c4 q1 please help with all 4 parts (Click on the following icon in order to copy its contents into a spreadsheet.) Different cash flow. Given the following cash inflow at the end of each year, , what is the future value of this cash flow at 3%,11%, and 14% interest rates at the end of year 7 ? What is the future value of this cash flow at 3% interest rate at the end of year 7?$ (Round to the nearest cent.).