:66137|169060|81691300687746|210209090024|81|||01 :169011|2||210209090020|5|||82 :169026|66336||210209090036|9|||81 :66332|169060|81690409889688|210209090212|3|||01 :169041|66183||210209090224|6|||81 :66623|169060|816997985975|210209090316|4|||01 :169021|66336||210209090424|6|||81 :169004|66290||210209090540|10|||81 :66253|2||210209091012|3|||89 :66391|169060|816995124507|210209091016|4|||01 :169005|169059|81690404816431|210209091236|9|||03 :169031|110060|81105|210209091532|68|||03 :66707|66342||210209091728|7|||89 :66423|66657||210209092044|11|||89 :66253|2||210209092120|5|||89 :66623|169060|816997985975|210209092100|75|||01 :66423|169060|81690421760050|210209092216|4|||01 :66342|77074||210209092300||||89 :169034|66342||210209092320|35|||81 :66705|66707||210209092708|17|||89 :66336|2||210209092700||||89 :66336|2||210209092708|2|||89 :169001|66744||210209092812|3|||81 :169017|66341||210209092732|8|||81 :2|66253||210209092820|5|||89 :169034|77074||210209093444|86|||81 :66427|66336||210209092944|11|||89 :66332|169060|81690409889688|210209093008|2|||01 :66208|66341||210209093408|2|||89 :66332|169060|81690409889688|210209093408|2|||01 :169013|66253||210209093432|8|||81 :66427|169059|816995713152|210209093548|87|||01 :169018|2||210209093632|8|||82 :169032|66340||210209093628|7|||81 :77649|169060|81690413554989|210209093756|14|||01 :169054|2||210209093952|13|||82 :66395|2||210209094120|5|||89 :66332|169060|81690409889688|210209094212|3|||01 :66423|169058|81690419005594|210209094600|240|||01 :169035|66619||210209094652|13|||81 :77149|169060|8169132226|210209094648|12|||01 :77149|169059|8169132227|210209094744|11|||01 :66336|169060|816995282989|210209094956|29|||01 :66342|77073||210209095108|2|||89 :169029|66342||210209095112|18|||81 :169029|77073||210209095316|19|||81 :66137|169059|816997351527|210209095256|14|||01 :66332|169059|81690409889688|210209095312|3|||01 :169039|66465||210209095548|12|||81