:169042|66452||040209090144|146|||81 :66161|66029||040209090200|90|||89 :169020|64020||040209090024|36|||81 :169019|2||040209090008|32|||82 :169045|66273||040209090516|79|||81 :64005|66251||040209090040|10|||89 :66336|77054||040209090008|2|||89 :169013|8619||040209090148|27|||81 :169031|110060|81105|040209090020|20|||03 :169007|66773||040209090036|9|||81 :169024|110059|8110|040209090032|38|||03 :66326|169054|816995237214|040209090104|1|||01 :66769|66467||040209090712|93|||89 :66325|169048|816995662733|040209090020|20|||01 :66102|169052|816995090539|040209090108|32|||01 :66427|77089||040209090104|1|||89 :66326|2||040209090108|2|||89 :169021|66105||040209090800|105|||81 :64035|169054|816994195333|040209090108|2|||01 :66448|169059|816987706899|040209090108|62|||01 :66326|169052|81690411027282|040209090128|7|||01 :169023|66261||040209090200|15|||81 :66804|66648||040209090412|33|||89 :66611|66661||040209090216|4|||89 :66136|66854||040209090224|6|||89 :64086|169053|81690411807266|040209090228|22|||01 :66322|169049|81690416288336|040209090212|48|||01 :66619|66611||040209090328|7|||89 :66769|169054|816995238789|040209090236|9|||01 :169050|66804||040209090308|17|||81 :66434|66635||040209090328|7|||89 :169002|2||040209090316|4|||82 :66215|169052|81690413733897|040209090336|9|||01 :77190|169053|816997058185|040209090348|12|||01 :66451|169050|81690409889688|040209090316|4|||01 :66672|169059|81691800888333|040209090356|29|||01 :66769|169052|81690417646039|040209090444|11|||01 :169038|66336||040209090456|59|||81 :169036|66261||040209090440|70|||81 :8164|169048|81690424250599|040209090504|1|||01 :169010|66433||040209090444|11|||81 :169041|66744||040209090516|4|||81 :77643|169053|816990761249|040209090528|22|||01 :64036|169055|816997072299|040209090512|108|||01 :66117|64031||040209090504|1|||89 :8164|169048|816995072201|040209090504|1|||01 :66314|64020||040209090604|1|||89 :169040|66314||040209090520|5|||81 :66336|66660||040209090640|10|||89 :77040|169050|816995282278|040209090612|33|||01 :66032|66261||040209090616|4|||89 :169018|77971||040209090612|3|||81 :66322|169054|81690416288336|040209090620|50|||01 :64036|169055|81690425832910|040209090652|13|||01 :169012|66666||040209090652|28|||81 :64086|66289||040209091100|60|||89 :169039|66800||040209090636|9|||81 :64035|169052|816994195333|040209090656|29|||01 :169016|110060|8110|040209090704|16|||03 :8164|169054|816995048418|040209090704|1|||01 :66117|64072||040209090700||||89 :169043|66117||040209090628|7|||81 :169027|66741||040209090624|66|||81 :66325|169051|816998083156|040209090628|37|||01 :77190|64017||040209090704|1|||89 :169042|66789||040209090708|2|||81 :169008|66287||040209090720|20|||81 :169005|66117||040209090716|4|||81 :66713|66660||040209090852|13|||89 :169004|66245||040209090716|19|||81 :66025|169060|816995088382|040209090716|154|||01 :66830|66679||040209090828|7|||89 :66336|77648||040209090816|4|||89 :66717|169048|816997298738|040209090820|5|||01 :169011|66938||040209090748|12|||81 :66938|169052|816990765938|040209090748|12|||01 :66485|66482||040209090800||||89 :169028|66485||040209090744|11|||81 :66790|66422||040209091104|46|||89 :169025|66834||040209090808|17|||81 :66183|169046|816995329349|040209090820|5|||01 :169009|66314||040209090820|20|||81 :169037|66619||040209090820|5|||81 :169001|66341||040209090804|16|||81 :64086|169054|81690411807266|040209090828|22|||01 :66329|169060|816995703165|040209090832|8|||01 :66239|169049|81690410561488|040209090832|68|||01 :64071|66251||040209091444|86|||89 :66285|169057|81690430508180|040209090924|171|||01 :169037|2||040209090936|9|||82 :66830|169052|816995325541|040209090936|9|||01 :66183|66854||040209090920|5|||89 :66635|169054|816995329349|040209090920|5|||01 :77040|169059|816995282077|040209090908|77|||01 :66712|169057|816993742776|040209090940|10|||01 :66183|66350||040209091020|5|||89 :169029|66287||040209091040|10|||81 :66664|66746||040209091004|1|||89 :169017|66314||040209090952|43|||81 :169026|66619||040209091044|11|||81 :66329|169060|816995707743|040209091044|11|||01 :66832|169052|816982903204|040209091016|4|||01 :64016|169059|816995712555|040209091032|8|||01 :66177|66418||040209091120|5|||89 :169003|66938||040209091104|31|||81 :66938|169048|816990765938|040209091104|31|||01 :169034|66301||040209091032|23|||81 :66215|169050|81690488607631|040209091104|46|||01 :66636|169051|816995285442|040209091100|45|||01 :66480|169054|816995230744|040209091056|14|||01 :64026|169059|816995279393|040209091104|1|||01 :169020|66648||040209091036|24|||81 :169022|77971||040209091036|24|||81 :169031|66717||040209091120|5|||81 :66117|64029||040209091104|1|||89 :169043|64072||040209091524|66|||81 :64046|169060|816995931962|040209091132|8|||01 :66260|169056|8169131383|040209091056|194|||01 :169045|64077||040209091120|5|||81 :169019|66261||040209091052|13|||81 :66746|66422||040209091100||||89 :169021|110060|81105|040209091132|8|||03 :169007|77054||040209091116|4|||81 :169030|66136||040209091152|58|||81 :66661|66611||040209091256|14|||89 :169006|66253||040209091200|30|||81 :66784|169052|816998352767|040209091144|11|||01 :66610|66752||040209093204|301|||89 :77758|66611||040209091212|3|||89 :66029|169049|816995783346|040209091200|30|||01 :66352|66278||040209091300|15|||89 :169038|66263||040209091236|9|||81 :169024|66341||040209091224|21|||81 :66830|66713||040209091308|17|||89 :64086|66867||040209091436|39|||89 :66032|66804||040209091224|6|||89 :169010|66150||040209091228|7|||81 :66273|2||040209091312|3|||89 :66128|169056|816997002281|040209091232|8|||01 :169044|66195||040209091216|19|||81 :169012|66341||040209091224|6|||81 :66664|66336||040209091340|10|||89 :66477|169051|816995636322|040209091228|7|||01 :169032|66744||040209091316|4|||81 :169036|66119||040209091304|16|||81 :169002|66325||040209091316|4|||81 :169018|66117||040209091300|15|||81 :66253|66289||040209091316|4|||89 :66153|169054|816996525413|040209091236|9|||01 :66845|169060|81690414099825|040209091328|22|||01 :66236|169052|816995338830|040209091244|11|||01 :169040|64020||040209092044|116|||81 :66245|66270||040209091336|9|||89 :66249|169051|816993234558|040209091320|5|||01 :66744|169054|816999|040209091300||||01 :66218|169047|816992128900|040209091320|125|||01 :169005|66789||040209091312|3|||81 :64086|169056|81690411807266|040209091336|9|||01 :66832|169060|816993090109|040209091404|1|||01 :66151|66316||040209091416|4|||89 :66761|66273||040209091412|3|||89 :66744|66619||040209091400||||89 :66253|66164||040209091456|14|||89 :169004|110060|81105|040209091336|9|||03 :169039|66804||040209091436|24|||81 :66705|169057|81690260421417|040209091400|60|||01 :66617|169059|81690395782027|040209091420|35|||01 :169014|66435||040209091352|28|||81 :66151|66619||040209091420|5|||89 :169033|66804||040209091456|14|||81 :66025|66263||040209091508|2|||89 :169001|66093||040209091540|10|||81 :66093|169059|816990765093|040209091540|10|||01 :169008|66834||040209091500|30|||81 :66151|66713||040209091512|3|||89 :169048|66666||040209091520|5|||81 :169037|66336||040209091524|6|||81 :77149|66800||040209091648|12|||89 :169031|66800||040209091604|1|||81 :66789|66428||040209091636|9|||89 :66746|66664||040209091728|22|||89 :66026|66890||040209091624|6|||89 :66487|169057|816995362722|040209091556|14|||01 :169017|110058|81108|040209091608|17|||03 :169013|66002||040209091632|8|||81 :169043|66177||040209091616|4|||81 :66422|66021||040209091704|16|||89 :66249|169059|816998873770|040209091632|8|||01 :66618|169056|816986623920|040209091612|3|||01 :66451|169057|81690409889688|040209091608|2|||01 :169019|66800||040209091636|9|||81 :169042|66938||040209091648|57|||81 :66938|169050|816990765938|040209091648|57|||01 :66769|169055|816995555377|040209091652|148|||01 :66455|169057|816993999480|040209091700||||01 :169003|77971||040209091656|14|||81 :66631|77643||040209091700||||89 :169038|66631||040209091720|5|||81 :66011|66236||040209091732|8|||89 :169016|66395||040209091708|77|||81 :66611|66341||040209092048|42|||89 :66219|169052|816992152400|040209091732|8|||01 :66680|66210||040209091940|25|||89 :169038|77643||040209091836|9|||81 :169028|66482||040209092732|143|||81 :66778|169056|816985066811|040209091816|19|||01 :66832|169060|816992052200|040209091812|63|||01 :169032|66249||040209091744|11|||81 :66335|66164||040209091900|15|||89 :66107|169059|816995768385|040209091828|22|||01 :8018|169054|816997924306|040209091808|32|||01 :66661|66611||040209091820|5|||89 :169002|66834||040209091836|9|||81 :169040|66433||040209091820|5|||81 :169035|77971||040209091812|18|||81 :169036|110059|81101|040209091852|13|||03 :169021|66422||040209091824|36|||81 :66874|77649||040209092024|21|||89 :77643|66744||040209091948|12|||89 :66769|169057|816995555377|040209091916|19|||01 :66619|66660||040209091936|9|||89 :66249|169054|816995554287|040209091928|7|||01 :66107|169050|816995277389|040209091924|6|||01 :64036|169052|816990900900|040209091928|7|||01 :169018|66342||040209091924|21|||81 :66151|66713||040209092048|12|||89 :66336|66664||040209092032|8|||89 :66038|169060|816992440444|040209092008|17|||01 :66618|64086||040209092016|4|||89 :169014|66428||040209091940|10|||81 :66239|169044|816995000016|040209091936|9|||01 :169009|66789||040209092012|3|||81 :66314|77647||040209092104|16|||89 :66427|2||040209092016|4|||89 :66007|169048|816995253922|040209091940|10|||01 :169002|77810||040209092152|28|||81 :169005|110060|8110|040209091956|29|||03 :66365|169043|816995767457|040209091952|13|||01 :66026|66890||040209092124|6|||89 :66610|169044|816995956666|040209092032|8|||01 :64005|66658||040209092136|9|||89 :169047|66314||040209092028|37|||81 :66427|169050|81690413490195|040209092104|1|||01 :169025|66140||040209092036|39|||81 :169033|66249||040209092044|11|||81 :64077|169059|816998163858|040209092052|28|||01 :66459|66618||040209092132|8|||89 :8616|169056|8169131314|040209092052|43|||01 :66117|169057|816998279676|040209092052|28|||01 :66314|66448||040209092104|1|||89 :169029|66314||040209092116|4|||81 :169045|66800||040209092104|76|||81 :77190|169047|816997058298|040209092112|3|||01 :66253|66287||040209092152|13|||89 :169001|66702||040209092112|3|||81 :169015|66636||040209092136|129|||81 :64016|169060|816995755365|040209092136|24|||01 :169041|66800||040209092144|71|||81 :66155|169049|816986164038|040209092140|40|||01 :169008|66264||040209092132|8|||81 :169039|66287||040209092136|9|||81 :66033|66253||040209092232|8|||89 :64028|169059|816995719933|040209092140|10|||01 :64016|169048|816995723012|040209092228|7|||01 :66328|66145||040209092256|14|||89 :66774|169054|816992773877|040209092244|41|||01 :8164|66102||040209092224|6|||89 :66218|169044|81690409189925|040209092240|25|||01 :66428|66002||040209092324|6|||89 :169020|66016||040209092256|14|||81 :66117|64072||040209092304|1|||89 :169029|66448||040209092512|33|||81 :77165|169059|81690410934621|040209092320|5|||01 :66733|169052|816954264910|040209092340|55|||01 :66193|169055|816995283676|040209092324|96|||01 :66611|66619||040209092428|7|||89 :66117|64030||040209092404|1|||89 :66612|66644||040209092420|5|||89 :66288|64086||040209092416|4|||89 :169023|66465||040209092336|9|||81 :169022|66063||040209092344|26|||81 :66063|169060|816990765063|040209092344|26|||01 :169017|66349||040209092356|14|||81 :169013|66341||040209092416|4|||81 :169006|66314||040209092400||||81 :66648|77089||040209092404|1|||89 :66176|66340||040209092408|2|||89 :66256|169057|81690409382109|040209092428|37|||01 :169030|66177||040209092420|5|||81 :66153|169051|816982903410|040209092424|96|||01 :169024|66673||040209092404|1|||81 :66113|169054|816995102013|040209092424|21|||01 :66640|169043|81691300722227|040209092436|54|||01 :66278|169042|816995787715|040209092404|76|||01 :8612|66140||040209092540|10|||89 :169019|110060|81109|040209092416|4|||03 :66021|66322||040209092556|14|||89 :66029|169055|816985744921|040209092508|17|||01 :66107|169047|816995782808|040209092508|2|||01 :8617|169048|816987949957|040209092532|8|||01 :169010|66063||040209092620|5|||81 :66063|169055|816990765063|040209092620|5|||01 :66648|169057|816995712111|040209092548|27|||01 :66706|2||040209092604|1|||89 :66769|169049|81690409565577|040209092604|16|||01 :66835|169054|816995832281|040209092628|22|||01 :169037|2||040209092700||||82 :66303|169048|816995641004|040209092648|12|||01 :169016|66393||040209092640|10|||81 :66706|66800||040209092720|5|||89 :66848|169055|816997837299|040209092624|6|||01 :169032|66938||040209092720|5|||81 :66938|169049|816990765938|040209092720|5|||01 :66454|169047|81690409211497|040209092712|18|||01 :169027|66261||040209092656|29|||81 :66465|169060|816998827644|040209092656|44|||01 :169007|66447||040209092656|59|||81 :169003|66773||040209092732|38|||81 :66021|66322||040209092708|2|||89 :66791|169050|81690417235669|040209092712|63|||01 :169004|66600||040209092720|5|||81 :66746|77046||040209092804|1|||89 :66369|169055|816995946022|040209092740|10|||01 :66341|66660||040209092852|13|||89 :169036|66648||040209092720|5|||81 :169031|8018||040209092816|79|||81 :66662|169059|81690411778748|040209092808|62|||01 :66713|66312||040209092832|8|||89 :169018|66314||040209092820|5|||81 :66342|77643||040209093036|24|||89 :169040|66666||040209092912|3|||81 :66176|66322||040209092932|8|||89 :66448|169051|816995696771|040209092836|69|||01 :66769|169060|81690419770108|040209092916|19|||01 :66117|169055|816998279676|040209092904|16|||01 :8164|169055|81690424250599|040209092900||||01 :66835|169049|816995968244|040209092936|9|||01 :169014|66314||040209092900|15|||81 :169046|66141||040209092848|222|||81 :169001|110057|8110|040209092912|3|||03 :66342|77645||040209092944|11|||89 :66611|2||040209092912|3|||89 :169002|66440||040209093000|15|||81 :169041|66834||040209092908|2|||81 :66038|169056|816998733560|040209093008|122|||01 :66874|169052|816995099763|040209092944|86|||01 :66205|64035||040209093528|82|||89 :169034|110058|81101|040209092940|10|||03 :66273|169054|81690405605511|040209092944|41|||01 :8164|169047|816995048414|040209093004|1|||01 :8617|169055|81690416034822|040209092932|8|||01 :169035|66195||040209093000|45|||81 :66644|169049|816915|040209093004|1|||01 :169040|66123||040209093132|23|||81 :8164|169052|816995072201|040209093004|1|||01 :66636|169045|816995707743|040209093028|67|||01 :66287|169060|816994192250|040209093032|23|||01 :169008|77054||040209093020|5|||81 :169011|66314||040209093052|43|||81 :66631|169049|816995329900|040209093020|5|||01 :169026|66938||040209093024|6|||81 :66938|169047|816990765938|040209093024|6|||01 :66422|66021||040209093148|12|||89 :66644|66204||040209093148|12|||89 :66791|169048|81690408328378|040209093104|31|||01 :66038|169060|816998784544|040209093116|4|||01 :66290|2||040209093120|5|||89 :8164|169056|81690431148401|040209093104|1|||01 :64024|169050|81690418590398|040209093108|47|||01 :169019|110058|8110|040209093104|1|||03 :66428|169057|816959736599|040209093120|50|||01 :66721|66619||040209093140|10|||89 :169010|66938||040209093104|1|||81 :66938|169056|816990765938|040209093104|1|||01 :169042|66270||040209093116|4|||81 :8620|169054|816996009161|040209093140|25|||01 :169017|66237||040209093136|9|||81 :169012|77971||040209093204|46|||81 :66290|66102||040209093228|7|||89 :66117|66393||040209093204|1|||89 :66153|169055|81690409921847|040209093128|22|||01 :169038|66189||040209093152|88|||81 :169037|66382||040209093212|3|||81 :77069|66342||040209093220|5|||89 :169013|66447||040209093208|2|||81 :66611|169051|81690419770145|040209093216|34|||01 :66105|169060|81690421709989|040209093244|11|||01 :66442|2||040209093316|4|||89 :169027|66769||040209093228|7|||81 :66619|169050|81691300888801|040209093224|6|||01 :66738|2||040209093312|3|||89 :66467|169051|816992922370|040209093304|1|||01 :66418|169055|816990766937|040209093240|10|||01 :64005|2||040209093304|1|||89 :169032|110058|8110|040209093240|10|||03 :66769|169052|816995238789|040209093240|10|||01 :169016|66025||040209093308|17|||81 :66105|169049|816987878108|040209093324|6|||01 :66661|66744||040209093320|5|||89 :66442|77270||040209093332|8|||89 :169036|66776||040209093316|4|||81 :64028|169059|816985730900|040209093348|72|||01 :8620|169056|81690403025930|040209093332|23|||01 :66448|169046|81690294253796|040209093412|48|||01 :66611|66325||040209093420|5|||89 :66102|66105||040209093404|1|||89 :169007|66012||040209093332|8|||81 :66161|66854||040209093448|12|||89 :66431|169052|816997881371|040209093404|1|||01 :169002|66117||040209093432|8|||81 :66738|169056|81691223|040209093432|8|||01 :169034|66733||040209093444|11|||81 :66791|66830||040209093808|47|||89 :169001|66340||040209093412|18|||81 :169014|66210||040209093412|18|||81 :169040|66666||040209093420|5|||81 :66791|66176||040209093500||||89 :66418|169055|816990766937|040209093440|10|||01 :169035|110053|8110|040209093444|11|||03 :66012|169052|81690414329794|040209093516|4|||01 :66603|169051|81691300467223|040209093448|27|||01 :169028|64005||040209093500|30|||81 :169029|66603||040209093508|2|||81 :66679|66361||040209093528|7|||89 :66273|66290||040209093620|20|||89 :66431|169050|816997881370|040209093532|8|||01 :66033|66706||040209093600|15|||89 :169009|66619||040209093500|30|||81 :66661|66707||040209093704|31|||89 :169041|66844||040209094052|88|||81 :66738|169049|816998352333|040209093548|12|||01 :66791|169056|81690422865341|040209093516|4|||01 :169044|66342||040209093552|13|||81 :66856|169047|816992762000|040209093600|15|||01 :66197|169052|81691300366314|040209093540|10|||01 :8615|169060|816995877719|040209093624|51|||01 :66705|169059|816995929144|040209093612|18|||01 :66791|169056|816995570553|040209093608|2|||01 :66382|169042|816995706422|040209093620|5|||01 :66362|169046|816995279545|040209093540|10|||01 :169024|66207||040209093640|10|||81 :66660|66611||040209093648|12|||89 :77088|169055|816993261964|040209093628|22|||01 :64005|66219||040209093616|4|||89 :169008|66261||040209093612|18|||81 :169022|110057|81101|040209093636|84|||03 :66636|169050|816995203143|040209093700|15|||01 :169019|66727||040209093656|14|||81 :66325|66661||040209093736|9|||89 :169023|110059|81108|040209093712|93|||03 :66032|64077||040209093752|13|||89 :169017|66834||040209093640|10|||81 :169010|66166||040209093716|19|||81 :169037|8006||040209093716|4|||81 :66640|169057|81691300722227|040209093724|81|||01 :169013|66494||040209093712|3|||81 :66183|66350||040209093720|5|||89 :66404|169055|816995020070|040209093720|5|||01 :66197|66418||040209093748|12|||89 :169030|66102||040209093732|23|||81 :64020|169052|816959832142|040209093712|18|||01 :66278|2||040209093720|5|||89 :66454|169059|81690407321103|040209093720|5|||01 :169037|66302||040209093848|12|||81 :66465|169051|81690421619098|040209093816|34|||01 :66252|66288||040209093812|3|||89 :66290|66033||040209093824|6|||89 :66442|169049|816954282096|040209093824|36|||01 :8615|169060|81690404458830|040209093844|26|||01 :66867|64086||040209094108|47|||89 :169013|66123||040209093912|18|||81 :169026|66270||040209093836|9|||81 :169006|110056|8110|040209093828|112|||03 :169012|110058|81105|040209093900|30|||03 :66844|169056|816953364225|040209093856|29|||01 :66264|169060|816995090427|040209093816|4|||01 :66761|66342||040209093920|5|||89 :66260|66227||040209093908|2|||89 :169032|66227||040209093848|12|||81 :66107|169054|81690438250033|040209093832|98|||01 :66428|169051|816995106925|040209093916|4|||01 :66398|169057|816996261105|040209093924|6|||01 :66003|169056|816998352444|040209093928|7|||01 :66256|169041|816995283793|040209093936|54|||01 :66236|169052|816995338830|040209093944|11|||01 :66867|169055|81690411807266|040209093936|9|||01 :8613|8619||040209094016|4|||89 :66428|169057|816992651100|040209093920|5|||01 :169018|66667||040209094016|4|||81 :66741|66336||040209094636|99|||89 :169015|66834||040209094012|3|||81 :64076|169055|81690262833400|040209094028|7|||01 :169004|66340||040209094028|37|||81 :64058|64028||040209094308|32|||89 :77810|66260||040209094152|13|||89 :169016|66494||040209094100|30|||81 :169007|66607||040209094040|10|||81 :169031|66314||040209094048|27|||81 :169033|110060|81107|040209094108|182|||03 :77147|2||040209094108|2|||89 :8613|8620||040209094212|18|||89 :169045|77971||040209094044|86|||81 :169016|66237||040209094136|9|||81 :169032|66227||040209094324|36|||81 :66248|169056|816995230391|040209094136|24|||01 :64005|66314||040209094240|25|||89 :8019|8011||040209094124|6|||89 :77147|66218||040209094116|4|||89 :2|66600||040209094104|1|||89 :66336|66629||040209094228|7|||89 :169040|66636||040209094128|7|||81 :66769|169059|816985175914|040209094124|51|||01 :66789|66890||040209094216|4|||89 :66448|169052|816998649218|040209094204|16|||01 :8616|169050|816987961508|040209094140|10|||01 :66153|169057|816990764700|040209094216|19|||01 :169039|66666||040209094236|9|||81 :169001|77054||040209094204|16|||81 :169047|66012||040209094204|1|||81 :66660|66611||040209094320|5|||89 :169029|66712||040209094232|8|||81 :8613|8611||040209094308|2|||89 :169028|77971||040209094308|17|||81 :66117|169059|816998279676|040209094236|9|||01 :169042|66465||040209094320|5|||81 :169025|66127||040209094304|211|||81 :169009|66207||040209094248|12|||81 :169042|66123||040209094308|2|||81 :169048|66197||040209094240|10|||81 :169024|66465||040209094304|1|||81 :169035|66264||040209094252|28|||81 :66183|169054|816995212740|040209094340|40|||01 :66332|169042|81690409889688|040209094304|1|||01 :66303|169049|816995329349|040209094348|12|||01 :66610|169055|816997881370|040209094400|45|||01 :66455|169041|816993999480|040209094400||||01 :169038|66002||040209094316|4|||81 :66168|169042|816997644175|040209094408|2|||01 :66262|169058|816986167103|040209094348|1152|||01 :66121|169050|816995231342|040209094316|19|||01 :66763|169054|816995548946|040209094408|2|||01 :169046|66232||040209094400|15|||81 :66249|169040|816998706371|040209094332|8|||01 :169034|66268||040209094420|50|||81 :8616|169057|81690414898330|040209094340|25|||01 :66707|66034||040209094404|1|||89 :77083|169051|816992773745|040209094416|49|||01 :66419|66705||040209094608|17|||89 :66451|169058|81690409889688|040209094424|6|||01 :8613|8615||040209094504|1|||89 :169022|77971||040209094424|6|||81 :66431|169054|816997023108|040209094404|1|||01 :169024|64036||040209094624|21|||81 :169019|66063||040209094428|7|||81 :66063|169057|816990765063|040209094428|7|||01 :66325|66155||040209094604|16|||89 :66661|66391||040209094520|5|||89 :169028|8611||040209094708|32|||81 :169030|66666||040209094520|5|||81 :8617|169043|816959791967|040209094520|215|||01 :169036|8165||040209095628|172|||81 :66707|77270||040209094532|8|||89 :66835|169049|816995807692|040209094512|18|||01 :66706|169060|8169357|040209094444|86|||01 :66660|66611||040209094528|7|||89 :169022|8615||040209094532|8|||81 :64056|169055|816995557629|040209094504|16|||01 :169011|66234||040209094524|36|||81 :66707|66762||040209094612|3|||89 :169027|110057|81104|040209094512|3|||03 :169044|66700||040209094532|38|||81 :66254|169056|81690417387694|040209094520|35|||01 :66811|169059|816995272817|040209094536|39|||01 :66335|2||040209094612|3|||89 :66290|64086||040209094624|6|||89 :66155|66289||040209094640|10|||89 :66220|66773||040209094652|13|||89 :64071|2||040209094604|1|||89 :169047|64028||040209094940|55|||81 :8613|169040|816958328444|040209094600||||01 :169017|77971||040209094624|21|||81 :66712|169050|816955|040209094552|13|||01 :169012|66673||040209094604|1|||81 :66291|169057|8169132221|040209094644|26|||01 :66253|66256||040209094704|1|||89 :169006|66253||040209094624|6|||81 :66155|66164||040209094752|13|||89 :169013|66314||040209094652|13|||81 :169003|66404||040209094700|105|||81 :66769|169052|816982901333|040209094624|66|||01 :169005|66672||040209094652|283|||81 :66396|77434||040209094724|6|||89 :169006|66256||040209094744|11|||81 :66021|66322||040209095008|47|||89 :169026|66834||040209094728|22|||81 :66220|66773||040209094848|12|||89 :66717|169050|816999328499|040209094724|6|||01 :66012|169049|816994741525|040209094800|30|||01 :77810|66804||040209094820|5|||89 :66131|77270||040209094808|2|||89 :66442|169060|816996289911|040209094744|41|||01 :8164|169041|816995048418|040209094804|61|||01 :169023|66650||040209094812|48|||81 :66358|169060|816995945705|040209094808|2|||01 :8615|169059|816995877719|040209094824|36|||01 :169030|66742||040209095128|52|||81 :169020|77971||040209094812|123|||81 :66322|66395||040209094840|10|||89 :169021|66447||040209094848|312|||81 :66253|66341||040209094948|12|||89 :66801|169050|81690422532920|040209094832|8|||01 :66249|169037|816995099930|040209094908|17|||01 :66107|169047|81690438250033|040209094824|36|||01 :169039|66314||040209095528|97|||81 :66220|66773||040209094944|11|||89 :66419|169038|816995243458|040209094836|24|||01 :77083|169043|816992773745|040209094924|51|||01 :66234|169046|816999334813|040209094924|51|||01 :66358|2||040209094900||||89 :8615|169059|81690404458830|040209094924|6|||01 :169007|66666||040209094904|1|||81 :66303|169060|816995329349|040209094852|13|||01 :66324|64086||040209094928|7|||89 :169002|66002||040209094936|9|||81 :169010|64071||040209094956|44|||81 :66261|169060|816997560127|040209094904|1|||01 :169015|66648||040209094956|14|||81 :169016|66012||040209095008|2|||81 :66290|169059|816992585032|040209095008|2|||01 :66431|169044|81690412833994|040209094940|55|||01 :66866|66314||040209095204|31|||89 :64086|169046|81690419770254|040209095012|3|||01 :66153|169042|81691300654329|040209094956|59|||01 :66447|169041|816995313782|040209095020|5|||01 :77083|169050|816992773745|040209095004|16|||01 :169004|77971||040209095012|18|||81 :8165|66804||040209095120|20|||89 :66290|2||040209095008|2|||89 :169029|66603||040209095004|1|||81 :66226|169043|81690438373124|040209095012|3|||01 :66168|169058|816997632813|040209095052|88|||01 :66431|169046|816990766269|040209095016|4|||01 :169025|66269||040209095016|4|||81 :169018|66270||040209095048|12|||81 :169035|66012||040209095032|8|||81 :66661|66253||040209095128|7|||89 :8622|169057|816999288901|040209095056|59|||01 :169024|66666||040209095116|4|||81 :66800|169044|816995314696|040209095036|9|||01 :169031|77971||040209095052|28|||81 :66358|169049|816995945705|040209095028|22|||01 :66249|169059|816998941631|040209095104|16|||01 :169032|66140||040209095124|21|||81 :66713|66830||040209095120|5|||89 :8205|66260||040209095300|30|||89 :66382|169047|816995329900|040209095120|5|||01 :169008|66428||040209095100|15|||81 :66341|66253||040209095124|6|||89 :64036|169057|816997553355|040209095128|7|||01 :169014|66713||040209095120|20|||81 :77083|169044|816992773745|040209095132|8|||01 :8615|169060|81690404458830|040209095156|29|||01 :169029|66321||040209095324|21|||81 :66386|66324||040209095228|7|||89 :66661|66611||040209095224|6|||89 :169019|66380||040209095136|9|||81 :64082|169059|81690433195981|040209095136|9|||01 :169011|66002||040209095136|9|||81 :66177|66854||040209095224|6|||89 :66767|169059|81690412514111|040209095204|1|||01 :169022|66166||040209095208|17|||81 :8615|169060|816995877719|040209095228|7|||01 :169028|66395||040209095256|29|||81 :66215|66340||040209095352|13|||89 :169027|66301||040209095316|19|||81 :66153|169049|816995980570|040209095308|2|||01 :66336|169054|816996458440|040209095336|129|||01 :66419|66744||040209095800|60|||89 :66261|169059|816998776360|040209095316|19|||01 :66705|169052|81690260239299|040209095340|100|||01 :169003|110057|81101|040209095352|28|||03 :66281|66486||040209095404|1|||89 :169005|8018||040209095404|16|||81 :169016|64028||040209095820|65|||81 :66867|66164||040209095416|4|||89 :66451|169054|81690409889688|040209095412|3|||01 :8613|8622||040209095536|24|||89 :66767|169058|81690412514111|040209095416|19|||01 :66382|169057|816995373600|040209095420|20|||01 :169009|110058|811057|040209095420|50|||03 :66644|169056|816995795445|040209095424|126|||01 :169033|66800||040209095412|48|||81 :66718|169051|816983872199|040209095408|152|||01 :66301|169059|816995346969|040209095452|13|||01 :8621|66838||040209095504|1|||89 :66329|169045|816995707743|040209095456|59|||01 :66290|169050|816992585000|040209095436|69|||01 :66652|169052|816995793141|040209095508|17|||01 :66289|66253||040209095516|4|||89 :169037|110057|81101|040209095516|4|||03 :169006|66660||040209095604|16|||81 :66661|66391||040209095628|7|||89 :66290|2||040209095604|1|||89 :8619|169055|816997871916|040209095524|156|||01 :169007|66791||040209095608|2|||81 :66804|77810||040209095640|10|||89 :169013|66804||040209095608|62|||81 :169026|110056|81105|040209095624|36|||03 :66661|66611||040209095608|2|||89 :66832|169055|816982903204|040209095604|1|||01 :169021|66119||040209095624|21|||81 :169020|110058|8110|040209095644|26|||03 :66149|169059|816998181471|040209095616|19|||01 :169030|66336||040209095624|21|||81 :66325|77089||040209095704|1|||89 :169010|110059|8110|040209095644|11|||03 :169002|66253||040209095624|6|||81 :66820|66268||040209095728|7|||89 :66166|66670||040209095728|7|||89 :66127|169049|816990122200|040209095700|15|||01 :66290|169051|816995639449|040209095704|16|||01 :169041|66600||040209095736|9|||81 :66612|169059|816997678666|040209095740|10|||01 :169034|66673||040209095708|2|||81 :66261|77089||040209095708|2|||89 :66342|169056|816995282077|040209095720|35|||01 :66670|66175||040209095812|3|||89 :66153|169058|816995981570|040209095808|47|||01 :169042|66093||040209095748|12|||81 :66093|169055|816990765093|040209095748|12|||01 :169023|66804||040209095836|9|||81 :66341|66325||040209095804|1|||89 :169015|66136||040209095820|35|||81 :169035|66636||040209095812|3|||81 :66336|66229||040209095920|5|||89 :169004|66776||040209095844|11|||81 :66448|169048|816995340981|040209095828|232|||01 :66341|66325||040209095900||||89 :169036|66341||040209095856|59|||81 :66707|77270||040209095924|6|||89 :66386|169059|816994188162|040209095916|19|||01 :66189|2||040209095904|1|||89 :169025|66195||040209095916|19|||81 :169032|66301||040209095936|9|||81 :169043|110058|81105|040209095928|22|||03 :66451|169059|81690409889688|040209095904|1|||01 :169014|66002||040209095932|8|||81 :66183|169051|816995329349|040209095920|5|||01 :169044|64017||040209095936|9|||81 :66751|169050|816998855814|040209095920|50|||01 :169008|66268||040209095936|9|||81 :66261|169059|81690400556556|040209095928|7|||01 :66332|169058|81690409889688|040209095928|7|||01 :66301|169057|816995236881|040209095944|71|||01