The current period statement of cash flows includes the following: Cash balance at the beginning of the period $493,062 Net cash flow from operating activities 163,840 53,467 98,410 Net cash flow used for investing activities Net cash flow used for financing activities The cash balance at the end of the period is O a. $151,877 Ob. $808,779 Oc. $177,345 Od. $505,025T