:66322|66324||020312140032|23|||89 :66177|66350||020312140020|5|||89 :169018|45022|8145|020312140008|92|||03 :66253|66256||020312140008|2|||89 :64152|169050|816998903882|020312140028|7|||01 :169041|110060|81100|020312140008|2|||03 :2|66195||020312140132|8|||89 :169006|77971||020312140008|32|||81 :45026|169058|81691300123123|020312140020|140|||03 :66387|66611||020312140156|14|||89 :66150|169058|81690407309356|020312140104|1|||01 :169034|66213||020312140104|31|||81 :169026|66110||020312140144|41|||81 :45030|169049|81690434308610|020312140200|45|||03 :169046|66110||020312140204|1|||81 :66332|169050|81690409889688|020312140208|2|||01 :66789|66350||020312140224|6|||89 :66651|66391||020312140244|11|||89 :169009|66107||020312140140|55|||81 :77659|169054|81690414265913|020312140244|221|||01 :169015|66804||020312140236|24|||81 :66444|169041|81691800551702|020312140208|2|||01 :64152|169049|816998988107|020312140240|10|||01 :66362|169050|816995680444|020312140240|10|||01 :66820|169053|816997073511|020312140308|17|||01 :169023|66342||020312140304|226|||81 :66328|169059|816995966377|020312140320|95|||01 :169032|66389||020312140348|12|||81 :66183|169041|816995329349|020312140320|5|||01 :66804|169054|816995300306|020312140336|9|||01 :64165|169060|81690425779826|020312140356|44|||01 :169045|66324||020312140328|37|||81 :169001|66938||020312140400|15|||81 :66938|169053|816990765938|020312140400|15|||01 :169040|2||020312140420|5|||82 :66330|169046|816922|020312140412|33|||01 :169042|8016||020312140408|62|||81 :66444|169046|81691800551702|020312140508|2|||01 :66382|169051|816985747100|020312140436|99|||01 :66789|169054|816995329349|020312140520|5|||01 :77073|169048|816993282555|020312140504|46|||01 :66335|66290||020312140556|14|||89 :169019|66335||020312140508|47|||81 :66804|169053|81690407107390|020312140528|7|||01 :66428|169052|816998790788|020312140540|55|||01 :66330|8125||020312140548|12|||89 :169003|77971||020312140508|17|||81 :169035|66605||020312140552|43|||81 :66026|169047|816956236079|020312140532|53|||01 :66174|169058|816995773333|020312140604|61|||01 :66326|169054|816990787746|020312140632|8|||01 :169002|66207||020312140616|4|||81 :66402|169056|81690414405167|020312140608|122|||01 :169011|77434||020312140624|6|||81 :45030|169044|81691300633933|020312140608|62|||03 :66342|66218||020312140624|6|||89 :169003|66123||020312140700|15|||81 :169010|45016|8145|020312140648|12|||03 :169029|64086||020312140632|128|||81 :77083|169053|816992773745|020312140616|19|||01 :77758|66611||020312140708|2|||89 :66107|169060|816995697057|020312140712|33|||01 :66387|169050|816990955000|020312140652|58|||01 :66661|66713||020312140716|4|||89 :169013|45017|8145|020312140652|58|||03 :169021|66227||020312140724|51|||81 :169014|66391||020312140724|6|||81 :64036|169049|816995617013|020312140656|59|||01 :169028|66110||020312140704|1|||81 :66689|169056|816996901486|020312140736|9|||01 :66026|169058|816956236079|020312140716|19|||01 :62578|169051|816990762578|020312140724|6|||01 :64135|169060|81691800648484|020312140736|9|||01 :169002|66123||020312140932|23|||81 :66312|169052|81690428558945|020312140728|7|||01 :66332|169049|81690409889688|020312140808|2|||01 :169039|66459||020312140724|51|||81 :66661|66762||020312140824|6|||89 :45030|169053|816995371166|020312140808|17|||03 :66336|66341||020312140912|18|||89 :66225|169060|816998542307|020312140836|9|||01 :66444|169052|81691800551702|020312140836|9|||01 :64049|169043|816997881276|020312140816|94|||01 :66660|66611||020312140948|12|||89 :169019|66290||020312141252|58|||81 :66861|169053|81690408116219|020312140848|12|||01 :169022|45013|8145|020312140908|2|||03 :169020|110058|81105|020312140920|50|||03 :77758|66611||020312140924|6|||89 :66255|169054|81690407919008|020312140856|44|||01 :66631|169060|816995331559|020312140908|2|||01 :45030|169053|816990661469|020312140904|1|||03 :64152|169052|816998988107|020312140932|8|||01 :169033|2||020312140924|6|||82 :169005|110056|81109|020312140916|94|||03 :66174|66861||020312141048|12|||89 :169007|66136||020312141008|17|||81 :66183|169048|816990766136|020312141008|17|||01 :169024|66166||020312141016|109|||81 :66661|66707||020312141020|5|||89 :66432|66868||020312141212|18|||89 :45030|169060|816985205200|020312141108|17|||03 :64115|77190||020312141120|5|||89 :169038|66605||020312141108|17|||81 :66336|169052|81691300628728|020312141036|9|||01 :66225|169048|816998542307|020312141120|5|||01 :66804|77190||020312141116|4|||89 :77190|169049|8169132227|020312141140|40|||01 :169008|45011|8145|020312141124|6|||03 :169030|110059|8110|020312141148|27|||03 :66762|77065||020312141200||||89 :66762|169054|81690433400878|020312141148|27|||01 :62578|169052|816990762578|020312141132|8|||01 :66177|66854||020312141236|9|||89 :64078|169047|816995782471|020312141148|12|||01 :66253|169058|816995535319|020312141152|58|||01 :77073|169056|816983718188|020312141212|63|||01 :169027|110058|81101|020312141220|5|||03 :66330|169060|816922|020312141232|23|||01 :169034|66032||020312141204|1|||81 :66661|2||020312141320|5|||89 :169025|110059|81105|020312141244|11|||03 :66689|169051|816996909144|020312141240|70|||01 :169031|45010|8145|020312141256|14|||03 :66177|169056|816990760393|020312141228|7|||01 :66444|169047|81691800551702|020312141308|2|||01 :45030|169052|816995247100|020312141304|16|||03 :62578|169060|816990762578|020312141344|11|||01 :64005|169049|816985179517|020312141352|28|||01 :66762|169058|816987795689|020312141324|21|||01 :169026|66666||020312141336|9|||81 :66322|169044|81690438789109|020312141316|4|||01 :169016|66938||020312141340|10|||81 :66938|169056|816990765938|020312141340|10|||01 :66444|169049|81691800551702|020312141408|2|||01 :169012|77971||020312141340|115|||81 :66195|169046|8169000|020312141412|48|||01 :169023|45009|8145|020312141412|3|||03 :66895|169047|816995790100|020312141332|8|||01 :45028|169043|81690419338350|020312141344|11|||03 :66804|77190||020312141436|9|||89 :66755|2||020312141412|3|||89 :66232|169050|816995577338|020312141412|78|||01 :8125|64101||020312141428|7|||89 :169006|110056|81105|020312141416|34|||03 :66026|66350||020312141424|6|||89 :66868|169045|81690401748290|020312141416|49|||01 :66755|169048|81690408675090|020312141500||||01 :66617|66660||020312141604|16|||89 :66341|169047|81690432095545|020312141500||||01 :169032|110059|81100|020312141448|12|||03 :66107|169046|816995705916|020312141508|2|||01 :66427|2||020312141512|3|||89 :66335|2||020312141608|2|||89 :169054|77065||020312141952|58|||81 :66330|66619||020312141620|5|||89 :66804|169044|81690488227569|020312141552|13|||01 :169041|45008|8145|020312141608|17|||03 :64036|169050|81690421506087|020312141524|6|||01 :66717|169060|816990760393|020312141616|34|||01 :64071|2||020312141608|2|||89 :66198|169049|816995285235|020312141536|24|||01 :66661|66762||020312141600||||89 :66713|169047|81691300888801|020312141532|8|||01 :66427|2||020312141600||||89 :66872|66322||020312141704|16|||89 :66332|169054|81690409889688|020312141608|2|||01 :66178|66854||020312141640|10|||89 :77073|169058|816987460331|020312141632|38|||01 :169037|66938||020312141628|7|||81 :66938|169060|816990765938|020312141628|7|||01 :169009|66340||020312141640|55|||81 :66676|169056|816997388807|020312141644|41|||01 :169026|8100||020312142012|48|||81 :2|66195||020312141728|7|||89 :66661|66611||020312141708|2|||89 :66178|66854||020312141732|8|||89 :64035|66660||020312141816|19|||89 :169042|45006|8145|020312141736|24|||03 :64046|169055|816995968844|020312141728|262|||01 :2|66335||020312141720|5|||89 :45029|169051|81691800072040|020312141744|71|||03 :77083|169058|816992773745|020312141816|19|||01 :169035|66342||020312141820|20|||81 :64082|77758||020312141844|11|||89 :66761|2||020312141812|3|||89 :169001|66640||020312141832|53|||81 :77142|169058|816959954795|020312141808|2|||01 :169036|66303||020312141812|108|||81 :169003|110058|81101|020312141816|4|||03 :66130|169052|81691300791162|020312141900|75|||01 :66700|169048|816997734656|020312141856|44|||01 :169011|64078||020312141912|18|||81 :66342|77074||020312141900||||89 :169029|66342||020312141916|4|||81 :66330|169060|81690429180365|020312141908|32|||01 :169010|66322||020312141948|12|||81 :66130|169052|816985205255|020312141916|4|||01 :66762|66744||020312141932|8|||89 :66325|169055|81690488342950|020312141928|7|||01 :77190|169051|816995274994|020312141936|9|||01 :2|66761||020312142016|4|||89 :77072|77434||020312142032|8|||89 :66789|169052|816990760393|020312141940|10|||01 :169040|64071||020312142016|64|||81 :64005|169049|816996289911|020312142000|45|||01 :64078|169058|816995782471|020312142000|15|||01 :66335|64101||020312142228|37|||89 :66269|169057|816995153768|020312142048|297|||01 :169039|66400||020312142104|1|||81 :66391|66611||020312142140|10|||89 :169014|66253||020312142120|5|||81 :2|66761||020312142112|3|||89 :64121|169054|816997802697|020312142120|65|||01 :66617|66660||020312142152|13|||89 :169013|45004|8145|020312142132|23|||03 :64036|169060|81690447244480|020312142136|24|||01 :169019|45002|8145|020312142104|1|||03 :66332|169054|81690409889688|020312142108|2|||01 :62578|169058|816990762578|020312142144|11|||01 :66330|169048|816920|020312142200|30|||01 :66762|66619||020312142408|32|||89 :66761|66218||020312142220|5|||89 :66223|169052|81690408547929|020312142152|13|||01 :169022|110058|81109|020312142148|12|||03 :64005|169057|816998666148|020312142204|16|||01 :66312|66382||020312142216|4|||89 :169002|110057|81105|020312142204|31|||03 :66332|169058|81690409889688|020312142228|7|||01 :66119|169055|816990763374|020312142304|31|||01 :66332|169058|81690409889688|020312142308|2|||01 :169007|66666||020312142312|3|||81 :169029|77074||020312142652|58|||81 :66804|169058|816995327490|020312142304|1|||01 :66707|66762||020312142304|1|||89 :169033|66707||020312142348|12|||81 :66661|66611||020312142404|1|||89 :66326|66761||020312142432|8|||89 :169024|66744||020312142316|4|||81 :66314|66448||020312142404|1|||89 :169017|66314||020312142344|101|||81 :66676|169050|81690450725762|020312142348|102|||01 :169008|2||020312142336|9|||82 :169015|45003|8145|020312142432|53|||03 :66332|169055|81690409889688|020312142408|2|||01 :66322|66342||020312142804|61|||89 :45030|169060|816995723012|020312142404|46|||03 :64080|66654||020312142600|15|||89 :66804|169058|81690423550244|020312142416|19|||01 :77758|66611||020312142512|3|||89 :8612|169058|81691800227475|020312142504|1|||01 :169005|77972||020312142512|18|||81 :66765|169053|81690419549020|020312142432|218|||01 :169004|66804||020312142500|15|||81 :66750|8006||020312142552|13|||89 :169038|110059|81109|020312142444|26|||03 :66255|169055|81690408556345|020312142540|10|||01 :45030|169051|816998138180|020312142528|7|||03 :66635|66350||020312142628|7|||89 :66762|169053|81690438531608|020312142516|4|||01 :64165|169060|816995371261|020312142548|12|||01 :66676|169052|816997388807|020312142552|28|||01 :169016|66183||020312142624|6|||81 :169034|110058|8110|020312142632|8|||03 :45030|169051|81690412296232|020312142620|5|||03 :169018|64036||020312142604|31|||81 :66223|169054|81690400281266|020312142600|60|||01 :66342|169060|816983539135|020312142628|7|||01 :169027|66063||020312142652|43|||81 :66063|169057|816990765063|020312142652|43|||01 :169030|77971||020312142704|31|||81 :66253|77434||020312142724|6|||89 :169032|45028|8145|020312142716|4|||03 :169043|2||020312142740|10|||82 :66830|169059|81690433899826|020312142740|355|||01 :66183|66890||020312142716|4|||89 :66497|169057|81690409192720|020312142736|9|||01 :169046|66938||020312142728|7|||81 :66938|169054|816990765938|020312142728|7|||01 :64007|169060|816995573806|020312142748|12|||01 :77758|66342||020312142828|7|||89 :66382|66761||020312143012|18|||89 :77040|2||020312142924|6|||89 :77758|66611||020312142940|10|||89 :169026|45025|8145|020312142936|9|||03 :66806|169057|816990768250|020312142928|7|||01 :66605|169053|816995586804|020312142924|6|||01 :66314|66456||020312143008|2|||89 :169035|66314||020312142928|7|||81 :169023|66834||020312143000|45|||81 :66332|169057|81690409889688|020312143008|2|||01 :169025|66528||020312143016|64|||81 :66528|169055|816990765528|020312143016|64|||01 :66336|8006||020312143236|39|||89 :45030|169059|816986535774|020312143016|34|||03 :169042|66158||020312142956|14|||81 :66623|169052|816995603344|020312143032|8|||01 :66345|169054|816998229822|020312143032|23|||01 :66322|169053|816994702663|020312143036|9|||01 :169011|66938||020312143016|4|||81 :66938|169049|816990765938|020312143016|4|||01 :45030|169055|816993316581|020312143024|6|||03 :169041|77972||020312143044|26|||81 :66332|169055|81690409889688|020312143108|2|||01 :169003|110056|81104|020312143040|10|||03 :169035|66456||020312143224|21|||81 :8612|169055|816994953109|020312143100||||01 :169006|77971||020312143052|28|||81 :66251|169048|816995579171|020312143124|6|||01 :169009|45026|8145|020312143048|42|||03 :45030|169052|816993316581|020312143136|9|||03 :66210|66253||020312143220|5|||89 :66322|169048|816995576583|020312143112|3|||01 :169036|66428||020312143132|23|||81 :64066|169059|816995237479|020312143140|25|||01 :169044|110058|81109|020312143140|70|||03 :77758|66611||020312143228|7|||89 :169010|66528||020312143236|24|||81 :66528|169053|816990765528|020312143236|24|||01 :66345|169042|816995274210|020312143204|1|||01 :66804|169044|81690423550244|020312143220|5|||01 :66240|169051|816995994688|020312143212|33|||01 :169021|66938||020312143256|14|||81 :66938|169052|816990765938|020312143256|14|||01 :66446|169053|816998276224|020312143216|4|||01 :66707|169054|81690406479484|020312143300|30|||01 :169031|8009||020312143336|114|||81 :8165|169041|816995023818|020312143336|9|||01 :66661|66611||020312143308|2|||89 :66675|169054|816995282278|020312143328|7|||01 :66610|169052|816997813265|020312143308|2|||01 :66713|169050|816997055000|020312143312|48|||01 :66341|169049|81690432095545|020312143328|37|||01 :66605|169057|81690423538485|020312143312|48|||01 :66192|169051|8169132230|020312143352|13|||01 :77040|169060|816951738000|020312143404|76|||01 :64020|169047|816995332370|020312143348|42|||01 :66713|169052|81690432363237|020312143400||||01 :66675|169054|816995243332|020312143428|7|||01 :66804|169050|816995319589|020312143416|4|||01 :45030|169048|81690421461561|020312143420|5|||03 :66325|169049|816995053534|020312143424|6|||01 :169040|66012||020312143436|24|||81 :66446|169054|816998276224|020312143404|1|||01 :66661|66611||020312143408|2|||89 :64049|169043|816997881276|020312143452|43|||01 :66661|66611||020312143512|3|||89 :66211|2||020312143508|2|||89 :64046|169057|816992931882|020312143544|11|||01 :66717|66350||020312143540|10|||89 :169029|66713||020312143532|8|||81 :45030|169052|816985205200|020312143508|17|||03 :66389|169054|816986015299|020312143528|7|||01 :169022|110056|8110|020312143504|16|||03 :169008|66207||020312143516|4|||81 :169037|77971||020312143548|72|||81 :66290|2||020312143620|5|||89 :66330|8125||020312143904|46|||89 :66127|169050|81690410470083|020312143528|7|||01 :45029|169049|81690402009005|020312143544|11|||03 :169015|66260||020312143612|3|||81 :169012|110059|8110|020312143632|158|||03 :66661|66611||020312143608|2|||89 :64070|169047|816988044011|020312143620|5|||01 :64020|169060|816995814200|020312143624|36|||01 :169040|66398||020312143920|35|||81 :64071|66341||020312143736|9|||89 :169034|66002||020312143620|5|||81 :66314|64066||020312143736|9|||89 :66255|169054|81690400794128|020312143624|6|||01 :169019|66744||020312143644|26|||81 :169020|110055|8110|020312143712|228|||03 :169016|66938||020312143640|10|||81 :66938|169050|816990765938|020312143640|10|||01 :169002|66314||020312143648|42|||81 :45029|169054|81690448207150|020312143704|1|||03 :66414|66322||020312143856|29|||89 :169014|66012||020312143748|12|||81 :8612|169047|81691800227475|020312143804|1|||01 :169018|77972||020312143732|8|||81 :66497|169046|816995937125|020312143724|96|||01 :169027|45021|8145|020312143748|12|||03 :45030|169057|816998138180|020312143808|32|||03 :169023|66117||020312143808|2|||81 :169032|66648||020312143728|7|||81 :66177|169044|816998708599|020312143728|22|||01 :66391|66605||020312143956|29|||89 :169030|110060|81105|020312143812|18|||03 :66829|169049|8169134135|020312143748|27|||01 :66382|66322||020312143844|11|||89 :169026|66314||020312143744|11|||81 :66290|169048|81690351738000|020312143824|36|||01 :66446|169058|816998276224|020312143804|1|||01 :169025|66012||020312143828|7|||81 :64049|169051|816997881276|020312143924|66|||01 :45029|169050|81690468744604|020312143924|21|||03 :66707|66611||020312143908|2|||89 :66342|169054|8169132227|020312143924|36|||01 :169008|66107||020312144432|68|||81 :169028|66398||020312144012|108|||81 :45030|169055|81690402227040|020312144012|18|||03 :66635|66280||020312144124|6|||89 :66322|169048|81690400487854|020312144012|3|||01 :66290|2||020312144104|1|||89 :66456|169054|816958742439|020312144104|1|||01 :169038|66607||020312144040|70|||81 :64073|169052|816996997114|020312144100|75|||01 :66290|2||020312144104|1|||89 :8614|64049||020312144208|2|||89 :169003|77971||020312144136|9|||81 :66611|66342||020312144332|23|||89 :169009|45019|8145|020312144132|8|||03 :66877|169059|81690417507559|020312144200|150|||01 :66446|169057|816995937106|020312144200|45|||01 :66660|66611||020312144220|5|||89 :169045|45027|814518|020312144216|214|||03 :66177|169054|816995875629|020312144244|26|||01 :169004|66269||020312144244|101|||81 :66648|169052|816995343888|020312144312|18|||01 :169035|45020|8145|020312144328|37|||03 :66629|2||020312144308|2|||89 :66773|169059|816992651297|020312144244|11|||01 :66195|169048|816993878449|020312144304|16|||01 :66427|2||020312144304|1|||89 :169036|45017|8145|020312144312|3|||03 :66322|169045|816995989983|020312144332|8|||01 :66804|169046|816995238125|020312144336|9|||01 :66342|77073||020312144300||||89 :169010|66342||020312144320|5|||81 :169013|64060||020312144420|5|||81 :66325|2||020312144404|1|||89 :169041|66619||020312144432|8|||81 :66778|169050|816995216706|020312144444|71|||01 :66446|169059|816998276224|020312144404|1|||01 :66762|169044|816992877700|020312144416|19|||01 :169021|110060|8110|020312144424|21|||03 :169010|77073||020312144612|18|||81 :169039|110059|81101|020312144432|8|||03 :2|66325||020312144512|3|||89 :66389|169050|816990762813|020312144512|3|||01 :45029|169057|816995524100|020312144520|35|||03 :66325|2||020312144508|2|||89 :66871|169051|816985175941|020312144520|80|||01 :169029|66789||020312144532|8|||81 :66629|169052|81690400551050|020312144512|33|||01 :66871|169046|81690428585012|020312144508|2|||01 :66349|2||020312144628|7|||89 :169022|66938||020312144516|4|||81 :66938|169050|816990765938|020312144516|4|||01 :8614|169057|8169132221|020312144528|7|||01 :66415|169046|816997847082|020312144604|1|||01 :169003|64049||020312145024|66|||81 :66325|169059|81690411499093|020312144556|14|||01 :66603|169060|816997238535|020312144624|141|||01 :66012|64028||020312144700||||89 :169040|66012||020312144620|5|||81 :66712|66744||020312144744|11|||89 :45030|169055|816990761293|020312144648|87|||03 :66762|66713||020312144744|11|||89 :169001|66341||020312144720|80|||81 :66804|169060|816995315054|020312144720|5|||01 :77083|169050|816992773745|020312144732|23|||01 :66727|64161||020312144740|10|||89 :169012|110060|81105|020312144712|18|||03 :66345|169053|816995274209|020312144720|215|||01 :66844|169059|81690452211887|020312144748|12|||01 :8612|169057|81691800020103|020312144804|1|||01 :169015|77971||020312144740|25|||81 :169019|110059|8110|020312144740|10|||03 :169031|8100||020312144820|65|||81 :66689|169056|816990766314|020312144756|464|||01 :66398|169048|816995217044|020312144836|69|||01 :66107|66345||020312144820|5|||89 :169002|45015|8145|020312144812|3|||03 :66174|8203||020312145152|58|||89 :66137|2||020312144808|2|||89 :66604|66603||020312144852|13|||89 :169027|45012|8145|020312144904|1|||03 :169006|66314||020312144900|15|||81 :77639|66611||020312144920|5|||89 :169020|45014|8145|020312144924|21|||03 :66137|66705||020312144956|14|||89 :169033|45013|8145|020312144944|11|||03 :66335|2||020312145012|3|||89 :66635|169054|816995463202|020312144936|99|||01 :66137|2||020312145004|1|||89 :169008|2||020312145008|2|||82 :169032|66183||020312144956|14|||81 :66398|169050|816998229822|020312144936|9|||01 :66137|66341||020312145032|8|||89 :169025|66938||020312145040|10|||81 :66938|169048|816990765938|020312145040|10|||01 :77190|66231||020312145112|3|||89 :66341|66611||020312145116|4|||89 :66727|169060|816995814200|020312145104|46|||01 :169024|110060|811000|020312145032|23|||03 :169005|66762||020312145044|26|||81 :66195|66210||020312145536|69|||89 :66415|169060|816997847082|020312145100||||01 :66661|66611||020312145112|3|||89 :66877|169054|816985306999|020312145144|26|||01 :66705|2||020312145208|2|||89 :169042|110060|81101|020312145132|8|||03 :169023|77971||020312145148|12|||81 :169043|64046||020312145152|103|||81 :66253|66336||020312145204|1|||89 :169028|66253||020312145112|18|||81 :169035|45010|8145|020312145136|9|||03 :169028|66336||020312145216|4|||81 :169036|66635||020312145224|6|||81 :169014|66804||020312145212|63|||81 :8165|169053|816995573527|020312145224|51|||01 :66322|66324||020312145324|21|||89 :66705|66325||020312145232|8|||89 :66762|169054|81690417357712|020312145220|5|||01 :169013|8100||020312145232|8|||81 :2|66293||020312145340|10|||89 :169044|66938||020312145220|5|||81 :66938|169053|816990765938|020312145220|5|||01 :66604|66603||020312145356|14|||89 :64020|169058|816995469555|020312145308|212|||01 :66246|66002||020312145344|11|||89 :66762|66322||020312145324|6|||89 :64020|169050|816995755393|020312145328|22|||01 :169030|8014||020312145312|63|||81 :66177|169060|816959832321|020312145252|28|||01 :169010|66652||020312145308|2|||81 :66689|169054|816996901486|020312145308|2|||01 :169029|66744||020312145324|6|||81 :64069|169050|81690418315217|020312145416|4|||01 :169039|66938||020312145336|9|||81 :66938|169058|816990765938|020312145336|9|||01 :66332|169060|81690409889688|020312145420|5|||01 :169004|45011|8145|020312145404|46|||03 :66246|66002||020312145440|10|||89 :169011|66830||020312145416|229|||81 :169013|66123||020312145656|29|||81 :66356|169048|816999448808|020312145440|40|||01 :66402|169060|81690438325701|020312145516|4|||01 :64020|169053|816995755393|020312145516|19|||01 :169021|66713||020312145456|29|||81 :66737|169047|81690746312275|020312145500||||01 :169001|66834||020312145520|5|||81 :66253|66256||020312145520|5|||89 :169034|66119||020312145524|6|||81 :66221|169055|816995230954|020312145504|106|||01 :169003|66434||020312145548|12|||81 :169016|66312||020312145508|2|||81 :66830|169050|81690433899826|020312145520|5|||01 :77142|169060|816959773902|020312145512|3|||01 :66322|169048|81690406479484|020312145528|7|||01 :66763|2||020312145608|2|||89 :169019|45008|8145|020312145548|12|||03 :64082|66761||020312145632|8|||89 :169022|45009|8145|020312145552|28|||03 :66868|169054|816995768545|020312145624|21|||01 :169012|8046||020312145616|19|||81 :66325|66655||020312145736|24|||89 :169007|66435||020312145648|12|||81 :169045|66267||020312145644|71|||81 :64049|169047|81690423412614|020312145616|19|||01 :66871|169052|81690438585012|020312145648|162|||01 :169002|66117||020312145716|4|||81 :66322|169050|81690406479484|020312145732|8|||01 :64020|169054|81690439393917|020312145728|7|||01 :66782|169055|81690428529629|020312145700|15|||01 :169027|45007|8145|020312145732|8|||03 :64046|169060|816997816700|020312145740|25|||01 :169026|64026||020312145716|4|||81 :169020|66263||020312145808|2|||81 :66012|66345||020312145800||||89 :169033|66012||020312145828|7|||81 :169008|66110||020312145804|1|||81 :66414|66744||020312145928|22|||89 :45028|169055|816998632815|020312145824|6|||03 :66782|169060|816995716281|020312145900|15|||01 :169024|66938||020312145936|9|||81 :66938|169052|816990765938|020312145936|9|||01 :169018|66174||020312145932|8|||81 :169005|110055|8110|020312145940|10|||03 :66332|169055|81690409889688|020312145928|7|||01 :66635|169053|816996464007|020312145912|63|||01 :66340|66605||020312145920|5|||89 :169009|45006|8145|020312145912|18|||03 :169031|66666||020312145928|67|||81 :45028|169060|81690430097923|020312145956|14|||03