:66425|66499||030309090504|196|||89 :66610|66752||030309090004|16|||89 :66619|77647||030309090020|5|||89 :66428|66002||030309090028|7|||89 :169008|110054|8110|030309090016|4|||03 :66161|66854||030309090112|18|||89 :66635|66115||030309090020|5|||89 :66403|169059|816990762000|030309090008|17|||01 :169034|66346||030309090036|9|||81 :169002|66207||030309090040|10|||81 :169024|66063||030309090016|4|||81 :66063|169058|816990765063|030309090016|4|||01 :169014|66253||030309090100|45|||81 :169039|66447||030309090112|138|||81 :169016|66183||030309090052|13|||81 :66635|66487||030309090120|5|||89 :169017|66322||030309090104|1|||81 :169026|1||030309090104|46|||82 :169011|66314||030309090132|38|||81 :169020|66322||030309090120|20|||81 :77648|66619||030309090108|2|||89 :66706|169060|81690395946666|030309090120|110|||01 :66460|169055|81691800050004|030309090152|208|||01 :169042|77971||030309090200|75|||81 :66117|66752||030309090212|3|||89 :169031|66269||030309090212|18|||81 :77069|66712||030309090220|5|||89 :169033|66322||030309090220|5|||81 :169027|110056|8110|030309090304|31|||03 :169025|110054|81109|030309090228|22|||03 :169001|66666||030309090312|3|||81 :169036|66841||030309090316|34|||81 :66752|66888||030309090312|3|||89 :169045|66035||030309090336|9|||81 :64071|66650||030309090328|7|||89 :66724|1||030309090304|1|||89 :169019|66607||030309090340|10|||81 :77065|66660||030309090352|13|||89 :169015|66341||030309090320|35|||81 :66661|66611||030309090420|5|||89 :169040|66724||030309090316|4|||81 :66322|169058|81690422642242|030309090332|8|||01 :66841|66713||030309090448|12|||89 :66804|169059|816995716745|030309090332|23|||01 :66253|169060|81691300888801|030309090336|24|||01 :77758|66611||030309090412|3|||89 :66713|66830||030309090412|3|||89 :66488|66335||030309090440|10|||89 :169035|66119||030309090408|2|||81 :66451|169060|81690409889688|030309090412|3|||01 :66336|64098||030309090656|29|||89 :8019|8211||030309090532|8|||89 :66635|169059|816990766350|030309090444|11|||01 :169022|66350||030309090444|11|||81 :169051|110059|81104|030309090448|312|||03 :169003|110058|81108|030309090448|42|||03 :66178|66435||030309090520|5|||89 :66644|169059|816915|030309090504|1|||01 :66800|77889||030309090632|23|||89 :169001|66870||030309090740|40|||81 :66762|66811||030309090600||||89 :169005|66762||030309090544|26|||81 :66884|66879||030309091016|64|||89 :66713|77054||030309090604|1|||89 :66215|169060|81690404042418|030309090600|15|||01 :66203|1||030309090604|1|||89 :66783|66742||030309090704|16|||89 :66422|66395||030309090744|26|||89 :169006|66260||030309090556|14|||81 :64011|66261||030309090640|10|||89 :66175|169057|816995981004|030309090620|35|||01 :169029|66382||030309090600|15|||81 :169046|66253||030309090624|6|||81 :66141|66349||030309091432|113|||89 :66131|169060|816995282623|030309090640|10|||01 :66290|66605||030309090724|6|||89 :169043|66287||030309090640|10|||81 :66742|169053|816998244624|030309090720|5|||01 :66851|169054|816997881378|030309090640|160|||01 :66215|169059|81690413246578|030309090656|14|||01 :66203|66287||030309090824|21|||89 :66178|66350||030309090720|5|||89 :169012|66314||030309090740|10|||81 :169023|66342||030309090708|32|||81 :66368|169055|81690403051742|030309090748|12|||01 :169007|77054||030309090716|4|||81 :66623|169057|816995432611|030309090712|18|||01 :66804|77190||030309090936|24|||89 :77190|66751||030309090904|16|||89 :66260|77889||030309090832|8|||89 :169048|77971||030309090724|51|||81 :66705|66210||030309091040|40|||89 :64107|77089||030309090804|1|||89 :169028|66804||030309090808|62|||81 :169041|66666||030309090832|53|||81 :66178|169059|816995329349|030309090820|5|||01 :66203|66289||030309090848|12|||89 :169047|66021||030309090836|9|||81 :169021|66666||030309090812|18|||81 :169002|77971||030309090820|5|||81 :169014|66033||030309090820|5|||81 :66707|66422||030309091020|20|||89 :169017|66773||030309090936|9|||81 :169038|66932||030309090944|11|||81 :66932|169057|816990765932|030309090944|11|||01 :66002|169055|816911|030309090940|10|||01 :169016|66666||030309091000|15|||81 :66113|66631||030309091032|8|||89 :169021|66123||030309091116|19|||81 :169042|66762||030309090920|5|||81 :66789|64040||030309091036|9|||89 :66362|169059|816997983991|030309090944|26|||01 :169009|66744||030309091028|52|||81 :66456|66391||030309091144|26|||89 :169011|66703||030309091036|24|||81 :66362|169054|81690419562845|030309091008|2|||01 :66610|64086||030309091412|48|||89 :66102|66259||030309091200|15|||89 :66335|66341||030309091120|5|||89 :169027|66648||030309091120|5|||81 :64027|77068||030309091632|83|||89 :169004|66221||030309091040|10|||81 :66422|66744||030309091200|15|||89 :8617|169053|81690404863006|030309091132|8|||01 :169031|66679||030309091112|18|||81 :169039|66340||030309091104|46|||81 :169020|66166||030309091120|35|||81 :66158|169050|816995312649|030309091112|3|||01 :66121|66259||030309091236|9|||89 :66610|66752||030309091240|10|||89 :169026|66713||030309091216|34|||81 :169036|66168||030309091148|12|||81 :169045|66800||030309091156|14|||81 :66021|66289||030309091216|4|||89 :66304|1||030309091216|4|||89 :66253|77046||030309091204|1|||89 :66178|169053|816995329349|030309091220|5|||01 :77081|1||030309091204|1|||89 :64071|169059|81691300687746|030309091200|30|||01 :66702|169050|816959763199|030309091224|6|||01 :169037|66660||030309091244|26|||81 :66874|66314||030309091336|9|||89 :169019|66207||030309091252|13|||81 :66362|169054|816995814200|030309091224|21|||01 :66414|66342||030309091520|35|||89 :169005|66811||030309092028|112|||81 :66722|169057|816995324455|030309091244|41|||01 :169035|66820||030309091328|7|||81 :169040|1||030309091304|1|||81 :66800|66287||030309091312|3|||89 :66358|169051|816952215122|030309091324|36|||01 :66705|169049|81690398851631|030309091312|18|||01 :66161|66177||030309091600|30|||89 :66619|66028||030309091416|4|||89 :169006|66267||030309091316|4|||81 :66162|169059|81690401670782|030309091404|16|||01 :169022|66611||030309091328|7|||81 :66722|66724||030309091420|5|||89 :66362|169045|816996823552|030309091416|4|||01 :169029|66800||030309091424|6|||81 :66218|169054|816997351673|030309091420|20|||01 :66804|169053|816995575479|030309091356|29|||01 :66209|169049|81691800814777|030309091432|8|||01 :66204|169058|816995282977|030309091436|159|||01 :66254|169060|81691800068424|030309091404|106|||01 :66442|169051|816995713682|030309091408|17|||01 :66304|169048|8169133276|030309091428|37|||01 :1|66883||030309091532|8|||89 :169003|66166||030309091424|21|||81 :169032|66145||030309091452|118|||81 :66256|77046||030309091528|7|||89 :169001|66722||030309091500||||81 :66218|66217||030309091512|3|||89 :169008|66631||030309091512|3|||81 :66703|169045|81690439988753|030309091436|9|||01 :169024|66210||030309091452|103|||81 :66161|66854||030309091612|18|||89 :66660|66611||030309091544|11|||89 :169018|77971||030309091544|41|||81 :66457|169055|816990955065|030309091504|76|||01 :64071|66261||030309091748|27|||89 :66304|66611||030309091608|2|||89 :66021|169050|81690438021726|030309091600|45|||01 :66395|66422||030309091924|51|||89 :169007|110060|81109|030309091616|4|||03 :66702|169047|81690411583583|030309091608|47|||01 :169030|66712||030309091616|4|||81 :66256|66664||030309091708|17|||89 :169015|66380||030309091652|58|||81 :66709|66253||030309091612|3|||89 :66362|169053|81690423668443|030309091628|7|||01 :64093|169051|816992762000|030309091604|16|||01 :66635|169054|81691300657265|030309091628|22|||01 :66342|169058|816995782027|030309091628|22|||01 :66209|169048|81691800814777|030309091656|14|||01 :77791|77790||030309091704|1|||89 :169014|77791||030309091624|6|||81 :169012|66607||030309091716|34|||81 :66664|1||030309091724|6|||89 :66611|66762||030309091724|6|||89 :66611|66762||030309091704|1|||89 :77281|66218||030309091804|16|||89 :66241|1||030309091716|4|||89 :169021|66666||030309091720|5|||81 :66178|66136||030309091840|10|||89 :66356|169045|816990762000|030309091804|16|||01 :66611|66253||030309091824|6|||89 :169034|66396||030309091736|24|||81 :66610|169046|816998204064|030309091744|71|||01 :66362|169054|816995254834|030309091844|11|||01 :169041|110058|81102|030309091816|34|||03 :66209|169048|81691800814777|030309091832|8|||01 :66705|169053|81690398138566|030309091904|16|||01 :169014|77790||030309092052|28|||81 :66349|66141||030309091956|14|||89 :64027|169055|816985179511|030309091856|44|||01 :169027|66254||030309091912|3|||81 :66428|169060|816995551144|030309091844|56|||01 :169011|66260||030309091820|20|||81 :66664|66256||030309091916|4|||89 :169033|77081||030309091836|99|||81 :66854|66350||030309091924|6|||89 :66177|169058|816998869371|030309091856|29|||01 :169009|66314||030309091840|25|||81 :66406|169051|816995277249|030309091904|16|||01 :169017|66834||030309091832|23|||81 :77643|66341||030309091912|3|||89 :66021|66210||030309092036|24|||89 :66610|64086||030309091956|14|||89 :66174|169049|81690430509968|030309091928|52|||01 :66425|169044|816995250645|030309091848|72|||01 :8617|169045|816959705000|030309091908|17|||01 :64093|169054|816985172500|030309091908|17|||01 :66341|66611||030309092020|5|||89 :66389|66350||030309092036|9|||89 :169042|110059|81101|030309092008|32|||03 :66161|66717||030309092204|31|||89 :169020|110058|8110|030309092028|7|||03 :66326|66382||030309092816|124|||89 :77643|66800||030309092056|14|||89 :66209|169060|81691800814777|030309092108|17|||01 :169036|66648||030309092036|9|||81 :66166|169058|81690417395178|030309092128|7|||01 :169026|66773||030309092112|3|||81 :66831|169055|816992651092|030309092116|4|||01 :169019|66002||030309092136|9|||81 :64113|169048|816995256200|030309092120|35|||01 :169031|66012||030309092132|23|||81 :169005|66287||030309092144|11|||81 :66623|169046|816995684790|030309092108|47|||01 :169006|66800||030309092132|8|||81 :66783|169059|816999054376|030309092112|108|||01 :169035|66335||030309092116|4|||81 :169040|66884||030309092132|8|||81 :64071|66341||030309092224|6|||89 :64005|169054|816995960062|030309092124|6|||01 :66177|169051|816998138577|030309092140|10|||01 :169029|1||030309092136|9|||82 :169023|66254||030309092220|5|||81 :169022|66607||030309092144|11|||81 :66477|169056|816998279657|030309092136|249|||01 :169003|66938||030309092224|6|||81 :66938|169059|816990765938|030309092224|6|||01 :66313|66396||030309092300|15|||89 :66456|169057|816995337855|030309092152|133|||01 :66857|169055|816995236096|030309092208|2|||01 :169004|1||030309092208|32|||82 :169001|66102||030309092208|2|||81 :8010|1||030309092308|2|||89 :169028|66481||030309092308|2|||81 :66874|66314||030309092316|4|||89 :66304|66342||030309092340|10|||89 :8614|169054|81691800304317|030309092320|5|||01 :8010|169055|81690419770002|030309092320|5|||01 :169008|66607||030309092248|12|||81 :66804|66222||030309092348|12|||89 :66442|169049|816995368466|030309092320|5|||01 :66313|66251||030309092400|15|||89 :66157|1||030309092308|2|||89 :169010|66619||030309092340|145|||81 :64035|169056|816994994823|030309092344|11|||01 :66659|169051|816998261989|030309092348|12|||01 :169021|110059|8110|030309092308|2|||03 :66618|66459||030309093228|127|||89 :66192|66705||030309092420|5|||89 :64024|169048|816995282077|030309092336|9|||01 :66442|169054|81690407531491|030309092320|5|||01 :66314|66455||030309092408|2|||89 :169018|66314||030309092420|5|||81 :66406|66744||030309092520|20|||89 :169002|66800||030309092332|8|||81 :66136|66854||030309092440|10|||89 :66192|66619||030309092408|2|||89 :8018|169049|816994575014|030309092416|4|||01 :66492|169057|816998507181|030309092340|25|||01 :169034|66800||030309092440|10|||81 :169025|66482||030309092432|8|||81 :77758|66611||030309092436|9|||89 :66648|77089||030309092516|4|||89 :66192|66713||030309092536|9|||89 :66137|169056|816998424441|030309092456|14|||01 :169015|66289||030309092440|25|||81 :66406|169057|816994890777|030309092444|11|||01 :169039|110060|81108|030309092508|77|||03 :66148|169054|81690438585011|030309092444|11|||01 :169033|66648||030309092516|4|||81 :77069|169053|816998769944|030309092512|63|||01 :66442|169056|816995570811|030309092508|2|||01 :66253|66660||030309092632|8|||89 :169011|110057|81101|030309092540|10|||03 :169014|66222||030309092528|7|||81 :169027|66744||030309092548|12|||81 :66477|169059|816995099026|030309092516|49|||01 :169038|66287||030309092544|41|||81 :66208|1||030309092608|2|||89 :66467|1||030309092604|1|||89 :66192|66762||030309092700|15|||89 :169020|66322||030309092624|6|||81 :66603|64086||030309092744|26|||89 :169037|66391||030309092628|7|||81 :169018|66455||030309092836|39|||81 :169012|66631||030309092644|26|||81 :66130|169059|816995980411|030309092644|11|||01 :66192|66253||030309092708|2|||89 :169044|66467||030309092628|7|||81 :169045|110060|8110|030309092620|20|||03 :66332|169042|81690409889688|030309092704|1|||01 :66325|66611||030309092740|10|||89 :66398|169050|816995555377|030309092652|163|||01 :66396|66148||030309092752|13|||89 :66820|169058|8169132221|030309092652|88|||01 :66208|169053|81690412312388|030309092704|16|||01 :66192|66336||030309092724|6|||89 :66871|169060|81690414738944|030309092720|95|||01 :66026|169044|816995329349|030309092720|5|||01 :169031|66722||030309092736|9|||81 :66130|169042|816985205255|030309092748|12|||01 :169001|66425||030309093316|79|||81 :66342|169057|816995283990|030309092816|19|||01 :66155|169054|816995272817|030309092812|33|||01 :66192|66341||030309092812|3|||89 :169019|110058|81102|030309092816|19|||03 :169026|77971||030309092816|19|||81 :66705|66251||030309092828|7|||89 :66145|169047|81691800655783|030309092800|180|||01 :66153|169041|816998138180|030309092756|14|||01 :77643|66341||030309092816|4|||89 :64005|169059|81690413808449|030309092836|24|||01 :169006|66744||030309092820|5|||81 :66611|66619||030309092936|9|||89 :169040|110056|8110|030309092836|9|||03 :169017|66447||030309092836|54|||81 :169035|110057|8110|030309092848|12|||03 :66804|169051|816998043408|030309092916|64|||01 :66234|169057|816994155193|030309092844|11|||01 :66335|66267||030309092952|13|||89 :169005|66166||030309092900|15|||81 :66304|66342||030309092920|5|||89 :169036|66260||030309092824|36|||81 :66324|169046|816990763263|030309092908|62|||01 :66804|66222||030309093008|2|||89 :169009|66804||030309092932|68|||81 :66467|169058|816998827092|030309092948|27|||01 :169030|66270||030309092920|35|||81 :66406|169054|816998436547|030309092952|13|||01 :169043|66661||030309092936|234|||81 :77190|169051|816987949095|030309093000|15|||01 :77792|77790||030309093004|1|||89 :66629|77792||030309093024|6|||89 :66338|169045|816990932000|030309093008|47|||01 :169009|66222||030309093028|7|||81 :66192|66396||030309093200|30|||89 :66153|169046|816998748054|030309093036|9|||01 :77758|66611||030309093032|8|||89 :66635|66350||030309093016|4|||89 :66027|169042|81690414571481|030309093036|9|||01 :64024|169058|816995814214|030309093036|9|||01 :66394|66800||030309093232|23|||89 :66253|66660||030309093136|9|||89 :66365|66289||030309093156|14|||89 :169022|66648||030309093028|7|||81 :66102|169053|816995837241|030309093032|23|||01 :66177|66350||030309093124|6|||89 :66303|66854||030309093144|11|||89 :66873|169054|816995251300|030309093112|18|||01 :66480|169055|816997201033|030309093052|118|||01 :169023|77971||030309093128|22|||81 :66871|169044|816994663211|030309093132|38|||01 :169003|66820||030309093156|14|||81 :66253|66611||030309093248|12|||89 :66428|169055|816995282278|030309093140|10|||01 :66281|66031||030309093232|8|||89 :66148|169054|816995711543|030309093212|18|||01 :169016|8091||030309093308|2|||81 :66224|169055|816995327334|030309093316|4|||01 :66102|169044|816995837241|030309093304|16|||01 :66873|169045|816995103501|030309093324|21|||01 :66477|169050|816995371614|030309093304|91|||01 :169008|110059|81105|030309093324|6|||03 :169028|66712||030309093248|12|||81 :66661|66611||030309093328|7|||89 :66725|66727||030309093820|80|||89 :169039|66661||030309093312|3|||81 :66387|169046|816995282077|030309093344|41|||01 :66703|169047|816995340981|030309093344|71|||01 :66419|169054|81691300040507|030309093408|2|||01 :169015|110059|8110|030309093328|7|||03 :66254|169043|816997032900|030309093348|27|||01 :66442|169056|81690416143486|030309093408|122|||01 :66866|66705||030309093620|35|||89 :66332|169050|81690409889688|030309093416|4|||01 :169002|66012||030309093416|19|||81 :169024|8018||030309093440|25|||81 :169032|66631||030309093428|52|||81 :66811|169053|81691800007368|030309093424|51|||01 :169021|66153||030309093436|24|||81 :169034|66314||030309093420|20|||81 :169004|110060|8110|030309093432|38|||03 :169020|66287||030309093508|2|||81 :169030|66272||030309094008|77|||81 :169033|66322||030309093440|10|||81 :77758|66611||030309093536|9|||89 :169038|110058|81100|030309093444|11|||03 :64074|169050|816995093774|030309093436|9|||01 :66272|66263||030309093504|1|||89 :169018|110056|81105|030309093516|4|||03 :66192|8610||030309093948|72|||89 :169037|66261||030309093536|9|||81 :66841|169059|816985523000|030309093536|99|||01 :66245|66831||030309094832|203|||89 :66871|169055|816995243228|030309093504|31|||01 :66219|2||030309093616|4|||89 :66102|169058|816999541132|030309093524|36|||01 :169031|66667||030309093528|7|||81 :66700|66820||030309093716|19|||89 :66618|169048|816986623920|030309093608|167|||01 :66192|66340||030309093612|3|||89 :169037|66164||030309093632|8|||81 :66322|169045|816998772533|030309093556|14|||01 :66166|66147||030309093720|20|||89 :169010|66166||030309093612|48|||81 :66209|169050|816997023465|030309093548|12|||01 :66267|66820||030309093600||||89 :169025|66820||030309093616|34|||81 :66287|169051|81690409777959|030309093548|87|||01 :66183|66854||030309093628|7|||89 :66107|169057|816995961345|030309093604|106|||01 :64076|169050|816995377634|030309093600||||01 :66631|169044|816996909144|030309093616|19|||01 :169012|77054||030309093656|14|||81 :66192|66342||030309093732|8|||89 :66130|169043|81690293861795|030309093604|16|||01 :66336|169058|816995053534|030309093624|6|||01 :64074|66871||030309093736|9|||89 :66419|169056|81691300040506|030309093652|43|||01 :66638|66611||030309093712|3|||89 :66707|169046|81690405762205|030309093640|25|||01 :66841|169051|81690420590797|030309093636|9|||01 :66474|66005||030309094316|94|||89 :66356|169059|816999030048|030309093712|18|||01 :169017|66012||030309093716|4|||81 :66322|169058|816995518158|030309093732|8|||01 :66629|77790||030309094536|114|||89 :66651|169048|81690401687828|030309093804|1|||01 :169025|66820||030309093944|26|||81 :66482|77147||030309093816|4|||89 :64107|169057|81690398851631|030309093748|12|||01 :66219|169055|816992242222|030309093800|30|||01 :169036|66938||030309093816|4|||81 :66938|169048|816990765938|030309093816|4|||01 :66130|169056|816985205255|030309093808|17|||01 :66261|169058|816953363401|030309093824|6|||01 :66761|66777||030309093844|11|||89 :66356|169050|816990762000|030309093824|21|||01 :66395|2||030309093904|1|||89 :66270|169054|816995794354|030309093848|57|||01 :169040|66314||030309093856|29|||81 :64084|2||030309093904|1|||89 :169017|66123||030309094048|27|||81 :66451|169051|81690409889688|030309093852|28|||01 :66741|66611||030309093936|9|||89 :169007|66744||030309093904|76|||81 :66629|169055|81690411419724|030309093848|12|||01 :66899|169058|816995984617|030309093856|14|||01 :77792|77790||030309093904|1|||89 :169006|77792||030309093920|5|||81 :66419|169048|816995230426|030309093952|13|||01 :169023|66820||030309093932|8|||81 :66662|66149||030309094044|11|||89 :66804|169051|816995682778|030309094004|1|||01 :66219|169057|816959786706|030309093924|21|||01 :169011|66382||030309093936|84|||81 :169022|66314||030309094008|17|||81 :66492|169049|81690404186236|030309094012|228|||01 :169028|66938||030309094016|4|||81 :66938|169058|816990765938|030309094016|4|||01 :66789|66487||030309094016|4|||89 :169005|77971||030309094048|42|||81 :169016|66016||030309094048|12|||81 :66303|66890||030309094204|16|||89 :169008|66636||030309094044|11|||81 :169003|66600||030309094100|30|||81 :66177|66854||030309094124|6|||89 :66713|169054|81691300888801|030309094056|29|||01 :66789|169049|816995329349|030309094120|5|||01 :66480|169058|816997201033|030309094100|15|||01 :66332|169044|81690409889688|030309094104|1|||01 :66600|66396||030309094216|4|||89 :169015|110056|81105|030309094108|17|||03 :66442|169056|816985747100|030309094152|43|||01 :66840|169059|816995786885|030309094108|62|||01 :66322|169055|81690430359315|030309094112|18|||01 :66661|66611||030309094252|13|||89 :64012|2||030309094200||||89 :66804|77810||030309094212|3|||89 :169002|66804||030309094128|22|||81 :66713|169059|81691300888801|030309094208|2|||01 :64016|169057|816995094488|030309094204|31|||01 :64005|169059|816996904762|030309094208|2|||01 :169033|66012||030309094220|5|||81 :66332|169059|81690409889688|030309094304|1|||01 :66322|66830||030309094316|4|||89 :169001|66395||030309094304|61|||81 :169020|66938||030309094228|22|||81 :66938|169049|816990765938|030309094228|22|||01 :169038|110056|81109|030309094244|11|||03 :169006|77790||030309094640|55|||81 :169018|66035||030309094332|8|||81 :66845|169050|816998781099|030309094324|36|||01 :77758|66744||030309094312|3|||89 :64022|169054|816995235888|030309094348|27|||01 :66477|169058|816996863002|030309094336|24|||01 :66171|169053|816992440444|030309094316|124|||01 :66406|66270||030309094312|3|||89 :66012|66600||030309094336|9|||89 :66270|169046|81690404720714|030309094324|36|||01 :169030|66336||030309094344|26|||81 :66332|169059|81690409889688|030309094300||||01 :66840|169057|816995688390|030309094344|11|||01 :66390|169055|81690418815001|030309094312|18|||01 :169024|66820||030309094356|44|||81 :77040|169039|816992440444|030309094344|11|||01 :66465|169044|81690421619098|030309094352|13|||01 :66630|77275||030309094420|5|||89 :66338|64073||030309095048|102|||89 :64005|169059|816996904762|030309094408|2|||01 :169042|66329||030309094328|52|||81 :169031|64036||030309094324|6|||81 :169026|66164||030309094412|3|||81 :66332|169057|81690409889688|030309094408|2|||01 :66137|169045|816995785153|030309094348|42|||01 :169025|66314||030309094428|7|||81 :64024|169055|81690408541252|030309094428|7|||01 :66167|169058|816999052747|030309094440|10|||01 :169002|77810||030309094736|39|||81 :66661|66611||030309094512|3|||89 :64011|2||030309094504|1|||89 :66390|169045|81690403048835|030309094504|1|||01 :66253|169043|816995535319|030309094428|52|||01 :8610|169040|816959968979|030309094500|30|||01 :64022|169059|81690412887712|030309094440|10|||01 :169035|110059|81100|030309094448|117|||03 :169027|64012||030309094456|44|||81 :66789|66890||030309094516|4|||89 :66348|169041|816992257709|030309094456|194|||01 :169011|66003||030309094524|6|||81 :66713|66611||030309094508|2|||89 :66648|66366||030309094612|3|||89 :77040|169057|816995243227|030309094540|25|||01 :64024|169045|816990117374|030309094532|8|||01 :64022|169044|81690412887712|030309094612|3|||01 :169029|66804||030309094540|25|||81 :169036|66804||030309094532|23|||81 :66820|169053|816997694568|030309094552|28|||01 :66148|77434||030309094620|5|||89 :66873|169049|816995556054|030309094536|24|||01 :66117|77810||030309094716|19|||89 :169021|66117||030309094604|76|||81 :66425|169043|816995554422|030309094652|13|||01 :66272|66263||030309094604|1|||89 :66290|169050|816985910500|030309094644|26|||01 :8617|169060|816959964596|030309094648|282|||01 :169019|66204||030309094628|157|||81 :169028|77054||030309094640|10|||81 :169016|66253||030309094632|8|||81 :66289|2||030309094708|2|||89 :169023|77147||030309094708|32|||81 :66336|64086||030309094752|13|||89 :169004|66140||030309094704|1|||81 :66611|66341||030309094728|7|||89 :66245|66270||030309094952|43|||89 :169025|66455||030309095012|48|||81 :169032|64011||030309094732|38|||81 :66314|66442||030309094704|1|||89 :169001|66314||030309094716|4|||81 :66390|169059|816995001227|030309094728|37|||01 :66648|66366||030309094732|8|||89 :64071|66422||030309094804|1|||89 :169005|66012||030309094756|29|||81 :66210|169053|81690408915335|030309094808|17|||01 :169003|66008||030309094712|18|||81 :66336|66611||030309094816|4|||89 :169015|77149||030309094752|13|||81 :66761|66660||030309094836|9|||89 :66427|169060|816995251941|030309094812|18|||01 :169022|66382||030309094756|44|||81 :169020|110059|81102|030309094740|10|||03 :169038|66477||030309094828|7|||81 :169008|66713||030309094844|26|||81 :66661|66611||030309094928|7|||89 :169005|66123||030309095000|15|||81 :66240|169059|816998827131|030309094848|12|||01 :169030|66207||030309094820|5|||81 :169046|66406||030309095416|79|||81 :66149|66492||030309095708|122|||89 :169017|110058|81105|030309094848|72|||03 :66137|66251||030309095108|32|||89 :66611|66253||030309095020|5|||89 :169009|64084||030309094940|160|||81 :64001|169057|816992651090|030309094920|50|||01 :66183|66435||030309095016|4|||89 :66873|169060|816995556054|030309095020|20|||01 :64024|169049|81690423031000|030309095024|51|||01 :66002|66675||030309095040|10|||89 :169015|77648||030309095212|33|||81 :169012|66422||030309095032|98|||81 :66034|169037|816959743657|030309095020|5|||01 :64084|2||030309095004|1|||89 :66101|169055|816996350127|030309094948|87|||01 :66820|169045|816996909144|030309095020|50|||01 :169030|77810||030309095136|24|||81 :66499|169051|816995713003|030309095056|149|||01 :169011|66773||030309095008|2|||81 :66325|2||030309095108|2|||89 :66396|169040|816995282077|030309095008|17|||01 :66183|169041|816995329349|030309095020|5|||01 :169007|66938||030309095028|7|||81 :66938|169049|816990765938|030309095028|7|||01 :169026|77054||030309095052|13|||81 :66289|169053|816995694348|030309095108|47|||01 :66218|169038|816997351673|030309095136|24|||01 :66717|66350||030309095124|6|||89 :66804|169059|81690407364105|030309095048|12|||01 :66390|169060|816995001227|030309095100|15|||01 :64101|66831||030309095508|62|||89 :66313|169051|816995981327|030309095136|9|||01 :66618|169050|81690412589888|030309095124|36|||01 :66422|66744||030309095132|8|||89 :169039|77971||030309095052|43|||81 :169035|66314||030309095148|12|||81 :66137|169036|816995785153|030309095128|22|||01 :169029|66270||030309095140|10|||81 :66183|66435||030309095116|4|||89 :169028|66834||030309095152|13|||81 :66869|169041|816998223030|030309095144|11|||01 :66465|169060|816995841974|030309095116|4|||01 :66840|169042|81690414455119|030309095208|107|||01 :169032|66636||030309095136|9|||81 :66116|169057|816995683903|030309095212|33|||01 :169003|66776||030309095140|10|||81 :66366|169055|816998226305|030309095140|25|||01 :169004|66869||030309095212|18|||81 :66832|66603||030309095512|48|||89 :66151|169059|81690417546100|030309095220|5|||01 :8610|169044|816998281222|030309095204|46|||01 :66406|169049|816992651090|030309095216|19|||01 :66268|169060|81690415656322|030309095216|4|||01 :66137|66251||030309095228|7|||89 :66406|2||030309095304|1|||89 :169014|66856||030309095224|276|||81 :66382|169051|816996039519|030309095224|6|||01 :66804|66809||030309095316|4|||89 :169034|66287||030309095312|3|||81 :169025|66287||030309095300|30|||81 :66218|169060|816995609000|030309095240|10|||01 :66871|169054|81690414738944|030309095304|136|||01 :66148|169059|816997766583|030309095312|3|||01 :77083|169045|816992773745|030309095300|45|||01 :169006|8016||030309095308|32|||81 :64078|169055|816959763166|030309095320|5|||01 :64093|169060|816986463600|030309095332|8|||01 :169020|77971||030309095408|17|||81 :64027|169047|81690419879726|030309095336|294|||01 :64024|169059|81690438816656|030309095336|9|||01 :169008|66776||030309095420|20|||81 :66350|169060|816995785153|030309095432|8|||01 :66322|66148||030309095548|12|||89 :66659|169047|81690295312025|030309095504|1|||01 :77647|169043|816995946666|030309095420|80|||01 :169010|66342||030309095436|9|||81 :169016|66640||030309095416|49|||81 :66177|66675||030309095716|34|||89 :66389|66854||030309095532|8|||89 :66804|169054|816995916431|030309095428|22|||01 :169018|77971||030309095524|21|||81 :66335|2||030309095508|2|||89 :66225|169045|816997258067|030309095532|8|||01 :66619|64086||030309095808|47|||89 :66365|66237||030309095620|20|||89 :66659|169047|81690295312011|030309095520|5|||01 :66661|66611||030309095612|3|||89 :64107|169057|81690401499957|030309095612|48|||01 :169033|66166||030309095532|38|||81 :66389|169045|816995282278|030309095532|8|||01 :64027|169060|816995097633|030309095604|16|||01 :169030|66322||030309095536|9|||81 :66629|169058|816995465712|030309095632|173|||01 :66648|169050|816995833881|030309095552|28|||01 :66205|169056|81690414405167|030309095612|213|||01 :169012|66153||030309095644|11|||81 :66705|169059|816998172532|030309095600|30|||01 :66290|169046|816995760109|030309095620|110|||01 :169009|77971||030309095616|19|||81 :66251|169043|8169132290|030309095608|17|||01 :66675|169057|816994663200|030309095636|9|||01 :64024|169049|816995682170|030309095712|33|||01 :8610|169047|816997990209|030309095720|20|||01 :66245|169053|81690416402614|030309095708|77|||01 :169017|77971||030309095720|35|||81 :66183|169042|816995874697|030309095700|15|||01 :169011|66666||030309095720|20|||81 :66253|66289||030309095900|30|||89 :66325|169037|81690438021726|030309095732|98|||01 :66428|66136||030309095840|25|||89 :66335|169054|81690431401438|030309095716|34|||01 :169027|66776||030309095736|9|||81 :169030|66656||030309095952|28|||81 :64071|66251||030309095816|4|||89 :169040|2||030309095720|5|||82 :66499|169059|816995707262|030309095756|14|||01 :66365|169057|816992343800|030309095800|15|||01 :66316|169050|816995755335|030309095736|9|||01 :66876|66117||030309095848|12|||89 :66873|169044|81690400069426|030309095820|50|||01 :66147|169060|816998015159|030309095800|30|||01 :64093|169058|816997615007|030309095744|26|||01 :66314|64066||030309095816|4|||89 :64028|169051|816995555377|030309095856|74|||01 :66100|66459||030309095908|2|||89 :66118|77190||030309095920|5|||89 :169015|66349||030309095852|58|||81 :169031|66314||030309095844|26|||81 :66701|66702||030309095932|8|||89 :169023|66406||030309095932|98|||81 :77190|66118||030309095908|2|||89 :66722|169060|816998274198|030309095852|13|||01 :64085|169057|816995573595|030309095932|8|||01 :66260|169056|816995636581|030309095916|34|||01 :64113|169058|816995690254|030309095944|11|||01 :169036|110060|81105|030309095900|15|||03 :66390|169053|816998811875|030309095940|10|||01 :169003|110056|81105|030309095944|11|||03 :169039|66261||030309095952|28|||81