:66267|66879||020310100300|45|||89 :66605|169055|816996839999|020310100004|31|||01 :66762|66603||020310100116|19|||89 :77649|66804||020310100036|9|||89 :66341|1||020310100012|3|||89 :66342|169053|816995108888|020310100004|46|||01 :66035|169044|816996819088|020310100036|9|||01 :66195|169047|816999261173|020310100048|27|||01 :169029|77792||020310100024|6|||81 :169027|110060|81101|020310100028|7|||03 :8125|66707||020310100428|52|||89 :169010|110060|81101|020310100124|6|||03 :66661|66611||020310100136|9|||89 :169011|66002||020310100132|8|||81 :66218|169057|816956590293|020310100052|58|||01 :66336|66679||020310100100||||89 :169008|66382||020310100136|9|||81 :169003|64045||020310100200|15|||81 :169022|110060|81101|020310100120|5|||03 :66773|169044|816996967228|020310100124|6|||01 :66332|169040|81690409889688|020310100204|1|||01 :66396|66391||020310100208|2|||89 :169025|66314||020310100152|13|||81 :169017|66002||020310100224|6|||81 :77810|169056|81690403084332|020310100224|51|||01 :169016|66136||020310100152|28|||81 :64003|169053|816983300650|020310100236|24|||01 :66224|169042|816998225944|020310100216|4|||01 :66302|169044|816998183658|020310100220|5|||01 :66763|169059|816985744000|020310100216|169|||01 :169014|64027||020310100236|9|||81 :66341|1||020310100304|1|||89 :66302|1||020310100300||||89 :169036|66139||020310100304|16|||81 :66702|169054|81690297279773|020310100316|409|||01 :169015|66804||020310100320|20|||81 :66222|66235||020310100336|9|||89 :169030|8043||020310100316|4|||81 :66225|66209||020310100640|55|||89 :66762|66336||020310100408|17|||89 :66173|66611||020310100332|8|||89 :169037|64086||020310100312|33|||81 :169028|110060|81105|020310100312|18|||03 :169043|66705||020310100336|69|||81 :66128|169058|816997004494|020310100344|71|||01 :8618|169052|816995781686|020310100340|85|||01 :169004|66341||020310100344|11|||81 :64017|169044|81690405982709|020310100312|3|||01 :66029|169042|816995259033|020310100324|6|||01 :1|66804||020310100404|1|||89 :66314|66448||020310100404|1|||89 :169033|66314||020310100344|11|||81 :66661|66611||020310100412|3|||89 :66019|169054|816995440782|020310100348|12|||01 :169020|66666||020310100412|3|||81 :169021|110059|81107|020310100352|13|||03 :66251|169057|816987875300|020310100432|38|||01 :77040|169047|816995279545|020310100432|53|||01 :66332|169054|81690409889688|020310100504|1|||01 :66611|66336||020310100520|5|||89 :66029|169057|816998666649|020310100436|9|||01 :66841|66680||020310100532|8|||89 :64020|169045|8169136150|020310100436|84|||01 :169007|66666||020310100432|8|||81 :64003|169056|816992568322|020310100436|39|||01 :169013|66804||020310100520|20|||81 :169001|66326||020310100536|9|||81 :169020|66123||020310100604|16|||81 :8615|169052|816959756014|020310100500|15|||01 :8007|169046|8169132484|020310100516|94|||01 :66342|169058|816997614617|020310100456|14|||01 :169024|66666||020310100516|4|||81 :64040|66789||020310100600|15|||89 :169006|66314||020310100528|22|||81 :169029|66487||020310100520|5|||81 :64017|169044|81690438440430|020310100520|20|||01 :169011|66938||020310100516|4|||81 :66938|169045|816990765938|020310100516|4|||01 :64003|169057|816992568366|020310100508|2|||01 :169005|66619||020310100548|12|||81 :169033|66448||020310100752|28|||81 :66760|169051|816998138907|020310100612|123|||01 :77791|77790||020310100604|1|||89 :66840|77791||020310100616|4|||89 :66842|77190||020310100632|8|||89 :66419|169053|816959756107|020310100548|42|||01 :169024|66123||020310100704|16|||81 :66826|169056|81690401006401|020310100604|16|||01 :66325|169049|816997428144|020310100604|106|||01 :169007|66123||020310100728|22|||81 :66253|66611||020310100608|2|||89 :169008|66267||020310100616|19|||81 :169009|66205||020310101540|130|||81 :64040|66177||020310100800|15|||89 :64064|169056|816990967093|020310100700||||01 :66225|169043|81691300733444|020310100720|50|||01 :66029|169058|816995254891|020310100700|15|||01 :66661|66707||020310100724|6|||89 :64028|169038|816995717602|020310100724|81|||01 :169039|66218||020310100728|7|||81 :169040|110059|81101|020310100648|12|||03 :66261|169050|816997560127|020310100736|129|||01 :66412|66251||020310100804|16|||89 :66235|169057|816995922987|020310100748|12|||01 :169016|66115||020310100724|6|||81 :77040|169054|816952721690|020310100744|41|||01 :169014|66342||020310100716|4|||81 :66744|169047|81691300888801|020310100732|38|||01 :169032|110060|81105|020310100744|26|||03 :169030|110059|81101|020310100820|5|||03 :66661|66611||020310100844|11|||89 :169015|66316||020310100828|7|||81 :169027|66110||020310100812|48|||81 :64040|66177||020310100856|14|||89 :66419|1||020310100816|4|||89 :66151|1||020310100804|1|||89 :66150|169050|81690409966889|020310100840|10|||01 :169004|66263||020310100808|2|||81 :77810|169051|816998786777|020310100908|17|||01 :169042|66195||020310100908|2|||81 :66005|66270||020310101048|27|||89 :66236|169055|816985175685|020310100856|134|||01 :169037|66857||020310100852|13|||81 :169034|110060|81101|020310100852|13|||03 :169021|66270||020310100920|5|||81 :66269|169060|816997618502|020310100908|287|||01 :66428|169058|816995106925|020310100900|30|||01 :66608|169052|816998247913|020310100912|33|||01 :66302|1||020310101000||||89 :169013|110060|81101|020310100920|5|||03 :64040|66178||020310101056|14|||89 :66618|66195||020310101016|4|||89 :66218|169057|81690433301505|020310101024|21|||01 :64017|169054|81690416007577|020310100936|9|||01 :66332|169060|81690409889688|020310101004|1|||01 :169028|66856||020310100948|27|||81 :169031|110059|81109|020310101032|23|||03 :66762|66336||020310101448|72|||89 :66840|77790||020310101544|71|||89 :169010|66012||020310101012|18|||81 :169001|66932||020310101036|9|||81 :66932|169057|816990765932|020310101036|9|||01 :66705|66774||020310101120|5|||89 :66260|66665||020310101216|19|||89 :66608|169060|816995000688|020310101036|9|||01 :169006|66192||020310101108|2|||81 :169019|66431||020310101036|24|||81 :169035|66151||020310101036|39|||81 :66032|169058|81690414696440|020310101044|11|||01 :169020|1||020310101056|14|||82 :77791|77790||020310101104|1|||89 :169017|77791||020310101116|64|||81 :66150|169055|816913|020310101056|29|||01 :64040|66635||020310101200|15|||89 :66261|169051|81690421955896|020310101144|11|||01 :169002|64046||020310101128|142|||81 :169046|66707||020310101124|6|||81 :64028|77643||020310101212|18|||89 :169029|66666||020310101112|3|||81 :66281|169059|81690418114396|020310101148|132|||01 :66253|169045|816995535319|020310101104|1|||01 :169012|66804||020310101156|44|||81 :169017|77790||020310101240|10|||81 :66619|169050|816995282777|020310101200|15|||01 :66629|169059|816954447293|020310101208|2|||01 :169011|66854||020310101240|10|||81 :66658|1||020310101204|1|||89 :66842|169056|816993976416|020310101236|69|||01 :66455|169053|81690407439290|020310101228|82|||01 :77281|66611||020310101216|4|||89 :169003|77971||020310101252|103|||81 :66425|169048|816995632201|020310101252|178|||01 :66289|169054|816992651090|020310101204|31|||01 :66263|66270||020310101340|10|||89 :64005|66234||020310101444|26|||89 :169018|110057|81105|020310101252|13|||03 :66712|66012||020310101320|5|||89 :64040|66026||020310101356|14|||89 :8165|169052|81690412382416|020310101232|38|||01 :66221|169058|816995258308|020310101300|15|||01 :66332|169054|81690409889688|020310101304|1|||01 :66270|169055|81690413135301|020310101308|2|||01 :169009|110059|81101|020310101312|3|||03 :169007|66178||020310101320|5|||81 :8205|169047|816998086430|020310101300|30|||01 :66713|66611||020310101320|5|||89 :66804|66336||020310101544|26|||89 :169029|66804||020310101604|31|||81 :66253|66712||020310101424|6|||89 :66727|66864||020310101536|24|||89 :66270|169053|816990766499|020310101412|3|||01 :66702|169056|81690417372191|020310101356|14|||01 :169043|66499||020310101416|4|||81 :169039|66193||020310101400||||81 :8611|169055|816995286271|020310101352|13|||01 :169024|66322||020310101356|29|||81 :169022|66648||020310101420|125|||81 :66774|169057|81690427464027|020310101452|28|||01 :66173|66341||020310101600|15|||89 :169038|66369||020310101440|10|||81 :169040|64040||020310101420|5|||81 :66635|169053|816990764040|020310101420|5|||01 :169033|66856||020310101444|41|||81 :169005|66658||020310101436|39|||81 :66021|169052|81690417388996|020310101424|6|||01 :8612|169057|816987813404|020310101500||||01 :169016|77971||020310101524|6|||81 :66349|66145||020310101524|6|||89 :66615|169044|81690416090104|020310101456|59|||01 :66325|169058|816993948566|020310101456|29|||01 :66840|169056|81690439031378|020310101452|13|||01 :169014|110059|8110|020310101516|4|||03 :66499|169060|816996676788|020310101516|64|||01 :66342|169054|816995274355|020310101456|29|||01 :66419|169059|816986463600|020310101528|37|||01 :66255|66611||020310101612|3|||89 :66713|66218||020310101628|7|||89 :8611|169055|816995274304|020310101548|12|||01 :66658|66349||020310101704|16|||89 :8125|66253||020310101616|4|||89 :77791|77790||020310101604|1|||89 :169030|77791||020310101624|6|||81 :66021|66426||020310101700|15|||89 :169025|66465||020310101648|42|||81 :66763|169049|8169137663|020310101636|84|||01 :66415|169057|81690422754513|020310101620|5|||01 :66234|66162||020310102056|59|||89 :66161|66854||020310101800|15|||89 :66332|169056|81690409889688|020310101708|2|||01 :169027|66153||020310101728|7|||81 :66329|169060|816995572644|020310101724|21|||01 :66661|66611||020310101716|4|||89 :169004|1||020310101708|2|||82 :169015|66261||020310101704|16|||81 :66671|169056|816996905989|020310101704|1|||01 :8125|66256||020310101800|15|||89 :66802|66713||020310101720|5|||89 :66267|66261||020310102124|51|||89 :169034|66207||020310101808|2|||81 :169021|66192||020310101804|1|||81 :66332|169060|81690409889688|020310101812|3|||01 :169028|77971||020310101812|3|||81 :66262|66611||020310101808|2|||89 :66217|66218||020310101848|12|||89 :169042|66035||020310101816|19|||81 :66107|169055|816998225944|020310101804|1|||01 :66301|169057|816995496385|020310101844|26|||01 :8612|66349||020310102012|18|||89 :169013|66025||020310101844|11|||81 :169030|77790||020310102144|41|||81 :66419|169059|816990766316|020310101912|48|||01 :66151|66611||020310101924|6|||89 :66451|169059|81690409889688|020310101904|1|||01 :66336|64086||020310102052|13|||89 :169051|66341||020310101920|5|||81 :66380|66657||020310102132|23|||89 :169020|66128||020310102004|16|||81 :66451|169059|81690409889688|020310102008|2|||01 :169010|110058|81108|020310102044|26|||03 :8014|169060|816919|020310101956|29|||01 :169031|66856||020310102028|37|||81 :169019|66744||020310102024|21|||81 :66856|169054|816995721868|020310102108|2|||01 :66150|169057|816995285442|020310102052|13|||01 :66221|169055|816995089508|020310102040|10|||01 :169050|66192||020310102100||||81 :169008|66822||020310102124|111|||81 :169012|66063||020310102132|8|||81 :66063|169060|816990765063|020310102132|8|||01 :66778|169059|816995340981|020310102040|10|||01 :66713|66660||020310102140|10|||89 :66161|66635||020310102228|22|||89 :169036|66801||020310102112|198|||81 :66164|169058|81691300654329|020310102136|84|||01 :169002|1||020310102112|33|||82 :169032|1||020310102228|97|||82 :66415|169059|81690421803383|020310102208|2|||01 :66192|169060|816990117200|020310102144|11|||01 :8619|169054|816995834744|020310102208|17|||01 :66223|66016||020310102312|18|||89 :66419|66608||020310102248|12|||89 :169017|110058|81108|020310102308|32|||03 :66618|66480||020310102400|15|||89 :66192|169060|816990117200|020310102320|5|||01 :66222|66235||020310102500|30|||89 :169048|66938||020310102308|17|||81 :66938|169058|816990765938|020310102308|17|||01 :169029|66447||020310102324|6|||81 :64036|169055|816998119021|020310102324|6|||01 :66415|169054|81690421803383|020310102328|7|||01 :169003|66802||020310102300|30|||81 :66262|2||020310102324|6|||89 :66761|66844||020310102416|4|||89 :169043|66164||020310102356|14|||81 :66415|66336||020310102420|5|||89 :8616|169041|816959906148|020310102332|383|||01 :169026|66632||020310102356|329|||81 :66251|66166||020310102412|3|||89 :169022|66428||020310102404|16|||81 :77190|66499||020310102416|4|||89 :169033|66192||020310102404|1|||81 :66427|66661||020310102736|54|||89 :169018|110059|81105|020310102424|36|||03 :8612|169054|8169132300|020310102500||||01 :169024|77971||020310102428|22|||81 :66164|66611||020310102504|1|||89 :66192|169060|816990117341|020310102500||||01 :169005|64037||020310102528|7|||81 :66253|66750||020310102752|43|||89 :66389|169058|816995345655|020310102456|29|||01 :66785|77648||020310102524|6|||89 :169038|66666||020310102516|34|||81 :66223|169057|816996909144|020310102532|53|||01 :66151|66713||020310102524|6|||89 :169009|66391||020310102516|49|||81 :169039|66261||020310102532|38|||81 :66363|169056|81690296309206|020310102604|121|||01 :66192|66301||020310102632|8|||89 :66661|66611||020310102608|2|||89 :66856|66349||020310102708|17|||89 :66665|66260||020310102640|10|||89 :169046|66110||020310102616|94|||81 :169044|66303||020310102640|10|||81 :66366|169060|81691223|020310102548|12|||01 :169007|66263||020310102652|13|||81 :169052|66314||020310102644|26|||81 :66213|66325||020310102904|31|||89 :66366|169060|816998323300|020310102732|8|||01 :66707|169057|81690410417254|020310102736|9|||01 :169014|110056|81105|020310102656|14|||03 :169021|66192||020310102804|1|||81 :169047|77999||020310102724|51|||81 :77999|169055|81690287783190|020310102724|51|||01 :169025|66261||020310102824|21|||81 :169034|66804||020310102816|4|||81 :8165|169057|816995699251|020310102800|15|||01 :66183|169055|816995329349|020310102820|5|||01 :66151|169048|81690402346651|020310102812|3|||01 :169015|66623||020310102840|10|||81 :66499|66270||020310103000|15|||89 :66273|169050|816997660661|020310102904|1|||01 :66727|169053|81690434180315|020310102844|11||2025|01 :169042|66035||020310102844|11|||81 :66389|66115||020310103132|38|||89 :169004|66712||020310102908|17|||81 :66341|169052|81691300888801|020310102820|20|||01 :66465|169060|816998119004|020310102840|25|||01 :169045|66856||020310102940|10|||81 :169040|66270||020310102900|60|||81 :169030|66801||020310102948|12|||81 :77190|169054|816995721443|020310102924|6|||01 :66225|169051|816986463601|020310102904|16|||01 :66837|169056|81690438394874|020310102932|38|||01 :66025|66480||020310103120|20|||89 :169028|77971||020310102940|25|||81 :66618|169055|81690407781296|020310102928|7|||01 :77758|66611||020310103012|3|||89 :66161|66183||020310103100|15|||89 :8165|169057|816995699521|020310103000|15|||01 :66289|66802||020310103124|21|||89 :66256|8125||020310103012|3|||89 :66150|169052|816995793363|020310103036|9|||01 :77281|66611||020310103008|2|||89 :77643|66195||020310103028|7|||89 :169035|66467||020310103032|8|||81 :169031|66465||020310103016|19|||81 :66253|66164||020310103352|43|||89 :64086|169054|816992999030|020310103108|17|||01 :169013|66287||020310103036|9|||81 :169010|110056|81105|020310103056|29|||03 :66325|2||020310103152|13|||89 :169012|66938||020310103036|9|||81 :66938|169057|816990765938|020310103036|9|||01 :66157|66611||020310103132|8|||89 :66314|66448||020310103108|2|||89 :169020|66314||020310103108|32|||81 :169027|66012||020310103048|57|||81 :77649|77190||020310103300|30|||89 :66617|66210||020310103148|12|||89 :169002|66834||020310103148|12|||81 :66349|66605||020310103232|23|||89 :66395|2||020310103216|4|||89 :66267|66879||020310103336|24|||89 :66415|169054|816995631422|020310103136|9|||01 :8006|169058|8169132331|020310103200|75|||01 :169017|66938||020310103220|5|||81 :66938|169050|816990765938|020310103220|5|||01 :169049|66155||020310103216|79|||81 :66332|169058|81690409889688|020310103204|1|||01 :66161|66635||020310103340|25|||89 :66727|169057|81690262661879|020310103228|7||2025|01 :66273|169053|816995946666|020310103232|38|||01 :66325|2||020310103232|8|||89 :66480|64086||020310103224|6|||89 :169036|77971||020310103252|28|||81 :169041|66046||020310103220|5|||81 :66046|169058|816990765046|020310103220|5|||01 :169035|66648||020310103512|33|||81 :169043|66703||020310103220|5|||81 :66752|169053|816959957618|020310103304|1|||01 :66141|66439||020310103336|9|||89 :66395|2||020310103316|4|||89 :169003|110059|81109|020310103252|13|||03 :66332|169054|81690409889688|020310103316|4|||01 :8165|169052|816951566354|020310103332|38|||01 :169026|66938||020310103344|11|||81 :66938|169058|816990765938|020310103344|11|||01 :66366|66289||020310103308|2|||89 :66161|66183||020310103504|16|||89 :66840|169059|816993703636|020310103340|160|||01 :169033|66700||020310103324|6|||81 :66864|66800||020310103512|18|||89 :77190|66785||020310103612|33|||89 :66330|66270||020310103456|14|||89 :66349|66801||020310103620|35|||89 :169022|66155||020310103428|22|||81 :66380|66032||020310104104|106|||89 :66705|169060|816992091111|020310103416|79|||01 :66161|66019||020310103428|7|||89 :66761|66027||020310103548|12|||89 :169018|77971||020310103444|11|||81 :66178|66350||020310103528|7|||89 :169023|66666||020310103516|4|||81 :169019|2||020310103444|41|||82 :8612|8611||020310103504|1|||89 :169038|77971||020310103432|8|||81 :66219|169052|816987867986|020310103524|6|||01 :169009|66938||020310103544|11|||81 :66938|169049|816990765938|020310103544|11|||01 :66342|169055|81690438130523|020310103500|45||2025|01 :66425|169058|816990117374|020310103548|27|||01 :66107|169054|816995318886|020310103500|15|||01 :66322|66380||020310103548|12|||89 :169032|66314||020310103536|9|||81 :169007|2||020310103604|1|||82 :169044|66102||020310103608|2|||81 :66777|66648||020310103900|45|||89 :66451|169058|81690409889688|020310103608|2|||01 :169039|66102||020310103628|7|||81 :66395|169053|81690402911055|020310103556|44|||01 :66161|66854||020310103644|11|||89 :66273|169057|81690448207150|020310103544|56|||01 :66151|66744||020310103616|4|||89 :169020|66448||020310104108|77|||81 :66785|169055|81690428195004|020310103600||||01 :169037|66146||020310103604|1|||81 :66328|66811||020310103748|12|||89 :169025|66316||020310103620|5|||81 :66151|66619||020310103716|4|||89 :66340|77068||020310103704|1|||89 :169001|66340||020310103724|6|||81 :169025|77791||020310103716|4|||81 :8615|169051|816959776966|020310103712|93|||01 :169034|66667||020310103724|6|||81 :66785|169057|81690428195004|020310103704|1|||01 :66366|66289||020310103808|17|||89 :169021|110060|8110|020310103736|24|||03 :66322|169058|816998772533|020310103732|23|||01 :77758|66210||020310103816|4|||89 :64082|169060|81690447540726|020310103756|44|||01 :66772|169058|816990762000|020310103808|2|||01 :66761|66741||020310103812|3|||89 :169001|77068||020310103904|16|||81 :169006|110057|8110|020310103836|9|||03 :66785|169060|81690428195004|020310103808|2|||01 :169023|77810||020310104124|51|||81 :66322|66341||020310103820|5|||89 :66332|169058|81690409889688|020310103812|3|||01 :66412|66270||020310103912|3|||89 :66872|2||020310103908|2|||89 :169024|66350||020310103824|6|||81 :169042|66102||020310103844|11|||81 :66772|169053|816990763176|020310103836|9|||01 :66618|169054|81690413124647|020310103832|8|||01 :66332|169053|81690409889688|020310103904|1|||01 :64128|66611||020310103904|1|||89 :66322|169051|81690422049076|020310103908|2|||01 :169030|66046||020310103924|6|||81 :66046|169058|816990765046|020310103924|6|||01 :169046|77971||020310103852|58|||81 :66325|169055|816987427501|020310103920|35|||01 :169045|66404||020310103936|9|||81 :66267|66364||020310104144|26|||89 :66785|169060|81690419563138|020310103912|18|||01 :66176|66721||020310104020|5|||89 :64027|169052|816995230928|020310104000|15|||01 :66365|66611||020310104008|2|||89 :66322|66342||020310104020|5|||89 :169040|66240||020310104012|18|||81 :66872|2||020310104028|7|||89 :66010|77149||020310104052|13|||89 :66034|169059|816995328707|020310103944|86|||01 :66661|66611||020310104008|2|||89 :8619|169056|81690400000072|020310104004|151|||01 :8615|169057|816997028847|020310104044|41|||01 :66349|66619||020310104244|41|||89 :66217|66234||020310104040|10|||89 :66033|66832||020310104016|4|||89 :169005|66800||020310104048|72|||81 :66455|169058|81690416053786|020310104056|14|||01 :169010|66322||020310104040|10|||81 :66828|169050|816984206800|020310104016|109|||01 :66434|66675||020310104128|7|||89 :66618|169060|816996822400|020310104020|5|||01 :169008|66366||020310104116|109|||81 :66846|2||020310104204|16|||89 :8614|169056|816997881276|020310104100||||01 :169031|77971||020310104120|20|||81 :66332|169058|81690409889688|020310104104|1|||01 :169012|77971||020310104128|7|||81 :66618|169060|81690412366273|020310104128|7|||01 :66455|169059|81690418331032|020310104208|17|||01 :77758|66611||020310104232|8|||89 :169017|66261||020310104200|15|||81 :169035|110057|81101|020310104224|6|||03 :66840|169048|816993030000|020310104156|104|||01 :169043|66002||020310104220|5|||81 :66349|66145||020310104312|18|||89 :66457|169058|816998953868|020310104236|9|||01 :66846|169057|81690421542526|020310104216|19|||01 :169027|110055|81101|020310104220|35|||03 :66804|77649||020310104356|14|||89 :169026|66932||020310104240|10|||81 :66932|169059|816990765932|020310104240|10|||01 :169003|110053|8110|020310104252|13|||03 :169018|8616||020310105112|123|||81 :8165|169054|816995688064|020310104252|13|||01 :66290|169050|816997881441|020310104224|6|||01 :64015|66784||020310104356|14|||89 :66217|66324||020310104528|37|||89 :169012|64049||020310104436|24|||81 :66322|66253||020310104312|3|||89 :77149|169055|816996909144|020310104316|34|||01 :66262|66341||020310104512|18|||89 :66432|169059|81690418526240|020310104328|7|||01 :66860|169053|816995636513|020310104352|28|||01 :169044|64078||020310104420|5|||81 :66744|77648||020310104408|2|||89 :169032|110057|81105|020310104424|21|||03 :169009|66166||020310104428|22|||81 :66658|2||020310104412|3|||89 :2|66658||020310104500||||89 :66412|64035||020310104532|8|||89 :169029|66032||020310104444|56|||81 :169039|66776||020310104516|4|||81 :77065|2||020310104544|11|||89 :66226|169054|816995790432|020310104520|5|||01 :66856|169056|816995261999|020310104608|17|||01 :169016|66856||020310104616|4|||81 :66261|169057|81690288182830|020310104608|32|||01 :66180|169053|816998244670|020310104632|8|||01 :66341|77648||020310104616|4|||89 :8614|66449||020310104708|2|||89 :169037|77971||020310104648|12|||81 :169047|66607||020310104644|11|||81 :66326|66777||020310104720|5|||89 :169006|66046||020310104720|5|||81 :66046|169054|816990765046|020310104720|5|||01 :169022|2||020310104708|2|||82 :66349|66802||020310104916|34|||89 :169037|66449||020310104736|9|||81 :66713|66611||020310104720|5|||89 :66332|169053|81690409889688|020310104704|1|||01 :66183|66854||020310104824|6|||89 :169015|66741||020310104712|108|||81 :66278|169057|816991886120|020310104728|7|||01 :66162|169052|816983451431|020310104800|90|||01 :169042|66254||020310104816|4|||81 :169023|66035||020310104812|18|||81 :64071|66661||020310105004|16|||89 :169034|110059|81105|020310104832|38|||03 :8618|169051|816995218065|020310104908|2|||01 :169041|66619||020310104912|3|||81 :8615|169054|816992123008|020310104912|3|||01 :169040|110057|81102|020310104920|5|||03 :66379|169048|81691300309337|020310104840|100|||01 :169045|66465||020310104836|9|||81 :169005|66713||020310104924|6|||81 :66477|169057|816995313661|020310104908|17|||01 :66427|169055|816990760226|020310104848|72|||01 :64015|66235||020310104948|12|||89 :66425|169049|816985175777|020310104904|106|||01 :66253|66611||020310104940|10|||89 :169028|66193||020310104932|158|||81 :2|66100||020310105000||||89 :8615|169054|816919|020310105000||||01 :8618|169051|81690425732436|020310104928|7|||01 :169027|66289||020310105016|4|||81 :66332|169057|81690409889688|020310105008|2|||01 :66660|66611||020310105024|6|||89 :66451|169054|81690409889688|020310105004|1|||01 :66617|66872||020310105024|6|||89 :66379|169056|816996039500|020310105056|59|||01 :66880|77190||020310105120|5|||89 :66005|66270||020310105120|5|||89 :66118|77649||020310105452|58|||89 :8165|169055|816995001739|020310105052|13|||01 :66349|66632||020310105232|23|||89 :66707|169059|816992585000|020310105048|102|||01 :66342|77074||020310105100||||89 :169010|66342||020310105112|18|||81 :169033|66932||020310105048|12|||81 :66932|169051|816990765932|020310105048|12|||01 :169026|66164||020310105056|14|||81 :169046|66366||020310105112|48|||81 :66801|169048|816993264744|020310105132|8|||01 :66034|169056|816995790074|020310105124|6|||01 :66261|66655||020310105248|27|||89 :66241|169050|816986362010|020310105156|44|||01 :66680|169060|81691300363079|020310105136|144|||01 :66396|66012||020310105228|7|||89 :66826|169058|81690402554568|020310105116|124|||01 :66632|66832||020310105208|2|||89 :169010|77074||020310105244|11|||81 :66480|169047|81690400820913|020310105140|10|||01 :169019|66938||020310105144|11|||81 :66938|169059|816990765938|020310105144|11|||01 :169018|66854||020310105144|11|||81 :66629|66611||020310105332|23|||89 :66712|169057|81690401235158|020310105144|26|||01 :169024|66744||020310105148|42|||81 :64011|64132||020310105420|35|||89 :169043|110054|81105|020310105224|51|||03 :66262|66325||020310105340|10|||89 :169029|66012||020310105312|3|||81 :169012|66289||020310105308|17|||81 :66631|169054|816993096664|020310105328|37|||01 :66204|8612||020310105416|19|||89 :66261|169058|816997912888|020310105324|21|||01 :66846|66660||020310105448|27|||89 :66734|77147||020310105344|11|||89 :169009|66314||020310105312|18|||81 :66213|66611||020310105404|1|||89 :169004|66287||020310105324|96|||81 :66617|169049|81690419150163|020310105344|41|||01 :66428|169059|816995096177|020310105332|23|||01 :66744|64107||020310105400||||89 :66661|66744||020310105520|20|||89 :66380|66322||020310105608|32|||89 :169029|66123||020310105508|17|||81 :66680|169055|816993645832|020310105404|31|||01 :66662|2||020310105412|3|||89 :66680|2||020310105404|1|||89 :66727|169051|816996992064|020310105404|31|||01 :169008|66314||020310105420|35|||81 :66342|77074||020310105500||||89 :169031|66342||020310105404|31|||81 :169006|64036||020310105416|4|||81 :66661|64107||020310105548|12|||89 :66848|169055|816998281280|020310105416|4|||01 :169011|66658||020310105508|152|||81 :66253|66164||020310105552|13|||89 :66332|169048|81690409889688|020310105508|2|||01 :66600|66012||020310105512|3|||89 :169031|77074||020310105524|6|||81 :66856|169053|81690407871945|020310105452|103|||01 :169022|66222||020310105540|10|||81 :66680|169051|816994495330|020310105532|8|||01 :169037|66938||020310105532|8|||81 :66938|169055|816990765938|020310105532|8|||01 :169014|66662||020310105504|16|||81 :66164|66611||020310105528|7|||89 :66675|169049|816995230339|020310105548|27|||01 :66349|66844||020310105904|46|||89 :66661|66611||020310105616|4|||89 :169038|64073||020310105616|4|||81 :66801|169054|816992500300|020310105620|35|||01 :169021|110058|81101|020310105548|12|||03 :66762|66619||020310105604|1|||89 :66253|169053|816995535319|020310105624|6|||01 :64015|66864||020310105652|13|||89 :77147|66713||020310105600||||89 :66477|169055|816990766349|020310105628|7|||01 :66840|169060|816995235641|020310105616|64|||01 :169023|66349||020310105632|8|||81 :8612|169060|81690269258791|020310105600||||01 :169020|77971||020310105600|45|||81 :169013|64036||020310105628|7|||81 :77281|66164||020310105716|4|||89 :77147|66713||020310105712|3|||89 :169016|66391||020310105700|60|||81 :169044|66063||020310105656|74|||81 :66063|169056|816990765063|020310105656|74|||01 :66459|169046|816994257345|020310105724|6|||01 :8619|169047|816998452700|020310105656|14|||01 :66396|77648||020310105828|22|||89 :66342|77072||020310105704|1|||89 :169042|66342||020310105704|16|||81 :169027|66287||020310105708|2|||81 :66177|169054|816995329349|020310105720|5|||01 :169045|66207||020310105700|15|||81 :169017|64036||020310105732|8|||81 :169033|66207||020310105712|3|||81 :66335|66611||020310105816|4|||89 :66713|77147||020310105816|4|||89 :169025|66127||020310105740|175|||81 :77164|169049|816985856200|020310105748|27|||01 :66717|169054|816995329349|020310105816|4|||01 :66341|66253||020310105824|6|||89 :66118|169053|816995713992|020310105752|13|||01 :66801|169056|816998878566|020310105744|11|||01 :169045|66123||020310105852|13|||81 :66406|169059|81690414774390|020310105812|63|||01 :169032|66801||020310105812|3|||81 :66744|77648||020310105812|3|||89 :77147|66713||020310105952|13|||89 :169019|66153||020310105828|7|||81 :66332|169054|81690409889688|020310105904|1|||01 :66144|169050|816995577876|020310105832|83|||01 :66826|77190||020310105916|4|||89 :169003|66016||020310105912|18|||81 :169001|66864||020310105912|33|||81 :169018|66938||020310105920|5|||81 :66938|169054|816990765938|020310105920|5|||01 :169026|66261||020310105928|22|||81 :169030|66631||020310105900|30|||81 :8125|66744||020310105912|3|||89 :66618|169055|81690404816339|020310105936|39|||01 :66318|169047|816998868028|020310105932|8|||01 :169010|66314||020310105952|28|||81 :66118|169050|81690409222521|020310105952|13|||01