:169034|66389||070109210000|60|||81 :77083|169059|816992773745|070109210640|10|||01 :77072|169060|816998229725|070109210752|58|||01 :169038|66000||070109210816|169|||81 :66000|106059|810610062863|070109210816|169|||01 :169047|66063||070109211052|13|||81 :66063|169060|816990765063|070109211052|13|||01 :169006|66249||070109211744|11|||81 :66423|66335||070109212020|5|||89 :66635|66487||070109212116|4|||89 :66332|169060|81690409889688|070109212204|1|||01 :66389|66854||070109212540|10|||89 :66762|169060|816995844774|070109213112|3|||01 :169023|110060|8110|070109213116|4|||03 :66013|169060|81690409889688|070109213416|4|||01 :169042|66166||070109213428|7|||81 :66423|169060|81690408137051|070109213604|1|||01 :169032|66249||070109213744|11|||81 :169009|66423||070109213756|14|||81 :66382|169060|816995281240|070109213840|10|||01 :66382|169060|816995281240|070109213908|2|||01 :66382|169060|816995281240|070109213900||||01 :9|106057|810610162863|070109213920|35|||01 :64005|169058|81690434010205|070109213956|14|||01 :66382|169060|816995281240|070109214000||||01 :66382|169060|816995281240|070109214200|15|||01 :66423|169059|81690408137051|070109214204|61|||01 :66762|169060|816995844774|070109214244|11|||01 :66872|66185||070109214524|6|||89 :169027|66253||070109214712|3|||81 :169001|66342||070109214752|28|||81 :77866|66761||070109214916|4|||89 :169030|66741||070109215044|251|||81 :169005|66166||070109215124|6|||81 :169014|66249||070109215640|10|||81 :66423|169060|816962613507|070109215800|195|||01 :169024|66063||070109215828|7|||81 :66063|169060|816990765063|070109215828|7|||01