:66298|66343||030209130732|143|||89 :66488|66335||030209130052|28|||89 :66742|66783||030209130028|7|||89 :66156|169057|816995555377|030209130020|230|||01 :66034|169056|81690415451487|030209130020|35|||01 :66382|77434||030209130104|1|||89 :64005|169058|81690422886036|030209130108|62|||01 :8618|169052|816987957825|030209130048|27|||01 :66315|169059|816951573379|030209130056|194|||01 :169013|110060|81109|030209130128|7|||03 :66221|169058|81690412523124|030209130108|2|||01 :64093|169060|816998270886|030209130148|12|||01 :169004|66366||030209130140|10|||81 :66363|169046|816953692236|030209130132|143|||01 :66451|169055|81690409889688|030209130204|1|||01 :66820|66342||030209130420|35|||89 :66868|169056|81690418102534|030209130128|7|||01 :66183|66660||030209130204|1|||89 :169035|66713||030209130212|3|||81 :66773|1||030209130204|1|||89 :169038|66666||030209130224|6|||81 :66177|66854||030209130324|6|||89 :66324|1||030209130316|4|||89 :66303|66890||030209130356|14|||89 :169031|66169||030209130340|160|||81 :66265|169053|816996969025|030209130332|8|||01 :66332|169051|81690409889688|030209130308|2|||01 :66166|169052|816998907742|030209130348|27|||01 :66324|169056|81690297227856|030209130348|12|||01 :169020|66672||030209130400||||81 :66717|169053|816995329349|030209130420|5|||01 :66773|1||030209130400||||89 :64084|1||030209130404|1|||89 :64024|169050|816995048331|030209130348|12|||01 :169042|66497||030209130432|98|||81 :66709|66744||030209130412|3|||89 :169032|66938||030209130436|9|||81 :66938|169052|816990765938|030209130436|9|||01 :169038|66123||030209130548|27|||81 :64005|169054|81690422886036|030209130412|108|||01 :66261|169046|816995953303|030209130440|10|||01 :169018|66336||030209130500|15|||81 :169003|66322||030209130420|5|||81 :169008|66867||030209130416|124|||81 :169005|66316||030209130440|10|||81 :169037|66804||030209130440|10|||81 :66723|169055|816995274355|030209130520|35|||01 :66387|1||030209130508|2|||89 :66240|169049|81690414875844|030209130500|180|||01 :66417|169054|816995318631|030209130520|5|||01 :169030|66322||030209130504|1|||81 :169027|110060|81101|030209130448|42|||03 :66835|169051|816995995522|030209130520|20|||01 :66483|169045|816990762580|030209130528|22|||01 :66239|169056|81690427004731|030209130528|7|||01 :66240|77270||030209130504|1|||89 :77648|77889||030209130500||||89 :66314|77648||030209130524|6|||89 :8613|8622||030209130504|1|||89 :169012|77971||030209130536|9|||81 :66422|169058|81690429979974|030209130516|49|||01 :169021|66322||030209130504|1|||81 :66315|169059|816951500500|030209130612|63|||01 :169014|66314||030209130600|75|||81 :66246|66126||030209130704|16|||89 :66712|169055|81690419770005|030209130532|8|||01 :66153|169048|816998202401|030209130608|107|||01 :169015|66025||030209130608|122|||81 :66240|77270||030209130600||||89 :66314|77889||030209130700|15|||89 :66605|169057|816998900571|030209130612|93|||01 :169009|64084||030209130616|34|||81 :66341|66801||030209130712|3|||89 :66315|169055|816951573379|030209130704|1|||01 :66422|66707||030209130704|1|||89 :66800|66713||030209130728|7|||89 :64062|169052|816995341342|030209130712|3|||01 :169001|66495||030209130720|20|||81 :66342|66192||030209131016|49|||89 :169012|8622||030209130836|24|||81 :169034|66712||030209130632|8|||81 :66363|66104||030209130728|7|||89 :66707|66210||030209130720|5|||89 :169039|110057|8110|030209130720|5|||03 :66835|169057|816996546700|030209130736|9|||01 :169016|110060|8110|030209130656|14|||03 :169043|66868||030209130740|55|||81 :66800|66100||030209130716|4|||89 :66126|169055|816997960442|030209130728|7|||01 :66873|169054|81690407884379|030209130724|21|||01 :64062|169052|816995311342|030209130720|5|||01 :77040|66240||030209130836|9|||89 :8622|169057|81690425859649|030209130724|6|||01 :8019|169059|816994174404|030209130744|26|||01 :169036|110059|81101|030209130804|16|||03 :66107|169060|81690412523124|030209130812|93|||01 :169041|66666||030209130744|11|||81 :169033|66316||030209130744|11|||81 :66422|66707||030209130924|21|||89 :169022|110058|81100066820|030209130816|34|||03 :66746|66226||030209131220|65|||89 :169013|110059|81104|030209130812|3|||03 :66314|66455||030209130916|4|||89 :169024|66314||030209130816|34|||81 :169026|110056|8110|030209130840|10|||03 :66800|66619||030209130948|12|||89 :169017|66192||030209130936|24|||81 :169031|66868||030209130936|9|||81 :66751|169054|816995342111|030209130928|22|||01 :169040|66336||030209130852|28|||81 :8618|169056|816959711349|030209130900|60|||01 :66856|169051|81690407871945|030209130912|33|||01 :169007|110055|81104|030209130952|13|||03 :66422|169056|8169204|030209130932|8|||01 :66835|169055|816995968244|030209131020|35|||01 :169035|66650||030209131008|17|||81 :66661|66611||030209131016|4|||89 :169020|66189||030209131028|22|||81 :169038|66773||030209131048|12|||81 :66240|169049|816995258308|030209131040|40|||01 :169042|66189||030209131020|20|||81 :64066|169047|816995274355|030209131056|179|||01 :169004|66938||030209131032|38|||81 :66938|169059|816990765938|030209131032|38|||01 :66126|2||030209131100||||89 :169046|66189||030209131036|9|||81 :66161|66854||030209131140|10|||89 :66341|2||030209131108|2|||89 :8019|169048|816994174404|030209131044|26|||01 :66856|169054|816995570811|030209131116|19|||01 :169028|77971||030209131044|71|||81 :66192|66744||030209131128|7|||89 :169005|66932||030209131144|11|||81 :66932|169055|816990765932|030209131144|11|||01 :66153|169053|816994289244|030209131124|81|||01 :66341|169059|81690419770140|030209131124|6|||01 :66620|2||030209131204|1|||89 :169037|66617||030209131148|12|||81 :169010|66314||030209131212|48|||81 :169011|66322||030209131208|2|||81 :66804|169057|816995706301|030209131204|46|||01 :66161|66183||030209131240|10|||89 :169045|64037||030209131304|1|||81 :169023|66261||030209131300|120|||81 :8615|169048|816995273904|030209131256|14|||01 :66365|169049|81690296309206|030209131236|24|||01 :66153|169055|816998138180|030209131308|17|||01 :66161|66183||030209131344|11|||89 :169014|110057|81108|030209131340|10|||03 :169030|66938||030209131256|29|||81 :66938|169054|816990765938|030209131256|29|||01 :66866|66631||030209131532|38|||89 :66178|66854||030209131324|6|||89 :64066|66800||030209131428|22|||89 :169019|66620||030209131344|26|||81 :169008|77971||030209131308|32|||81 :169003|66270||030209131332|8|||81 :66341|66226||030209131556|29|||89 :169029|66258||030209131344|221|||81 :64024|169060|816995092717|030209131400|75|||01 :66705|66611||030209131440|10|||89 :66170|169059|816959765700|030209131408|32|||01 :66713|169049|816992107000|030209131416|4|||01 :66221|169056|816998092444|030209131428|52|||01 :66613|169050|816995613200|030209131444|101|||01 :169018|66660||030209131400|60|||81 :66035|169055|81690296309268|030209131504|16|||01 :169027|66314||030209131456|44|||81 :66259|169054|81690356234056|030209131508|17|||01 :66126|2||030209131500||||89 :66332|169059|81690409889688|030209131504|1|||01 :169027|64024||030209131512|3|||81 :66718|169058|816959890220|030209131520|140|||01 :66335|66162||030209131516|4|||89 :66467|169050|81690458327454|030209131532|8|||01 :66195|169055|81690430538093|030209131504|1|||01 :77643|169056|8169132227|030209131552|13|||01 :66648|169053|8169132227|030209131552|13|||01 :64077|169056|816995724610|030209131604|1|||01 :169043|66314||030209131616|4|||81 :169034|66314||030209131552|13|||81 :169036|66465||030209131604|1|||81 :169016|66744||030209131636|9|||81 :169021|66800||030209131636|54|||81 :169041|66776||030209131620|5|||81 :64005|169060|816952256381|030209131604|31|||01 :169039|66349||030209131624|6|||81 :66425|169056|816998421400|030209131604|1|||01 :169025|66607||030209131640|10|||81 :66784|169052|81690438351127|030209131640|130|||01 :66804|66809||030209131716|4|||89 :66635|169054|816995329349|030209131620|5|||01 :169006|66672||030209131648|192|||81 :66430|169058|81691300662266|030209131716|19|||01 :169001|66800||030209131708|32|||81 :66425|169053|816998421400|030209131704|1|||01 :66705|66203||030209131812|18|||89 :169015|66260||030209131720|65|||81 :77088|2||030209131724|6|||89 :77190|77810||030209131728|7|||89 :66178|169056|816998419473|030209131752|13|||01 :169009|66253||030209131756|44|||81 :66809|66210||030209131848|12|||89 :169013|66100||030209131748|12|||81 :77889|66366||030209131852|13|||89 :169041|77190||030209131936|24|||81 :77083|169060|816992773745|030209131744|26|||01 :66832|66632||030209131816|4|||89 :66178|66854||030209131824|6|||89 :66126|2||030209131900||||89 :8618|169051|816959755594|030209131832|128|||01 :66705|66611||030209131912|3|||89 :66178|66854||030209131924|6|||89 :66648|169055|816995258148|030209131856|44|||01 :66366|66192||030209132024|21|||89 :169031|66932||030209131916|4|||81 :66932|169052|816990765932|030209131916|4|||01 :64045|169054|81690410532719|030209131908|17|||01 :66650|2||030209132012|3|||89 :66382|169051|816995282077|030209131924|6|||01 :169033|66261||030209131940|55|||81 :66222|169053|8169132227|030209131944|11|||01 :169017|66314||030209131920|20|||81 :77810|8058||030209132024|6|||89 :66840|77810||030209132056|14|||89 :66314|66314||030209132132|23|||89 :66804|169048|816995024205|030209131940|10|||01 :169026|66336||030209132028|22|||81 :66382|2||030209132020|5|||89 :66170|169060|81690403889600|030209132008|17|||01 :66650|169052|81690408862561|030209132040|10|||01 :169020|66322||030209132032|8|||81 :66425|169060|816998427276|030209132004|1|||01 :169042|110058|81101|030209132028|7|||03 :66452|169049|816996998039|030209132048|12|||01 :169043|64024||030209132544|71|||81 :169038|66834||030209132036|9|||81 :66650|169060|816994382196|030209132108|2|||01 :66287|169054|816999288185|030209132104|16|||01 :64045|169053|816987922297|030209132052|13|||01 :169022|66261||030209132128|67|||81 :169007|66800||030209132112|18|||81 :169044|77971||030209132044|71|||81 :169028|110059|81101|030209132120|5|||03 :169040|66938||030209132052|28|||81 :66938|169050|816990765938|030209132052|28|||01 :66178|66854||030209132124|6|||89 :66332|169045|81690409889688|030209132112|3|||01 :66804|66329||030209132116|4|||89 :66387|64028||030209132328|22|||89 :169047|66652||030209132200|15|||81 :66661|66611||030209132344|26|||89 :66287|169053|816997881261|030209132204|1|||01 :66363|169052|81690448342028|030209132204|16|||01 :66672|169060|81691800888333|030209132152|13|||01 :66189|169056|816998664070|030209132144|56|||01 :66741|66611||030209132216|4|||89 :66452|169046|816996901179|030209132156|14|||01 :8618|169051|816997872844|030209132152|28|||01 :64005|169049|816998424426|030209132228|22|||01 :66845|66100||030209132212|3|||89 :169035|66218||030209132156|29|||81 :66019|169045|816956232744|030209132240|10|||01 :66629|66648||030209132252|13|||89 :169005|66002||030209132232|8|||81 :66840|77810||030209132328|7|||89 :66866|169059|816995250888|030209132304|106|||01 :169037|66666||030209132244|11|||81 :66253|66722||030209132500|30|||89 :66332|169052|81690409889688|030209132304|1|||01 :66430|169047|816990183388|030209132332|23|||01 :169037|66123||030209132320|5|||81 :66369|169060|816952|030209132256|14|||01 :64066|66301||030209132432|23|||89 :66365|169058|81690409592275|030209132344|86|||01 :66804|66806||030209132412|3|||89 :66177|169051|816995329349|030209132340|10|||01 :66648|169053|816995258148|030209132412|18|||01 :66121|169060|816998427276|030209132336|9|||01 :64082|169052|81690417546100|030209132424|6|||01 :169010|66707||030209132340|25|||81 :66100|169056|8169132227|030209132332|23|||01 :66369|169056|81691800288068|030209132436|9|||01 :169019|110059|81104|030209132504|1|||03 :66382|169048|81690402177573|030209132424|66|||01 :66840|64043||030209132648|27|||89 :66341|77643||030209132612|18|||89 :169023|66482||030209132500|15|||81 :169029|66619||030209132512|3|||81 :169002|66102||030209132516|4|||81 :66789|66854||030209132616|4|||89 :66177|169052|816995329349|030209132520|5|||01 :66868|169058|816997072108|030209132548|27|||01 :66650|169054|816992154918|030209132608|62|||01 :66841|66164||030209132720|20|||89 :66363|169048|81690415419720|030209132620|5|||01 :169036|110057|81101|030209132624|6|||03 :66217|66396||030209132652|13|||89 :66428|169059|816995579876|030209132636|54|||01 :66650|2||030209132608|2|||89 :169030|66762||030209132608|32|||81 :169012|66867||030209132644|11|||81 :8615|169057|81690437146432|030209132612|198|||01 :66868|169054|816997961572|030209132700||||01 :66804|169051|816995281240|030209132704|16|||01 :66452|66866||030209133036|54|||89 :66712|169057|816995962375|030209132712|3|||01 :169004|110058|8110|030209132720|95|||03 :169039|66325||030209132636|9|||81 :66332|169048|81690409889688|030209132704|1|||01 :66121|66002||030209132736|9|||89 :66650|169059|81690437101624|030209132736|9|||01 :64003|169053|816995282623|030209132728|52|||01 :66396|77147||030209132820|5|||89 :169031|66136||030209132808|2|||81 :66313|169057|816995282623|030209132728|7|||01 :169015|66648||030209132756|14|||81 :169001|66610||030209132808|17|||81 :66189|169046|816995340981|030209132740|10|||01 :66164|2||030209132816|4|||89 :77758|66611||030209132856|14|||89 :66261|169059|81690402778228|030209132812|3|||01 :64066|66769||030209133236|69|||89 :66717|66350||030209132828|7|||89 :66763|169052|816995050024|030209132820|35|||01 :169014|66012||030209132832|68|||81 :169033|66322||030209132912|3|||81 :66428|169054|816997843799|030209132856|29|||01 :8164|169052|81690403009377|030209132920|5|||01 :169013|66636||030209132840|25|||81 :66478|169058|81691300783424|030209132908|47|||01 :169027|66433||030209132928|52|||81 :66164|169053|816954855850|030209132944|11|||01 :66332|169054|81690409889688|030209132904|1|||01 :169006|110057|81105|030209132956|44|||03 :66261|169043|81690402778228|030209132932|8|||01 :66366|169048|816926|030209132948|27|||01 :169041|66800||030209133004|31|||81 :169032|66640||030209132920|305|||81 :66497|169054|816992651000|030209133016|4|||01 :66872|169057|8169616|030209132956|29|||01 :169034|64066||030209134352|208|||81 :77758|66741||030209133048|12|||89 :66145|169051|81690401557908|030209133004|46|||01 :169017|66428||030209133032|8|||81 :66189|169046|816996909144|030209133012|33|||01 :66314|64066||030209133004|1|||89 :169018|66314||030209133040|70|||81 :77190|66673||030209133108|2|||89 :169020|66834||030209133040|10|||81 :169024|66455||030209135252|328|||81 :66382|169056|816995782027|030209133024|81|||01 :66157|2||030209133112|3|||89 :66451|169054|81690409889688|030209133104|1|||01 :66868|169044|816997071192|030209133116|34|||01 :66329|66341||030209133632|83|||89 :66013|169048|81690409889688|030209133204|1|||01 :66157|169056|81690409790182|030209133136|9|||01 :66859|169044|816996350011|030209133204|1|||01 :66288|169055|816985145800|030209133204|181|||01 :169016|2||030209133148|12|||82 :169028|110058|8110|030209133212|3|||03 :66332|169048|81690409889688|030209133204|1|||01 :169007|110059|81105|030209133236|9|||03 :66705|77434||030209133220|5|||89 :66341|77643||030209133216|4|||89 :66332|169044|81690409889688|030209133304|1|||01 :169022|66465||030209133300|15|||81 :169042|66631||030209133240|25|||81 :169040|66773||030209133252|13|||81 :66611|66762||030209133320|5|||89 :169038|66708||030209133236|9|||81 :66332|169044|81690409889688|030209133304|1|||01 :66363|169052|816997905397|030209133340|25|||01 :66153|169051|816995243247|030209133252|28|||01 :169023|64051||030209133304|1|||81 :169011|66791||030209133332|8|||81 :8012|169053|816983600930|030209133340|55|||01 :66332|169044|81690409889688|030209133308|2|||01 :169003|66314||030209133332|8|||81 :169019|66161||030209133328|7|||81 :66777|169047|816999366508|030209133404|151|||01 :66452|169054|816998275633|030209133332|38|||01 :66879|169041|81690421626211|030209133420|5|||01 :66315|169048|816951573379|030209133408|17|||01 :66313|169043|816995554346|030209133356|14|||01 :66442|169049|816985175660|030209133356|164|||01 :66804|169052|81690413013450|030209133424|6|||01 :66428|169042|816995793623|030209133420|20|||01 :66363|77889||030209133424|6|||89 :66449|169055|816995341741|030209133416|34|||01 :169008|66338||030209133408|17|||81 :66446|169045|816995768642|030209133412|108|||01 :169021|64046||030209133436|9|||81 :66261|169057|81691300652270|030209133436|69|||01 :169029|66666||030209133416|4|||81 :66804|169054|816995095979|030209133424|6|||01 :169003|64020||030209133812|33|||81 :66601|169046|81690404816345|030209133608|62|||01 :169031|66800||030209133624|6|||81 :169018|64066||030209134132|83|||81 :169015|66428||030209133632|8|||81 :169036|110058|8110|030209133612|33|||03 :169029|66123||030209133724|21|||81 :66341|169053|816997852633|030209133604|31|||01 :66303|169052|816995783346|030209133624|21|||01 :66177|66369||030209133632|8|||89 :169014|66667||030209133624|6|||81 :66314|64066||030209133604|1|||89 :169012|66314||030209133640|25|||81 :169033|66712||030209133616|4|||81 :66336|169059|816995765036|030209133616|124|||01 :66664|66603||030209133704|1|||89 :8617|169056|81690432068140|030209133644|71|||01 :66341|169059|816997987692|030209133700||||01 :169012|64066||030209133736|9|||81 :169005|110059|81105|030209133640|70|||03 :66841|2||030209133712|3|||89 :66443|169053|816995953471|030209133744|11|||01 :66804|169047|816995719452|030209133708|17|||01 :169009|66002||030209133736|9|||81 :66866|169049|816998402377|030209133748|27|||01 :169006|66058||030209133732|8|||81 :66058|169052|816990765058|030209133732|8|||01 :66107|169060|816995340981|030209133716|184|||01 :66762|66192||030209134032|38|||89 :66261|169051|816994907666|030209133744|41|||01 :66478|2||030209133812|3|||89 :169013|66700||030209133808|32|||81 :8618|169059|816997826633|030209133824|21|||01 :169004|66338||030209133900|45|||81 :169027|66465||030209133820|35|||81 :66859|169055|81691300727299|030209133852|58|||01 :66423|66744||030209133936|9|||89 :169024|66203||030209133816|4|||81 :8617|169046|816995939888|030209133832|23|||01 :8164|169058|816995788022|030209133840|145|||01 :169025|77971||030209133904|166|||81 :66118|169057|816995910070|030209133920|65|||01 :66880|169055|816998891484|030209133944|11|||01 :169035|66153||030209133956|14|||81 :169028|66422||030209133932|8|||81 :77088|169054|816996550555|030209133956|74|||01 :66314|66452||030209134000||||89 :66866|66314||030209134116|19|||89 :8612|8618||030209134004|1|||89 :169007|77971||030209134028|7|||81 :66617|66210||030209134028|7|||89 :169037|66100||030209134020|5|||81 :169017|66726||030209134012|33|||81 :169034|66428||030209134028|37|||81 :66703|169059|816998031150|030209134024|21|||01 :66762|66192||030209134016|4|||89 :66841|169056|81690409592275|030209134100|45|||01 :8016|169053|8169132221|030209134100|30|||01 :66724|66253||030209134448|57|||89 :169037|66744||030209134128|7|||81 :169010|66027||030209134116|124|||81 :66025|169057|816995281298|030209134032|8|||01 :64016|169059|816995574379|030209134120|5|||01 :66601|66298||030209134552|73|||89 :66444|169057|81691800551702|030209134116|4|||01 :8621|169056|816995967799|030209134136|9|||01 :66880|169055|81690413990661|030209134048|12|||01 :169032|66314||030209134128|22|||81 :77069|2||030209134120|5|||89 :77069|66100||030209134224|6|||89 :77758|66611||030209134232|8|||89 :66866|66452||030209134356|29|||89 :169001|110056|8110|030209134216|94|||03 :77190|66784||030209134412|33|||89 :77088|2||030209134252|13|||89 :66744|169056|81690438185409|030209134224|6|||01 :66100|169053|8169132227|030209134224|6|||01 :66804|169055|816995300306|030209134208|2|||01 :66841|66164||030209134408|17|||89 :66203|169057|816995415291|030209134300|15|||01 :66117|169057|81690262602770|030209134304|1|||01 :66744|169056|81690438185409|030209134328|7|||01 :66804|169051|816995781398|030209134316|4|||01 :169041|66938||030209134336|9|||81 :66938|169055|816990765938|030209134336|9|||01 :66777|169053|816995920677|030209134336|9|||01 :66455|169051|816993999480|030209134316|4|||01 :169019|66666||030209134408|17|||81 :169011|66611||030209134332|23|||81 :66102|66425||030209134412|3|||89 :66804|169055|81690402570828|030209134328|7|||01 :169044|110059|8110|030209134408|17|||03 :169023|77971||030209134336|24|||81 :169042|110058|8110|030209134404|1|||03 :66613|169053|816995832003|030209134424|6|||01 :66298|169047|81690398854866|030209134400|15|||01 :66800|169058|816994285325|030209134416|64|||01 :169045|66322||030209134440|10|||81 :66804|169055|816995259147|030209134432|8|||01 :66348|169044|81690419387065|030209134504|1|||01 :66117|169056|81690262691080|030209134512|18|||01 :169008|8619||030209134452|13|||81 :169021|66016||030209134452|13|||81 :66178|169057|816998032650|030209134452|28|||01 :66217|66396||030209134524|6|||89 :169016|66261||030209134524|96|||81 :66276|66611||030209134552|13|||89 :66332|169057|81690409889688|030209134504|1|||01 :66843|66316||030209134544|11|||89 :66025|169059|816995088382|030209134556|59|||01 :66341|66336||030209134640|10|||89 :169019|66123||030209134752|28|||81 :66804|169055|816995632195|030209134544|11|||01 :66348|169057|81690418637931|030209134604|1|||01 :66848|169047|816995786978|030209134536|9|||01 :169043|8016||030209134616|34|||81 :169031|66237||030209134544|11|||81 :66149|66298||030209134620|5|||89 :66465|169046|81690423486269|030209134632|23|||01 :66497|169060|816992651000|030209134608|122|||01 :66848|169055|816998281280|030209134616|4|||01 :169030|110057|81103|030209134700|180|||03 :66455|169057|816993999480|030209134700||||01 :169018|66938||030209134704|16|||81 :66938|169059|816990765938|030209134704|16|||01 :169007|8618||030209135336|99|||81 :169015|66231||030209134648|12|||81 :66694|66268||030209135156|74|||89 :66322|66744||030209134712|3|||89 :66348|169057|81690413392851|030209134700||||01 :169036|169060|81690419150163|030209134708|2|||03 :66313|169045|816998352333|030209134736|24|||01 :66341|66652||030209134716|4|||89 :77889|66722||030209134732|8|||89 :169014|66712||030209134708|2|||81 :66664|169058|816995329110|030209134752|43|||01 :66164|2||030209134828|7|||89 :169005|66254||030209134740|10|||81 :66848|169060|816995938288|030209134736|9|||01 :169022|66261||030209134748|117|||81 :66452|169057|81690403347892|030209134808|2|||01 :77040|2||030209134812|3|||89 :66425|169053|816995713003|030209134808|62|||01 :169033|66800||030209134836|24|||81 :66844|169060|816998870833|030209134820|5|||01 :66164|169058|816959683676|030209134836|9|||01 :66322|169046|816959748617|030209134900||||01 :77040|169057|81690400110787|030209134820|5|||01 :169027|66280||030209134832|8|||81 :169024|66938||030209134836|9|||81 :66938|169047|816990765938|030209134836|9|||01 :66117|169058|816998157800|030209134900||||01 :66843|66741||030209135012|18|||89 :66865|169055|816995273383|030209134904|16|||01 :66348|169060|81690400102494|030209134912|3|||01 :169035|64078||030209134920|5|||81 :66322|66707||030209134928|7|||89 :66664|66602||030209134900||||89 :66601|66664||030209134948|12|||89 :66800|169042|816995568987|030209134936|69|||01 :66332|169060|81690409889688|030209134908|2|||01 :169025|110058|81102|030209134952|13|||03 :169028|66263||030209134924|6|||81 :66029|169058|816995783346|030209134944|11|||01 :66611|66661||030209135112|18|||89 :66724|77147||030209135140|25|||89 :169017|66800||030209135028|7|||81 :66117|169057|816998157800|030209135012|18|||01 :8164|169060|816995788022|030209135016|4|||01 :66100|66268||030209135028|7|||89 :169004|110060|8110|030209135020|35|||03 :169029|66259||030209135048|57|||81 :169010|66166||030209135028|7|||81 :169026|66666||030209135056|14|||81 :169032|66314||030209135120|5|||81 :66841|169049|81690260584444|030209135052|118|||01 :64066|169060|816995273145|030209135120|5|||01 :66611|2||030209135112|3|||89 :66146|169054|816998160598|030209135112|153|||01 :169040|66700||030209135140|10|||81 :66314|66456||030209135104|1|||89 :169037|66314||030209135136|9|||81 :64071|66251||030209135148|12|||89 :169011|66712||030209135112|3|||81 :66611|66100||030209135228|7|||89 :66316|169057|816995769495|030209135124|6|||01 :66332|169055|81690409889688|030209135208|2|||01 :169006|169059|81690414403640|030209135132|53|||03 :66679|169060|81690293387794|030209135140|10|||01 :66332|169057|81690409889688|030209135208|2|||01 :169032|66102||030209135316|19|||81 :169023|110059|81108|030209135200|15|||03 :66738|2||030209135208|2|||89 :169041|66174||030209135200|15|||81 :169034|66314||030209135232|38|||81 :66444|169055|81691800551702|030209135216|4|||01 :66348|169059|816996327108|030209135200||||01 :66183|66350||030209135216|4|||89 :66236|169054|816985744900|030209135244|11|||01 :169013|110057|811057|030209135252|58|||03 :66352|169050|81690418478803|030209135304|466|||01 :169019|66938||030209135316|4|||81 :66938|169055|816990765938|030209135316|4|||01 :66382|2||030209135312|3|||89 :169002|66433||030209135304|31|||81 :66325|66611||030209135352|13|||89 :169016|66012||030209135328|7|||81 :66451|169046|81690409889688|030209135304|1|||01 :66322|169054|81690425827262|030209135304|1|||01 :66473|169053|816985175931|030209135244|11|||01 :66150|169048|816997023108|030209135332|263|||01 :66348|169045|81690439034149|030209135400||||01 :66002|169047|816911|030209135340|10|||01 :169016|66123||030209135448|12|||81 :66804|77889||030209135420|5|||89 :66236|169050|816985744984|030209135344|11|||01 :66153|169056|816995784545|030209135416|139|||01 :66322|66705||030209135412|3|||89 :66288|66648||030209135524|6|||89 :169031|66270||030209135504|16|||81 :169043|66751||030209135508|32|||81 :66382|169055|81690438757209|030209135452|28|||01 :169044|66314||030209135520|50|||81 :66236|2||030209135540|10|||89 :66289|66648||030209135508|2|||89 :66332|169055|81690409889688|030209135508|2|||01 :66289|66648||030209135612|3|||89 :66738|169057|816994266666|030209135524|51|||01 :169038|77971||030209135552|73|||81 :169003|66274||030209135528|67|||81 :169030|66342||030209135556|29|||81 :66270|169055|816995788576|030209135612|3|||01 :77792|169049|816997999077|030209135600|45|||01 :169044|77810||030209135704|16|||81 :66236|169056|81690407770721|030209135636|9|||01 :66289|66648||030209135624|6|||89 :66451|169057|81690409889688|030209135604|1|||01 :64071|2||030209135600||||89 :169021|169059|81690419150163|030209135708|62|||03 :64101|66270||030209135732|8|||89 :169020|66140||030209135712|3|||81 :169022|8620||030209135640|10|||81 :169009|66364||030209135640|145|||81 :8613|8615||030209135808|2|||89 :169042|66648||030209135720|5|||81 :66804|169053|816995784562|030209135744|26|||01 :169024|66168||030209135744|11|||81 :66672|169054|81691800059388|030209135724|66|||01 :169017|66791||030209135800||||81 :8613|8616||030209135804|1|||89 :169035|77971||030209135752|13|||81 :66611|66661||030209135828|7|||89 :169005|66336||030209135736|24|||81 :169040|66979||030209135800||||81 :66979|169053|816990765979|030209135800||||01 :169028|66636||030209135736|9|||81 :169001|110060|8110|030209135808|107|||03 :66183|66350||030209135816|4|||89 :169027|66666||030209135840|25|||81 :169026|66263||030209135844|11|||81 :169033|66428||030209135808|32|||81 :66273|169050|81690432391977|030209135800||||01 :66193|169051|816995258099|030209135848|222|||01 :66789|66350||030209135924|6|||89 :169008|66800||030209135840|100|||81 :66270|64035||030209135912|3|||89 :66630|169053|816995256148|030209135916|4|||01 :169025|66270||030209135828|22|||81 :66274|169055|81690439975997|030209135840|10|||01 :77147|66741||030209135932|8|||89 :8611|169059|816995570811|030209135848|12|||01 :66446|169057|816995279496|030209135920|35|||01 :169011|66744||030209135944|11|||81 :169041|66938||030209135924|6|||81 :66938|169051|816990765938|030209135924|6|||01 :169004|66218||030209135944|26|||81 :66161|66717||030209135932|8|||89 :66422|169054|81690438379160|030209135936|24|||01 :77889|77647||030209135900||||89 :66804|169056|816995844849|030209135904|16|||01 :169034|66844||030209135952|13|||81 :169019|66322||030209135928|7|||81