Question: 2 0 1 9 2 0 2 0 2 0 2 1 2 0 2 2 2 0 2 3 Cash Flows from investing activities

20192020202120222023
Cash Flows from investing activities
Investments in PPE -679,000-647,000-518,000-496,000
Other investing activities -3,000-2,000-2,000-1,000
Net cash used for investing -682,000-649,000-517,000496,000
Cash flows from financing activites
Debt repayment -60,000-677,000-400,000-659,000
Common stock repurchased -38,000-101,000
Dividends paid -76,000-86,000-97,000-160,000
Other financing activites 139,000127,00067,00069,000
Net cash used provided by (used for) financing activites -70,000151,000-18,000-40,000
Net change in cash -278,00058,00035,000-12,000
Cash at beginning of period 273,000-5,00053,00088,000
Cash at end f period -5,00053,00088,00076,000
Free cash flow
Capital expenditure -679,000-647,000-518,000-496,000
Free cash flow -205,000-91,00052,00029,000
How do I forecast this for the next 5 years?

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