:66183|66350||010209170128|7|||89 :66326|169060|816994295677|010209170128|22|||01 :66619|169059|81691300888801|010209170112|33|||01 :66326|2||010209170212|3|||89 :169020|66741||010209170216|34|||81 :66619|169059|816995980994|010209170412|18|||01 :66326|169060|81690411252255|010209170428|37|||01 :66619|169059|816994312323|010209170556|14|||01 :169035|66741||010209170528|7|||81 :169022|66713||010209170620|5|||81 :169026|110060|8110|010209170816|4|||03 :169042|66666||010209170816|4|||81 :169025|77073||010209172640|265|||81 :169033|66623||010209170928|7|||81 :169014|66744||010209170936|9|||81 :66253|169059|816995809803|010209171016|4|||01 :66149|169060|816995838557|010209171108|47|||01 :66617|169060|816995711621|010209171204|1|||01 :66185|66325||010209171532|23|||89 :169031|77147||010209171440|55|||81 :66789|66350||010209171824|6|||89 :169052|66744||010209171828|7|||81 :66623|169059|816995846886|010209171840|25|||01 :66762|2||010209171924|6|||89 :66617|169060|81690403336178|010209171844|101|||01 :66789|66350||010209171924|6|||89 :66762|169059|81690414077307|010209172016|19|||01 :169008|66253||010209172504|31|||81 :66326|169060|816995909029|010209172700|15|||01 :66741|169059|816993103282|010209172732|23|||01 :66619|66229||010209172824|6|||89 :66210|66707||010209172920|5|||89 :2|66336||010209173100||||89 :169023|66336||010209173212|18|||81 :64005|169060|816995639848|010209173256|59|||01 :169018|66744||010209173720|5|||81 :66654|169060|816995095588|010209173832|23|||01 :66741|169060|816997334687|010209173916|19|||01 :66427|169060|816995789438|010209174312|18|||01 :169043|66744||010209174528|7|||81 :66342|169060|816995272981|010209174716|19|||01 :66326|77147||010209175456|74|||89 :66326|77147||010209175348|12|||89 :66336|169060|816995433568|010209175832|8|||01 :169047|66619||010209175840|10|||81