:169024|2||050209190000||||82 :66654|169055|816997953893|050209190000|15|||01 :66761|169060|816998854992|050209190056|179|||01 :66451|169057|81690409889688|050209190112|3|||01 :66248|169059|81690400681161|050209190124|6|||01 :169037|169060|81690409889688|050209190200||||03 :66253|2||050209190224|6|||89 :169011|66326||050209190324|6|||81 :66313|169058|816995000883|050209190320|140|||01 :66451|169060|81690409889688|050209190404|1|||01 :66761|2||050209190408|2|||89 :66635|66370||050209190528|7|||89 :169003|66761||050209190428|7|||81 :66635|66003||050209190516|4|||89 :169015|66938||050209190612|3|||81 :66938|169059|816990765938|050209190612|3|||01 :66451|169057|81690409889688|050209190604|1|||01 :66173|169058|816995308917|050209190624|6|||01 :169013|66619||050209190712|3|||81 :66451|169059|81690409889688|050209190704|1|||01 :66601|169060|81690419566398|050209190816|49|||01 :66332|169059|81690409889688|050209190812|3|||01 :2|169059|81690409889688|050209190904|1|||02 :169017|77072||050209192336|204|||81 :169010|66341||050209191020|5|||81 :66601|169060|81690417589650|050209191020|35|||01 :66332|169060|81690409889688|050209191104|1|||01 :66325|2||050209191212|3|||89 :169053|66744||050209191232|23|||81 :66761|66195||050209191320|5|||89 :169044|66335||050209191328|7|||81 :169051|66744||050209191252|13|||81 :66253|169060|816999172757|050209191332|8|||01 :66029|169060|816995286910|050209191424|6|||01 :169033|66652||050209191424|21|||81 :66332|169060|81690409889688|050209191404|1|||01 :169026|66652||050209191524|6|||81 :2|169059|81690404816431|050209191616|4|||02 :66705|169060|81690409948712|050209191644|11|||01 :66029|169060|816995783346|050209191804|16|||01 :169030|66197||050209192000|15|||81 :169050|66249||050209192004|31|||81 :66253|2||050209192028|7|||89 :66253|2||050209192100||||89 :66217|66341||050209192236|9|||89 :66253|169059|816995535319|050209192228|7|||01 :8210|169059|816995837751|050209192328|7|||01 :66601|169060|81690418578694|050209192356|59|||01 :8210|169059|816995837751|050209192436|9|||01 :169020|77054||050209192504|1|||81 :169007|66762||050209192624|51|||81 :77075|169059|816997724159|050209192752|28|||01 :66336|169060|816995153787|050209192732|38|||01 :66601|169058|816998364562|050209192808|32|||01 :66601|169060|81690419376180|050209192900||||01 :77083|169060|816992773745|050209192932|8|||01 :66601|169059|81690439346839|050209193000||||01 :169016|66938||050209193312|18|||81 :66938|169058|816990765938|050209193312|18|||01 :169052|66938||050209193424|6|||81 :66938|169058|816990765938|050209193424|6|||01 :169039|66744||050209193416|4|||81 :66332|169058|81690409889688|050209193504|1|||01 :66763|169059|816990774948|050209193524|51|||01 :169023|66341||050209193540|10|||81 :169005|66619||050209193624|6|||81 :66336|169059|816995053534|050209193724|6|||01 :169006|66335||050209193724|6|||81 :66100|169059|8169132227|050209193752|13|||01 :66657|169058|816995286615|050209193852|13|||01 :66601|169060|81690419376180|050209193912|123|||01 :66601|169058|81690439346839|050209194004|1|||01 :66635|66487||050209194116|4|||89 :66328|169059|81690402438947|050209194132|38||2025|01 :66635|66003||050209194216|4|||89 :66657|169060|816995572062|050209194204|46|||01 :169022|2||050209194200|15|||82 :169019|66737||050209194312|3|||81 :169018|110059|8110|050209194340|460|||03 :169049|66336||050209194328|7|||81 :169004|66246||050209194324|6|||81 :66601|169059|81690400859466|050209194348|12|||01 :169029|66707||050209194452|43|||81 :169047|66341||050209194624|6|||81 :169035|66246||050209194820|20|||81 :66657|169060|816995707209|050209194908|62|||01 :66382|169060|816995639918|050209195004|1|||01 :66332|169060|81690409889688|050209195104|1|||01 :66177|66143||050209195424|6|||89 :66707|2||050209195512|3|||89 :2|66707||050209195620|5|||89 :66382|169060|816995639918|050209195736|9|||01 :66623|169060|816995720436|050209195920|5|||01