:66707|66395||140209180504|16|||89 :66234|169060|816995713152|140209180528|7|||01 :66325|66706||140209180744|11|||89 :66332|169059|81690409889688|140209180808|2|||01 :66415|169060|816994800679|140209180856|44|||01 :66195|169060|8169131008|140209181120|35|||01 :66336|169060|816995053534|140209181208|2|||01 :64080|66195||140209181320|5|||89 :169036|66666||140209181308|2|||81 :169038|2||140209181628|7|||82 :66328|66342||140209181720|5|||89 :169040|66744||140209182144|11|||81 :66623|169060|816995571911|140209182228|37|||01 :66846|169060|816995963418|140209182400|15|||01 :66761|66195||140209182708|2|||89 :169018|66391||140209182928|52|||81 :66332|169060|81690409889688|140209182904|1|||01 :66619|169060|816995532083|140209183428|22|||01 :66706|169060|816995696792|140209183900||||01 :64005|169059|816995639848|140209183904|91|||01 :66761|66325||140209184008|2|||89 :66195|2||140209184428|7|||89 :66253|2||140209184616|4|||89 :169017|66342||140209184700|30|||81 :66195|169060|8169131008|140209184628|37|||01 :66253|169059|81690404816431|140209184732|8|||01 :2|66195||140209184720|5|||89 :169032|66619||140209184804|16|||81 :66342|77072||140209185000||||89 :169041|66342||140209185016|4|||81 :66253|77758||140209185112|3|||89 :66654|169060|816997634520|140209185132|8|||01 :77083|169059|816992773745|140209185352|43|||01 :169039|2||140209185440|10|||82 :169014|66342||140209185448|12|||81 :66332|169059|81690409889688|140209185604|1|||01 :2|169058|81690404816431|140209185616|4|||02 :66329|169060|81690413067748|140209185612|18|||01 :169022|66744||140209185804|46|||81