:77040|169059|816993607690|080110200132|8|||01 :66332|169059|81690409889688|080110200208|2|||01 :169040|66619||080110200436|24|||81 :66686|169059|816997027717|080110200812|3|||01 :169032|66741||080110200908|2|||81 :169010|110060|81109|080110200924|6|||03 :66656|169059|816997027717|080110200916|4|||01 :169044|110059|8110|080110201008|17|||03 :66423|169060|816962613507|080110201112|198|||01 :169009|66342||080110201136|9|||81 :169017|110059|81105|080110201208|2|||03 :169018|110060|8110|080110201208|17|||03 :169050|66000||080110201300|15|||81 :66423|66432||080110201504|31|||89 :169026|66705||080110201524|21|||81 :66423|66713||080110201800|30|||89 :66423|66713||080110201636|9|||89 :169025|110060|81109|080110201636|9|||03 :66449|169060|816995332695|080110201736|9|||01 :66423|169058|816995038504|080110201812|18|||01 :169039|66342||080110202008|2|||81 :169049|66336||080110202028|7|||81 :66713|169059|816995786753|080110202056|59|||01 :169041|110060|81105|080110202204|1|||03 :169023|110060|81109|080110202320|5|||03 :66313|169060|816995554346|080110202812|78|||01 :66451|169060|81690409889688|080110202908|2|||01 :169043|110060|81105|080110203104|1|||03 :66342|77074||080110203300||||89 :169021|66342||080110203340|10|||81 :66423|66382||080110204012|63|||89 :66340|169060|816997020944|080110203704|16|||01 :66137|169060|816995235257|080110203900|15|||01 :169028|66000||080110204216|4|||81 :66761|169059|816998854992|080110204200|15|||01 :169036|66652||080110204916|19|||81 :169042|110060|81105|080110205004|1|||03 :77072|169059|816997975050|080110205612|3|||01 :66382|169060|81691800007656|080110205636|54|||01 :66686|169060|816997027717|080110205836|9|||01