:169048|66938||260210200212|3|||81 :66938|169059|816990765938|260210200212|3|||01 :66195|169060|816995284929|260210200228|7|||01 :169043|66000||260210200332|23|||81 :66395|66762||260210200700|30|||89 :169006|66938||260210200516|4|||81 :66938|169059|816990765938|260210200516|4|||01 :77075|169060|816995782027|260210200640|25|||01 :66332|169060|81690409889688|260210200704|1|||01 :169013|66776||260210200712|3|||81 :169014|66619||260210200716|4|||81 :169053|66000||260210200724|6|||81 :77083|169059|816992773745|260210200724|21|||01 :169029|66000||260210200852|13|||81 :169001|66341||260210200944|11|||81 :66432|169059|816995053534|260210201012|3|||01 :169029|66741||260210201236|24|||81 :66335|169060|816997003926|260210201112|33|||01 :66290|66846||260210201912|108|||89 :169019|66938||260210201220|5|||81 :66938|169060|816990765938|260210201220|5|||01 :169002|66741||260210201204|1|||81 :169053|66619||260210201820|80|||81 :169051|66938||260210201416|4|||81 :66938|169060|816990765938|260210201416|4|||01 :169050|66249||260210201548|102|||81 :169016|66000||260210201752|13|||81 :169016|66707||260210202228|37|||81 :66342|77074||260210202200||||89 :169015|66342||260210202124|6|||81 :66713|169060|816995284978|260210202112|18|||01 :66789|66350||260210202420|5|||89 :77083|169059|816992773745|260210202352|13|||01 :66744|169060|816995515724|260210202440|40|||01 :66332|169060|81690409889688|260210202608|2|||01 :77758|66335||260210202724|6|||89 :66313|169059|816995719574|260210202716|34|||01 :66332|169059|81690409889688|260210203608|2|||01 :66619|169060|816995801371|260210203836|114|||01 :66213|66707||260210203916|4|||89 :66619|169060|816985179517|260210203920|5|||01 :66619|169060|816985179517|260210204020|5|||01 :66395|169059|816997953553|260210204124|51|||01 :66619|169060|816985179517|260210204128|7|||01 :66619|169060|816985179500|260210204436|9|||01 :66830|169060|816995705064|260210204912|48|||01 :169018|110060|81102|260210205400|30|||03