:66442|66194||090210101156|269|||89 :66717|66209||090210100940|190|||89 :66164|66611||090210100032|23|||89 :66292|66322||090210100052|28|||89 :66894|169046|816993373451|090210100008|2|||01 :169010|66102||090210100024|6|||81 :66253|77147||090210100016|4|||89 :66434|169052|816990763714|090210100024|6|||01 :66415|169051|816987422081|090210100036|9|||01 :66618|66008||090210100008|2|||89 :66894|169045|816993373759|090210100004|1|||01 :66341|169049|816997830516|090210100044|11|||01 :66161|66717||090210100208|17|||89 :169017|8615||090210100216|19|||81 :66102|169057|81690407112297|090210100104|106|||01 :66382|169050|81690419150163|090210100116|19|||01 :66329|169053|816995719933|090210100116|49|||01 :169007|66801||090210100040|70|||81 :169004|66002||090210100028|7|||81 :169025|66938||090210100052|13|||81 :66938|169046|816990765938|090210100052|13|||01 :66618|2||090210100124|6|||89 :66292|169044|81690412438726|090210100056|14||2025|01 :64046|169055|816997846999|090210100104|31|||01 :169024|64038||090210100124|51|||81 :169009|66804||090210100124|6|||81 :66205|169041|81690404816308|090210100112|168|||01 :77790|169047|816992154900|090210100152|28|||01 :66239|169051|816995966059|090210100144|11|||01 :66635|66854||090210100224|6|||89 :66365|169059|816986480900|090210100204|16|||01 :169012|66800||090210100204|31|||81 :8612|169059|816992193006|090210100200||||01 :169015|77971||090210100132|8|||81 :169043|66281||090210100156|14|||81 :66675|169052|81691300368999|090210100204|16|||01 :66442|169050|816954449260|090210100120|5|||01 :169011|66260||090210100212|18|||81 :66342|66304||090210100316|19|||89 :64012|66611||090210100244|11|||89 :66618|66008||090210100240|10|||89 :66837|66107||090210100216|4|||89 :66373|66272||090210102140|295|||89 :77758|66611||090210100204|1|||89 :66802|169060|816995247100|090210100220|140|||01 :66126|66002||090210100220|5|||89 :66428|169049|816995281206|090210100148|12|||01 :66365|66718||090210100212|3|||89 :169019|66102||090210100236|9|||81 :66148|169053|816997766583|090210100216|19|||01 :2|66801||090210100220|5|||89 :66419|169058|816997881261|090210100220|35|||01 :66635|66854||090210100320|5|||89 :169023|2||090210100224|6|||82 :169016|66932||090210100252|28|||81 :66932|169057|816990765932|090210100252|28|||01 :169022|110060|81100|090210100224|6|||03 :169001|66382||090210100228|7|||81 :169036|8003||090210100328|22|||81 :64107|66322||090210100336|9|||89 :66033|2||090210100316|4|||89 :66192|66253||090210100320|5|||89 :66680|169056|816998223427|090210100332|68|||01 :66741|66707||090210100828|82|||89 :66618|169060|81690404816339|090210100308|2|||01 :66386|66391||090210100716|49|||89 :169021|66848||090210100324|21|||81 :66136|66428||090210100540|25|||89 :169014|66879||090210100408|2|||81 :66713|8614||090210100408|2|||89 :64005|169059|816995814200|090210100436|24|||01 :66800|169057|816952792438|090210100440|25|||01 :66177|66130||090210100632|23|||89 :77790|169060|81690413598584|090210100528|7|||01 :169028|66727||090210100452|208|||81 :66620|169055|816985613940|090210100504|46|||01 :66713|66611||090210100536|9|||89 :169037|66343||090210100500||||81 :169006|66636||090210100600|195|||81 :66415|66804||090210100636|9|||89 :66224|66276||090210100648|12|||89 :66800|169058|816983451806|090210100524|6|||01 :64044|169053|816995310088|090210100540|25|||01 :66220|66773||090210100724|21|||89 :66811|66429||090210100848|42|||89 :66653|169057|816995783346|090210100552|13|||01 :66620|169049|816985613940|090210100628|7|||01 :169026|110058|81102|090210100636|9|||03 :66713|66192||090210100648|12|||89 :169038|2||090210100600||||82 :66021|8125||090210100832|38|||89 :169031|66350||090210100628|7|||81 :66415|169053|81690402346651|090210100608|2|||01 :66289|169050|816995230426|090210100648|12|||01 :66660|66611||090210100708|2|||89 :66800|169048|816983451246|090210100644|11|||01 :169029|66139||090210100624|6|||81 :66189|169049|816995230055|090210100624|6|||01 :66751|169053|816995285547|090210100716|4|||01 :66178|66350||090210100716|4|||89 :169013|66155||090210100716|4|||81 :169003|66737||090210101604|136|||81 :169035|66287||090210100704|1|||81 :64039|169051|816957990713|090210100756|29|||01 :66329|169057|816995719933|090210100824|21|||01 :169032|110059|8110|090210100816|19|||03 :169039|66195||090210100812|3|||81 :66253|66210||090210100900|15|||89 :66661|66611||090210100808|2|||89 :169033|66155||090210100804|16|||81 :169045|77792||090210100816|4|||81 :66741|66012||090210100812|3|||89 :66032|169059|81691300139593|090210100848|57|||01 :66224|169046|816995925945|090210100848|27|||01 :64123|66865||090210100908|2|||89 :169027|110057|81101|090210100828|37|||03 :66341|169051|81691300888801|090210100828|7|||01 :169004|66270||090210100840|10|||81 :169004|66335||090210100904|1|||81 :77040|169053|816995053534|090210100920|20|||01 :169040|66210||090210100844|11|||81 :169030|66102||090210100840|55|||81 :169018|66272||090210100924|51|||81 :66800|169057|81690410624111|090210100904|1|||01 :169012|66195||090210100908|2|||81 :169045|77791||090210101000|15|||81 :169009|66776||090210100928|7|||81 :169044|66032||090210100956|14|||81 :66497|169059|816995271385|090210101004|1|||01 :169015|77971||090210101020|5|||81 :66497|169059|816990117289|090210101004|1|||01 :169002|66261||090210101024|51|||81 :64028|169054|816997846999|090210101012|408|||01 :2|66405||090210101000||||89 :64011|66335||090210101032|8|||89 :169004|66253||090210101004|16|||81 :66790|169059|816992096592|090210101008|2|||01 :66428|169058|816995281026|090210101024|66|||01 :66800|169053|81690410624111|090210101004|1|||01 :66205|169049|81690404816308|090210101100|30|||01 :66653|66890||090210101124|6|||89 :66804|77810||090210101108|2|||89 :66406|169059|816994270977|090210101028|7|||01 :169001|66281||090210101108|2|||81 :66005|169060|816996999440|090210101116|94|||01 :169023|66063||090210101156|14|||81 :66063|169058|816990765063|090210101156|14|||01 :169016|66744||090210101124|6|||81 :66325|66253||090210101240|10|||89 :66329|169041|816995274355|090210101136|9|||01 :66428|169045|816995281206|090210101156|14|||01 :169036|66653||090210101140|10|||81 :66255|1||090210101212|3|||89 :66231|66650||090210101400|30|||89 :169008|66618||090210101200||||81 :66618|169045|81690404816339|090210101200||||01 :8617|169049|816959987538|090210101156|14|||01 :66406|169053|816994213100|090210101148|12|||01 :66435|169044|816983451806|090210101228|22|||01 :169042|66607||090210101240|40|||81 :169034|66287||090210101220|5|||81 :169016|1||090210101252|13|||82 :169020|66393||090210103124|291|||81 :169043|110060|81109|090210101200|45|||03 :77649|169051|816990761249|090210101240|40|||01 :169026|66652||090210101212|3|||81 :169006|66879||090210101304|1|||81 :169028|66063||090210101256|14|||81 :66063|169040|816990765063|090210101256|14|||01 :77758|66611||090210101308|2|||89 :77083|169046|816992773745|090210101232|38|||01 :66737|169048|816993876694|090210101256|44|||01 :66865|169054|81690421641209|090210101240|25|||01 :169021|66210||090210101248|27|||81 :169025|66964||090210101340|70|||81 :66255|169039|81690422485664|090210101316|19|||01 :169037|66666||090210101312|3|||81 :66336|66340||090210101720|65|||89 :169005|66703||090210101344|26|||81 :169013|66342||090210101336|9|||81 :169029|66207||090210101324|6|||81 :169035|66717||090210101320|5|||81 :8007|8003||090210101412|3|||89 :66264|169060|816994285553|090210101348|12|||01 :66270|64035||090210101412|3|||89 :64106|66391||090210101452|13|||89 :66811|66492||090210101908|77|||89 :169017|8006||090210101416|4|||81 :8125|66314||090210101424|6|||89 :169037|66742||090210101504|16|||81 :66002|169060|816911|090210101432|8|||01 :66629|169057|816997872844|090210101500|75|||01 :66315|169049|81690410343490|090210101432|8|||01 :66174|169059|816995281162|090210101448|57|||01 :169010|66600||090210101520|5|||81 :66341|169058|8169000|090210101520|50|||01 :64093|169041|816995340777|090210101524|51|||01 :66005|169053|816995284911|090210101528|22|||01 :77810|8164||090210101520|5|||89 :169031|66804||090210101544|41|||81 :169030|66713||090210101512|3|||81 :66811|66270||090210101620|5|||89 :169032|66014||090210101508|32|||81 :66274|169051|816995340981|090210101524|21|||01 :66629|169060|81690406885288|090210101524|6|||01 :66762|169050|8169131980|090210101600|135|||01 :8612|169060|816987813404|090210101600||||01 :169018|77971||090210101548|12|||81 :169012|66341||090210101532|8|||81 :169009|66270||090210101600||||81 :66428|66161||090210101644|11|||89 :169011|64037||090210101612|3|||81 :66444|169053|81691800551702|090210101608|2|||01 :66121|66002||090210101724|21|||89 :169004|1||090210101600||||82 :66635|66854||090210101720|5|||89 :169001|66600||090210101712|3|||81 :169024|66804||090210101636|114|||81 :66209|169059|816995781630|090210101632|8|||01 :169003|66261||090210101648|57|||81 :66499|169060|816995969520|090210101700||||01 :66328|169051|816995769311|090210101644|11|||01 :66183|169053|816995329349|090210101720|5|||01 :77790|169055|816983872000|090210101740|175|||01 :66332|169050|81690409889688|090210101732|8|||01 :66253|66289||090210101724|6|||89 :66432|169049|816985086705|090210101728|7|||01 :66635|66854||090210101720|5|||89 :169015|66174||090210101728|22|||81 :66763|66820||090210101752|13|||89 :66396|66312||090210101744|11|||89 :66811|64005||090210101940|25|||89 :169022|110060|81101|090210101800|15|||03 :66428|169048|816995281206|090210101752|13|||01 :66713|169060|816994110111|090210101756|14|||01 :169008|64036||090210101832|8|||81 :66811|1||090210101804|1|||89 :169044|110058|81108|090210101836|9|||03 :169032|8164||090210102044|41|||81 :169038|66773||090210101752|13|||81 :169027|66270||090210101848|12|||81 :64124|169047|816957438111|090210101808|122|||01 :66432|169057|816994879242|090210101836|9|||01 :66274|169053|81691223|090210101828|7|||01 :169042|66776||090210101816|4|||81 :66499|169059|81690431254789|090210101852|13|||01 :66713|169060|816994110111|090210101820|5|||01 :169034|66804||090210101816|4|||81 :8611|169051|816997829322|090210101836|9|||01 :66314|64066||090210101936|9|||89 :169045|66314||090210101816|19|||81 :169042|66222||090210101928|7|||81 :169016|66879||090210101928|7|||81 :169023|66804||090210101928|37|||81 :66705|77434||090210102004|1|||89 :169040|110058|8110|090210102012|3|||03 :66442|169052|816954459000|090210101932|263|||01 :169006|1||090210101928|7|||82 :77758|66611||090210102020|5|||89 :66102|169053|816997738040|090210101940|10|||01 :66432|169057|816995878225|090210102020|20|||01 :169026|110060|81108|090210101936|9|||03 :64098|66718||090210102008|2|||89 :169036|64098||090210101952|43|||81 :169028|66102||090210101948|12|||81 :169043|64038||090210101952|13|||81 :169039|66102||090210102028|7|||81 :66137|66611||090210102028|7|||89 :169007|66058||090210102104|106|||81 :66058|169054|816990765058|090210102104|106|||01 :66221|169050|816995089508|090210102048|12|||01 :169017|66938||090210102024|6|||81 :66938|169049|816990765938|090210102024|6|||01 :66203|1||090210102112|3|||89 :169005|66012||090210102100|15|||81 :66005|66016||090210102112|3|||89 :66192|169052|8169132230|090210102048|12|||01 :66705|169047|816998811824|090210102124|6|||01 :66737|169055|81691300210210|090210102116|49|||01 :169037|66333||090210102108|2|||81 :66713|169060|816994833833|090210102116|34|||01 :66253|66289||090210102104|1|||89 :66879|169052|81690404856700|090210102104|1|||01 :169014|110059|81106|090210102152|148|||03 :8014|66362||090210102208|2|||89 :66750|169057|816997424542|090210102120|20|||01 :77791|77790||090210102204|1|||89 :169010|77791||090210102140|10|||81 :66178|169044|816988042708|090210102204|16|||01 :66192|169055|8169132230|090210102140|10|||01 :66661|66611||090210102224|6|||89 :169041|110059|8110|090210102220|5|||03 :66705|77434||090210102220|5|||89 :169025|110057|81101|090210102216|34|||03 :66459|169054|81690411403167|090210102228|7|||01 :169033|110058|81101|090210102152|13|||03 :8014|66362||090210102220|5|||89 :169012|110056|81101|090210102212|3|||03 :169046|66342||090210102244|41|||81 :66246|169052|816996569406|090210102208|17|||01 :169002|66811||090210102224|66|||81 :169010|77790||090210102352|13|||81 :66403|169047|816999050777|090210102256|14|||01 :169045|64066||090210102720|65|||81 :66432|169051|816996466362|090210102336|39|||01 :66826|66127||090210102328|7|||89 :66274|169048|816994738951|090210102340|40|||01 :66655|66367||090210103100|120|||89 :64128|66611||090210102316|4|||89 :66751|169057|816995285547|090210102340|10|||01 :8611|169053|816987957272|090210102328|52|||01 :169036|66718||090210102724|51|||81 :66811|1||090210102404|1|||89 :77190|169052|81690422256878|090210102328|7|||01 :66107|169055|81690419375728|090210102356|14|||01 :66178|66350||090210102416|4|||89 :66635|66854||090210102424|6|||89 :64124|169059|816957220249|090210102408|77|||01 :66428|169054|816995281206|090210102356|14|||01 :8014|66762||090210102512|18|||89 :66203|66800||090210102704|46|||89 :169001|66183||090210102352|13|||81 :66879|169049|816994263567|090210102432|38|||01 :8125|66021||090210102500|15|||89 :169015|8003||090210102420|5|||81 :169003|66102||090210102356|14|||81 :66358|169058|816995946666|090210102420|125|||01 :169024|66800||090210102440|10|||81 :66177|66130||090210102540|10|||89 :8205|169057|816995845611|090210102444|11|||01 :169009|110059|81101|090210102420|35|||03 :66227|169050|816995284039|090210102508|47|||01 :169032|66178||090210102516|4|||81 :66432|169051|816995755386|090210102448|27|||01 :66322|66744||090210102544|11|||89 :66199|169056|8169132200|090210102600|330|||01 :66335|169060|816997918888|090210102528|67|||01 :77645|66192||090210102712|18|||89 :169038|66222||090210102544|11|||81 :66274|169048|816994174763|090210102536|39|||01 :169034|66235||090210102604|1|||81 :66322|64107||090210102652|13|||89 :77758|66611||090210102608|2|||89 :66492|1||090210102708|2|||89 :64092|169060|81690410445814|090210102620|5|||01 :169022|66342||090210102652|43|||81 :66432|169056|816995692240|090210102648|12|||01 :8164|66174||090210103448|117|||89 :169008|110058|81105|090210102652|43|||03 :169031|110060|8110|090210102700|75|||03 :66665|66260||090210102732|8|||89 :169020|66391||090210102732|23|||81 :66322|169054|816995558903|090210102756|14|||01 :169030|66651||090210102756|14|||81 :66432|169060|81690409351205|090210102728|7|||01 :66800|169057|816995921202|090210102812|33|||01 :66665|66260||090210102808|2|||89 :66183|66854||090210102824|6|||89 :66287|169053|816997256577|090210102848|42|||01 :64124|8125||090210103056|44|||89 :66365|169059|816992462804|090210102832|23|||01 :66741|1||090210102812|3|||89 :169006|110060|81101|090210102816|19|||03 :66769|169055|816995317294|090210102852|43|||01 :169040|66035||090210102824|21|||81 :169027|66608||090210102900|45|||81 :66291|169057|816995285618|090210102908|2|||01 :66192|66707||090210102932|8|||89 :66137|8125||090210102928|7|||89 :169026|66648||090210102848|12|||81 :66005|169060|816994268760|090210102844|11|||01 :66322|66705||090210103004|16|||89 :66260|66227||090210102900||||89 :169043|66227||090210102940|10|||81 :66291|169053|816995285618|090210102900||||01 :66454|169055|81690400800899|090210102920|5|||01 :66790|169053|816992096592|090210102904|1|||01 :169039|66938||090210102956|14|||81 :169007|66666||090210102940|10|||81 :169037|66261||090210102932|8|||81 :169007|77810||090210103020|5|||81 :66661|66611||090210103020|5|||89 :169041|66220||090210103008|2|||81 :66026|169056|816995219642|090210102952|28|||01 :169044|1||090210103016|4|||82 :66635|169055|816995329349|090210103020|5|||01 :66029|169054|816992091100|090210103028|22|||01 :169035|66547||090210103024|6|||81 :66547|169051|816990765015|090210103024|6|||01 :169023|66447||090210103032|53|||81 :64098|66750||090210103204|31|||89 :66741|169059|81690407650218|090210103104|31|||01 :169002|66287||090210103108|2|||81 :169011|66811||090210103112|108|||81 :66804|66259||090210103116|4|||89 :169017|66435||090210103056|29|||81 :169033|66666||090210103112|3|||81 :66335|169053|81690423827601|090210103108|17|||01 :169012|66260||090210103036|9|||81 :66611|66707||090210103148|12|||89 :169043|66227||090210103300|30|||81 :77275|66611||090210103108|2|||89 :8125|169060|81690417558020|090210103112|33|||01 :77190|169051|816997824462|090210103136|9|||01 :66772|1||090210103208|2|||89 :77040|1||090210103204|1|||89 :169021|110056|81104|090210103140|70|||03 :169042|66222||090210103124|66|||81 :66358|169055|816995945705|090210103144|11|||01 :169045|66287||090210103128|7|||81 :169005|66834||090210103144|41|||81 :169046|66260||090210103144|11|||81 :66618|169048|81690404816339|090210103152|13|||01 :77073|169044|816998086054|090210103224|6|||01 :66432|169052|816959705970|090210103236|24|||01 :169018|66261||090210103236|129|||81 :66127|169051|81690402125971|090210103232|8|||01 :169004|66219||090210103216|19|||81 :169001|66800||090210103212|3|||81 :66800|169053|816995278542|090210103256|14|||01 :169033|77810||090210103452|28|||81 :66029|169043|816992091100|090210103316|19|||01 :66661|66611||090210103312|3|||89 :169032|110058|81102|090210103316|4|||03 :169003|64082||090210103344|11|||81 :66629|169043|816952531930|090210103320|5|||01 :64035|1||090210103404|1|||89 :66391|66272||090210103528|22|||89 :66274|169058|816993573615|090210103412|108|||01 :169020|66220||090210103404|1|||81 :169022|66150||090210103328|7|||81 :169024|66777||090210103408|17|||81 :66742|169042|81690409959150|090210103332|8|||01 :64066|169055|816983441535|090210103340|10|||01 :169031|66259||090210103432|8|||81 :66126|169043|816990766259|090210103432|8|||01 :66224|169053|81690429215425|090210103344|11|||01 :169009|66804||090210103416|19|||81 :66415|66336||090210103416|4|||89 :66242|169056|816995097778|090210103356|59|||01 :169019|66326||090210103400|360|||81 :77073|169052|816998086054|090210103448|27|||01 :169016|66650||090210103444|11|||81 :169006|77971||090210103420|5|||81 :66790|169059|816992096777|090210103448|57|||01 :66268|169041|816995552909|090210103504|16|||01 :169015|66618||090210103440|40|||81 :66618|169048|81690404816339|090210103440|40|||01 :169030|110058|81108|090210103432|8|||03 :169039|66391||090210103508|2|||81 :66708|66223||090210103932|68|||89 :66492|66301||090210104008|77|||89 :66800|169044|816995286358|090210103444|11|||01 :66629|169042|816952531930|090210103452|13|||01 :169027|66777||090210103544|11|||81 :66638|169046|8169131314|090210103516|49|||01 :169029|66802||090210103524|6|||81 :66742|169056|816995928378|090210103536|9|||01 :169034|66225||090210103516|34|||81 :66769|66314||090210103708|17|||89 :64124|169054|81690419342072|090210103536|69|||01 :169028|66260||090210103528|22|||81 :66444|169056|81691800551702|090210103608|2|||01 :66406|169049|81690412446560|090210103556|74|||01 :66173|169057|81690414403640|090210103604|106|||01 :64066|169055|816995254498|090210103616|19|||01 :169006|66636||090210103728|22|||81 :169038|64035||090210103628|37|||81 :66800|169048|816995718000|090210103608|17|||01 :66492|1||090210103604|1|||89 :66613|169040|816995814200|090210103632|38|||01 :66629|77147||090210103628|7|||89 :66332|169057|81690409889688|090210103720|5|||01 :66287|169051|816997256577|090210103716|64|||01 :66335|169047|81690262442222|090210103656|89|||01 :66737|169054|816993876694|090210103708|2|||01 :169017|64077||090210103720|5|||81 :169021|66666||090210103732|8|||81 :66328|66660||090210103808|17|||89 :66335|1||090210103816|4|||89 :66261|77889||090210103836|9|||89 :1|66213||090210103800||||89 :169012|66856||090210103804|16|||81 :66418|169048|816992156101|090210103816|4|||01 :77645|169044|816990117341|090210103804|1|||01 :77639|66322||090210103832|8|||89 :66355|169042|81690408558561|090210103808|2|||01 :66673|169050|81691800128268|090210103808|122|||01 :66263|169055|816992091111|090210103820|20|||01 :66127|169056|816998899886|090210103828|22|||01 :169037|66492||090210103856|29|||81 :66267|169058|81690412474691|090210103816|64|||01 :66648|77089||090210103904|1|||89 :66393|169057|816995271388|090210103828|22|||01 :169023|66435||090210103852|43|||81 :169010|77040||090210103856|104|||81 :169005|66800||090210103912|18|||81 :66428|169059|816995851027|090210103844|56|||01 :169003|66242||090210103832|8|||81 :169008|110058|81101|090210103820|5|||03 :66195|66203||090210103904|1|||89 :66754|66195||090210103952|13|||89 :66848|169050|816987813420|090210103916|4|||01 :169033|66804||090210103912|18|||81 :66225|169040|816997258067|090210103848|12|||01 :169024|66272||090210103928|7|||81 :66263|169058|816990766272|090210103928|7|||01 :169022|66666||090210103940|10|||81 :66346|169041|81691300557532|090210103912|18|||01 :66769|169043|816990117200|090210103916|19|||01 :169007|66213||090210103932|23|||81 :8125|169052|81690281979220|090210103952|73|||01 :66428|66136||090210104016|4|||89 :66754|66203||090210104040|10|||89 :66358|169049|816998023908|090210103912|33|||01 :64066|169048|81690439745913|090210103928|7|||01 :66239|169053|816995573568|090210103916|34|||01 :66289|1||090210104012|3|||89 :66335|169054|816993427000|090210104012|33|||01 :66314|66456||090210104000||||89 :66301|66314||090210104052|13|||89 :169036|66707||090210104004|76|||81 :1|66335||090210104016|4|||89 :66604|66012||090210104024|6|||89 :169009|110057|81101|090210103944|11|||03 :169022|66123||090210104100|15|||81 :66289|169057|81690488342950|090210104024|6|||01 :169020|66366||090210104052|28|||81 :169054|66335||090210104136|9|||81 :66355|169056|81690408558561|090210104100|30|||01 :169035|66713||090210104100||||81 :66240|169045|816995691061|090210104016|124|||01 :169021|66237||090210104436|54|||81 :169026|66713||090210104028|7|||81 :66820|66603||090210104108|2|||89 :169019|66153||090210104120|20|||81 :66005|169060|816992392500|090210104132|143|||01 :66826|169059|816997262433|090210104112|18|||01 :66242|169056|816995780888|090210104128|7|||01 :169014|66210||090210104156|89|||81 :66234|169046|816992651090|090210104124|51|||01 :169032|110059|81105|090210104116|34|||03 :66358|169050|816994996919|090210104208|2|||01 :169028|66281||090210104116|4|||81 :169027|66713||090210104132|8|||81 :66653|169052|81691300368999|090210104140|10|||01 :169034|66223||090210104128|7|||81 :169031|66777||090210104204|46|||81 :169039|66878||090210104148|12|||81 :169051|77790||090210104700|75|||81 :66177|169054|816996350187|090210104204|16|||01 :66261|169057|81690410560367|090210104228|22|||01 :169018|1||090210104200||||82 :66107|169060|816995271041|090210104148|12|||01 :169006|66648||090210104240|10|||81 :66287|169053|81690409598402|090210104208|32|||01 :66800|169059|816995721331|090210104248|12|||01 :66177|169060|816996350187|090210104316|4|||01 :66891|66804||090210104312|3|||89 :169015|66340||090210104320|35|||81 :66664|66820||090210104412|18|||89 :66800|169057|81690438188285|090210104336|9|||01 :66706|66267||090210104316|4|||89 :169030|66102||090210104336|39|||81 :77190|169059|81690428122655|090210104336|9|||01 :66322|66380||090210104424|6|||89 :64098|66619||090210104632|38|||89 :66273|169056|81690448207150|090210104356|29|||01 :66763|66611||090210104608|32|||89 :169001|66025||090210104348|12|||81 :66417|169060|81690412394939|090210104320|5|||01 :66273|1||090210104404|1|||89 :66261|66268||090210104428|7|||89 :169042|110058|8110|090210104340|10|||03 :169038|66741||090210104400|30|||81 :64066|169048|816995345558|090210104416|34|||01 :66653|169060|816988310449|090210104412|3|||01 :8614|8615||090210104436|9|||89 :169004|77971||090210104456|29|||81 :66673|66267||090210104508|2|||89 :169017|77971||090210104444|41|||81 :169037|66012||090210104456|14|||81 :66292|77434||090210104504|1|||89 :66820|66151||090210104528|7|||89 :169008|110060|8110|090210104508|2|||03 :66314|66355||090210104504|1|||89 :169003|66314||090210104428|7|||81 :169023|66449||090210104448|12|||81 :169005|66314||090210104452|13|||81 :66292|77434||090210104504|1|||89 :66119|169056|816995499000|090210104508|17|||01 :66347|169051|816997961855|090210104556|14|||01 :66346|169052|81691300557532|090210104512|18|||01 :66146|169047|81690401748324|090210104520|110|||01 :169010|66207||090210104532|23|||81 :64055|169050|816959705055|090210104556|14|||01 :66844|169060|816987927138|090210104512|18|||01 :77071|169059|816995403933|090210104532|38|||01 :169024|66804||090210104612|18|||81 :66314|64066||090210104608|2|||89 :169003|66355||090210104720|20|||81 :169041|66100||090210104636|9|||81 :66417|66268||090210104628|7|||89 :169009|1||090210104600||||82 :169022|66653||090210104624|6|||81 :169020|66800||090210104624|6|||81 :66636|169049|81690412536994|090210104656|14|||01 :66314|64066||090210104708|2|||89 :169007|66314||090210104712|18|||81 :66882|66336||090210104716|4|||89 :66752|169059|816959957618|090210104720|5|||01 :169040|66405||090210104740|40|||81 :169020|77149||090210104848|12|||81 :169036|66387||090210104752|13|||81 :66324|77147||090210104828|7|||89 :64035|169060|816988471200|090210104756|14|||01 :169035|66804||090210104748|12|||81 :169029|110057|811000|090210104820|95|||03 :66335|169058|816993427000|090210104816|109|||01 :66261|169056|8169132227|090210104808|17|||01 :77758|66611||090210104932|23|||89 :66789|66854||090210104828|7|||89 :66618|169051|81690404816339|090210104824|6|||01 :66459|66603||090210104956|14|||89 :66737|169058|816993876694|090210104804|1|||01 :66396|77145||090210104904|1|||89 :66791|169048|816995038504|090210104920|50|||01 :66164|66611||090210104912|3|||89 :169019|66102||090210104904|16|||81 :169021|66428||090210104912|18|||81 :77190|169056|816997980911|090210104904|1|||01 :66789|66854||090210104916|4|||89 :169016|66435||090210104912|138|||81 :169014|66314||090210104944|11|||81 :8614|8611||090210105008|2|||89 :169011|77971||090210104940|10|||81 :66442|169060|81690438007494|090210104908|17|||01 :169007|64066||090210105240|40|||81 :66127|66405||090210105048|12|||89 :66332|169060|81690409889688|090210105008|2|||01 :66605|169055|8169132230|090210105016|169|||01 :169013|110055|81104|090210105008|332|||03 :66632|169052|816990761000|090210104944|41|||01 :66219|169054|816987906889|090210105004|106|||01 :66033|66762||090210105020|5|||89 :66761|1||090210105024|6|||89 :169039|66465||090210105004|1|||81 :66619|169059|816995094488|090210105004|46|||01 :66002|169058|816911|090210104952|13|||01 :64124|169056|816998138180|090210105036|9|||01 :169011|8611||090210105204|16|||81 :169028|66800||090210105100|15|||81 :77792|169060|816995203117|090210105040|10|||01 :66651|66380||090210105304|31|||89 :169002|66435||090210105112|18|||81 :77190|169059|816997980911|090210105136|9|||01 :66650|1||090210105112|3|||89 :66260|169060|816995780047|090210105124|6|||01 :169006|66834||090210105108|17|||81 :66110|169056|81691800627533|090210105156|14|||01 :169026|66636||090210105152|13|||81 :169032|66102||090210105156|29|||81 :169018|66261||090210105120|20|||81 :77639|66761||090210105212|3|||89 :66193|66619||090210105204|1|||89 :8614|1||090210105204|1|||89 :66396|66393||090210105320|20|||89 :66713|169060|816994110111|090210105236|9|||01 :169015|66619||090210105244|11|||81 :66173|66664||090210105316|4|||89 :64098|66744||090210105340|10|||89 :66349|169053|81690419770083|090210105304|151|||01 :66459|169056|816998775353|090210105308|17|||01 :169012|66260||090210105236|24|||81 :77190|169052|816995271474|090210105236|9|||01 :66650|169055|81690429215425|090210105324|21|||01 :8040|77190||090210105304|1|||89 :66256|77434||090210105308|2|||89 :66417|66673||090210105740|70|||89 :66444|169056|81691800551702|090210105312|3|||01 :169031|66314||090210105332|53|||81 :66712|66762||090210105432|8|||89 :8618|169060|816992392500|090210105416|19|||01 :77190|169055|81690432287010|090210105408|2|||01 :169030|66435||090210105352|28|||81 :66761|66459||090210105424|6|||89 :169033|66012||090210105428|7|||81 :66332|169055|81690409889688|090210105404|1|||01 :169046|110058|81108|090210105416|79|||03 :66100|66620||090210105512|3|||89 :169033|64028||090210105516|4|||81 :66769|169053|816995317294|090210105512|18|||01 :66379|169052|81691300845526|090210105448|12|||01 :66428|169049|816995939983|090210105436|9|||01 :8164|169047|816996929400|090210105520|5|||01 :66197|66350||090210105600|15|||89 :8614|169051|816993814190|090210105524|36|||01 :169037|66888||090210105504|1|||81 :66731|169050|816995784832|090210105508|17|||01 :169034|66800||090210105524|81|||81 :66332|169052|81690409889688|090210105504|1|||01 :66442|77190||090210105636|24|||89 :66029|169051|816995329349|090210105520|5|||01 :66290|169059|816992096777|090210105520|50|||01 :66619|66193||090210105848|42|||89 :66288|169060|816995255866|090210105516|19|||01 :66811|66260||090210105612|3|||89 :66025|169046|816995315028|090210105544|11|||01 :66270|169048|816998207888|090210105520|20|||01 :66428|66002||090210105616|4|||89 :66717|66854||090210105624|6|||89 :169042|110059|81105|090210105620|35|||03 :66604|169059|816995252679|090210105624|6|||01 :8046|77190||090210105648|12|||89 :169005|66130||090210105540|10|||81 :66256|77434||090210105624|6|||89 :66763|66611||090210105612|3|||89 :66025|169055|816995281298|090210105612|3|||01 :169024|66619||090210105628|7|||81 :66332|169052|81690409889688|090210105616|4|||01 :66459|66603||090210105724|6|||89 :66341|66289||090210105716|4|||89 :66115|169050|816990763441|090210105636|24|||01 :169009|66139||090210105728|7|||81 :169044|66273||090210105712|198|||81 :169003|77971||090210105648|12|||81 :169045|66093||090210105740|10|||81 :66093|169049|816990765093|090210105740|10|||01 :169022|66618||090210105716|4|||81 :66618|169055|81690404816339|090210105716|4|||01 :66380|77434||090210105716|4|||89 :169020|66434||090210105716|4|||81 :66219|169058|816997030398|090210105716|94|||01 :66256|169055|816990122200|090210105716|4|||01 :64098|66762||090210105832|8|||89 :64035|66270||090210105800||||89 :66332|169049|81690409889688|090210105804|1|||01 :169024|66629||090210105932|23|||81 :169040|66340||090210105724|6|||81 :66456|169048|816996039518|090210105808|17|||01 :66442|77190||090210105956|29|||89 :66620|169051|816998427660|090210105740|25|||01 :169036|66130||090210105744|11|||81 :169035|66666||090210105832|8|||81 :66326|169058|816995237214|090210105804|1|||01 :66025|169059|81690299670467|090210105812|3|||01 :169027|66773||090210105836|24|||81 :66146|169060|816997848389|090210105828|37|||01 :66879|66886||090210105920|5|||89 :66177|66854||090210105920|5|||89 :169019|64055||090210105824|6|||81 :66661|66342||090210105940|10|||89 :169029|77971||090210105900|15|||81 :169008|110058|8110|090210105912|63|||03 :66737|169055|816993876694|090210105904|1|||01 :66146|169060|81690416535895|090210105948|12|||01 :169023|77971||090210105916|64|||81 :169014|66776||090210105936|9|||81 :66269|169057|816995368466|090210105952|238|||01 :66025|169058|81690401645424|090210105956|14|||01