:169024|64028||030209120204|181|||81 :169029|66804||030209120328|67|||81 :66631|64028||030209120140|40|||89 :66725|66694||030209120552|103|||89 :169013|77810||030209120140|40|||81 :66214|66336||030209120000|15|||89 :169058|66603||030209120116|19|||81 :66638|66611||030209120040|10|||89 :66326|169057|816998663833|030209120024|21|||01 :66600|66012||030209120024|6|||89 :66789|66180||030209120024|6|||89 :169018|66287||030209120016|4|||81 :169005|66648||030209120012|18|||81 :169032|66767||030209120036|9|||81 :169017|66880||030209120036|9|||81 :66348|169035|816995034075|030209120100|75|||01 :169015|66314||030209120040|25|||81 :66791|66324||030209120416|49|||89 :169030|77081||030209120048|72|||81 :66386|169058|816995946666|030209120032|8|||01 :169007|66289||030209120032|53|||81 :66832|66281||030209120136|9|||89 :66322|169051|81690260242440|030209120028|322|||01 :169016|66664||030209120100|15|||81 :169019|66261||030209120100|75|||81 :169040|77971||030209120120|20|||81 :66343|169043|816959|030209120132|53|||01 :66842|169052|81691800134872|030209120140|100|||01 :66270|169047|816995038420|030209120152|28|||01 :66664|169054|81690404816345|030209120204|1|||01 :169005|77810||030209120316|19|||81 :66198|169050|816995814200|030209120156|59|||01 :66762|2||030209120232|8|||89 :66705|169049|81690260253869|030209120204|76|||01 :169010|66666||030209120220|5|||81 :66166|169057|816995511664|030209120132|8|||01 :66336|77046||030209120204|1|||89 :169042|66612||030209120200|15|||81 :66762|169049|816993871000|030209120220|5|||01 :66840|169055|816995715007|030209120156|134|||01 :66497|169060|81690412022458|030209120212|138|||01 :66620|66255||030209120436|24|||89 :66260|77810||030209120352|13|||89 :169010|66123||030209120340|10|||81 :169003|66801||030209120252|43|||81 :169033|2||030209120236|9|||82 :66791|169050|81690408328378|030209120216|4|||01 :66620|2||030209120300||||89 :66746|169046|816992651340|030209120256|104|||01 :169020|66169||030209120304|151|||81 :66253|66210||030209120404|16|||89 :64066|169039|81690412795448|030209120256|194|||01 :169044|66791||030209120312|3|||81 :169024|110055|8110|030209120328|22|||03 :169038|66800||030209120328|22|||81 :169009|110058|81104|030209120300|15|||03 :66332|169050|81690409889688|030209120404|1|||01 :66438|169057|816997964212|030209120320|20|||01 :169025|66198||030209120316|4|||81 :66348|169047|81690429601712|030209120404|1|||01 :8615|169060|816994169768|030209120352|13|||01 :2|169055|816995575137|030209120344|11|||02 :66033|2||030209120400||||89 :66341|66336||030209120440|10|||89 :66804|66261||030209120608|32|||89 :66348|169060|81690434877899|030209120404|1|||01 :66445|169053|816998761580|030209120436|84|||01 :169006|110056|81101|030209120448|117|||03 :66396|169057|816995767565|030209120444|11|||01 :66722|169048|816990762000|030209120504|46|||01 :169001|66620||030209120440|25|||81 :8615|169055|816998994587|030209120440|10|||01 :64013|77149||030209120524|6|||89 :66269|66150||030209121044|86|||89 :66638|66744||030209120712|33|||89 :169002|66801||030209120504|1|||81 :66348|169057|816996622681|030209120508|2|||01 :64011|64012||030209120512|3|||89 :8621|169051|816987706899|030209120536|54|||01 :169029|66314||030209120512|3|||81 :66840|169049|816995769311|030209120548|27|||01 :169013|66012||030209120608|2|||81 :8615|169047|816997978777|030209120524|6|||01 :66192|66744||030209120632|8|||89 :169008|64088||030209120524|6|||81 :66828|2||030209120612|3|||89 :77083|169048|816992773745|030209120556|14|||01 :66183|66350||030209120616|4|||89 :169011|66301||030209120600||||81 :169041|2||030209120604|1|||82 :64076|169049|81690416207388|030209120612|3|||01 :66638|66611||030209120628|7|||89 :66804|169053|81690432433579|030209120628|22|||01 :169036|66666||030209120612|3|||81 :66178|66854||030209120724|6|||89 :66166|169051|81690413879285|030209120644|11|||01 :66278|169047|81690407507493|030209120640|10|||01 :169036|66751||030209120720|5|||81 :64005|169052|81691300131079|030209120636|54|||01 :169012|66215||030209120700|30|||81 :169027|66366||030209120732|38|||81 :169026|66218||030209120652|328|||81 :169028|66791||030209120648|12|||81 :8615|169046|816997678777|030209120712|18|||01 :77083|169048|816992773745|030209120724|21|||01 :77040|169053|816995702874|030209120744|11|||01 :66648|66804||030209120852|13|||89 :66828|169045|81690405385977|030209120720|20|||01 :169017|66938||030209120740|10|||81 :66938|169039|816990765938|030209120740|10|||01 :66236|169049|81691223|030209120732|23|||01 :66804|169044|816998247633|030209120740|25|||01 :8613|169054|8169133066|030209120844|101|||01 :169022|66136||030209120820|5|||81 :77083|169048|816992773745|030209120852|13|||01 :66269|169050|816997069208|030209120824|51|||01 :66661|66611||030209120808|2|||89 :66717|169049|816997298738|030209120832|8|||01 :66012|169045|816995578476|030209120852|13|||01 :169030|66003||030209120840|10|||81 :66366|169039|816995697936|030209120852|13|||01 :64056|169053|81690352465113|030209120856|14|||01 :66289|66744||030209120920|5|||89 :8615|169046|816956227777|030209120900|15|||01 :169007|66218||030209120856|14|||81 :77792|169043|816992125461|030209120840|40|||01 :169019|77434||030209120936|9|||81 :169032|66268||030209120908|32|||81 :66269|169048|816987922353|030209120904|1|||01 :169015|77971||030209120920|20|||81 :169009|66126||030209120920|5|||81 :169021|66700||030209120904|181|||81 :66380|169036|81690438757209|030209120948|27|||01 :66840|169041|816995787028|030209121000|45|||01 :169005|66316||030209120928|22|||81 :8615|169039|816995755306|030209121016|4|||01 :169004|66932||030209120928|7|||81 :66932|169048|816990765932|030209120928|7|||01 :169018|66439||030209120932|53|||81 :169023|66205||030209122000|150|||81 :66762|169055|816997814497|030209121004|76|||01 :66227|169036|81690433379367|030209121028|7|||01 :64028|169041|81691300780212|030209121016|4|||01 :66166|169049|816995808402|030209120944|11|||01 :169011|66705||030209121024|6|||81 :77083|169050|816992773745|030209121048|27|||01 :169006|66834||030209121008|17|||81 :66164|66611||030209121112|3|||89 :169013|66398||030209121600|75|||81 :66289|169046|816992651090|030209121032|23|||01 :66348|169049|81690420972830|030209121104|1|||01 :8622|169057|816995755306|030209121028|82|||01 :66600|169052|81690414477562|030209121036|54||6161|01 :66177|66854||030209121124|6|||89 :169012|66014||030209121120|5|||81 :66289|66130||030209121104|1|||89 :66380|169048|816995782027|030209121056|14|||01 :169031|66118||030209122532|218|||81 :66195|169040|816985209000|030209121100|60|||01 :77758|66611||030209121124|6|||89 :64065|169050|81690417565912|030209121124|6|||01 :66811|66192||030209121244|26|||89 :66451|169049|81690409889688|030209121112|3|||01 :8615|169033|816995322052|030209121120|5|||01 :64112|169038|816997645759|030209121144|26|||01 :66348|169046|81690411481846|030209121208|2|||01 :66701|169043|81690400096700|030209121212|33|||01 :64036|169060|816997553355|030209121224|111|||01 :66296|66288||030209121316|19|||89 :169016|66102||030209121152|58|||81 :66227|169048|816995236752|030209121236|9|||01 :169035|66204||030209121200|75|||81 :66236|169044|816985744900|030209121212|63|||01 :64065|169040|816997097178|030209121244|11|||01 :66605|169056|8169132230|030209121244|206|||01 :64076|169054|81690416207388|030209121236|54|||01 :66324|66342||030209121236|9|||89 :66332|169056|81690409889688|030209121308|2|||01 :169002|66366||030209121252|13|||81 :8613|169041|81690404532510|030209121312|33|||01 :169012|66314||030209121500|30|||81 :66348|169056|816994313093|030209121312|3|||01 :66218|169054|81690419419360|030209121328|7|||01 :77791|169045|81691300788855|030209121316|64|||01 :169026|66607||030209121336|24|||81 :169027|66440||030209121356|29|||81 :66828|66288||030209121436|9|||89 :8016|169048|816997056914|030209121400||||01 :66329|169049|81690419026656|030209121404|16|||01 :66261|169046|8169132227|030209121428|37|||01 :66707|66210||030209121400||||89 :66118|66804||030209121648|42|||89 :8612|169044|81690412126131|030209121416|4|||01 :8164|169051|816995283745|030209121432|113|||01 :66332|169049|81690409889688|030209121504|1|||01 :66433|169054|816999257547|030209121436|9|||01 :66260|169056|816995780047|030209121516|19|||01 :66326|77434||030209121504|1|||89 :66166|169036|816995910309|030209121500|60|||01 :66868|169057|81690423042224|030209121440|55|||01 :66777|169055|816995558342|030209121444|71|||01 :66232|169045|816995716500|030209121436|9|||01 :169007|66002||030209121436|9|||81 :66707|66251||030209121532|8|||89 :66332|169051|81690409889688|030209121504|1|||01 :169010|66195||030209121500|30|||81 :66026|66854||030209121520|5|||89 :169022|110058|8110|030209121524|21|||03 :169019|66666||030209121600|15|||81 :66332|169056|81690409889688|030209121512|3|||01 :64076|66396||030209121640|10|||89 :169015|66884||030209121608|2|||81 :169001|110056|81108|030209121556|14|||03 :66348|169051|81690429601712|030209121604|1|||01 :66192|169055|8169132230|030209121532|8|||01 :169021|66270||030209121620|5|||81 :66253|66256||030209121600||||89 :169030|66261||030209121540|25|||81 :169024|66428||030209121608|32|||81 :66177|169056|816995329349|030209121620|5|||01 :66726|169045|81691300788811|030209121616|4|||01 :169021|66263||030209121612|3|||81 :66366|2||030209121616|4|||89 :169003|66315||030209121620|35|||81 :66332|169055|81690409889688|030209121616|4|||01 :66845|66611||030209121616|4|||89 :169005|66207||030209121604|1|||81 :169009|66666||030209121608|17|||81 :66289|77633||030209121812|18|||89 :64011|169056|816998666312|030209121620|5|||01 :66149|66713||030209121720|5|||89 :169018|66012||030209121708|2|||81 :169017|66391||030209121624|51|||81 :66314|169044|816992300350|030209121644|11|||01 :169020|110057|81105|030209121704|46|||03 :169028|66341||030209121704|61|||81 :169023|66726||030209121716|4|||81 :64076|169041|81691800656403|030209121728|7|||01 :169008|66607||030209121800|30|||81 :66600|169040|81690414477562|030209121808|2||6161|01 :64028|169039|8169134782|030209121804|106|||01 :66846|66325||030209121812|3|||89 :66281|66832||030209121952|28|||89 :66210|169046|816995578655|030209121808|32|||01 :169033|66773||030209121812|3|||81 :66635|169041|816990766350|030209121820|5|||01 :169014|66350||030209121820|5|||81 :66332|169040|81690409889688|030209121808|2|||01 :66115|169046|816990766002|030209121816|4|||01 :169016|66002||030209121816|4|||81 :66480|169056|816996532666|030209121824|21|||01 :77083|169055|816992773745|030209121836|24|||01 :64093|169044|816990768649|030209121828|7|||01 :66336|66192||030209121836|9|||89 :66269|169060|816987922350|030209121828|97|||01 :169031|66804||030209121904|16|||81 :66036|169047|816996873296|030209121836|174|||01 :66249|169038|816995554287|030209121828|7|||01 :66290|77147||030209122336|69|||89 :169012|66207||030209121916|4|||81 :66290|66280||030209121904|1|||89 :66444|169055|81691800551702|030209121932|8|||01 :169002|110058|81101|030209121844|11|||03 :8615|169045|816997761184|030209121848|27|||01 :66218|169040|816994675096|030209121912|3|||01 :66239|169046|81690427004731|030209121908|2|||01 :169011|66369||030209121944|11|||81 :66290|66820||030209121908|2|||89 :77190|66107||030209122100|15|||89 :169006|66207||030209122012|33|||81 :169025|66343||030209122004|166|||81 :66865|169051|816995372224|030209122008|62|||01 :169037|64046||030209121952|313|||81 :77083|169056|816992773745|030209122036|24|||01 :169018|66398||030209122328|52|||81 :66213|66844||030209122052|13|||89 :66183|66789||030209122036|9|||89 :64085|169041|816995211920|030209122056|29|||01 :169009|77810||030209122456|59|||81 :169012|66123||030209122236|24|||81 :66195|169044|81690425666398|030209122028|7|||01 :8621|169042|816959967273|030209122100|210|||01 :66880|169058|81690410934621|030209122044|296|||01 :169007|66866||030209122108|2|||81 :64073|169048|81690418105043|030209122120|95|||01 :8622|169045|816998281222|030209122112|18|||01 :8612|8616||030209122124|6|||89 :66326|77434||030209122128|7|||89 :77083|169056|816992773745|030209122112|18|||01 :66713|66322||030209122328|22|||89 :66178|169047|816995236111|030209122156|29|||01 :8618|169053|816959755594|030209122148|177|||01 :66366|1||030209122548|57|||89 :8615|169055|816997961000|030209122128|37|||01 :66444|169055|81691800551702|030209122208|2|||01 :66820|66708||030209122220|5|||89 :66027|66820||030209122412|33|||89 :77147|8055||030209122248|12|||89 :66332|169058|81690409889688|030209122204|1|||01 :66322|66342||030209122244|11|||89 :77083|169056|816992773745|030209122252|13|||01 :169022|66666||030209122220|20|||81 :66269|169051|816995872786|030209122224|6|||01 :169010|66804||030209122228|22|||81 :66290|66620||030209122544|41|||89 :169001|66270||030209122300|15|||81 :66236|169054|816996903166|030209122252|118|||01 :169036|1||030209122256|14|||82 :66166|169053|816995807950|030209122240|10|||01 :66366|66631||030209122404|16|||89 :77190|66862||030209122320|5|||89 :66336|169044|81691300888801|030209122308|32|||01 :66387|169059|81691800816025|030209122300|390|||01 :66791|66324||030209122844|86|||89 :77088|1||030209122320|5|||89 :169030|66249||030209122300|15|||81 :169029|110057|8110|030209122248|27|||03 :66332|169059|81690409889688|030209122304|1|||01 :64024|169056|816995092717|030209122304|1|||01 :169024|66499||030209122300|15|||81 :77147|66705||030209122348|12|||89 :77083|169058|816992773745|030209122356|14|||01 :64066|169043|81690423621863|030209122308|167|||01 :64071|66210||030209122512|18|||89 :169003|66121||030209122308|17|||81 :169005|66820||030209122316|4|||81 :66366|77649||030209122436|9|||89 :169017|66619||030209122348|12|||81 :169028|66336||030209122432|8|||81 :66227|66605||030209122416|4|||89 :66192|66396||030209122448|12|||89 :66311|66298||030209122508|17|||89 :66846|1||030209122412|3|||89 :77083|169056|816992773745|030209122452|13|||01 :64024|169059|816995104041|030209122436|9|||01 :8618|169054|81690438817602|030209122432|8|||01 :66713|169058|81691300888801|030209122504|16|||01 :77088|169055|81690416076331|030209122456|14|||01 :169021|66260||030209122432|38|||81 :8205|169046|81690417551835|030209122452|73|||01 :169008|66166||030209122452|13|||81 :66324|66657||030209122540|10|||89 :66341|66336||030209122536|9|||89 :66268|66820||030209122540|10|||89 :66220|169055|816995548027|030209122524|6|||01 :77083|169056|816992773745|030209122604|16|||01 :77149|169059|8169132221|030209122540|10|||01 :66755|66801||030209122656|14|||89 :64085|169051|81690410490924|030209122520|20|||01 :169031|110057|81108|030209122608|2|||03 :66166|169046|81690412769740|030209122520|5|||01 :8019|8018||030209122628|7|||89 :66456|169048|816995253922|030209122620|20|||01 :169033|110059|8110|030209122532|23|||03 :66870|169054|816995236067|030209122552|13|||01 :8622|169047|816995786848|030209122552|13|||01 :169014|66744||030209122640|25|||81 :66183|66789||030209122636|9|||89 :64084|66395||030209122824|36|||89 :169013|77971||030209122616|139|||81 :66012|169060|816995692254|030209122640|115|||01 :169038|110057|81108|030209122640|10|||03 :66755|66661||030209122744|11|||89 :66303|169051|816995282278|030209122628|7|||01 :64085|169055|81690421581468|030209122628|7|||01 :169025|110058|81108|030209122712|3|||03 :169040|110059|81102|030209122728|7|||03 :66369|169054|816992861880|030209122632|8|||01 :169004|77971||030209122724|156|||81 :66755|66661||030209122712|3|||89 :169023|66660||030209122724|51|||81 :169011|1||030209122728|7|||82 :66270|169055|816996694687|030209122732|8|||01 :66389|169051|816990763460|030209122728|7|||01 :64073|169059|81690418105043|030209122736|24|||01 :8622|169060|81690409576211|030209122740|10|||01 :169032|66115||030209122716|4|||81 :66314|64085||030209122812|3|||89 :169039|66314||030209122736|9|||81 :8612|169060|816997881206|030209122804|1|||01 :66394|1||030209122828|7|||89 :8612|8615||030209122808|2|||89 :169026|77971||030209122832|23|||81 :169018|66180||030209122832|8|||81 :77088|169058|816990763512|030209122844|41|||01 :77083|169056|816992773745|030209122844|41|||01 :66635|66854||030209122820|5|||89 :169007|66667||030209122820|5|||81 :169027|66744||030209122852|148|||81 :169009|66287||030209122920|20|||81 :77190|66118||030209122904|1|||89 :169035|66269||030209122844|71|||81 :169039|64085||030209123032|23|||81 :77088|1||030209122948|12|||89 :169012|66675||030209122916|19|||81 :66231|169041|81691300301937|030209122956|134|||01 :66369|169058|816992861880|030209122944|11|||01 :64071|1||030209123012|3|||89 :169037|110059|8110|030209122952|28|||03 :66705|169059|816952821430|030209122952|13|||01 :169002|66631||030209122928|52|||81 :77147|66744||030209123040|10|||89 :66451|169047|81690409889688|030209123012|3|||01 :169010|66166||030209123000||||81 :66029|169051|816995783346|030209122940|10|||01 :169019|66314||030209122952|28|||81 :66335|66210||030209123028|7|||89 :169022|66804||030209123016|4|||81 :66332|169047|81690409889688|030209123016|4|||01 :66433|169057|816998119021|030209123028|232|||01 :66005|169060|816995346767|030209123108|32|||01 :169042|110058|8110|030209123036|39|||03 :66322|66336||030209123248|27|||89 :66486|169048|8169132221|030209123120|65|||01 :66146|169054|816992762000|030209123128|52|||01 :66451|169057|81690409889688|030209123108|2|||01 :64024|169045|816995273536|030209123148|87|||01 :64045|169048|816992884802|030209123104|1|||01 :169020|66737||030209123112|123|||81 :169044|66117||030209123140|25|||81 :66227|169041|816995253123|030209123136|9|||01 :66026|66854||030209123220|5|||89 :66329|66322||030209123248|12|||89 :169005|66314||030209123216|4|||81 :169003|66717||030209123132|8|||81 :169030|66261||030209123144|11|||81 :169001|110059|81102|030209123152|28|||03 :66705|169057|816997747581|030209123204|16|||01 :8618|169042|816997881370|030209123216|4|||01 :169017|110058|8110|030209123228|7|||03 :66390|169051|81690412654020|030209123208|32|||01 :66287|77190||030209123312|3|||89 :169016|77971||030209123232|83|||81 :66428|66002||030209123320|5|||89 :66744|77147||030209123404|16|||89 :66178|66854||030209123324|6|||89 :169034|110060|81108|030209123316|544|||03 :8618|169041|816997881368|030209123316|4|||01 :66635|169042|816990766350|030209123316|4|||01 :169021|66350||030209123316|4|||81 :66314|77649||030209123316|4|||89 :66326|169059|816993644111|030209123252|43|||01 :66166|169060|816998019549|030209123244|26|||01 :64045|169047|816992884751|030209123312|18|||01 :66389|169051|816995329349|030209123332|8|||01 :66332|169059|81690409889688|030209123304|1|||01 :66268|169054|816995784488|030209123324|36|||01 :64062|169048|816994816004|030209123404|16|||01 :66717|169039|816902|030209123328|7|||01 :169015|110056|81105|030209123316|79|||03 :169008|66063||030209123332|8|||81 :66063|169042|816990765063|030209123332|8|||01 :66416|169043|816998852533|030209123352|43|||01 :169031|66744||030209123324|6|||81 :66227|169044|816995341783|030209123344|26|||01 :66012|66142||030209123412|3|||89 :66733|169050|8169132200|030209123336|339|||01 :169013|66666||030209123408|2|||81 :66474|169057|816995285740|030209123432|23|||01 :66741|66613||030209123412|3|||89 :66413|169040|816990763456|030209123428|22|||01 :8618|169047|816959756334|030209123448|12|||01 :66025|66395||030209123544|26|||89 :169033|66801||030209123408|17|||81 :169025|66762||030209123428|7|||81 :169029|66777||030209123456|59|||81 :64107|169051|81690401499957|030209123508|17|||01 :66846|1||030209123512|3|||89 :66342|77073||030209123500||||89 :169038|66342||030209123440|10|||81 :64085|169045|816998226739|030209123444|41|||01 :66027|66708||030209124740|190|||89 :66183|66177||030209123520|5|||89 :169004|66280||030209123524|6|||81 :66332|169051|81690409889688|030209123504|1|||01 :169026|8615||030209124200|105|||81 :64024|169041|816995048331|030209123512|33|||01 :169014|66260||030209123532|23|||81 :66600|64026||030209123520|5|||89 :66741|66713||030209123512|3|||89 :66451|169045|81690409889688|030209123504|1|||01 :8618|169057|816997881370|030209123504|16|||01 :66865|1||030209123608|2|||89 :8616|169050|816986847412|030209123536|24|||01 :66149|66762||030209123648|12|||89 :66451|169045|81690409889688|030209123604|1|||01 :169027|66145||030209123616|4|||81 :8017|169057|816990766145|030209123616|4|||01 :66260|66227||030209123600||||89 :169011|66227||030209123536|9|||81 :169013|77190||030209123656|14|||81 :66497|169060|816995328917|030209123552|43|||01 :77149|169055|816994576592|030209123640|115|||01 :66166|169048|816998918496|030209123612|33|||01 :66197|169057|81690292670857|030209123636|9|||01 :66708|169051|81690419330172|030209123644|11|||01 :169018|66865||030209123656|14|||81 :169023|66314||030209123656|29|||81 :66388|169059|816995690688|030209123716|49|||01 :66324|66012||030209123720|5|||89 :169009|66834||030209123656|14|||81 :66692|169056|81691300123123|030209123728|127|||01 :64071|169058|81690409592275|030209123720|110|||01 :66451|169059|81690409889688|030209123708|2|||01 :169006|66107||030209125556|269|||81 :8613|169055|816994952500|030209123800||||01 :169032|77971||030209123740|40|||81 :169022|77434||030209123804|1|||81 :169036|66666||030209123812|3|||81 :169011|66227||030209124008|32|||81 :66474|169047|81690418569739|030209123808|47|||01 :169024|66856||030209123808|107|||81 :169002|66433||030209123816|19|||81 :66451|169051|81690409889688|030209123808|2|||01 :169030|66648||030209123836|9|||81 :64013|169056|816995296666|030209123852|13|||01 :66264|1||030209123912|3|||89 :77081|66237||030209124204|46|||89 :66332|169051|81690409889688|030209123912|3|||01 :66336|169060|81691300888801|030209123904|31|||01 :66153|169059|81690414553502|030209123928|22|||01 :66474|169045|816995715551|030209123932|8|||01 :66264|1||030209123928|7|||89 :8613|169045|816997881370|030209123900||||01 :169012|77971||030209123924|21|||81 :66231|169056|816995239966|030209123932|8|||01 :66166|169044|816998903468|030209123924|6|||01 :66332|169059|81690409889688|030209123912|3|||01 :66415|169048|816995535447|030209123928|22|||01 :66314|169047|816995327523|030209124004|16|||01 :8616|169050|816995802936|030209123940|55|||01 :66264|169060|816904005110000|030209123944|11|||01 :66451|169051|81690409889688|030209124028|7|||01 :169001|66314||030209124036|9|||81 :66332|169048|81690409889688|030209124012|3|||01 :64071|66164||030209124340|40|||89 :66451|169060|81690409889688|030209124112|3|||01 :66866|66314||030209124232|23|||89 :169016|66873||030209124028|7|||81 :66176|66386||030209124300|30|||89 :77810|66260||030209124316|34|||89 :66240|169047|816995303676|030209124052|13|||01 :64024|169059|816995048331|030209124136|24|||01 :66846|1||030209124108|2|||89 :64074|169057|816995698136|030209124136|69|||01 :66854|169044|816983445532|030209124120|5|||01 :169021|66336||030209124108|2|||81 :169034|66093||030209124132|8|||81 :66093|169045|816990765093|030209124132|8|||01 :66227|169048|816995716960|030209124124|6|||01 :66220|66773||030209124228|7|||89 :66661|66396||030209124344|26|||89 :66259|169056|8169132265|030209124200|30|||01 :169039|110060|8110|030209124216|4|||03 :169028|66607||030209124140|10|||81 :66240|169043|816995706221|030209124212|3|||01 :66459|169051|81690400511996|030209124224|21|||01 :66166|169060|81690414784618|030209124152|13|||01 :66176|66342||030209124228|7|||89 :169025|66322||030209124204|1|||81 :169033|66336||030209124216|4|||81 :66842|66272||030209124416|19|||89 :169036|66870||030209124732|68|||81 :66220|66773||030209124336|9|||89 :8017|169057|816990766145|030209124248|12|||01 :169042|66145||030209124248|12|||81 :66830|66733||030209124340|10|||89 :66183|66660||030209124308|2|||89 :66332|169056|81690409889688|030209124308|2|||01 :66820|169051|81691300369367|030209124312|3|||01 :169015|66801||030209124256|14|||81 :169040|1||030209124248|12|||82 :77065|66034||030209124652|58|||89 :66264|66268||030209124356|14|||89 :64066|169046|816995321086|030209124308|242|||01 :8615|169060|816997881206|030209124252|13|||01 :66846|169059|81690395081222|030209124316|19|||01 :169026|110057|8110|030209124308|2|||03 :169029|66314||030209124312|18|||81 :169004|110058|81101|030209124344|11|||03 :66239|77270||030209124404|1|||89 :66156|77040||030209124720|50|||89 :66335|1||030209124500|15|||89 :8622|169050|816959968612|030209124412|63|||01 :77083|169057|816992773745|030209124428|7|||01 :66240|169059|816998226305|030209124432|8|||01 :66830|1||030209124408|2|||89 :169027|66012||030209124412|3|||81 :66166|169056|816998482889|030209124424|6|||01 :66422|66256||030209124512|3|||89 :169014|66666||030209124416|19|||81 :169013|66183||030209124428|7|||81 :169035|66801||030209124512|3|||81 :169038|77073||030209125504|151|||81 :66830|169059|81690413135301|030209124436|9|||01 :66603|169051|81691300652575|030209124448|12|||01 :66789|66890||030209124516|4|||89 :66416|169054|81690433262197|030209124504|166|||01 :169027|66123||030209124600|15|||81 :62578|169050|816990762578|030209124508|17|||01 :169007|66260||030209124604|31|||81 :66183|66854||030209124624|6|||89 :66314|64066||030209124752|28|||89 :66258|169058|816997722271|030209124548|117|||01 :66227|169054|816995257032|030209124628|7|||01 :169018|110058|81105|030209124644|11|||03 :66032|66459||030209124636|9|||89 :66438|169048|816997597778|030209124644|11|||01 :66723|169059|816995281910|030209124620|20|||01 :66483|66198||030209124836|24|||89 :66258|169054|816997847660|030209124720|5|||01 :66744|66760||030209124704|1|||89 :169023|66744||030209124732|23|||81 :66188|169051|816998202974|030209124656|29|||01 :64011|169048|816998367040|030209124708|2|||01 :66117|66631||030209124716|4|||89 :66242|169056|816998226305|030209124740|40|||01 :64066|169058|816995239116|030209124716|19|||01 :169010|66016||030209124804|16|||81 :66231|169044|816994795600|030209124712|3|||01 :66332|169056|81690409889688|030209124804|1|||01 :66363|169046|816995247900|030209124804|31|||01 :66773|169059|816995095700|030209124800|15|||01 :169023|66760||030209124856|14|||81 :169009|1||030209124828|7|||82 :66260|66227||030209124804|1|||89 :169019|66260||030209124824|6|||81 :66183|64040||030209124928|7|||89 :77040|66240||030209125056|29|||89 :66349|66210||030209125112|33|||89 :66166|169050|816988480971|030209124904|46|||01 :64093|169047|816995342658|030209124924|111|||01 :66483|169043|81691800888333|030209124828|22|||01 :66661|66396||030209124932|8|||89 :66183|66660||030209124904|1|||89 :66446|1||030209124912|3|||89 :66880|169054|816995278660|030209124940|10|||01 :66488|66335||030209125116|19|||89 :66231|169058|81690411623917|030209124948|12|||01 :66707|77434||030209125008|2|||89 :169005|66287||030209125004|1|||81 :66387|1||030209125028|7|||89 :64013|169050|816998242416|030209125008|2|||01 :66303|169054|816995259033|030209125024|6|||01 :66773|1||030209125104|1|||89 :66707|77434||030209125104|1|||89 :66341|1||030209125100||||89 :66363|169056|816995320343|030209125048|27|||01 :66335|169047|816995855335|030209125028|7|||01 :66231|169048|816994795600|030209125048|12|||01 :64003|169046|816995282623|030209125124|6|||01 :8618|169050|816959759633|030209125044|11|||01 :64024|169058|816985175777|030209125056|14|||01 :66239|169051|81690404447993|030209125140|40|||01 :66240|77270||030209125208|2|||89 :66773|1||030209125200||||89 :66707|77434||030209125232|8|||89 :66802|169049|81691800500726|030209125156|539|||01 :169019|66227||030209125536|54|||81 :66183|66854||030209125224|6|||89 :66210|66126||030209125204|1|||89 :66240|77270||030209125204|1|||89 :66341|169047|816997987692|030209125240|10|||01 :169030|8615||030209125252|13|||81 :77083|169049|816992773745|030209125224|6|||01 :66433|169045|816990117346|030209125308|92|||01 :64066|169054|816995711617|030209125252|28|||01 :169024|66619||030209125324|21|||81 :66278|66620||030209125512|33|||89 :66332|169054|81690409889688|030209125308|2|||01 :66428|169048|816985175955|030209125308|17|||01 :66166|169044|816998463535|030209125332|8|||01 :66618|169050|816984568438|030209125316|34|||01 :66773|169047|816990766220|030209125320|5|||01 :169001|66220||030209125324|6|||81 :8618|169051|816959818444|030209125336|24|||01 :66430|169055|81691300652849|030209125412|63|||01 :66012|66396||030209125504|16|||89 :66210|1||030209125432|8|||89 :66332|169055|81690409889688|030209125412|3|||01 :66700|169053|81690416647924|030209125452|463|||01 :64078|169048|816996289932|030209125524|6|||01 :66166|169051|816994196522|030209125448|12|||01 :66231|169058|816993626111|030209125512|63|||01 :169021|66422||030209125536|9|||81 :66183|66660||030209125604|1|||89 :66332|169053|81690409889688|030209125512|3|||01 :169002|66387||030209125604|61|||81 :169022|66801||030209125540|70|||81 :64013|169058|816998242416|030209125604|1|||01 :8618|169054|816959794910|030209125540|25|||01 :64084|64086||030209125748|27|||89 :66880|169056|816995721331|030209125532|68|||01 :8618|169056|8169959790317|030209125600||||01 :169034|66804||030209125552|13|||81 :169016|66391||030209125640|25|||81 :66166|169058|816998424491|030209125644|11|||01 :8618|169056|816959790317|030209125628|7|||01 :169028|66804||030209125712|3|||81 :66480|1||030209125744|11|||89 :66773|1||030209125700||||89 :169039|66938||030209125636|9|||81 :66938|169054|816990765938|030209125636|9|||01 :66763|77046||030209125732|8|||89 :66638|169052|81690425770889|030209125720|695|||01 :64066|66314||030209125936|24|||89 :66178|169053|816992766435|030209125716|4|||01 :169033|66435||030209125716|4|||81 :66773|1||030209125800||||89 :169036|66231||030209125828|7|||81 :66707|66210||030209125920|20|||89 :77643|66341||030209125832|8|||89 :169017|66856||030209125916|94|||81 :66422|169050|81690429979974|030209125912|3|||01 :64013|169052|816995338473|030209125900||||01 :66499|169051|81691300147147|030209125928|7|||01 :169040|77147||030209125920|5|||81 :66166|169053|816998982891|030209125940|10|||01 :66820|169060|81691300369367|030209125856|239|||01 :77281|66741||030209125908|2|||89 :169026|66652||030209125944|11|||81 :66167|169055|816993411000|030209125948|72|||01 :77083|169053|816992773745|030209125944|11|||01