three sections of it as mentioned above; (see chapters 9, 10, 11 in the reference provided)
marketing strategy,
financial risk
sensitivity analysis.

To be more specific, I require, in report form;
-calculations to be done,
-the steps taken
-explaining the rationale behind the derivation in full paragraphs,
-graphs/tables/charts to support the above

I have attached an example on how it should be done and will provide more information (to fit the context of my report) after a tutor is found.

Will tip if work is fast and good.