:66884|66806||030309070212|3|||89 :66253|66016||030309070352|13|||89 :66415|169060|816997826113|030309070732|23|||01 :9|106016|810610662863|030309071204|1|||01 :66035|169060|816994199682|030309071300|15|||01 :66128|169059|816997061504|030309071312|3|||01 :169023|66000||030309071352|43|||81 :66000|106017|810610062863|030309071352|43|||01 :169017|66531||030309071432|8|||81 :66531|169060|816990765531|030309071432|8|||01 :66177|66890||030309071520|5|||89 :169039|66607||030309071828|157|||81 :66330|66298||030309072436|9|||89 :66253|66016||030309072928|7|||89 :169004|64036||030309072928|7|||81 :66035|169060|81691300557676|030309073116|4|||01 :169003|110060|81108|030309073232|8|||03 :169001|66631||030309073528|7|||81 :66653|169059|816995783346|030309073452|13|||01 :169040|66834||030309073640|10|||81 :66653|169059|816995783346|030309073652|13|||01 :66451|169059|81690409889688|030309074004|1|||01 :66630|66217||030309074216|4|||89 :62578|169059|816990762578|030309074244|11|||01 :169006|66314||030309074312|3|||81 :169022|66640||030309074336|9|||81 :66623|169059|816997059692|030309074352|13|||01 :169053|66601||030309074612|93|||81 :66713|77149||030309074724|6|||89 :169046|66227||030309074904|1|||81 :66601|169059|81690414725036|030309074944|56|||01 :169019|66000||030309075432|23|||81 :66000|106015|810610062863|030309075432|23|||01 :66330|77089||030309075524|6|||89 :169018|66640||030309075628|7|||81 :66183|66854||030309075624|6|||89 :169041|66249||030309075644|11|||81 :66835|169059|816995713154|030309075920|20|||01