:169029|77073||020311120348|132|||81 :66613|66446||020311120124|81|||89 :169032|8616||020311120516|124|||81 :66679|66322||020311120132|53|||89 :169016|64028||020311120808|137|||81 :66263|66619||020311120108|32|||89 :66725|169050|81690448011645|020311120004|31|||01 :66620|2||020311120004|1|||89 :66314|64066||020311120056|14|||89 :66265|169060|816985870113|020311120028|7|||01 :8203|169042|816995282489|020311120020|35|||01 :66644|169056|81690400054374|020311120016|64|||01 :66762|66603||020311120040|10|||89 :66026|66890||020311120024|6|||89 :66103|169053|81690409589054|020311120028|22|||01 :169008|110056|8110|020311120020|5|||03 :169024|66666||020311120020|5|||81 :169001|66314||020311120044|26|||81 :66265|169051|816985870113|020311120124|6|||01 :169037|66396||020311120032|38|||81 :169009|110060|8110|020311120112|18|||03 :66005|169060|816987949700|020311120128|7|||01 :169029|66384||020311120052|13|||81 :169004|110055|8110|020311120132|8|||03 :77758|66611||020311120104|1|||89 :66340|169059|81691322277|020311120144|86|||01 :66459|66806||020311120356|29|||89 :169012|64125||020311120208|2|||81 :169015|110057|8110|020311120156|29|||03 :169035|66607||020311120136|9|||81 :169038|64039||020311120208|2|||81 :8617|169060|816998452878|020311120240|10|||01 :8614|8615||020311120204|1|||89 :169018|77971||020311120232|8|||81 :8611|169053|81690415470572|020311120236|9|||01 :169006|64036||020311120304|1|||81 :66335|2||020311120304|1|||89 :169023|66107||020311120304|1|||81 :66021|169056|816996998781|020311120300|30|||01 :169014|66620||020311120300|45|||81 :66665|169046|81690419885868|020311120316|79|||01 :169033|77790||020311120304|76|||81 :169003|110059|811057|020311120312|18|||03 :66459|169053|816960|020311120332|8|||01 :77082|66278||020311120420|5|||89 :169047|2||020311120400||||82 :64112|66804||020311120408|2|||89 :66314|64066||020311120624|36|||89 :66274|169058|81690419351497|020311120444|101|||01 :66314|64066||020311120500||||89 :169011|66314||020311120500|90|||81 :169013|66607||020311120428|7|||81 :45029|169053|816995237291|020311120516|4|||03 :45028|169046|816992568322|020311120508|2|||03 :66605|66342||020311120716|34|||89 :66199|169047|816996039530|020311120440|10|||01 :66618|169041|81690404816339|020311120520|5|||01 :8100|169056|816995782561|020311120512|33|||01 :66234|169055|816992784444|020311120532|83|||01 :45030|169059|816985205200|020311120536|54|||03 :169031|66335||020311120536|39|||81 :66742|169051|8169132227|020311120548|57|||01 :169040|66762||020311120512|3|||81 :169016|66726||020311120520|5|||81 :66846|77147||020311120652|13|||89 :169036|110060|8110|020311120544|11|||03 :169020|66193||020311120600|540|||81 :169045|110059|81104|020311120552|28|||03 :169039|77971||020311120616|49|||81 :64065|66253||020311120632|8|||89 :169028|66259||020311120644|11|||81 :66454|169057|816955742298|020311120624|456|||01 :66350|169047|8169430|020311120616|4|||01 :66605|66725||020311120736|9|||89 :169049|66387||020311120632|383|||81 :45029|169056|81690488342950|020311120700|15|||03 :66767|169046|81690448500977|020311120644|26|||01 :66256|169052|8169133320|020311120656|239|||01 :66274|169053|816959831819|020311120704|31|||01 :66332|169056|81690409889688|020311120716|4|||01 :169010|66465||020311120736|9|||81 :45030|169055|816998533401|020311120756|29|||03 :66428|66161||020311121124|51|||89 :169026|66314||020311120740|10|||81 :169007|66619||020311120752|28|||81 :66227|169052|816995613820|020311120744|11|||01 :8016|8011||020311120812|3|||89 :66005|169051|81690418526240|020311120820|35|||01 :66110|169053|816998957614|020311120904|16|||01 :169022|66260||020311120912|78|||81 :169008|66312||020311120828|7|||81 :66706|169052|81690439899087|020311120904|1|||01 :8004|2||020311121012|3|||89 :169005|77971||020311120912|18|||81 :66110|169051|816998957614|020311120908|2|||01 :169001|66312||020311121004|1|||81 :66428|66136||020311121140|25|||89 :8641|169058|81690420224327|020311121012|78|||01 :66332|169042|81690409889688|020311121024|6|||01 :8165|169052|816995283420|020311121036|9|||01 :66652|169051|816995277041|020311121008|2|||01 :8004|169041|81690417131795|020311121016|4|||01 :66769|169054|816952977075|020311121008|167|||01 :169043|45006|8145|020311121036|189|||03 :169009|110060|81105|020311121028|7|||03 :66266|66380||020311121700|105|||89 :66103|169046|816995684931|020311121048|12|||01 :66253|169040|816995848809|020311121028|7|||01 :66325|66322||020311121012|3|||89 :45030|169058|816995713262|020311121004|1|||03 :169029|66195||020311121028|7|||81 :66428|169042|816998040940|020311121020|5|||01 :66427|2||020311121104|1|||89 :66219|169039|81691300773000|020311121044|11|||01 :66769|169054|816985179517|020311121112|3|||01 :66274|169056|816995230020|020311121108|47|||01 :66402|169057|81690404816308|020311121108|62|||01 :8004|2||020311121116|4|||89 :66301|169045|81690404855604|020311121024|21|||01 :66769|169058|816985179525|020311121108|2|||01 :169015|66666||020311121116|4|||81 :77079|2||020311121108|2|||89 :169012|66387||020311121136|9|||81 :169032|110060|8110|020311121132|8|||03 :45029|169058|81690410580294|020311121204|1|||03 :66744|169052|81690418558810|020311121140|10|||01 :169015|66123||020311121244|11|||81 :66652|169054|816995277041|020311121128|7|||01 :45030|169046|816995714010|020311121212|18|||03 :66427|66660||020311121316|19|||89 :66675|66130||020311121336|24|||89 :169019|77971||020311121208|17|||81 :169006|110060|81104|020311121212|3|||03 :66104|169060|816985613940|020311121232|143|||01 :8004|169056|81690417131495|020311121224|21|||01 :77149|169055|816995120779|020311121228|67|||01 :66661|66611||020311121308|2|||89 :45030|169057|81690400585587|020311121324|6|||03 :8616|169053|816987814224|020311121304|61|||01 :8641|169045|81690420224327|020311121324|21|||01 :66707|66762||020311121340|10|||89 :169033|66322||020311121320|20|||81 :66675|169046|81691300657265|020311121416|19|||01 :169018|8615||020311122524|171|||81 :169023|45022|8145|020311121404|31|||03 :169035|45021|814513|020311121352|13|||03 :66454|169052|816998268437|020311121344|26|||01 :169027|110060|8110|020311121420|20|||03 :169013|66834||020311121424|6|||81 :66635|169058|816995844981|020311121404|31|||01 :66382|66744||020311121428|7|||89 :8641|169055|816987813404|020311121428|7|||01 :64016|169050|816987102804|020311121436|204|||01 :169044|110058|8110|020311121416|169|||03 :66427|66661||020311121612|18|||89 :66675|169058|816995994355|020311121452|13|||01 :169016|66791||020311121504|1|||81 :45030|169050|816995782042|020311121504|1|||03 :66332|169055|81690409889688|020311121536|9|||01 :66618|169057|816992679000|020311121516|34|||01 :169011|64066||020311122708|167|||81 :66347|169059|816987108688|020311121512|153|||01 :169017|110060|81101|020311121600|15|||03 :169036|66435||020311121604|16|||81 :169031|110058|811059|020311121552|13|||03 :169028|66126||020311121628|7|||81 :66005|169043|816994201357|020311121632|68|||01 :169025|64086||020311121552|28|||81 :66199|169054|81690412731224|020311121616|34|||01 :66741|2||020311121608|2|||89 :45030|169058|816995782389|020311121556|14|||03 :66330|169059|81691300887820|020311121636|9|||01 :66274|169055|816956881233|020311121632|8|||01 :169002|66261||020311121640|10|||81 :77070|169051|816995571911|020311121716|79|||01 :66278|169047|81690413122388|020311121712|138|||01 :169037|77079||020311121644|86|||81 :66618|169054|81690417889008|020311121728|7|||01 :66427|2||020311121740|10|||89 :169034|66277||020311121700||||81 :169010|66136||020311121732|8|||81 :169021|66762||020311121748|27|||81 :169007|110058|81103|020311121728|7|||03 :169004|110059|81102|020311121740|115|||03 :64010|169057|816997742642|020311121820|35|||01 :66427|2||020311121800||||89 :169008|66136||020311121816|4|||81 :8622|169045|816997848659|020311121748|27|||01 :169026|66261||020311121844|11|||81 :77190|169055|816995714996|020311121844|11|||01 :66804|169053|816995621516|020311121828|52|||01 :169005|66269||020311121820|5|||81 :66332|169057|81690409889688|020311121832|8|||01 :8619|169054|816996622355|020311121904|16|||01 :66389|66350||020311121916|4|||89 :169020|66741||020311121828|37|||81 :66266|66380||020311122028|22|||89 :66130|169055|816995789118|020311121952|13|||01 :66329|169058|816996503946|020311121928|37|||01 :169038|66871||020311121936|9|||81 :66034|169060|816995328707|020311121948|102|||01 :66451|169058|81690409889688|020311122020|5|||01 :66332|169051|81690409889688|020311122020|5|||01 :66107|169056|81690412044877|020311122052|103|||01 :66119|169052|81690412918786|020311122044|86|||01 :66130|169053|816985205255|020311122044|11|||01 :66335|2||020311122108|2|||89 :8614|8615||020311122104|1|||89 :169012|77971||020311122032|8|||81 :169032|64086||020311122116|4|||81 :169039|66440||020311122112|3|||81 :64142|66253||020311122212|18|||89 :66387|66210||020311122104|1|||89 :66315|169055|816997068933|020311122128|22|||01 :66332|169056|81690409889688|020311122120|5|||01 :169015|66314||020311122124|6|||81 :66862|77190||020311122140|10|||89 :66034|169058|81690434312083|020311122128|7|||01 :64066|169060|816998362172|020311122144|11|||01 :66026|66854||020311122244|11|||89 :45029|169050|81690419150163|020311122116|79|||03 :66427|169057|816990762000|020311122152|43|||01 :64086|169053|816995631274|020311122144|11|||01 :169042|66341||020311122124|6|||81 :169012|8615||020311122304|16|||81 :66218|169057|81690401678632|020311122216|4|||01 :66026|66350||020311122220|5|||89 :66648|169058|816995964008|020311122240|10|||01 :45030|169053|816993801127|020311122220|5|||03 :66862|77190||020311122228|7|||89 :169014|110058|8110|020311122228|7|||03 :169015|66123||020311122416|19|||81 :169033|110056|8110|020311122228|7|||03 :66314|66199||020311122304|1|||89 :169018|66314||020311122220|5|||81 :169029|8010||020311122248|42|||81 :169003|64055||020311122304|16|||81 :66322|66341||020311122324|6|||89 :66314|169055|81690404816423|020311122252|13|||01 :66026|66350||020311122332|8|||89 :169009|66335||020311122332|38|||81 :66322|66396||020311122412|3|||89 :169023|110055|81101|020311122336|24|||03 :66612|169058|816993969521|020311122408|17|||01 :66869|169057|816998892213|020311122432|23|||01 :64046|169054|816992123018|020311122432|83|||01 :64161|169058|816999031177|020311122428|7|||01 :169011|66773||020311122428|7|||81 :169044|66607||020311122456|14|||81 :45030|169051|81690438393250|020311122448|12|||03 :66871|169055|816995099486|020311122520|20|||01 :66274|169047|816951851235|020311122528|7|||01 :64038|169046|816998281265|020311122516|4|||01 :66325|2||020311122520|5|||89 :169017|2||020311122504|1|||82 :66829|169055|816995781262|020311122512|3|||01 :169036|110060|81107|020311122516|4|||03 :64142|66336||020311123032|68|||89 :8614|169046|816954450700|020311122600||||01 :169019|77971||020311122548|57|||81 :8641|169051|816997068933|020311122532|8|||01 :66192|169058|81690488541301|020311122612|18|||01 :64066|169060|816998352333|020311122636|69|||01 :66741|77147||020311122828|37|||89 :66266|169054|816985425010|020311122624|21|||01 :169027|66428||020311122652|58|||81 :66105|169049|816997730861|020311122632|293|||01 :8614|66315||020311122700||||89 :169016|77971||020311122648|12|||81 :64066|66314||020311122708|2|||89 :77758|66611||020311122700||||89 :66029|169060|816995329349|020311122716|4|||01 :66811|169057|81690411425003|020311122720|35|||01 :66386|169053|816993835461|020311122740|70|||01 :66314|66631||020311122848|12|||89 :66332|169060|81690409889688|020311122716|4|||01 :8622|169059|816997848659|020311122812|138|||01 :66804|169052|81690458986133|020311122744|101|||01 :169043|2||020311122724|6|||82 :8617|169056|816998452878|020311122832|98|||01 :66648|169054|816995235323|020311122804|16|||01 :110001|169049|81690407770721|020311122744|11|||03 :66219|169053|81690405220975|020311122820|5|||01 :66342|66712||020311122820|5|||89 :66278|64082||020311123216|64|||89 :64142|66341||020311123028|37|||89 :66183|66854||020311122832|8|||89 :66274|169055|816992123009|020311122848|42|||01 :66382|66322||020311123012|18|||89 :66104|169057|816992122777|020311122828|22|||01 :66872|66322||020311122912|3|||89 :66648|169060|81690466398588|020311122920|5|||01 :169025|66335||020311122924|21|||81 :66192|169055|8169131243|020311122948|12|||01 :169002|66938||020311122956|14|||81 :66938|169056|816990765938|020311122956|14|||01 :169035|77971||020311122952|43|||81 :169034|66334||020311123008|2|||81 :66332|169057|81690409889688|020311122952|13|||01 :2|77190||020311123000||||89 :66888|169056|816985522222|020311123032|8|||01 :169022|66335||020311123040|10|||81 :66103|169050|81690402137420|020311123036|99|||01 :77083|169060|816992773745|020311123032|23|||01 :77079|66712||020311123216|19|||89 :66219|169055|81691300773000|020311123100|15|||01 :169037|66261||020311123044|11|||81 :45029|169053|81690424488389|020311123120|5|||03 :66332|169056|81690409889688|020311123136|9|||01 :169018|66199||020311123944|131|||81 :66174|169060|81690430030587|020311123148|12|||01 :169010|66619||020311123140|10|||81 :66026|66350||020311123220|5|||89 :66477|169054|81690402813731|020311123148|27|||01 :8611|169048|816997761282|020311123228|427|||01 :64042|169057|816995090998|020311123216|34|||01 :45029|169056|81690432425250|020311123236|9|||03 :169004|66465||020311123304|16|||81 :66026|66350||020311123336|9|||89 :66488|2||020311123312|3|||89 :66209|169053|816998203240|020311123336|9|||01 :66340|169045|816990762025|020311123304|121|||01 :169026|66804||020311123304|1|||81 :169007|66877||020311123420|35|||81 :66362|64082||020311123428|7|||89 :169001|66007||020311123332|8|||81 :66012|77145||020311123412|3|||89 :169020|66039||020311123424|6|||81 :66871|169047|816997032900|020311123404|136|||01 :8622|169060|816995795700|020311123412|33|||01 :8615|169059|816985744600|020311123456|89|||01 :169021|45017|8145|020311123424|51|||03 :169005|66607||020311123428|22|||81 :8641|169044|816995309397|020311123524|111|||01 :66648|66467||020311123844|56|||89 :45028|169053|816995707962|020311123504|16|||03 :169041|66174||020311123512|18|||81 :66219|169052|81690405220975|020311123536|9|||01 :45029|169056|816992773789|020311123512|33|||03 :66605|169054|81690409570117|020311123540|40|||01 :169015|66938||020311123504|1|||81 :66938|169055|816990765938|020311123504|1|||01 :169039|66231||020311123528|7|||81 :66712|66382||020311123636|9|||89 :77079|66325||020311123640|10|||89 :169040|66316||020311123536|9|||81 :169032|45015|8145|020311123608|2|||03 :169038|66335||020311123552|28|||81 :66782|169057|816995636444|020311123624|36|||01 :66336|66210||020311123844|26|||89 :66804|169056|81690401514072|020311123700||||01 :169014|66166||020311123616|19|||81 :66804|169055|81690401514072|020311123704|1|||01 :169042|66314||020311123712|3|||81 :66712|66713||020311123748|12|||89 :66332|169057|81690409889688|020311123752|13|||01 :66879|66174||020311123852|13|||89 :66227|169056|816995929265|020311123800|15|||01 :66888|169054|816985522222|020311123832|8|||01 :8622|169059|81691300347397|020311123812|48|||01 :66328|66744||020311123828|7|||89 :169003|77971||020311123816|34|||81 :169016|66315||020311125036|174|||81 :169017|66754||020311123816|4|||81 :66754|169056|81690430311673|020311123816|4|||01 :169023|66274||020311123908|17|||81 :66256|77434||020311123920|5|||89 :169033|45014|8145|020311123848|12|||03 :66147|66038||020311123900||||89 :169031|66166||020311123836|9|||81 :169013|110059|8110|020311123912|243|||03 :66332|169055|81690409889688|020311123944|11|||01 :169006|66712||020311123924|21|||81 :169027|110056|8110|020311123940|10|||03 :66278|66606||020311124048|27|||89 :66332|169053|81690409889688|020311123908|2|||01 :66178|66350||020311124028|7|||89 :8622|169059|81690408007802|020311124024|21|||01 :169043|66465||020311124000||||81 :66227|169055|816998829338|020311124032|8|||01 :169019|110056|8110|020311124008|2|||03 :66332|169054|81690409889688|020311124036|9|||01 :169029|66192||020311124056|74|||81 :169028|66713||020311124024|21|||81 :169049|45013|8145|020311124040|10|||03 :66314|66448||020311124108|2|||89 :169025|66314||020311124132|8|||81 :66804|169053|81690419342476|020311124100|15|||01 :66178|66350||020311124136|9|||89 :66373|169056|81690404816411|020311124108|32|||01 :169030|45020|8145|020311124104|331|||03 :169046|45012|8145|020311124140|10|||03 :169011|66618||020311124128|52|||81 :66618|169057|81690404816339|020311124128|52|||01 :8622|169059|816995795989|020311124124|6|||01 :66332|169055|81690409889688|020311124132|8|||01 :169036|77971||020311124144|41|||81 :66754|169052|81690430311673|020311124156|14|||01 :169035|66938||020311124228|7|||81 :66938|169056|816990765938|020311124228|7|||01 :169050|64086||020311124220|5|||81 :45030|169058|81690407122433|020311124216|244|||03 :66848|169058|816995683899|020311124320|5|||01 :8622|169059|816995518877|020311124312|18|||01 :169018|66938||020311124312|3|||81 :66938|169053|816990765938|020311124312|3|||01 :66227|169056|81690418556351|020311124340|10|||01 :66349|169057|81690401260360|020311124348|12|||01 :66848|169059|816995683899|020311124320|5|||01 :169031|66038||020311124824|66|||81 :169034|2||020311124404|31|||82 :66751|169058|816995894828|020311124324|6|||01 :66631|66028||020311124416|4|||89 :66325|66631||020311124448|12|||89 :66618|169052|816995411500|020311124340|10|||01 :66192|169054|81690432363237|020311124356|44|||01 :66332|169059|81690409889688|020311124412|3|||01 :169002|66465||020311124416|49|||81 :66177|169056|816997298738|020311124428|7|||01 :169010|110058|8110|020311124428|7|||03 :66192|169059|816987903073|020311124400||||01 :169048|66938||020311124444|11|||81 :66938|169058|816990765938|020311124444|11|||01 :66234|169055|816994748600|020311124448|27|||01 :66618|169053|816993998211|020311124428|7|||01 :66227|169054|81690418552798|020311124524|6|||01 :66325|66028||020311124632|23|||89 :8164|169058|816985175906|020311124524|6|||01 :66332|169053|81690409889688|020311124520|5|||01 :66618|169055|81690418511828|020311124548|12|||01 :77083|169059|816992773745|020311124616|19|||01 :66174|169056|816998286527|020311124644|26|||01 :8164|169053|816985175660|020311124624|6|||01 :169037|66314||020311124608|47|||81 :64028|66631||020311124644|11|||89 :66029|66854||020311124736|9|||89 :62578|169055|816990762578|020311124740|10|||01 :169026|66648||020311124728|7|||81 :169045|45010|8145|020311124748|12|||03 :66332|169053|81690409889688|020311124724|6|||01 :8164|169059|81690448339344|020311124752|13|||01 :169022|77147||020311124816|4|||81 :66330|169060|81691300887820|020311124732|173|||01 :66349|66278||020311124952|28|||89 :66192|169058|8169132230|020311124728|37|||01 :169007|66635||020311124756|14|||81 :45030|169052|81691800304317|020311124808|62|||03 :169004|66166||020311124836|39|||81 :66332|169060|81690409889688|020311124816|4|||01 :169005|110057|8110|020311124908|2|||03 :66754|169055|81690430311673|020311124844|11|||01 :169001|66261||020311124844|11|||81 :169008|66635||020311124840|10|||81 :169051|110059|81102|020311124856|134|||03 :77170|169060|81690419150163|020311124928|7|||01 :66761|169057|81691802244|020311125004|91|||01 :169025|66448||020311125844|131|||81 :169041|66635||020311124940|10|||81 :8622|169053|816995795989|020311125004|1|||01 :169044|45009|8145|020311125012|18|||03 :169040|66322||020311125004|1|||81 :66708|169055|816990968296|020311125040|10|||01 :169012|66251||020311125048|27|||81 :169015|66854||020311125108|17|||81 :169039|77971||020311125120|20|||81 :8164|169060|816995340981|020311125116|19|||01 :66380|169056|81690401687828|020311125128|67|||01 :66717|169051|816995329349|020311125140|10|||01 :169032|66261||020311125152|13|||81 :66021|169053|816999211422|020311125216|19|||01 :8014|169055|816977|020311125204|16|||01 :64066|169054|816995977488|020311125224|96|||01 :66227|169048|81690404834885|020311125236|9|||01 :169042|66938||020311125148|12|||81 :66938|169049|816990765938|020311125148|12|||01 :169024|66232||020311125232|8|||81 :66274|169059|8169131694|020311125236|69|||01 :66432|169057|816995327220|020311125208|32|||01 :66332|169052|81690409889688|020311125212|33|||01 :66192|169058|8169132230|020311125220|65|||01 :66231|169051|816995702686|020311125244|11|||01 :8164|169060|816995251300|020311125236|24|||01 :66314|64066||020311125328|7|||89 :66605|169047|816987902446|020311125300|15|||01 :169014|66161||020311125256|29|||81 :66314|64066||020311125304|1|||89 :169020|66314||020311125312|78|||81 :169009|45008|8145|020311125312|3|||03 :169003|66938||020311125344|11|||81 :66938|169059|816990765938|020311125344|11|||01 :169038|66871||020311125356|14|||81 :8046|8017||020311125400||||89 :66382|77434||020311125404|1|||89 :66605|169054|816996839999|020311125428|7|||01 :66708|66347||020311125556|29|||89 :66451|169059|81690409889688|020311125424|6|||01 :66804|169050|81690413111886|020311125424|141|||01 :66601|169058|81690418317381|020311125432|23|||01 :169023|66607||020311125416|4|||81 :66284|169055|816995787328|020311125508|17|||01 :66227|169053|816995929263|020311125436|9|||01 :66448|169059|81690413008371|020311125428|7|||01 :8164|169057|816995251300|020311125452|28|||01 :64086|77190||020311125520|5|||89 :169033|66607||020311125520|5|||81 :66661|66341||020311125620|5|||89 :66340|77068||020311125604|1|||89 :66761|66340||020311125836|39|||89 :66451|169057|81690409889688|020311125520|5|||01 :169006|66100||020311125608|2|||81 :66325|66028||020311125648|12|||89 :66660|66611||020311125624|6|||89 :66706|169056|816995765422|020311125644|71|||01 :169027|66012||020311125628|7|||81 :66713|66192||020311125812|18|||89 :169030|110058|8110|020311125704|1|||03 :169006|66762||020311125808|17|||81 :66387|2||020311125716|4|||89 :169019|66341||020311125728|7|||81 :169016|66314||020311125732|68|||81 :66227|169057|81690419877865|020311125708|17|||01 :169029|77971||020311125752|13|||81 :66442|169056|81690419309657|020311125716|4|||01 :77170|169060|816959751066|020311125748|72|||01 :169046|66938||020311125804|1|||81 :66938|169049|816990765938|020311125804|1|||01 :66336|66611||020311125808|2|||89 :66332|169053|81690409889688|020311125752|13|||01 :66396|77434||020311125824|6|||89 :169011|66744||020311125816|4|||81 :169013|110059|81105|020311125912|48|||03 :8617|169055|816998452878|020311125916|49|||01 :45030|169056|81690410628973|020311125828|7|||03 :66336|169053|816995785727|020311125920|5|||01 :66396|77434||020311125920|5|||89 :66387|169054|81690437186834|020311125908|32|||01 :66804|169057|816998224411|020311125940|25|||01 :66130|169051|816995096448|020311125936|9|||01 :169017|169058|81690404816411|020311125948|72|||03