:66423|66432||140210200032|23|||89 :66432|169059|81690439635286|140210200028|7|||01 :64005|169060|81690422562468|140210200128|22|||01 :64005|169060|81690421076734|140210200248|12|||01 :66415|169060|816994800679|140210200440|10|||01 :66423|66326||140210200512|3|||89 :66432|169059|816995433568|140210200548|27|||01 :66761|66253||140210200712|3|||89 :66332|169059|81690409889688|140210200724|6|||01 :66432|169060|816998871449|140210200828|22|||01 :66432|169060|81690433707499|140210201032|23|||01 :66423|66432||140210201332|23|||89 :66707|66341||140210201332|8|||89 :169041|66619||140210201328|7|||81 :66382|169060|816997050826|140210201308|2|||01 :66846|169058|816995800615|140210201404|61|||01 :169018|66341||140210201628|7|||81 :169026|110060|81105|140210201624|21|||03 :66657|169059|816997760799|140210201716|109|||01 :169043|66000||140210201844|41|||81 :169045|66000||140210201856|29|||81 :77040|169059|816995788913|140210201912|3|||01 :169037|66000||140210202036|24|||81 :77083|169059|816992773745|140210202100|30|||01 :66341|66713||140210202840|25|||89 :64083|169060|816993573266|140210202656|149|||01 :66744|169059|816995696031|140210202748|42|||01 :169050|66000||140210202744|11|||81 :169047|66762||140210202800|45|||81 :64083|169060|81690413666686|140210202932|8|||01 :169048|66652||140210203032|8|||81 :64083|169060|81690400440283|140210203328|37|||01 :169004|66713||140210203340|10|||81 :169027|66487||140210203420|5|||81 :169051|66000||140210203540|10|||81 :66707|66391||140210204220|20|||89 :66185|66707||140210205000|45|||89 :66451|169059|81690409889688|140210204816|4|||01 :77040|169060|816995153996|140210205212|108|||01