:66185|66335||260209060448|57|||89 :9|106060|810610662863|260209060204|1|||01 :66423|106001|810610662863|260209060228|22|||01 :169009|66000||260209060212|33|||81 :66000|106002|810610062863|260209060212|33|||01 :169005|66000||260209060720|5|||81 :66000|106059|810610062863|260209060720|5|||01 :66423|66619||260209060940|10|||89 :66423|66340||260209061028|7|||89 :9|106058|810610662863|260209061000|30|||01 :66332|169060|81690409889688|260209062108|2|||01 :66762|169060|81690414661089|260209062828|37|||01 :66762|169060|816997029871|260209063324|21|||01 :66423|66657||260209064036|9|||89 :66762|66741||260209064156|29|||89 :169023|66712||260209064100||||81 :66415|169060|81690407811406|260209064404|1|||01 :169057|66744||260209064620|5|||81 :169046|66806||260209064628|7|||81 :9|106057|810610162863|260209064720|20|||01 :66705|169060|81690404816431|260209064728|7|||01 :66806|169060|816995530748|260209064844|11|||01 :66741|66762||260209065156|29|||89 :169040|66370||260209065708|2|||81 :169026|66340||260209065716|4|||81