:169045|66619||040209210028|7|||81 :66423|66382||040209211020|5|||89 :66761|66423||040209211212|18|||89 :64005|169059|81690433449178|040209211520|5|||01 :66423|66382||040209211712|18|||89 :66811|169060|816990774948|040209211524|21|||01 :169048|66249||040209211704|16|||81 :66178|66350||040209211728|7|||89 :64080|66423||040209211800|15|||89 :66762|169060|8169132227|040209212208|2|||01 :9|106020|810610162863|040209212336|9|||01 :66762|169060|8169132227|040209212536|9|||01 :169001|110060|8110|040209212600|180|||03 :66762|169060|81690413897948|040209212640|10|||01 :66713|169060|816995806524|040209212812|18|||01 :9|106019|810610162863|040209212836|24|||01 :66707|169059|81690409456059|040209212944|26|||01 :66423|169058|81690408137051|040209213040|40|||01 :169022|66762||040209213236|9|||81 :66423|66762||040209213836|24|||89 :9|106017|810610162863|040209213712|3|||01 :9|106016|810610662863|040209213804|1|||01 :169038|66000||040209213816|34|||81 :66000|106018|810610062863|040209213816|34|||01 :169026|66249||040209213844|11|||81 :66762|169059|816995625389|040209213908|2|||01 :66762|169059|81690433765573|040209214012|3|||01 :66340|169060|816995235050|040209214000|75|||01 :9|106015|810610162863|040209214124|36|||01 :66325|169060|816995788475|040209214136|9|||01 :169029|66063||040209214324|6|||81 :66063|169060|816990765063|040209214324|6|||01 :66761|66395||040209214416|4|||89 :66100|106014|810610662863|040209214620|80|||01 :9|106012|810610062863|040209215612|3|||01 :66423|66382||040209215632|8|||89 :169005|66249||040209215828|37|||81 :9|106011|810610162863|040209215908|2|||01 :169014|66423||040209215924|6|||81