:169008|66115||020310170004|61|||81 :169018|110060|81106|020310170024|36|||03 :66856|169060|81690412484584|020310170004|1|||01 :64066|169055|81690412369883|020310170044|11|||01 :66350|66002||020310170116|4|||89 :169031|66938||020310170028|7|||81 :66938|169054|816990765938|020310170028|7|||01 :66189|169056|81690438443436|020310170128|22|||01 :169005|110060|81102|020310170100||||03 :169014|66428||020310170104|16|||81 :66451|169056|81690409889688|020310170112|3|||01 :169020|66660||020310170156|14|||81 :66136|66161||020310170352|28|||89 :66675|66726||020310170236|9|||89 :66497|169054|816995836814|020310170240|10|||01 :66382|169057|816997484707|020310170208|47|||01 :66880|169056|81690400661909|020310170232|8|||01 :66150|169059|816995714225|020310170300|180|||01 :169019|66342||020310170316|19|||81 :66136|66161||020310170536|24|||89 :66288|66648||020310170432|8|||89 :64112|169058|816995477597|020310170416|64|||01 :66650|169057|816996875698|020310170516|34|||01 :64112|169058|816997539695|020310170508|2|||01 :66136|66413||020310170544|11|||89 :66856|169060|81690412484554|020310170640|85|||01 :66348|169059|816995259466|020310170652|28|||01 :66136|66428||020310170740|10|||89 :66804|169054|816997539695|020310170704|1|||01 :169043|66666||020310170720|20|||81 :66261|169057|81690416982777|020310170732|23|||01 :169030|66938||020310170704|16|||81 :66938|169060|816990765938|020310170704|16|||01 :66842|169056|8169131318|020310170736|24|||01 :64039|169060|816997875877|020310170816|4|||01 :66136|66161||020310170920|20|||89 :66203|169058|81690416357904|020310170848|42|||01 :66425|169052|816996909271|020310170856|179|||01 :66869|169059|816995330143|020310170944|41|||01 :66428|169058|816995259030|020310170936|9|||01 :66136|66413||020310171044|11|||89 :169044|66666||020310170932|8|||81 :169010|66166||020310171028|7|||81 :169042|66938||020310171020|5|||81 :66938|169059|816990765938|020310171020|5|||01 :66136|66428||020310171120|5|||89 :169025|66666||020310171108|17|||81 :169009|110058|811000|020310171200||||03 :66454|169059|816998270155|020310171140|10|||01 :66843|169056|81690417857369|020310171116|4|||01 :66136|66161||020310171232|8|||89 :66355|169053|81690413123253|020310171152|73|||01 :77147|169058|816995576108|020310171236|24|||01 :64005|169055|816998214828|020310171240|175|||01 :169047|66026||020310171316|4|||81 :169040|77971||020310171252|28|||81 :66332|169058|81690409889688|020310171308|2|||01 :77147|2||020310171320|5|||89 :169023|66428||020310171336|9|||81 :66136|169059|816995781682|020310171424|21|||01 :169045|66189||020310171440|10|||81 :8614|169056|81690419105627|020310171508|17|||01 :169004|66263||020310171516|109|||81 :66118|169054|816995043889|020310171520|125|||01 :77147|169058|81690430170175|020310171508|32|||01 :66193|169051|816998270820|020310171528|7|||01 :66425|169057|816995283745|020310171524|96|||01 :66332|169052|81690409889688|020310171536|9|||01 :66288|169055|816995551505|020310171528|22|||01 :66335|2||020310171716|4|||89 :169050|66426||020310171704|1|||81 :66203|169058|81690425135945|020310171712|3|||01 :169046|66013||020310171716|4|||81 :64108|169053|81690402917791|020310171736|39|||01 :66261|169059|81690416982777|020310171804|46|||01 :8018|2||020310171816|4|||89 :66185|77040||020310172156|59|||89 :64108|169058|81690402152330|020310171832|8|||01 :66348|169058|81690412217057|020310172020|5|||01 :77147|8019||020310172008|2|||89 :169048|66012||020310172008|17|||81 :66348|169058|81690411800815|020310172008|2|||01 :66251|169055|816995725144|020310172028|7|||01 :169041|66100||020310172124|6|||81 :8018|169059|81690407220348|020310172224|51|||01 :8615|169056|81690437660219|020310172156|29|||01 :66355|169057|816995639088|020310172220|65|||01 :66251|169055|816998856313|020310172240|25|||01 :77758|77040||020310172624|21|||89 :66251|169059|816995782027|020310172436|24|||01 :66335|2||020310172512|3|||89 :66335|169059|81690424493556|020310172508|2|||01 :66348|169058|816953321501|020310172520|65|||01 :66447|169057|816995096620|020310172548|12|||01 :169029|66800||020310172604|1|||81 :66348|169058|81690411000321|020310172620|5|||01 :66118|169059|81690401325222|020310172732|23|||01 :169021|66856||020310172732|98|||81 :66341|169058|816994350273|020310172900||||01 :8015|169059|816998944066|020310172940|10|||01 :66290|2||020310173016|4|||89 :64055|169057|816993969595|020310173028|22|||01 :66332|169055|81690409889688|020310173012|3|||01 :66741|2||020310173112|3|||89 :66110|169057|816998895076|020310173132|8|||01 :169007|66335||020310173204|16|||81 :169022|66744||020310173212|18|||81 :66290|169059|81690401293446|020310173304|46|||01 :77040|66846||020310173620|50|||89 :66222|66884||020310173356|14|||89 :66332|169057|81690409889688|020310173316|4|||01 :77040|66619||020310173448|12|||89 :66846|2||020310173448|12|||89 :66226|169059|816995790432|020310173420|5|||01 :66226|169059|816995790432|020310173512|3|||01 :66263|169057|81690434535422|020310173504|1|||01 :169017|66063||020310173620|5|||81 :66063|169057|816990765063|020310173620|5|||01 :66341|169058|816994965000|020310173624|111|||01 :169024|66335||020310173700|15|||81 :64107|169059|816995571535|020310173648|27|||01 :8620|169059|81690406027198|020310173800||||01 :169037|66869||020310173920|305|||81 :66332|169056|81690409889688|020310174024|6|||01 :66223|169060|8169132200|020310174112|483|||01 :66415|169057|81690431603738|020310174236|39|||01 :66263|169058|816995723455|020310174308|92|||01 :77040|169060|81690418114396|020310174348|27|||01 :66415|169058|816999500888|020310174412|3|||01 :66744|169056|816995027744|020310174344|26|||01 :66880|169055|81690432797602|020310174436|69|||01 :169012|66341||020310174528|7|||81 :66744|2||020310174616|4|||89 :169015|66707||020310174612|3|||81 :66492|169060|81690419761400|020310174700|15|||01 :169002|66528||020310174732|23|||81 :66528|169058|816990765528|020310174732|23|||01 :77083|169060|816992773745|020310174852|13|||01 :66760|169058|816995696792|020310174908|17|||01 :66335|66341||020310175012|3|||89 :169035|66938||020310175048|12|||81 :66938|169058|816990765938|020310175048|12|||01 :169034|66270||020310175108|2|||81 :66346|66413||020310175140|10|||89 :66253|169059|81690413324068|020310175216|184|||01 :169013|110060|8110|020310175220|5|||03 :66880|169060|816995647731|020310175316|49|||01 :66290|2||020310175316|4|||89 :66707|169060|816995705064|020310175348|12|||01 :169011|66003||020310175420|5|||81 :169044|8018||020310175404|1|||81 :169001|110058|8110|020310175408|2|||03 :169016|66046||020310175420|5|||81 :66046|169058|816990765046|020310175420|5|||01 :169027|66002||020310175420|5|||81 :169006|66060||020310175420|5|||81 :66060|169056|816990765060|020310175420|5|||01 :169018|66063||020310175420|5|||81 :66063|169055|816990765063|020310175420|5|||01 :169029|66601||020310175404|1|||81 :169005|66075||020310175420|5|||81 :66075|169054|816990765075|020310175420|5|||01 :169026|66115||020310175420|5|||81 :169030|66180||020310175428|7|||81 :169025|66302||020310175420|5|||81 :169009|66280||020310175420|5|||81 :169036|66413||020310175420|5|||81 :169046|66428||020310175424|6|||81 :169032|66059||020310175436|9|||81 :66059|169057|816990765059|020310175436|9|||01 :169043|66139||020310175428|7|||81 :169020|66093||020310175436|9|||81 :66093|169053|816990765093|020310175436|9|||01 :169041|66487||020310175420|5|||81 :169048|66435||020310175420|5|||81 :169040|66321||020310175424|6|||81 :169019|66121||020310175432|8|||81 :169042|66209||020310175436|9|||81 :169052|66389||020310175436|9|||81 :169023|66346||020310175432|8|||81 :169047|66246||020310175436|9|||81 :169004|66369||020310175436|9|||81 :169010|66225||020310175436|9|||81 :169003|110057|8110|020310175444|11|||03 :169022|66635||020310175420|5|||81 :169033|66675||020310175420|5|||81 :169002|66938||020310175420|5|||81 :66938|169060|816990765938|020310175420|5|||01 :169039|66726||020310175424|6|||81 :169015|66890||020310175420|5|||81 :169021|66607||020310175436|9|||81 :8620|169058|81690406027198|020310175504|1|||01 :66387|2||020310175504|1|||89 :66856|169059|816995230995|020310175508|32|||01 :169050|66263||020310175604|16|||81 :66396|2||020310175716|4|||89 :8007|169059|816995473691|020310175732|8|||01 :66396|169060|81690439323436|020310175844|26|||01 :169012|66195||020310175952|13|||81