:45059|110060|81105|090216180032|8|||03 :66707|66617||090216180100||||89 :66425|45046|814595708751|090216180340|40|||01 :66741|110060|81100|090216180416|19|||01 :66178|45045|814595219289|090216180456|14|||01 :45058|110060|81101|090216180608|2|||03 :66039|45025|814599090977|090216180820|1055|||01 :45060|110060|81106|090216181132|8|||03 :66063|45043|814590765063|090216181636|9|||01 :66178|66854||090216181716|4|||89 :66332|45042|81450409889688|090216181800||||01 :66744|66229||090216181820|5|||89 :66671|45040|814594423881|090216182308|2|||01 :66013|45037|81450409889688|090216182404|1|||01 :66789|66854||090216182516|4|||89 :66193|45041|81450434937475|090216182528|82|||01 :77083|45028|814592773745|090216182648|12|||01 :66332|45027|81450409889688|090216182632|8|||01 :66193|45029|81450400046811|090216182748|27|||01 :66332|45026|81450409889688|090216182832|8|||01 :66619|45025|814598132350|090216183108|2|||01 :66332|45022|81450409889688|090216183132|8|||01 :66713|45021|81450421641891|090216183244|11|||01 :66253|110060|8110647|090216183348|12|||01 :66332|45020|81450409889688|090216183436|9|||01 :66183|45019|81450390766854|090216183444|11|||01 :66635|66854||090216183616|4|||89 :66423|45018|814524|090216183808|2|||01 :66423|45017|814524|090216183844|11|||01 :66705|110060|81100|090216183856|44|||01 :66332|45016|81450409889688|090216183932|8|||01 :66183|45015|81450390766854|090216184132|8|||01 :66423|45014|81450414407208|090216184204|1|||01 :66332|45013|81450409889688|090216184232|8|||01 :66423|45012|814524|090216184248|12|||01 :66336|110060|81100|090216184344|11|||01 :66063|45011|814590765063|090216184528|22|||01 :66332|45010|81450409889688|090216184732|8|||01 :66332|45009|81450409889688|090216184836|9|||01 :45060|110060|81105|090216184940|40|||03 :66332|45060|81450409889688|090216185400||||01 :66619|45055|814598132350|090216185620|5|||01 :66717|66854||090216185740|10|||89