:169009|77073||020309131052|358|||81 :77901|66253||020309130008|17|||89 :66706|66144||020309130028|7|||89 :8619|169055|816996012250|020309130024|36|||01 :77647|66341||020309130152|28|||89 :66402|66601||020309130216|34|||89 :66325|66335||020309130008|2|||89 :66332|169057|81690409889688|020309130004|1|||01 :169012|77810||020309130224|36|||81 :8619|169051|81690262732752|020309130004|1|||01 :66309|66602||020309130304|31|||89 :66422|66713||020309130152|13|||89 :66451|169050|81690409889688|020309130104|1|||01 :66601|66801||020309130132|8|||89 :64046|169055|816995575856|020309130136|9|||01 :66488|2||020309130116|4|||89 :66161|66183||020309130200|15|||89 :66171|169053|81690409256540|020309130104|16|||01 :66868|169045|816997812813|020309130108|2|||01 :66842|169058|81691300760016|020309130208|122|||01 :66865|169057|816988077598|020309130120|5|||01 :66137|66422||020309130312|18|||89 :169038|66801||020309130148|27|||81 :66811|169058|816995315451|020309130204|1|||01 :66488|169050|81690384058000|020309130200|15|||01 :66868|169057|816997812813|020309130204|1|||01 :66811|2||020309130304|1|||89 :66495|169058|816993102782|020309130208|2|||01 :66255|169056|816996460629|020309130252|193|||01 :66102|169057|816995837241|020309130304|1|||01 :169005|66237||020309130240|10|||81 :66601|169055|81690416430806|020309130224|21|||01 :77190|66751||020309130304|1|||89 :66217|66342||020309130328|7|||89 :77040|169059|81690423696051|020309130240|55|||01 :66024|66801||020309130312|3|||89 :169036|66336||020309130252|13|||81 :169004|66666||020309130308|2|||81 :66037|169053|816986274202|020309130336|9|||01 :169008|66003||020309130320|5|||81 :169003|66465||020309130248|12|||81 :77791|169044|816951444955|020309130300|30|||01 :169014|66804||020309130316|4|||81 :66811|169058|81690411322283|020309130328|7|||01 :66113|169059|816998225741|020309130324|6|||01 :169020|110058|81103|020309130404|16|||03 :66171|169055|816998027663|020309130404|1|||01 :64062|169050|816995311342|020309130404|1|||01 :169021|66707||020309130400|180|||81 :66161|66854||020309130500|15|||89 :66670|169060|81690411601817|020309130420|65|||01 :66677|169057|81690408484099|020309130424|6|||01 :169019|66102||020309130420|5|||81 :66329|169059|81691800091805|020309130416|4|||01 :77190|169056|816995286009|020309130420|5|||01 :169024|77149||020309130436|9|||81 :169037|66314||020309130400|30|||81 :66455|169043|81690402028931|020309130440|40|||01 :66149|169054|816995838557|020309130400|30|||01 :169033|66607||020309130448|207|||81 :169032|77971||020309130456|29|||81 :2|66100||020309130500||||89 :66602|66324||020309130700|30|||89 :64034|169047|81691300735363|020309130440|100|||01 :66483|66012||020309130536|9|||89 :169011|66938||020309130520|5|||81 :66938|169056|816990765938|020309130520|5|||01 :66171|169057|81690407542176|020309130532|8|||01 :66332|169054|81690409889688|020309130504|1|||01 :169002|66100||020309130516|4|||81 :169040|66178||020309130516|4|||81 :66261|169049|8169132227|020309130548|72|||01 :169025|66703||020309130524|36|||81 :66422|169053|8169204|020309130520|35|||01 :66242|169047|816995713518|020309130604|1|||01 :66488|169055|816998854494|020309130540|10|||01 :62578|169050|816990762578|020309130552|13|||01 :66670|169054|816993093069|020309130604|1|||01 :169022|66938||020309130624|6|||81 :66938|169056|816990765938|020309130624|6|||01 :66879|66826||020309130804|31|||89 :66221|169045|816995540095|020309130620|5|||01 :169034|66776||020309130624|21|||81 :169007|66063||020309130620|5|||81 :66063|169044|816990765063|020309130620|5|||01 :66158|169058|816995340981|020309130632|38|||01 :169017|66204||020309130616|4|||81 :169026|66433||020309130620|20|||81 :66174|169057|816995570811|020309130608|17|||01 :66026|169049|816954435325|020309130700|15|||01 :169029|66801||020309130656|44|||81 :66012|169047|816995027984|020309130648|12|||01 :169001|66938||020309130716|4|||81 :66938|169058|816990765938|020309130716|4|||01 :66608|66721||020309131208|77|||89 :169018|66703||020309130700|15|||81 :169016|66115||020309130736|9|||81 :169039|8613||020309130748|27|||81 :169028|66012||020309130708|2|||81 :66149|169059|816995963418|020309130732|38|||01 :169010|66607||020309130736|9|||81 :169008|66259||020309130832|8|||81 :169014|66666||020309130816|4|||81 :66171|169053|816998070022|020309130824|36|||01 :66012|169057|816995782176|020309130804|1|||01 :66661|66611||020309130824|6|||89 :169028|66123||020309130856|14|||81 :66037|169055|816957789659|020309130852|43|||01 :169014|66123||020309130956|14|||81 :66029|169054|816995783346|020309130900|15|||01 :66648|169060|81690407837089|020309130932|68|||01 :169024|66667||020309130912|3|||81 :77791|169056|816951444955|020309130916|49|||01 :66706|169059|816998671581|020309130936|24|||01 :66876|66297||020309130904|1|||89 :169030|66791||020309130952|13|||81 :169019|66465||020309130924|6|||81 :66171|169053|816998428244|020309130932|8|||01 :169020|66012||020309131004|16|||81 :66842|169058|816997452738|020309131004|16|||01 :169004|66804||020309131028|37|||81 :169023|66270||020309131028|7|||81 :8615|169057|81691300464663|020309131020|20|||01 :169037|66251||020309131040|10|||81 :66393|8018||020309131012|3|||89 :66147|169051|816995450545|020309131052|148|||01 :77055|169056|816995009024|020309131032|8|||01 :64097|77087||020309131152|13|||89 :66171|169057|816992462280|020309131024|6|||01 :169031|110058|81101|020309131036|9|||03 :66876|66602||020309131200|15|||89 :169011|110057|81105|020309131028|7|||03 :169003|66380||020309131124|51|||81 :169043|66607||020309131116|19|||81 :169032|66744||020309131124|6|||81 :66037|169055|81690430456784|020309131052|28|||01 :66619|169057|81690414405870|020309131108|2|||01 :8619|169046|81690413601380|020309131116|154|||01 :169002|66703||020309131132|8|||81 :169040|66428||020309131136|9|||81 :66393|8014||020309131200|15|||89 :169025|66776||020309131204|1|||81 :66242|169058|816996909144|020309131136|24|||01 :169038|66207||020309131116|4|||81 :66648|169060|8169132227|020309131216|34|||01 :66876|77643||020309131244|11|||89 :169050|66102||020309131232|8|||81 :169022|110058|81101|020309131200|15|||03 :66391|2||020309131212|3|||89 :66021|66422||020309131232|8|||89 :66288|169056|816995579920|020309131212|18|||01 :66661|66611||020309131216|4|||89 :66483|66314||020309131420|20|||89 :8615|169053|81690417057980|020309131224|21|||01 :66804|66336||020309131332|8|||89 :169021|77971||020309131312|63|||81 :169038|66123||020309131412|18|||81 :66866|169051|81690412379906|020309131248|12|||01 :66876|66750||020309131356|14|||89 :66868|169054|816997834090|020309131248|42|||01 :66314|66455||020309131304|1|||89 :169017|66314||020309131320|5|||81 :169005|66166||020309131252|88|||81 :66037|169057|816957789659|020309131344|26|||01 :169027|66801||020309131324|21|||81 :169007|66776||020309131340|10|||81 :169026|66791||020309131408|2|||81 :66619|66652||020309131424|6|||89 :66224|169058|816996458435|020309131332|8|||01 :66391|169060|81690411036856|020309131416|19|||01 :66447|169053|816987813400|020309131328|7|||01 :169044|66607||020309131332|23|||81 :66019|169051|816956232744|020309131340|10|||01 :64062|169046|816995311342|020309131400||||01 :66332|169045|81690409889688|020309131404|1|||01 :66347|169059|816997072743|020309131416|64|||01 :169006|66258||020309131412|273|||81 :169047|110057|8110|020309131504|16|||03 :169016|66242||020309131424|6|||81 :169039|66938||020309131428|7|||81 :66938|169060|816990765938|020309131428|7|||01 :169012|66465||020309131444|11|||81 :169017|66455||020309131640|25|||81 :169001|66801||020309131524|21|||81 :169008|66938||020309131516|4|||81 :66938|169053|816990765938|020309131516|4|||01 :66659|77643||020309131548|12|||89 :169035|66832||020309131520|215|||81 :66602|66603||020309132032|68|||89 :66336|66611||020309131624|6|||89 :169014|66607||020309131536|9|||81 :169018|66037||020309131616|34|||81 :169028|66762||020309131616|19|||81 :8017|2||020309131608|2|||89 :8617|169048|816995215291|020309131624|276|||01 :66801|169053|816923|020309131644|11|||01 :66851|169058|816995235307|020309131616|34|||01 :66447|169060|81690419533437|020309131656|29|||01 :66171|169050|816995871708|020309131704|16|||01 :66763|169045|816994994823|020309131636|9|||01 :66713|66801||020309131732|8|||89 :66002|169051|816996709632|020309131652|28|||01 :169030|66010||020309131812|18|||81 :66866|169057|81690408386969|020309131804|61|||01 :66868|169046|816997836887|020309131732|23|||01 :66670|169058|816998012146|020309131816|4|||01 :66314|66456||020309131804|1|||89 :66727|66314||020309131820|5|||89 :8017|169047|81690421375697|020309131836|24|||01 :169031|66801||020309131820|5|||81 :66477|169054|81690409960366|020309131808|77|||01 :77647|169050|816990761249|020309131832|8|||01 :66144|169044|81690425778773|020309131800|30|||01 :169037|66607||020309131848|12|||81 :169015|66321||020309131852|13|||81 :66387|66267||020309131944|11|||89 :66670|169058|816998012146|020309131912|3|||01 :169043|66666||020309131912|3|||81 :66635|66003||020309131920|5|||89 :169023|66261||020309131920|20|||81 :66164|66655||020309131944|11|||89 :66263|2||020309131912|3|||89 :169002|66100||020309131916|4|||81 :169020|66012||020309131948|27|||81 :66670|169057|81690412165897|020309131908|2|||01 :169043|66123||020309132044|11|||81 :66804|169051|8169132265|020309132008|32|||01 :8617|169048|816998281222|020309131956|44|||01 :169002|66707||020309132040|10|||81 :66128|169060|816995695127|020309131936|39|||01 :169034|110056|81101|020309132020|5|||03 :66868|169048|816997973900|020309132020|5|||01 :169022|77971||020309132032|8|||81 :169011|66705||020309132012|33|||81 :66363|169053|816995460582|020309132040|55|||01 :169049|66289||020309132000|105|||81 :169021|66773||020309132036|9|||81 :169038|66260||020309132116|4|||81 :169019|110057|81100|020309132056|59|||03 :66108|169050|816983444000|020309132036|24|||01 :169006|66938||020309132128|7|||81 :66938|169053|816990765938|020309132128|7|||01 :66415|169058|816995097242|020309132112|33|||01 :66332|169049|81690409889688|020309132104|1|||01 :66341|66289||020309132112|3|||89 :66483|66340||020309132108|2|||89 :169007|66100||020309132052|13|||81 :169025|66776||020309132052|13|||81 :66237|169050|816995577614|020309132116|4|||01 :66428|66854||020309132120|5|||89 :66292|169048|816995258099|020309132112|3|||01 :169012|66322||020309132104|1|||81 :169036|66744||020309132140|10|||81 :66483|66314||020309132212|3|||89 :169001|8041||020309132132|8|||81 :66241|169050|816992651341|020309132200||||01 :169007|66707||020309132244|11|||81 :66801|77643||020309132300|15|||89 :66350|169058|816995953356|020309132136|9|||01 :66713|66611||020309132216|4|||89 :66166|66171||020309132204|1|||89 :66851|169053|81690414488794|020309132204|1|||01 :66407|2||020309132204|1|||89 :8617|169047|816995215291|020309132156|29|||01 :66108|169048|816983451303|020309132240|10|||01 :66292|77434||020309132208|2|||89 :169014|110059|81101|020309132220|5|||03 :169016|8016||020309132304|31|||81 :66713|66611||020309132304|1|||89 :66342|66341||020309132432|23|||89 :66335|66164||020309132320|5|||89 :66037|169044|816995734100|020309132320|20|||01 :66100|66707||020309132300||||89 :169018|66100||020309132324|6|||81 :66713|2||020309132316|4|||89 :66677|2||020309132304|1|||89 :64101|169049|81691800811380|020309132344|26||4144|01 :169028|66666||020309132320|5|||81 :66292|169058|816986615350|020309132332|8|||01 :169042|110060|8110|020309132348|222|||03 :77142|169060|816995252377|020309132412|18|||01 :66670|169051|816998748020|020309132340|55|||01 :66019|2||020309132404|1|||89 :77643|77190||020309132532|23|||89 :169008|66677||020309132340|10|||81 :66329|169045|816995312752|020309132432|38|||01 :169028|66123||020309132452|13|||81 :66149|66210||020309132600|30|||89 :66713|66801||020309132420|5|||89 :66253|66660||020309132524|6|||89 :66332|169060|81690409889688|020309132520|5|||01 :169009|66666||020309132540|10|||81 :169005|66407||020309132508|47|||81 :66389|66280||020309132544|11|||89 :169018|66707||020309132716|34|||81 :66600|66255||020309132732|23|||89 :77069|2||020309132612|3|||89 :77190|66804||020309132620|5|||89 :169004|110060|81102|020309132540|25|||03 :66804|169057|8169132265|020309132556|89|||01 :169033|66108||020309132548|42|||81 :77069|66100||020309132616|4|||89 :169037|66648||020309132624|6|||81 :64062|169047|816995311342|020309132616|4|||01 :66341|66611||020309132624|6|||89 :64101|169049|81691800007252|020309132636|24||4144|01 :66664|66660||020309132656|14|||89 :169032|66801||020309132632|38|||81 :169020|66207||020309132624|6|||81 :169023|66153||020309132624|6|||81 :66019|169060|816996350011|020309132628|22|||01 :66002|169058|816996709632|020309132644|41|||01 :66263|169054|81690407685399|020309132720|110|||01 :66600|66280||020309132704|1|||89 :66723|169057|816998251041|020309132648|12|||01 :66713|169051|816993871000|020309132724|36|||01 :169030|66164||020309132720|50|||81 :66727|66456||020309133556|134|||89 :66034|169044|81690434312083|020309132740|10|||01 :169029|66168||020309132644|11|||81 :66368|169056|816992883453|020309132736|219|||01 :169040|110060|8110|020309132700|15|||03 :66241|169050|816992882159|020309132752|58|||01 :66193|169055|816995283676|020309132804|241|||01 :66329|169041|816995281222|020309132800|15|||01 :66659|169057|816995722114|020309132716|4|||01 :169020|66123||020309132904|16|||81 :66366|169060|816998224044|020309132732|8|||01 :66367|169048|8169132227|020309132720|35|||01 :169017|66166||020309132736|99|||81 :66670|169058|816998781386|020309132736|9|||01 :66178|169056|816995329349|020309132820|5|||01 :66456|169055|81690408054250|020309132816|4|||01 :8615|169046|816997666595|020309132824|96|||01 :66804|169043|8169132265|020309132804|31|||01 :66890|169060|816995329349|020309132820|5|||01 :66347|169059|816997052988|020309132848|207|||01 :169002|8016||020309132832|23|||81 :66037|169053|816956785292|020309132908|77|||01 :169039|66938||020309132832|8|||81 :66938|169057|816990765938|020309132832|8|||01 :66241|169056|816998396703|020309132848|12|||01 :66389|66854||020309132940|10|||89 :66820|169049|816987903800|020309132944|41|||01 :66483|169047|816994892009|020309133012|48|||01 :66232|169054|816995538870|020309133008|17|||01 :169027|64046||020309132956|44|||81 :169021|66938||020309132928|7|||81 :66938|169056|816990765938|020309132928|7|||01 :66100|66713||020309133008|2|||89 :169011|66100||020309132952|28|||81 :169026|66261||020309133008|32|||81 :169015|110058|8110|020309133016|64|||03 :66019|2||020309133000||||89 :66332|169051|81690409889688|020309133004|1|||01 :169038|77792||020309133036|9|||81 :169019|110059|81108|020309133040|10|||03 :66037|169057|816995734100|020309133040|25|||01 :66842|66164||020309133324|36|||89 :66635|169054|816995329349|020309133120|5|||01 :66881|169051|816996929000|020309133108|2|||01 :169025|66801||020309133112|18|||81 :66629|169053|816995639848|020309133140|25|||01 :66620|66738||020309133936|114|||89 :66670|169050|816997557451|020309133140|25|||01 :66881|169053|816996929000|020309133200||||01 :66851|169058|81690419539766|020309133132|53|||01 :169022|66804||020309133140|40|||81 :66193|169056|816995787501|020309133136|24|||01 :8615|169060|81690404458831|020309133216|49|||01 :66804|66367||020309133232|8|||89 :169001|66804||020309133224|6|||81 :66651|77434||020309133300||||89 :66155|169051|81690450624197|020309133252|13|||01 :169007|66207||020309133220|5|||81 :66168|169058|816997876829|020309133248|12|||01 :66332|169056|81690409889688|020309133304|1|||01 :66034|169049|81691300550450|020309133244|26|||01 :66108|169042|816983451303|020309133252|103|||01 :66433|169058|816998119008|020309133304|1|||01 :169008|66002||020309133340|10|||81 :169007|66123||020309133336|9|||81 :66149|2||020309133304|1|||89 :66881|169060|816996929400|020309133312|18|||01 :169031|110060|81101|020309133336|9|||03 :66670|169058|816998771121|020309133400||||01 :169010|77971||020309133332|83|||81 :66164|169057|81691300687746|020309133344|41|||01 :169009|66349||020309133420|5|||81 :169003|66874||020309133420|5|||81 :66155|66281||020309133404|1|||89 :66402|169053|816998676961|020309133416|4|||01 :66629|66867||020309133400||||89 :66290|169054|816990762047|020309133412|3|||01 :169016|66149||020309133516|19|||81 :169018|66168||020309133428|7|||81 :8016|169056|81691300665200|020309133424|21|||01 :169004|66776||020309133516|4|||81 :169037|66141||020309133500||||81 :66332|169058|81690409889688|020309133508|2|||01 :66846|1||020309133612|3|||89 :66661|66611||020309133616|4|||89 :169035|66298||020309133620|65|||81 :169032|66164||020309133532|8|||81 :169034|66314||020309133552|13|||81 :66851|169057|81690414488794|020309133544|11|||01 :169033|66776||020309133540|10|||81 :66019|1||020309133600||||89 :169004|77190||020309133708|17|||81 :169041|66336||020309133616|4|||81 :169023|66428||020309133652|13|||81 :66774|169056|816995571535|020309133628|22|||01 :169040|66776||020309133616|4|||81 :66026|169051|816995329349|020309133624|6|||01 :66804|169060|8169132265|020309133708|47|||01 :169044|66314||020309133656|14|||81 :66835|77792||020309133908|32|||89 :169017|66207||020309133704|1|||81 :169045|66012||020309133656|14|||81 :169029|66322||020309133656|14|||81 :66880|169050|816995963921|020309133724|6|||01 :169030|66801||020309133732|23|||81 :169048|66287||020309133708|2|||81 :169002|66465||020309133816|4|||81 :77071|169058|816999396949|020309133824|36|||01 :66717|66029||020309134040|40|||89 :8016|169053|8169132582|020309133800|30|||01 :66402|169060|816995255200|020309133836|9|||01 :77758|66611||020309133916|4|||89 :169021|66260||020309133808|2|||81 :66846|66267||020309134152|43|||89 :169047|66666||020309133820|5|||81 :66037|169054|816995705272|020309133828|37|||01 :66880|169051|816995963921|020309133836|9|||01 :66675|169059|816995253180|020309133904|151|||01 :169026|66447||020309133920|5|||81 :66330|66253||020309133912|3|||89 :169040|77815||020309134136|39|||81 :169043|66102||020309133936|24|||81 :66389|66115||020309134248|42|||89 :169047|77810||020309134056|14|||81 :169027|66314||020309133908|17|||81 :66801|169051|816987905959|020309133932|8|||01 :169015|66459||020309133944|11|||81 :66330|66341||020309134020|5|||89 :66451|169048|81690409889688|020309133940|10|||01 :66444|169047|81691800551702|020309134012|3|||01 :169038|66102||020309134012|3|||81 :169039|66261||020309134028|37|||81 :66368|169055|81690411699859|020309134056|179|||01 :169024|66726||020309134020|5|||81 :66635|66350||020309134248|27|||89 :169020|110060|8110|020309134032|68|||03 :66263|169056|816998557602|020309134048|57|||01 :77040|1||020309134112|3|||89 :66676|169054|816998277942|020309134140|25|||01 :66298|66603||020309134136|9|||89 :66332|169046|81690409889688|020309134108|2|||01 :169022|66776||020309134144|11|||81 :66029|66209||020309134200|15|||89 :77040|169056|81690733506184|020309134108|2|||01 :66499|169053|81690488961507|020309134116|34|||01 :66253|66210||020309134412|33|||89 :66880|169059|816995968222|020309134148|42|||01 :77142|169051|816995097912|020309134204|31|||01 :8016|169060|8169132221|020309134212|48|||01 :66866|169057|81690429979974|020309134144|86|||01 :66267|66424||020309134500|45|||89 :77040|1||020309134204|1|||89 :77792|66287||020309134220|5|||89 :66019|1||020309134200||||89 :66034|169057|816995929934|020309134212|3|||01 :66329|169056|816992763888|020309134300|15|||01 :169001|110058|81103|020309134328|37|||03 :66289|66164||020309134316|4|||89 :169008|110060|81101|020309134340|25|||03 :66447|169054|816987813400|020309134348|27|||01 :66454|169060|816995937200|020309134400|15|||01 :66342|66611||020309134412|3|||89 :66329|66712||020309134432|8|||89 :66455|169053|816995555377|020309134344|11|||01 :66675|169049|816995000654|020309134344|71|||01 :66845|77792||020309134436|9|||89 :66270|169051|81690403423435|020309134352|13|||01 :77643|66227||020309134416|4|||89 :64011|169056|816995923950|020309134432|23|||01 :169042|66776||020309134416|49|||81 :169012|66602||020309134420|35|||81 :169028|66248||020309134448|57|||81 :66332|169051|81690409889688|020309134504|1|||01 :169009|66776||020309134528|7|||81 :66661|66611||020309134600|15|||89 :66705|169053|816995696031|020309134512|18|||01 :169003|110060|81101|020309134540|10|||03 :169035|110060|81103|020309134604|1|||03 :66224|169056|81691300735363|020309134548|12|||01 :169005|66619||020309134624|21|||81 :169007|66791||020309134608|62|||81 :66483|169051|816998240277|020309134620|5|||01 :169014|1||020309134536|69|||82 :169010|66314||020309134628|22|||81 :66272|169059|81690432572217|020309134556|59|||01 :169025|77971||020309134552|88|||81 :66391|169043|816998290405|020309134616|4|||01 :66164|66289||020309134728|22|||89 :169037|66321||020309134648|12|||81 :66619|66664||020309134732|8|||89 :169004|66287||020309134632|8|||81 :66499|169049|816995253936|020309134700|15|||01 :66473|169043|816993427970|020309134704|1|||01 :66856|169060|816995577052|020309134732|53|||01 :169023|66428||020309134720|5|||81 :66005|66631||020309134824|6|||89 :64011|169040|816995367721|020309134732|8|||01 :64073|169053|816995328958|020309134804|31|||01 :169032|66287||020309134804|31|||81 :169041|110058|81101|020309134840|25|||03 :169021|66063||020309134820|5|||81 :66063|169043|816990765063|020309134820|5|||01 :66314|66455||020309134804|1|||89 :169002|66314||020309134832|8|||81 :169030|66666||020309134852|13|||81 :169029|66844||020309134904|16|||81 :66419|169051|816995793866|020309134912|33|||01 :66806|77190||020309134916|4|||89 :64084|1||020309134904|1|||89 :169019|64060||020309134932|8|||81 :66118|169046|816995686050|020309134848|87|||01 :66136|169049|816995719708|020309134908|32|||01 :66332|169043|81690409889688|020309134904|1|||01 :169006|64007||020309134920|20|||81 :169036|110059|8110|020309134904|1|||03 :66451|169051|81690409889688|020309134908|2|||01 :66618|169055|816986623920|020309134940|130|||01 :66611|77068||020309135032|8|||89 :169027|66435||020309134940|25|||81 :169030|66123||020309135120|20|||81 :169017|64084||020309134956|14|||81 :77810|169053|816985037066|020309135008|32|||01 :169015|66340||020309135036|24|||81 :66424|66707||020309135152|28|||89 :66451|169051|81690409889688|020309135028|7|||01 :169022|66832||020309135040|10|||81 :77792|169060|816995535110|020309135044|41|||01 :169012|110056|8110|020309135004|1|||03 :8016|169048|816997053111|020309135044|71|||01 :66727|66324||020309135120|5|||89 :169002|66455||020309135308|32|||81 :66651|66322||020309135256|29|||89 :64011|169040|816995367795|020309135024|21|||01 :66611|66762||020309135120|5|||89 :66034|169049|816995929934|020309135032|8|||01 :169008|66026||020309135044|11|||81 :169028|66834||020309135024|6|||81 :66619|66652||020309135420|50|||89 :169001|110057|81102|020309135112|18|||03 :66171|169041|816997638094|020309135136|9|||01 :8017|169050|816995559766|020309135120|200|||01 :77190|77142||020309135120|5|||89 :66774|169051|816995638329|020309135136|9|||01 :77040|169057|8169132380|020309135136|129|||01 :77147|66395||020309135116|4|||89 :66429|169039|816990117289|020309135116|64|||01 :66801|66611||020309135132|8|||89 :169031|66938||020309135132|8|||81 :66938|169043|816990765938|020309135132|8|||01 :66475|169053|81690411394241|020309135204|1|||01 :66856|66269||020309135508|47|||89 :66363|169042|81690412681940|020309135136|39|||01 :64084|66341||020309135236|9|||89 :169026|66776||020309135212|48|||81 :66029|169060|816998527117|020309135224|21|||01 :66100|169045|81691300347328|020309135228|127|||01 :66136|169046|816995719708|020309135208|32|||01 :66806|66804||020309135208|2|||89 :66234|169058|81690422598245|020309135236|204|||01 :77792|169049|816995755333|020309135228|22|||01 :66455|169045|816998266136|020309135204|1|||01 :64084|66335||020309135320|5|||89 :66623|169045|816994378851|020309135304|1|||01 :66231|169060|816959626699|020309135220|5|||01 :66288|169051|816998811100|020309135308|17|||01 :169035|1||020309135312|3|||82 :169016|66153||020309135232|113|||81 :66227|169043|816995927402|020309135244|11|||01 :66848|169046|816998281280|020309135320|5|||01 :66171|169053|816998001003|020309135304|16|||01 :66707|169048|816913006877464|020309135336|39|||01 :169014|66270||020309135300|15|||81 :66619|77648||020309135308|2|||89 :66147|169051|816998027928|020309135304|1|||01 :169003|66387||020309135412|33|||81 :66363|169045|81690409967117|020309135340|10|||01 :64086|1||020309135404|1|||89 :66618|169058|81690409189925|020309135408|17|||01 :66342|66341||020309135516|19|||89 :66661|66611||020309135436|9|||89 :66456|169047|816995337855|020309135440|205|||01 :77190|77142||020309135412|3|||89 :66147|169051|816998029204|020309135424|6|||01 :8614|66838||020309135432|8|||89 :66848|169060|816997821843|020309135440|10|||01 :66224|169056|81691300735363|020309135420|125|||01 :66239|169054|81690438500218|020309135416|154|||01 :169025|110060|81101|020309135436|24|||03 :66012|169050|816996412972|020309135412|48|||01 :169023|64086||020309135436|9|||81 :77792|169048|816995805122|020309135444|11|||01 :169010|66429||020309135412|33|||81 :66171|169042|816998594188|020309135500||||01 :66180|169053|81690293254702|020309135424|21|||01 :169007|66340||020309135432|38|||81 :169029|66475||020309135504|1|||81 :8205|169038|816995347832|020309135436|114|||01 :66118|169043|816995239795|020309135436|24|||01 :66322|169054|816998772533|020309135508|2|||01 :66178|66350||020309135520|5|||89 :66477|66290||020309135552|13|||89 :169019|66804||020309135532|8|||81 :66774|169057|816995575679|020309135540|55|||01 :66499|169041|816995565777|020309135452|13|||01 :66713|1||020309135532|8|||89 :66153|66338||020309135524|6|||89 :169027|64065||020309135504|1|||81 :66147|169057|816988511111|020309135508|2|||01 :169036|66002||020309135536|9|||81 :66713|66611||020309135612|3|||89 :66373|169059|816995722211|020309135516|139|||01 :66332|169045|81690409889688|020309135536|9|||01 :77792|169053|81690421202131|020309135536|9|||01 :66273|66008||020309135604|1|||89 :169006|66429||020309135544|11|||81 :169005|66314||020309135552|58|||81 :66424|66744||020309135708|17|||89 :66713|66193||020309135624|6|||89 :169022|66644||020309135620|5|||81 :169015|66253||020309135624|6|||81 :66278|169049|81690409185671|020309135648|57|||01 :169033|66426||020309135616|154|||81 :66848|169050|816997821843|020309135640|10|||01 :169011|110055|8110|020309135628|82|||03 :169030|66329||020309135652|13|||81 :66102|64097||020309135724|6|||89 :66652|66631||020309135732|8|||89 :169017|66776||020309135700|15|||81 :169028|1||020309135628|7|||82 :66012|169060|816992008206|020309135720|35|||01 :169015|66335||020309135752|13|||81 :66363|169045|816956723429|020309135748|12|||01 :64011|169055|816995367730|020309135700|105|||01 :64005|169056|816985175999|020309135748|42|||01 :66322|169054|816998772533|020309135720|35|||01 :66342|169060|81691800007368|020309135728|7|||01 :66391|169049|816987072763|020309135728|7|||01 :169018|66012||020309135716|4|||81 :169008|66429||020309135744|11|||81 :66332|169053|81690409889688|020309135744|11|||01 :66424|66763||020309135908|17|||89 :66651|77434||020309135820|5|||89 :169026|66261||020309135844|11|||81 :169016|66019||020309135828|7|||81 :169018|66123||020309135952|13|||81 :66447|169042|816996658623|020309135856|29|||01 :169015|66253||020309135816|19|||81 :66171|169057|81690400234329|020309135852|43|||01 :66322|169054|816995793648|020309135824|6|||01 :169039|66341||020309135840|25|||81 :64071|169056|81691223|020309135932|8|||01 :66026|169055|816998859475|020309135920|20|||01 :77792|169050|816996909144|020309135904|31|||01 :169037|66938||020309135856|14|||81 :66938|169053|816990765938|020309135856|14|||01 :77083|169042|816992773745|020309135948|12|||01 :169004|110059|8110|020309135912|18|||03 :66630|169049|81691800022002|020309135924|21|||01