:66292|66721||020408090652|253|||89 :8615|66141||020408090140|55|||89 :66174|169060|816995251317|020408090000|30|||01 :66100|169050|816995920222|020408090012|3|||01 :66222|66784||020408090108|17|||89 :66152|66707||020408090020|5|||89 :66412|169053|816998772722|020408090000|15|||01 :66433|169060|816995793830|020408090020|5|||01 :66713|66801||020408090224|36|||89 :169020|66287||020408090052|28|||81 :66419|66289||020408090124|6|||89 :169039|66447||020408090024|6|||81 :169018|66648||020408090028|7|||81 :77069|169057|816995282770|020408090052|13|||01 :66314|77647||020408090304|31|||89 :66433|169046|816995793830|020408090116|4|||01 :66149|169058|81690417483467|020408090116|49|||01 :169045|66804||020408090128|7|||81 :66435|66183||020408090120|5|||89 :169040|66002||020408090100|15|||81 :8164|169058|816995340883|020408090104|1|||01 :66313|169055|816995101963|020408090116|19|||01 :66629|169052|816995237525|020408090140|25|||01 :169037|66848||020408090116|4|||81 :66804|169059|816995341419|020408090120|50|||01 :8164|169058|816995340883|020408090204|1|||01 :64036|169053|81691223|020408090148|27|||01 :66629|169049|816995330757|020408090200|30|||01 :66192|66619||020408090312|18|||89 :66680|66253||020408090216|4|||89 :77096|169060|816995297333|020408090252|28|||01 :66401|169058|816998186222|020408090220|5|||01 :66287|66312||020408090332|8|||89 :169016|66287||020408090212|3|||81 :66428|66002||020408090340|10|||89 :66762|77648||020408090312|3|||89 :169013|110059|81101|020408090336|39|||03 :66422|66619||020408090456|14|||89 :66151|66031||020408090420|5|||89 :169033|66648||020408090352|28|||81 :169024|66153||020408090408|17|||81 :169020|66162||020408090732|53|||81 :66012|169060|816997256520|020408090400|15|||01 :169034|66314||020408090408|17|||81 :169043|66170||020408090348|12|||81 :66832|169050|81690262811002|020408090408|62|||01 :66433|169055|816993975310|020408090448|27|||01 :169034|66316||020408090408|2|||81 :169025|110053|81105|020408090404|31|||03 :66192|66336||020408090536|24|||89 :66102|66103||020408090536|9|||89 :66680|2||020408090512|3|||89 :66194|66314||020408090544|11|||89 :8164|169050|816995341462|020408090508|2|||01 :66866|169054|81690427055634|020408090508|77|||01 :66192|66340||020408090516|4|||89 :66373|169052|81690409702122|020408090452|13|||01 :66872|66122||020408090552|13|||89 :66486|169051|816985205213|020408090540|100|||01 :169006|66998||020408090504|1|||81 :66998|169050|816990765998|020408090504|1|||01 :66273|66341||020408090508|2|||89 :66192|66342||020408090620|5|||89 :66427|77089||020408090608|2|||89 :66680|169055|81690407650218|020408090544|11|||01 :66422|66744||020408090804|31|||89 :169010|2||020408090532|8|||82 :66710|169058|816998884373|020408090608|32|||01 :66192|66652||020408090612|3|||89 :169021|66636||020408090632|8|||81 :66174|169048|816995717415|020408090540|85|||01 :66497|2||020408090612|3|||89 :64055|169055|816997068830|020408090620|5|||01 :64036|169053|816992741300|020408090612|63|||01 :66192|66382||020408090612|3|||89 :66117|169058|816995274209|020408090620|5|||01 :66193|66422||020408090856|29|||89 :8164|169052|816995348700|020408090700|15|||01 :169034|77791||020408090648|42|||81 :77190|66248||020408090820|20|||89 :66618|2||020408090720|5|||89 :169036|110058|8110|020408090724|6|||03 :169027|66834||020408090740|40|||81 :8164|169052|816995340883|020408090712|3|||01 :66348|169049|81690438032504|020408090732|38|||01 :66348|169060|816995081909|020408090800|45|||01 :66149|169055|816990117307|020408090732|8|||01 :66178|66890||020408090820|5|||89 :77096|169059|816993471186|020408090756|59|||01 :66433|169048|816995793830|020408090808|2|||01 :64054|169056|816995804974|020408090748|222|||01 :66183|66350||020408090816|4|||89 :169023|66102||020408090804|16|||81 :64036|169050|81691223|020408090732|8|||01 :169038|66422||020408090756|44|||81 :66011|2||020408090812|3|||89 :169028|66877||020408090836|9|||81 :66486|2||020408090804|1|||89 :66314|77647||020408090932|23|||89 :66100|169047|816995919254|020408090820|125|||01 :169041|66804||020408090824|6|||81 :169035|66804||020408090852|28|||81 :66373|169053|816995577215|020408090844|26|||01 :66618|2||020408090920|5|||89 :169019|66314||020408090852|13|||81 :66192|66341||020408091116|34|||89 :66110|2||020408090912|3|||89 :169005|66314||020408090904|1|||81 :66012|66357||020408090900||||89 :169012|66012||020408090916|4|||81 :66267|66694||020408091008|17|||89 :66194|169054|816995340635|020408090928|67|||01 :66178|169056|816995968490|020408091012|18|||01 :66103|169046|816995346889|020408090928|67|||01 :169022|66744||020408091008|32|||81 :66110|169059|81690448552907|020408090924|6|||01 :64055|169048|816997068830|020408090920|5|||01 :66336|169052|81691300888801|020408091020|20|||01 :66721|66322||020408091132|23|||89 :66341|66021||020408091004|1|||89 :64036|169055|816990381300|020408090956|29|||01 :66769|66314||020408091220|35|||89 :169032|66356||020408091004|1|||81 :66174|169058|816990932000|020408091012|48|||01 :66636|169053|816992651512|020408091020|20|||01 :66194|169059|816995230787|020408091004|1|||01 :169042|66938||020408091008|2|||81 :66938|169054|816990765938|020408091008|2|||01 :66292|66791||020408091708|107|||89 :66433|169060|816995792077|020408091024|36|||01 :169009|66287||020408091040|10|||81 :66296|169051|816995107052|020408091008|47|||01 :169026|66749||020408091104|1|||81 :169017|66316||020408091028|67|||81 :66854|66136||020408091128|7|||89 :66194|169060|81690415941972|020408091128|7|||01 :66267|169051|81690419326181|020408091116|4|||01 :169001|66002||020408091132|8|||81 :66737|169053|816999053061|020408091056|14|||01 :66665|66741||020408091136|9|||89 :66612|169049|816997881276|020408091132|38|||01 :169004|66340||020408091144|41|||81 :66629|169058|816985175999|020408091124|21|||01 :169030|66314||020408091128|37|||81 :66789|66854||020408091216|4|||89 :66482|169048|816994652967|020408091148|12|||01 :66335|169056|816995275556|020408091204|31|||01 :169003|66804||020408091228|67|||81 :66619|169058|81691300888801|020408091220|5|||01 :66100|66804||020408091548|57|||89 :64054|169051|81690418531027|020408091308|2|||01 :66694|66820||020408091340|10|||89 :66342|77072||020408091304|1|||89 :169029|66342||020408091252|13|||81 :66158|169053|816998047655|020408091240|10|||01 :66451|169058|81690409889688|020408091312|3|||01 :66117|66395||020408091316|4|||89 :169037|66610||020408091308|2|||81 :66100|77190||020408091344|11|||89 :66618|169052|816996634044|020408091340|40|||01 :66105|169054|81691300366455|020408091300|45|||01 :8164|169050|816995341462|020408091344|71|||01 :66718|66193||020408091544|26|||89 :66435|169058|816990765523|020408091328|7|||01 :169029|77072||020408091504|16|||81 :64076|169057|816995101353|020408091328|187|||01 :66340|169060|816995782027|020408091412|33|||01 :169008|66287||020408091336|84|||81 :2|66618||020408091408|2|||89 :169033|66773||020408091428|7|||81 :169045|110057|8110|020408091440|25|||03 :169040|66834||020408091448|27|||81 :66128|66611||020408091552|13|||89 :66141|169054|816985870279|020408091456|14|||01 :66183|169060|816995212740|020408091428|7|||01 :169016|66289||020408091448|27|||81 :66713|66830||020408091528|7|||89 :8164|169051|81690488932808|020408091504|1|||01 :169039|77971||020408091452|43|||81 :66100|66366||020408091636|24|||89 :169007|66834||020408091528|7|||81 :66193|169057|8169132230|020408091516|19|||01 :169043|66002||020408091536|9|||81 :66117|66600||020408091704|31|||89 :64062|169054|816997235413|020408091504|1|||01 :64062|169052|81690412513354|020408091552|13|||01 :169013|77971||020408091528|7|||81 :66166|66356||020408091604|1|||89 :169018|66166||020408091552|43|||81 :169025|66801||020408091616|4|||81 :66271|169050|81690403423435|020408091536|9|||01 :169020|66744||020408091544|26|||81 :66012|66381||020408091600||||89 :169010|66012||020408091620|5|||81 :66680|66122||020408091856|44|||89 :66366|2||020408091620|5|||89 :66178|66854||020408091620|5|||89 :64062|169046|81690412513345|020408091608|2|||01 :66347|169047|816994793930|020408091632|8|||01 :66348|169058|816995251300|020408091620|35|||01 :169021|66834||020408091640|10|||81 :66366|2||020408091704|1|||89 :66428|66002||020408091752|13|||89 :8164|169051|81690404072322|020408091648|12|||01 :66629|2||020408091700||||89 :66026|169046|816997298738|020408091720|5|||01 :66100|66804||020408091808|17|||89 :169027|66263||020408091636|9|||81 :66752|66610||020408092728|157|||89 :169006|110059|8110|020408091732|23|||03 :66193|66322||020408091832|23|||89 :66369|169043|816994714066|020408091728|7|||01 :66612|169056|816997881200|020408091652|58|||01 :66240|169055|816995281657|020408091704|106|||01 :66842|77647||020408091832|23|||89 :77069|2||020408091724|6|||89 :66712|169060|816985910200|020408091716|34|||01 :169011|66322||020408091716|4|||81 :64062|169044|81690412513354|020408091748|12|||01 :66341|66021||020408091704|1|||89 :8166|169047|816995962886|020408091704|16|||01 :66382|169045|816998980000|020408091732|23|||01 :169035|66749||020408091800||||81 :66194|169054|816995094848|020408091804|1|||01 :77069|169056|81690404816339|020408091828|7|||01 :169036|66636||020408091740|25|||81 :169028|66433||020408091752|13|||81 :169019|66012||020408091824|6|||81 :169005|66342||020408091820|5|||81 :169010|66381||020408092016|34|||81 :66011|169050|816995281910|020408091756|29|||01 :8164|169051|81690400869585|020408091828|22|||01 :169038|66607||020408091828|22|||81 :66336|66253||020408091952|13|||89 :66136|66428||020408092044|26|||89 :66801|66483||020408091908|2|||89 :169042|66801||020408091936|9|||81 :66346|169055|816995783346|020408091952|28|||01 :64071|66122||020408092240|40|||89 :66012|66631||020408092056|14|||89 :66648|77089||020408092012|3|||89 :66314|66454||020408092004|1|||89 :169009|66314||020408091944|11|||81 :66373|169053|816985175916|020408091928|97|||01 :169014|66619||020408092012|78|||81 :66025|169047|816985175603|020408091940|10|||01 :169001|66741||020408092020|5|||81 :169041|110059|8110|020408091952|43|||03 :66127|169056|816953204000|020408092036|24|||01 :169032|110057|8110|020408091944|26|||03 :66635|169055|816996350011|020408092028|7|||01 :66742|169051|816994288156|020408092028|22|||01 :66467|169046|81690415582285|020408092024|6|||01 :66314|66348||020408092004|1|||89 :169037|66314||020408092016|4|||81 :169004|66666||020408092052|13|||81 :66174|169058|816995095922|020408092036|54|||01 :66136|66413||020408092144|11|||89 :66011|169055|816993214250|020408092116|4|||01 :66141|169057|816992123008|020408092024|81|||01 :169004|66123||020408092124|6|||81 :77040|66122||020408092120|5|||89 :66336|66422||020408092304|31|||89 :169008|66713||020408092116|4|||81 :66882|169048|816995953422|020408092104|91|||01 :169029|66619||020408092128|7|||81 :66373|169051|816995966691|020408092132|8|||01 :66442|169059|81690404082916|020408092100|165|||01 :169033|66158||020408092132|8|||81 :66178|66026||020408092120|5|||89 :169039|66700||020408092124|6|||81 :169016|66636||020408092124|6|||81 :66742|66718||020408092216|4|||89 :169040|66189||020408092144|11|||81 :66651|169050|81690402536719|020408092116|34|||01 :66107|66832||020408092228|7|||89 :169024|77971||020408092156|89|||81 :64035|66122||020408092208|2|||89 :169018|66356||020408092820|95|||81 :169030|66664||020408092212|33|||81 :66705|66619||020408092248|12|||89 :66102|66105||020408092208|2|||89 :169007|66102||020408092224|6|||81 :66153|169049|816985205206|020408092208|107|||01 :66651|77434||020408092216|4|||89 :169012|66357||020408093452|193|||81 :66268|169057|816995839767|020408092208|17|||01 :66612|169056|816997881276|020408092200|30|||01 :66115|169055|816995274210|020408092240|10|||01 :66326|169059|816995315196|020408092304|16|||01 :66150|169060|81690424017141|020408092300|75|||01 :66178|66854||020408092320|5|||89 :169017|66429||020408092324|51|||81 :66136|66161||020408092444|26|||89 :64076|169054|816990766000|020408092328|67|||01 :169042|66483||020408092644|56|||81 :66145|169059|81690418531978|020408092300||||01 :169025|110057|81105|020408092328|22|||03 :169023|66457||020408092320|5|||81 :66467|169058|816956822602|020408092352|43|||01 :8612|169056|816992651512|020408092412|3|||01 :169003|77971||020408092352|28|||81 :2|169059|8169132227|020408092424|6|||02 :64076|169059|816990766000|020408092412|3|||01 :169002|66393||020408092452|388|||81 :66830|66713||020408092552|13|||89 :169020|66340||020408092424|36|||81 :66161|66177||020408092612|18|||89 :66322|66651||020408092632|23|||89 :64076|169058|816990766340|020408092532|8|||01 :169011|66340||020408092532|8|||81 :66194|169053|816995094488|020408092500|75|||01 :66769|169060|816995199700|020408092524|36|||01 :169044|77790||020408092536|9|||81 :66763|66304||020408092616|4|||89 :169037|66348||020408093120|80|||81 :66161|66854||020408092644|11|||89 :169045|66314||020408092552|13|||81 :169007|66105||020408092952|58|||81 :169022|110059|8110|020408092544|11|||03 :169034|8019||020408092624|36|||81 :66619|66611||020408092620|5|||89 :66158|169060|816998047655|020408092648|12|||01 :169036|64042||020408092628|7|||81 :8164|66027||020408092744|11|||89 :66346|66115||020408092732|8|||89 :66332|169049|81690409889688|020408092712|3|||01 :169019|66433||020408092644|11|||81 :66177|169058|816995212740|020408092644|26|||01 :66136|66161||020408092728|7|||89 :66872|66660||020408092820|20|||89 :66640|169055|81691300722227|020408092708|32|||01 :66476|169058|81691300305330|020408092712|3|||01 :66804|169060|816995713003|020408092724|6|||01 :169028|66474||020408092740|10|||81 :169009|66454||020408093548|117|||81 :169026|66139||020408092744|11|||81 :169038|77790||020408092748|12|||81 :169014|66465||020408092812|3|||81 :66340|169049|816995782027|020408092732|8|||01 :169001|66026||020408092828|7|||81 :66478|169057|816985088422|020408092756|74|||01 :66267|77661||020408092928|22|||89 :64005|66395||020408092916|4|||89 :64036|169047|816987681200|020408092840|115|||01 :66260|66366||020408092912|3|||89 :8620|169054|81691800116166|020408092840|55|||01 :169046|66666||020408092912|3|||81 :169027|66314||020408092908|77|||81 :64077|169053|816993|020408092856|44|||01 :66707|169055|816995966922|020408092916|4|||01 :169048|77971||020408092916|4|||81 :66324|66712||020408092916|4|||89 :66164|77190||020408092924|6|||89 :169021|66240||020408092904|91|||81 :66454|169058|816985175904|020408092952|13|||01 :169040|66314||020408092920|5|||81 :64054|169059|816992123002|020408093004|76|||01 :66178|169054|816995329349|020408092924|6|||01 :66661|66611||020408093144|26|||89 :66640|8011||020408093036|9|||89 :169033|66700||020408093012|18|||81 :169046|66123||020408093108|17|||81 :169016|66413||020408093004|16|||81 :66136|66854||020408093032|8|||89 :169004|66322||020408093048|27|||81 :66204|169057|816992123003|020408093036|24|||01 :169030|66168||020408093032|8|||81 :169024|66336||020408093044|11|||81 :169005|66769||020408093020|65|||81 :64036|169056|81690410627046|020408093116|34|||01 :66332|169054|81690409889688|020408093112|3|||01 :66223|169059|81690411152078|020408093144|11|||01 :169041|66429||020408093056|44|||81 :169042|66012||020408093120|5|||81 :66476|169060|81690400824648|020408093144|41|||01 :169031|66629||020408093132|218|||81 :66122|66707||020408093220|5|||89 :66611|66253||020408093324|21|||89 :66454|66194||020408093412|33|||89 :169029|66866||020408093212|48|||81 :8164|169058|816951525145|020408093204|1|||01 :169023|66287||020408093236|9|||81 :169013|66100||020408093212|153|||81 :64022|169054|816996328856|020408093200||||01 :169035|66433||020408093204|106|||81 :66653|66854||020408093216|4|||89 :169017|66804||020408093300|30|||81 :169011|77147||020408093320|5|||81 :8613|8622||020408093308|2|||89 :169006|77971||020408093256|14|||81 :169002|110057|81107|020408093316|19|||03 :66178|169047|816997298738|020408093320|5|||01 :66289|169057|816994385325|020408093256|29|||01 :66164|66477||020408093656|59|||89 :169020|110054|8110|020408093316|19|||03 :66326|2||020408093312|3|||89 :169015|66261||020408093332|338|||81 :66606|66176||020408093652|43|||89 :66872|169056|816992766800|020408093420|35|||01 :66451|169057|81690409889688|020408093412|3|||01 :169025|66801||020408093420|35|||81 :66326|169047|81690421762298|020408093400||||01 :169010|64064||020408093424|111|||81 :66612|169059|816995968966|020408093424|36|||01 :66483|169053|816998172113|020408093340|25|||01 :8164|169046|816951525145|020408093408|17|||01 :66025|169059|816985175603|020408093404|1|||01 :66769|169049|816995199700|020408093424|36|||01 :66611|66341||020408093616|19|||89 :64022|169054|816998789919|020408093420|35|||01 :66285|169060|816983683000|020408093516|49|||01 :169036|66667||020408093528|7|||81 :66741|66192||020408093532|8|||89 :169008|66834||020408093512|3|||81 :169009|66819||020408093516|4|||81 :66237|169058|816997596820|020408093552|28|||01 :66631|66117||020408093636|9|||89 :169022|110057|8110|020408093524|21|||03 :64073|169060|816995921835|020408093524|6|||01 :64036|169053|816959760888|020408093528|7|||01 :169043|66439||020408093528|172|||81 :169044|66623||020408093532|38|||81 :169026|66260||020408093532|8|||81 :64054|169058|81690422479832|020408093608|2|||01 :169028|66938||020408093544|11|||81 :66938|169054|816990765938|020408093544|11|||01 :66705|66611||020408093612|3|||89 :169034|66242||020408093632|23|||81 :66438|66322||020408093624|6|||89 :169038|66115||020408093644|11|||81 :169014|66035||020408093636|9|||81 :169003|77790||020408093628|7|||81 :169001|110057|8110|020408093636|9|||03 :66846|66422||020408093840|25|||89 :169040|66117||020408093632|8|||81 :66025|169058|816995281298|020408093716|4|||01 :8164|169059|81690488932808|020408093708|32|||01 :66769|169056|816995702574|020408093640|25|||01 :66195|169046|81690430538093|020408093732|23|||01 :169016|66012||020408093728|7|||81 :66164|66289||020408093824|21|||89 :169033|66413||020408093652|13|||81 :169018|77971||020408093756|14|||81 :66314|77647||020408093932|23|||89 :66183|169060|816995231577|020408093736|24|||01 :66285|169049|816987341400|020408093816|34|||01 :169024|66666||020408093816|4|||81 :66174|169054|81690412247453|020408093824|21|||01 :66801|169059|816995000296|020408093756|14|||01 :169006|8622||020408094312|78|||81 :169030|66253||020408093840|10|||81 :169016|66123||020408093908|17|||81 :169019|110056|81103|020408093820|50|||03 :66617|66122||020408094312|78|||89 :77142|169055|816995238714|020408093820|125|||01 :66332|169058|81690409889688|020408093832|8|||01 :77065|66422||020408094056|44|||89 :169004|66804||020408093836|24|||81 :66654|66620||020408094008|17|||89 :66137|169053|816995235131|020408093844|26|||01 :66620|2||020408093912|3|||89 :8617|169060|81691300464663|020408093900|15|||01 :169039|66619||020408093920|125|||81 :169037|66314||020408093900|90|||81 :64054|169046|81690418531027|020408093904|16|||01 :66672|169055|816995231105|020408093944|11|||01 :8164|169056|816995712244|020408093944|26|||01 :66189|169053|81690412048961|020408093932|8|||01 :169024|66871||020408094128|22|||81 :66117|169045|81690419328285|020408093936|9|||01 :66105|169050|816985345488|020408093956|194|||01 :169048|66314||020408095032|158|||81 :66346|169049|816995329349|020408093936|9|||01 :169008|66844||020408094420|65|||81 :66131|169058|816995282623|020408094004|16|||01 :169029|8040||020408094016|4|||81 :169031|66117||020408094024|6|||81 :66290|66251||020408094128|22|||89 :8165|169052|816995342772|020408094024|321|||01 :66174|169059|81690418371100|020408094040|25|||01 :169027|66620||020408094016|19|||81 :64005|66289||020408094144|26|||89 :66122|66744||020408094156|29|||89 :8620|169054|816959966015|020408094052|28|||01 :66395|66117||020408094132|8|||89 :66707|66012||020408094220|20|||89 :66025|169059|816995281298|020408094032|8|||01 :169041|66834||020408094112|33|||81 :169020|66648||020408094116|4|||81 :169011|77790||020408094132|8|||81 :66654|169060|816995440607|020408094156|29|||01 :169010|66834||020408094116|4|||81 :66117|169053|81690419328285|020408094136|9|||01 :66289|169059|816995329892|020408094120|5|||01 :169002|66769||020408094204|16|||81 :169023|110058|81109|020408094200|30|||03 :66648|66289||020408094212|3|||89 :8617|169056|816994848102|020408094208|32|||01 :66025|169049|816995635263|020408094236|9|||01 :66315|169058|81690411643177|020408094216|4|||01 :169005|66314||020408094224|66|||81 :169032|66607||020408094152|208|||81 :64019|66117||020408094236|9|||89 :169021|66422||020408094228|82|||81 :169025|66352||020408094216|19|||81 :66822|66422||020408094204|1|||89 :66658|66476||020408094932|98|||89 :169009|66607||020408094236|9|||81 :169015|2||020408094300|30|||82 :66100|66210||020408094320|5|||89 :66648|66288||020408094352|13|||89 :66131|169060|816995718976|020408094328|22|||01 :169043|110057|8110|020408094308|2|||03 :66366|169048|816998945583|020408094324|6|||01 :66326|169057|816995295277|020408094344|131|||01 :169034|66619||020408094324|6|||81 :64077|66267||020408094524|21|||89 :66136|169054|816995281026|020408094412|18|||01 :169007|66115||020408094352|43|||81 :66435|169050|816990766115|020408094352|43|||01 :66612|169059|816995967543|020408094352|28|||01 :64071|66680||020408095104|106|||89 :66105|169060|816995781620|020408094436|9|||01 :66415|169053|816994800679|020408094436|24|||01 :169006|66189||020408094408|2|||81 :66442|169054|816959971088|020408094412|3|||01 :66332|169043|81690409889688|020408094412|3|||01 :169001|66100||020408094444|11|||81 :169014|66366||020408094444|11|||81 :169038|77790||020408094456|14|||81 :66648|66288||020408094536|9|||89 :66611|66253||020408094636|24|||89 :66761|169044|816997953661|020408094436|84|||01 :169003|66607||020408094500|15|||81 :8617|169059|816995534397|020408094432|8|||01 :169028|77971||020408094436|24|||81 :66336|66422||020408094728|37|||89 :66442|169054|81690418391637|020408094508|2|||01 :66373|169051|81690432169700|020408094516|349|||01 :66454|169060|816985175904|020408094544|11|||01 :169004|66666||020408094512|3|||81 :169042|110054|8110|020408094504|1|||03 :64074|169052|816990139792|020408094520|65|||01 :66329|169050|816995782027|020408094516|19|||01 :169026|77971||020408094516|34|||81 :66476|66256||020408094844|41|||89 :66822|66322||020408094920|50|||89 :66680|66102||020408094612|3|||89 :169036|66834||020408094548|57|||81 :169024|66667||020408094628|7|||81 :66332|169053|81690409889688|020408094608|2|||01 :66373|66012||020408094636|9|||89 :66189|169056|816998852366|020408094552|43|||01 :169017|66652||020408094600|90|||81 :169029|66218||020408094636|9|||81 :66791|169046|81690401407194|020408094616|49|||01 :66680|66881||020408094628|7|||89 :66772|169052|816995548676|020408094612|3|||01 :66422|66713||020408094816|19|||89 :66442|169054|816959971278|020408094640|10|||01 :169031|66607||020408094636|9|||81 :66289|169058|816995695561|020408094620|65|||01 :66705|169059|816990766666|020408094644|26|||01 :169004|66158||020408094832|23|||81 :66012|66600||020408094724|6|||89 :66356|169044|81690409308666|020408094704|31|||01 :169011|66938||020408094720|5|||81 :66938|169054|816990765938|020408094720|5|||01 :169010|66178||020408094724|6|||81 :169019|66122||020408094732|38|||81 :8616|169057|816995251300|020408094704|46|||01 :169013|8018||020408094720|20|||81 :169027|110056|81105|020408094708|17|||03 :169035|66314||020408094712|3|||81 :66422|169052|8169204|020408094724|6|||01 :66012|66382||020408094816|4|||89 :169018|66012||020408094716|19|||81 :169040|77999||020408094708|32|||81 :77999|169060|81690287783190|020408094708|32|||01 :169020|66278||020408094800|15|||81 :66801|169045|816995314776|020408094732|68|||01 :169033|110055|81104|020408094752|58|||03 :169012|110059|8110|020408094804|271|||03 :66451|169053|81690409889688|020408094812|3|||01 :66772|169056|816995548238|020408094840|25|||01 :66483|169052|816997870456|020408094804|1|||01 :8617|169060|816995786564|020408094832|8|||01 :77647|77190||020408094900||||89 :169023|66773||020408094912|18|||81 :66272|169058|816996289719|020408094840|25|||01 :169002|66938||020408094932|23|||81 :66938|169057|816990765938|020408094932|23|||01 :8164|169059|816995709767|020408094848|27|||01 :66451|169058|81690409889688|020408094912|3|||01 :66162|66325||020408094904|1|||89 :66221|169048|816995787275|020408094928|82|||01 :66497|169047|81690408502003|020408094916|184|||01 :169005|110056|8110|020408094908|17|||03 :66386|169043|816993835461|020408094912|63|||01 :8613|8617||020408094904|1|||89 :169030|77971||020408094928|7|||81 :169018|66382||020408095052|28|||81 :66483|169060|816995967485|020408094940|10|||01 :66612|169051|816997733555|020408094920|50|||01 :169009|66834||020408094948|12|||81 :66149|64073||020408095332|53|||89 :66117|169050|816995282077|020408094936|24|||01 :66189|169053|81691300550450|020408095024|21|||01 :66872|66660||020408095132|23|||89 :66260|66272||020408095012|3|||89 :66819|66151||020408095024|6|||89 :169032|77791||020408094952|28|||81 :169022|66666||020408094940|10|||81 :169039|66800||020408094956|74|||81 :66497|169059|81690409565577|020408095036|9|||01 :66289|66253||020408095256|44|||89 :66158|169046|816995251300|020408095008|32|||01 :169025|77971||020408095044|26|||81 :66851|169057|816995548270|020408095020|20|||01 :66174|169052|81690418371100|020408095020|20|||01 :169007|66139||020408095100|15|||81 :169006|66870||020408095108|17|||81 :66851|169048|81690424506980|020408095112|3|||01 :169034|66834||020408095144|26|||81 :66189|169051|81690883493512|020408095136|9|||01 :66707|66422||020408095316|34|||89 :66804|169057|816995966441|020408095148|12|||01 :66027|66820||020408095232|8|||89 :169037|66667||020408095220|5|||81 :66021|169051|816998825783|020408095228|7|||01 :64054|169055|816995804331|020408095152|178|||01 :66373|169048|81690418502451|020408095232|8|||01 :169021|66801||020408095236|54|||81 :66828|169050|816995579920|020408095224|21|||01 :66772|169056|816997963399|020408095256|59|||01 :169026|66341||020408095240|10|||81 :66661|66713||020408095400|15|||89 :66178|169055|816995329349|020408095224|6|||01 :169008|66800||020408095316|4|||81 :66329|169058|816995714010|020408095232|38|||01 :66332|169045|81690409889688|020408095232|8|||01 :169036|66834||020408095248|12|||81 :8618|169060|816997065959|020408095252|43|||01 :77190|66869||020408095304|1|||89 :66603|66791||020408095308|2|||89 :169041|66603||020408095344|11|||81 :169032|66316||020408095724|51|||81 :66149|2||020408095404|1|||89 :66178|66350||020408095416|4|||89 :66659|77791||020408095644|41|||89 :66804|169055|816995090348|020408095348|12|||01 :64046|169057|81690401712313|020408095356|14|||01 :169024|110058|8110|020408095416|19|||03 :66772|169056|816995894777|020408095348|12|||01 :66655|66488||020408095612|33|||89 :8620|169051|81690408172773|020408095344|26|||01 :66611|66164||020408095448|12|||89 :66684|66396||020408095444|11|||89 :64073|169048|81690488342950|020408095424|6|||01 :66655|2||020408095400||||89 :66105|66341||020408095412|3|||89 :169004|66611||020408095416|4|||81 :66478|169047|81690410416536|020408095404|31|||01 :64005|66395||020408095628|22|||89 :66483|169059|816997872844|020408095500|60|||01 :66388|169053|81691300881861|020408095428|67|||01 :169031|66012||020408095440|10|||81 :169044|66789||020408095524|6|||81 :66451|169051|81690409889688|020408095512|3|||01 :169029|66744||020408095516|34|||81 :8610|66610||020408095548|12|||89 :66478|169044|816992801955|020408095500||||01 :66804|169059|816995300306|020408095500||||01 :66724|169055|816994163450|020408095504|16|||01 :169017|66149||020408095544|26|||81 :66675|169057|816990188162|020408095528|22|||01 :64022|169052|816998988107|020408095540|70|||01 :169010|66801||020408095536|9|||81 :66619|169050|816990763476|020408095532|8|||01 :77190|66804||020408095620|5|||89 :77889|66366||020408095620|5|||89 :169041|66791||020408095820|35|||81 :66483|169047|816995992594|020408095532|8|||01 :66117|169053|81690354548500|020408095604|16|||01 :66315|169045|816995001116|020408095544|11|||01 :66773|169047|816990766921|020408095616|4|||01 :64059|169055|8169131955|020408095644|11|||01 :169035|110058|8110|020408095616|4|||03 :66289|169056|816995836865|020408095608|32|||01 :66161|66854||020408095700|15|||89 :64064|169054|816986433300|020408095628|127|||01 :66422|66336||020408095608|2|||89 :64022|169043|81690425810035|020408095624|6|||01 :64071|77046||020408095616|4|||89 :66422|66021||020408095712|3|||89 :169019|66012||020408095708|17|||81 :66851|169046|816995548270|020408095708|77|||01 :66603|66820||020408095956|44|||89 :2|66405||020408095724|6|||89 :169020|66635||020408095716|4|||81 :77190|66672||020408095708|2|||89 :8612|169045|816997069208|020408095724|6|||01 :66769|169048|81690409565577|020408095640|25|||01 :66303|169056|816990765120|020408095640|10|||01 :169042|66655||020408095644|41|||81 :66835|169053|816997032900|020408095716|19|||01 :169040|66938||020408095756|14|||81 :66938|169047|816990765938|020408095756|14|||01 :169038|110059|8110|020408095800|90|||03 :169033|66093||020408095740|10|||81 :66093|169041|816990765093|020408095740|10|||01 :8612|169056|816997069208|020408095720|5|||01 :66161|66183||020408095856|14|||89 :169002|66178||020408095716|4|||81 :169011|66322||020408095800|45|||81 :169012|66322||020408095812|3|||81 :169027|66619||020408095820|35|||81 :66870|169046|816997678667|020408095804|16|||01 :66174|169060|81690419109944|020408095836|69|||01 :169012|66713||020408095820|5|||81 :66804|169053|816995057425|020408095844|11|||01 :8612|169047|81690438443436|020408095844|11|||01 :66401|169059|816970|020408095812|48|||01 :169018|66834||020408095812|3|||81 :66021|169042|81690407335259|020408095828|7|||01 :66248|169043|81691800224277|020408095916|34|||01 :66664|66012||020408095920|5|||89 :169013|66314||020408095920|50|||81 :169005|110059|81106|020408095924|21|||03 :66373|169041|816995551758|020408095848|12|||01 :66174|169060|81690412247453|020408095920|5|||01 :66231|169053|816995708411|020408095932|8|||01 :66029|169042|816995329349|020408095920|5|||01 :64059|169054|816992042250|020408095900|45|||01 :66478|169057|816992801955|020408095948|57|||01 :8620|169050|816995894495|020408095932|53|||01 :8610|169047|816959822159|020408095948|12|||01 :66153|169048|81690409576211|020408095928|37|||01 :8164|169052|816995340883|020408095956|59|||01 :66630|169044|81691800022002|020408095952|58|||01