:169026|66116||020408150152|178|||81 :66152|66707||020408150456|119|||89 :169011|66401||020408150028|37|||81 :66718|66193||020408150044|11|||89 :77190|66673||020408150028|7|||89 :8618|169054|81690410416579|020408150020|20|||01 :169036|66170||020408150012|3|||81 :66213|66218||020408150024|6|||89 :169005|66349||020408150000|60|||81 :66357|169060|816985744000|020408150016|49|||01 :169035|66428||020408150024|21|||81 :66126|169048|816990766428|020408150024|21|||01 :169016|66801||020408150036|24|||81 :66761|2||020408150016|4|||89 :169003|66231||020408150012|198|||81 :66029|169060|81691800789130|020408150016|4|||01 :169020|110057|81101|020408150048|12|||03 :169004|66429||020408150004|1|||81 :169008|2||020408150104|1|||82 :66102|169056|816995343585|020408150040|10|||01 :1|77068||020408150212|18|||89 :66761|169041|81690419770254|020408150120|5|||01 :66452|169046|816995701618|020408150104|1|||01 :8617|169051|816959889025|020408150036|24|||01 :66152|169053|81690418102639|020408150040|40|||01 :66612|169047|816997962944|020408150048|12|||01 :66242|169052|816998070081|020408150116|34|||01 :169023|64060||020408150056|14|||81 :66149|169060|816995559880|020408150104|1|||01 :66342|169054|816995274355|020408150112|18|||01 :66218|169045|816996694192|020408150104|16|||01 :66664|66883||020408150104|1|||89 :66127|169043|81690404816327|020408150136|9|||01 :169033|66429||020408150104|1|||81 :169018|66712||020408150148|27|||81 :66706|2||020408150128|7|||89 :66653|169054|816995329900|020408150104|1|||01 :66844|169044|816997931719|020408150156|254|||01 :66261|169058|816997560127|020408150116|34|||01 :169028|110058|81108|020408150140|85|||03 :77055|66620||020408150640|70|||89 :169022|66215||020408150140|10|||81 :169013|66433||020408150224|6|||81 :169029|66648||020408150228|7|||81 :169017|66289||020408150200|15|||81 :66218|169058|81690419770254|020408150212|3|||01 :66433|169050|816997071900|020408150236|54|||01 :66324|169042|816995283990|020408150200|30|||01 :66741|66718||020408150228|7|||89 :66409|66314||020408150744|71|||89 :8005|169052|816998465888|020408150216|4|||01 :169026|64020||020408150300|15|||81 :66422|169048|8169204|020408150220|35|||01 :66801|169046|816995329951|020408150248|27|||01 :169019|66012||020408150320|5|||81 :169037|66107||020408150704|61|||81 :169006|66866||020408150320|20|||81 :77198|169054|81690417213564|020408150312|18|||01 :169015|66117||020408150308|62|||81 :169030|66428||020408150332|23|||81 :8618|169050|816997898583|020408150324|6|||01 :169011|110059|81100|020408150316|4|||03 :66324|169052|816995283990|020408150328|7|||01 :8167|169047|816995572115|020408150308|2|||01 :77889|66287||020408150320|5|||89 :66705|169055|8169133298|020408150340|55|||01 :66034|169051|81690417662749|020408150340|10|||01 :169012|66620||020408150352|13|||81 :77083|169060|816992773745|020408150316|34|||01 :66703|169053|81690408081980|020408150348|27|||01 :66373|169059|816995814236|020408150336|204|||01 :169040|110057|8110|020408150328|7|||03 :169027|66717||020408150328|7|||81 :169032|66773||020408150412|18|||81 :66741|169055|816995900768|020408150412|3|||01 :66612|169058|816997961200|020408150340|25|||01 :8167|169050|8169041832736|020408150436|9|||01 :66006|77889||020408150420|5|||89 :66161|66854||020408150440|10|||89 :66791|66391||020408150644|26|||89 :66033|66801||020408150512|3|||89 :66611|66341||020408150552|13|||89 :169001|66177||020408150420|5|||81 :169038|66804||020408150456|14|||81 :66314|64020||020408150504|1|||89 :169036|66314||020408150520|5|||81 :77810|66840||020408150936|69|||89 :169005|66820||020408150524|6|||81 :66665|169060|816995686937|020408150532|23|||01 :66152|66707||020408150856|59|||89 :66161|66183||020408150536|9|||89 :66670|66166||020408150548|12|||89 :169035|66341||020408150516|4|||81 :64074|169059|816995648163|020408150500||||01 :66329|66218||020408150628|7|||89 :169002|66702||020408150600|75|||81 :169038|77810||020408150700|15|||81 :169045|66280||020408150604|1|||81 :66161|66183||020408150640|10|||89 :169044|110056|81103|020408150600||||03 :66611|66744||020408150632|8|||89 :66426|169056|81690418331185|020408150632|83|||01 :66718|66619||020408150820|20|||89 :66218|169053|81690419770254|020408150644|11|||01 :169014|110057|81103|020408150624|6|||03 :66856|169055|81690433630264|020408150644|11|||01 :169003|66676||020408150716|19|||81 :169009|110058|8110|020408150640|55|||03 :66670|169059|81690408309379|020408150644|11|||01 :169033|66215||020408150712|3|||81 :169023|66127||020408150708|17|||81 :66654|169056|816995340247|020408150704|1|||01 :169008|66428||020408150724|21|||81 :66612|169060|816995690703|020408150736|24|||01 :169020|66700||020408150648|27|||81 :169022|66422||020408150708|2|||81 :66332|169055|81690409889688|020408150704|1|||01 :169004|77147||020408150724|21|||81 :169041|66012||020408150736|9|||81 :77083|169051|816992773745|020408150716|19|||01 :169013|66636||020408150804|1|||81 :66027|2||020408150800||||89 :66357|169060|816997097100|020408150720|5|||01 :169031|66820||020408150744|11|||81 :169016|77971||020408150740|40|||81 :66192|66619||020408150836|9|||89 :66707|169053|816996704747|020408150728|7|||01 :66854|169048|816995109124|020408150728|7|||01 :169028|110058|81103|020408150816|19|||03 :66767|169046|81690438353821|020408150804|1|||01 :66324|66218||020408150832|8|||89 :66447|169059|81690434902753|020408150824|6|||01 :66195|169048|81690421939495|020408150800||||01 :66026|66350||020408150924|6|||89 :66428|66002||020408151008|17|||89 :66164|66611||020408150908|2|||89 :169025|66340||020408150908|152|||81 :169042|66314||020408150908|2|||81 :64035|169047|81690412111255|020408150916|19|||01 :169026|66635||020408150920|5|||81 :66467|169053|816992148223|020408150904|16|||01 :169007|66322||020408150924|36|||81 :169029|8060||020408150856|14|||81 :66227|169049|8169131779|020408150920|155|||01 :77069|66636||020408150940|10|||89 :169043|66287||020408150932|8|||81 :66253|66164||020408151040|10|||89 :66218|2||020408151000||||89 :66324|66761||020408151120|20|||89 :66467|169053|816995574952|020408150924|6|||01 :77068|169042|816998082161|020408151020|5|||01 :169019|66314||020408151004|16|||81 :66648|66366||020408151112|18|||89 :66373|169044|816995962038|020408150940|10|||01 :169006|66336||020408150952|13|||81 :66218|66100||020408151024|6|||89 :66727|169059|81690412659247|020408150952|28||2025|01 :169037|77971||020408151016|19|||81 :66751|169047|816995053400|020408150952|13|||01 :77055|169049|816993954689|020408151052|13|||01 :66819|66367||020408151948|132|||89 :66314|66373||020408151112|3|||89 :66409|66314||020408151124|6|||89 :66840|169058|816994816866|020408151032|68|||01 :169011|2||020408151104|1|||82 :169036|64020||020408151644|86|||81 :66164|66611||020408151156|14|||89 :66010|169056|816995942796|020408151040|55|||01 :169024|66166||020408151052|13|||81 :169018|66198||020408151024|66|||81 :66102|169040|81690407112297|020408151056|14|||01 :169015|64078||020408151056|14|||81 :169010|66631||020408151052|13|||81 :66218|169058|81690419770254|020408151112|3|||01 :66325|66660||020408151208|17|||89 :66635|66121||020408151132|8|||89 :66012|169047|81690419770244|020408151128|7|||01 :66322|66336||020408151156|14|||89 :66237|169054|8169131450|020408151056|119|||01 :66357|169043|816995230928|020408151136|24|||01 :77198|169044|81690409538211|020408151128|7|||01 :64047|169051|816995278773|020408151148|57|||01 :169021|66726||020408151124|6|||81 :66016|169039|816995790495|020408151148|27|||01 :169041|64028||020408151616|64|||81 :66241|169053|81690431051353|020408151144|26|||01 :64077|169058|816995788818|020408151132|8|||01 :66426|169050|816998825225|020408151208|77|||01 :169001|66178||020408151216|4|||81 :66762|66218||020408151232|8|||89 :66727|169056|81690412659247|020408151208|17||2025|01 :64074|169059|816998227577|020408151228|22|||01 :169014|66314||020408151220|5|||81 :66261|169055|81690425731357|020408151216|64|||01 :169032|66225||020408151300|15|||81 :77755|2||020408151316|4|||89 :169002|110057|81102|020408151228|7|||03 :66717|66350||020408151524|36|||89 :169009|66183||020408151216|4|||81 :66195|169046|816998778382|020408151248|57|||01 :66664|66603||020408151416|19|||89 :66100|66324||020408151328|7|||89 :169012|66253||020408151236|24|||81 :8616|169054|81690407867182|020408151236|9|||01 :66661|66611||020408151312|3|||89 :169033|66275||020408151320|5|||81 :66744|169051|816995966377|020408151336|24|||01 :8612|8617||020408151300||||89 :77190|169058|81690410391437|020408151328|7|||01 :64071|169052|81691800117747|020408151408|152|||01 :64055|66139||020408151420|5|||89 :66886|169053|816995896668|020408151404|1|||01 :169023|77971||020408151404|16|||81 :8617|169051|816959777024|020408151420|5|||01 :169031|8061||020408151416|4|||81 :66409|66373||020408151740|55|||89 :77643|66713||020408151504|16|||89 :8615|169045|816993917809|020408151408|92|||01 :66149|2||020408151412|3|||89 :169022|66177||020408151444|11|||81 :66324|66218||020408151520|5|||89 :66387|77147||020408151528|7|||89 :169005|66275||020408151456|44|||81 :66145|169049|81690438340534|020408151504|1|||01 :169010|66820||020408151848|57|||81 :169008|66218||020408151500|30|||81 :66612|169048|8169132050|020408151500|75|||01 :8617|169050|816959777024|020408151528|7|||01 :66422|66707||020408151708|32|||89 :169016|66499||020408151456|14|||81 :66761|66149||020408151524|6|||89 :169004|169047|816992585010|020408151552|13|||03 :169025|110055|81109|020408151504|1|||03 :66886|169051|81690434218993|020408151604|16|||01 :8616|169055|816994250040|020408151604|31|||01 :169026|66012||020408151532|8|||81 :64034|169046|816993151795|020408151532|8|||01 :169017|66176||020408151552|13|||81 :66034|169050|81690407567266|020408151600||||01 :66240|169052|816996065247|020408151548|27|||01 :66428|169056|816995296742|020408151544|41|||01 :169020|66275||020408151552|28|||81 :66422|66619||020408151640|10|||89 :66324|66218||020408151700|15|||89 :77060|66253||020408151612|3|||89 :66820|169055|816997438074|020408151628|7|||01 :2|66100||020408151600||||89 :66382|169055|816995282077|020408151700||||01 :66700|169050|816998086586|020408151604|1|||01 :169028|77971||020408151704|31|||81 :169029|66178||020408151616|4|||81 :169027|66625||020408151620|80|||81 :66348|169059|816995555377|020408151640|55|||01 :66218|169051|81690419770254|020408151624|6|||01 :66176|77046||020408151744|11|||89 :169019|66666||020408151732|8|||81 :66635|169055|816995329349|020408151720|5|||01 :66357|169048|816997097100|020408151728|22|||01 :66442|169054|816959971088|020408151644|56|||01 :66422|66652||020408151724|6|||89 :64062|169058|81690412827929|020408151728|52|||01 :66210|66290||020408151804|16|||89 :66382|169047|816995282077|020408151744|11|||01 :169028|66123||020408151908|17|||81 :169024|8055||020408151732|8|||81 :169037|66268||020408151744|11|||81 :66606|66292||020408151816|4|||89 :8019|169059|816993916171|020408151744|11|||01 :66433|169050|816998119021|020408151756|14|||01 :169018|66635||020408151740|10|||81 :66382|2||020408151812|3|||89 :66231|77791||020408151816|4|||89 :66477|169048|81690418137682|020408151828|7|||01 :169036|64036||020408151752|13|||81 :106028|169041|81690433197395|020408151808|2|||03 :169042|66130||020408151840|10|||81 :169038|66115||020408151840|10|||81 :66366|66648||020408151856|14|||89 :169023|66240||020408151824|6|||81 :169002|66161||020408151848|12|||81 :169039|66139||020408151848|12|||81 :169015|66342||020408151848|12|||81 :66290|169054|816995528141|020408151848|12|||01 :106028|169036|81690437128981|020408151908|2|||03 :106030|169037|81690437128981|020408151824|6|||03 :66122|169047|816995942488|020408151908|2|||01 :169012|66450||020408151832|8|||81 :106059|169043|81690458354552|020408151832|8|||03 :169021|66180||020408151904|16|||81 :169032|66428||020408151900|15|||81 :169031|66636||020408151832|8|||81 :66422|66395||020408152016|19|||89 :66251|66707||020408151932|8|||89 :169001|66435||020408151904|16|||81 :169014|66280||020408151904|16|||81 :64026|66603||020408151920|5|||89 :66458|169058|81690417500348|020408151900|15|||01 :77055|66620||020408151944|11|||89 :66856|64073||020408153012|168|||89 :169040|66336||020408151828|7|||81 :66654|169052|816995434049|020408151836|39|||01 :66382|169033|81690402177573|020408151840|10|||01 :66192|169029|8169132230|020408151848|12|||01 :66610|169047|816998204064|020408151912|3|||01 :77055|169054|816993954689|020408151908|2|||01 :66116|169038|816998857397|020408151928|7|||01 :169013|66366||020408151924|6|||81 :8612|8610||020408151924|6|||89 :66362|169041|816996012310|020408151900|15|||01 :66477|169039|81690437101624|020408151928|7|||01 :77810|169051|816995711471|020408151924|36|||01 :169030|66804||020408151940|25|||81 :66221|169046|81690405403847|020408151940|25|||01 :66145|169059|816992352868|020408151936|24|||01 :169016|66254||020408152004|1|||81 :66762|169045|816995908300|020408151936|39|||01 :66811|64047||020408152320|50|||89 :66223|169050|81690427818327|020408151928|22|||01 :169019|66240||020408152300|45|||81 :66027|169060|816995575140|020408152004|181|||01 :66477|169052|81690448558752|020408152020|5|||01 :66447|169044|81690408334134|020408152020|50|||01 :106029|169042|81690409412432|020408152104|31|||03 :77069|2||020408152140|10|||89 :169017|66433||020408152036|9|||81 :66608|66176||020408152448|57|||89 :169025|66366||020408152052|13|||81 :64073|66289||020408152244|26|||89 :8612|8616||020408152208|2|||89 :169034|77971||020408152136|54|||81 :169028|66314||020408152208|2|||81 :66612|169045|816959862400|020408152204|1|||01 :66263|169047|816985744900|020408152156|14|||01 :169008|110057|81101|020408152244|41|||03 :66213|66218||020408152336|24|||89 :169011|66198||020408152216|19|||81 :169018|66435||020408152220|5|||81 :169020|66429||020408152224|21|||81 :66782|169054|816995725123|020408152304|46|||01 :77340|169046|816997414169|020408152304|16|||01 :169024|66063||020408152244|11|||81 :66063|169041|816990765063|020408152244|11|||01 :66611|66762||020408152320|5|||89 :66332|169047|81690409889688|020408152304|1|||01 :169005|66322||020408152316|4|||81 :66248|169052|816986657615|020408152300|30|||01 :169003|66140||020408152228|157|||81 :169015|66433||020408152228|7|||81 :66663|169059|816994201357|020408152308|47|||01 :66844|169056|816985989411|020408152304|106|||01 :66393|169048|816995710215|020408152240|25|||01 :169002|66487||020408152300|15|||81 :66192|169043|816993295144|020408152328|22|||01 :66231|66316||020408152756|74|||89 :169012|66240||020408152320|5|||81 :169027|169042|81690414403640|020408152336|24|||03 :66428|169051|816925|020408152340|55|||01 :66192|169043|8169132290|020408152404|1|||01 :66856|169050|816985175777|020408152344|41|||01 :169009|66164||020408152348|27|||81 :66804|169045|816997953661|020408152404|1|||01 :66332|169051|81690409889688|020408152404|1|||01 :66240|169044|816996065247|020408152408|32|||01 :66169|169043|816998894617|020408152404|1|||01 :169034|8616||020408152620|35|||81 :66703|169054|81690435010675|020408152404|16|||01 :169023|66652||020408152400|30|||81 :66460|169052|81690414405167|020408152400|15|||01 :66150|169060|816998005199|020408152444|56|||01 :66272|169044|81690404816308|020408152408|2|||01 :64003|169060|81690400141307|020408152404|1|||01 :64034|64019||020408153320|125|||89 :169032|66636||020408152448|12|||81 :64071|169053|81690418307931|020408152420|155|||01 :66612|169045|8169132050|020408152428|7|||01 :66804|169051|81690419323341|020408152440|10|||01 :169031|66314||020408152512|18|||81 :169029|66280||020408152512|3|||81 :66313|66210||020408152520|5|||89 :169006|66289||020408152440|40|||81 :169004|66304||020408152520|80|||81 :169014|66801||020408152512|18|||81 :66370|169043|816992585090|020408152448|12|||01 :169013|66666||020408152516|4|||81 :169010|66428||020408152508|17|||81 :66223|66820||020408152616|19|||89 :169037|66625||020408152540|40|||81 :66357|169055|816992651750|020408152540|115|||01 :169033|66314||020408152544|11|||81 :66451|169056|81690409889688|020408152536|24|||01 :66707|169053|816995319811|020408152524|6|||01 :66192|169054|8169132290|020408152540|25|||01 :8167|169046|81699528217|020408152544|26|||01 :66717|66350||020408152816|34|||89 :169036|8016||020408152616|49|||81 :169038|66314||020408152628|7|||81 :8613|8618||020408152604|1|||89 :169039|77971||020408152544|11|||81 :64073|169047|81690434268115|020408152624|36|||01 :66176|169059|816997006725|020408152624|36|||01 :66689|169041|81690407355212|020408152608|17|||01 :66325|66335||020408152644|11|||89 :66703|169052|8169132227|020408152600|30|||01 :169001|66744||020408152628|37|||81 :8610|169050|816985522222|020408152652|13|||01 :66169|169060|81690402346033|020408152648|27|||01 :66139|169056|816959776266|020408152636|9|||01 :66435|169053|816992585090|020408152624|6|||01 :169019|66224||020408152712|18|||81 :64034|169053|816994792409|020408152704|1|||01 :66158|169048|816995570811|020408152748|57|||01 :66272|169055|81690414405167|020408152740|25|||01 :169007|66349||020408152656|14|||81 :66789|66350||020408152816|4|||89 :64035|169055|816995095475|020408152800||||01 :66752|66610||020408153044|41|||89 :77070|169060|816995318014|020408152752|13|||01 :66113|66600||020408152912|18|||89 :169008|66477||020408152836|9|||81 :66680|169057|816994657768|020408152832|923|||01 :64003|169047|816998223497|020408152812|33|||01 :66153|169056|816982903410|020408152816|19|||01 :66707|169059|816995311388|020408152816|34|||01 :66789|66136||020408152940|10|||89 :64008|169046|816995094244|020408152928|37|||01 :169028|77790||020408152908|17|||81 :66272|66422||020408153012|18|||89 :66819|66261||020408153016|19|||89 :66752|8061||020408152932|8|||89 :2|66752||020408152908|2|||89 :66192|77647||020408153012|18|||89 :169020|66667||020408152912|3|||81 :66027|169053|816995614147|020408152952|13|||01 :169013|66856||020408153420|65|||81 :66289|66164||020408153024|6|||89 :66613|169051|816972|020408153000|60|||01 :66158|77190||020408153016|4|||89 :66673|169051|81690417312529|020408153004|1|||01 :66326|169048|816996106166|020408153012|3|||01 :169011|66625||020408153020|20|||81 :66223|169057|81690405224298|020408153012|18|||01 :169024|66209||020408153036|9|||81 :169022|110059|81101|020408152952|178|||03 :66241|169059|81690432443412|020408153000|15|||01 :169003|110053|8110|020408153028|7|||03 :66460|169045|816996676133|020408153052|73|||01 :66272|66314||020408153112|3|||89 :169018|66207||020408153040|25|||81 :66122|169057|81690299238709|020408153048|12|||01 :66322|66396||020408153120|5|||89 :66861|169038|816995216777|020408153104|1|||01 :66707|66340||020408153128|7|||89 :66478|169044|816995556777|020408153044|11|||01 :169025|66804||020408153108|32|||81 :66158|169046|816995239239|020408153148|12|||01 :66661|66611||020408153156|14|||89 :169005|66322||020408153108|17|||81 :169026|66152||020408153120|110|||81 :66886|169056|81690419517631|020408153100|30|||01 :66673|169051|81690433230497|020408153120|20|||01 :64003|169055|81690400141307|020408153144|41|||01 :169039|8618||020408153736|84|||81 :77083|169045|816992773745|020408153200|15|||01 :66267|169059|816983686088|020408153204|16|||01 :169027|66433||020408153140|10|||81 :8617|169058|816995849752|020408153156|194|||01 :169012|169032|81691223|020408153200|15|||03 :8613|169048|81690421242467|020408153148|27|||01 :66253|2||020408153212|3|||89 :64071|169055|816998713906|020408153204|1|||01 :66721|66322||020408153244|11|||89 :66031|2||020408153208|2|||89 :66122|169047|816992585053|020408153248|12|||01 :66194|169056|816996958320|020408153236|9|||01 :66289|66336||020408153324|6|||89 :66380|169041|816995284228|020408153304|1|||01 :66801|169051|81690411822866|020408153252|13|||01 :66239|66314||020408153344|11|||89 :8019|8011||020408153332|8|||89 :169021|66324||020408153320|5|||81 :66176|169054|816997887724|020408153248|102|||01 :66366|66611||020408153316|4|||89 :66195|169057|816999211421|020408153316|34|||01 :66670|169045|81690408309379|020408153404|1|||01 :66218|169054|816996694192|020408153316|4|||01 :66140|169047|816995095435|020408153332|8|||01 :66031|169048|816995962853|020408153332|23|||01 :66872|66660||020408153524|21|||89 :66316|169058|816997678625|020408153340|10|||01 :66769|169046|816994170714|020408153356|29|||01 :66357|169052|816995792820|020408153416|109|||01 :169031|66864||020408153400|15|||81 :169009|66820||020408153424|21|||81 :66140|169048|816995636226|020408153416|4|||01 :66373|169049|816998820967|020408153408|287|||01 :64073|169060|816995785810|020408153400|90|||01 :66178|66607||020408153432|8|||89 :66612|169043|816959811533|020408153432|53|||01 :66426|169044|816996637999|020408153452|43|||01 :66619|169051|816990763476|020408153424|21|||01 :169033|66452||020408154416|139|||81 :66661|66611||020408153532|8|||89 :66025|169058|81690417551221|020408153432|8|||01 :169006|66667||020408153428|7|||81 :66171|169059|81690421845264|020408153524|36|||01 :66769|169049|816995343709|020408153536|9|||01 :66856|169055|816996467372|020408153444|41|||01 :66289|66164||020408153512|3|||89 :66607|169057|8169416|020408153528|7|||01 :64034|169058|816994792409|020408153532|8|||01 :66680|66741||020408153656|14|||89 :66314|66455||020408153600||||89 :66158|66314||020408153720|20|||89 :66136|66413||020408153644|11|||89 :66176|66340||020408153800|30|||89 :66403|169041|81690400668513|020408153620|35|||01 :169004|66660||020408153604|16|||81 :169021|77067||020408153900|45|||81 :169030|8164||020408155224|246|||81 :169016|66666||020408153616|4|||81 :66195|169060|816995415291|020408153620|20|||01 :66005|66034||020408154232|98|||89 :66707|169055|816995553263|020408153612|18|||01 :66176|169049|816997887724|020408153628|7|||01 :169010|66923||020408153644|11|||81 :66923|169058|816990765923|020408153644|11|||01 :66025|169059|816995281298|020408153632|23|||01 :169017|66390||020408153720|5|||81 :169014|66253||020408153644|26|||81 :66415|169060|816994800679|020408153712|3|||01 :66248|66482||020408153740|10|||89 :66661|66611||020408153740|10|||89 :66332|169059|81690409889688|020408153704|1|||01 :77190|169048|816985989411|020408153648|12|||01 :66712|66382||020408153716|4|||89 :169019|66341||020408153652|13|||81 :66102|66659||020408153720|5|||89 :66287|169052|81690411051296|020408153708|47|||01 :66428|66029||020408154056|44|||89 :66712|66342||020408153812|3|||89 :66122|169060|816985870270|020408153728|7|||01 :66314|66373||020408153924|21|||89 :169001|66314||020408153808|32|||81 :66673|169056|816998596845|020408153824|81|||01 :66140|169057|816995296666|020408153800|30|||01 :66612|169047|816995921222|020408153840|25|||01 :66158|66455||020408154032|38|||89 :169023|77971||020408153832|83|||81 :66322|66391||020408153916|4|||89 :169028|66218||020408153900|15|||81 :169008|66390||020408153820|20|||81 :66741|169058|816995900768|020408153852|28|||01 :66712|169049|816995342351|020408153848|12|||01 :66390|66393||020408153952|13|||89 :66194|169045|81690415610395|020408153900||||01 :66183|169059|816995238624|020408153840|25|||01 :169018|66178||020408153916|4|||81 :169034|66844||020408153904|1|||81 :66661|66253||020408154036|24|||89 :169020|66215||020408153904|16|||81 :169029|66610||020408153904|91|||81 :66194|169049|81690415610395|020408153900||||01 :66765|169052|816997929744|020408154000|30|||01 :66140|169047|816995680199|020408153956|14|||01 :169002|66619||020408153932|8|||81 :66272|169054|81690407338946|020408153948|87|||01 :169007|110059|81105|020408154024|51|||03 :110002|169049|816904197701426|020408154016|4|||03 :66322|169043|816998772533|020408154016|19|||01 :169002|2||020408154020|5|||82 :66141|169045|816995557637|020408154024|6|||01 :66272|66314||020408154020|5|||89 :169013|66744||020408154000|15|||81 :169005|66666||020408154024|6|||81 :66717|169046|8169075|020408154040|25|||01 :66152|169039|816985175696|020408154100|120|||01 :66332|169054|81690409889688|020408154004|1|||01 :66121|169060|816995968728|020408154032|38|||01 :66185|169047|816995095475|020408154100||||01 :66141|169052|816995570811|020408154040|10|||01 :66673|169049|81690407357788|020408154120|5|||01 :169003|66804||020408154120|35|||81 :66122|169056|816985870270|020408154040|40|||01 :66253|169059|816995535319|020408154148|27|||01 :66707|169055|816995553264|020408154124|66|||01 :66456|169042|81690404816308|020408154132|263|||01 :64028|169044|816994551199|020408154152|43|||01 :169015|66316||020408154144|41|||81 :169036|77971||020408154208|2|||81 :169005|77810||020408154328|22|||81 :66660|66253||020408154224|6|||89 :169038|66433||020408154220|5|||81 :66314|66456||020408154204|1|||89 :66158|66314||020408154540|55|||89 :66804|66809||020408154204|1|||89 :66332|169047|81690409889688|020408154204|1|||01 :66324|77068||020408154200||||89 :169031|66324||020408154240|10|||81 :66840|169046|816982901353|020408154208|2|||01 :169011|66727||020408154200|60|||81 :66033|169057|81691300766216|020408154156|59|||01 :169006|66046||020408154240|10|||81 :66046|169052|816990765046|020408154240|10|||01 :66356|169047|816992763668|020408154208|2|||01 :64062|169051|81690409786459|020408154212|93|||01 :66877|169052|81690407531491|020408154312|3|||01 :169026|66619||020408154312|3|||81 :66025|169058|816995781527|020408154256|59|||01 :66741|66460||020408154324|6|||89 :66428|66029||020408154556|44|||89 :66152|66707||020408154420|20|||89 :66840|169046|816982903228|020408154348|12|||01 :66253|2||020408154304|1|||89 :169033|66352||020408154328|22|||81 :66752|169042|816995716058|020408154404|1|||01 :66752|169058|816995716058|020408154312|3|||01 :169021|66433||020408154324|6|||81 :66005|66226||020408154608|32|||89 :169041|66012||020408154336|24|||81 :66336|169052|816995433568|020408154416|4|||01 :169031|77068||020408154556|29|||81 :66450|169040|81690419533437|020408154420|5|||01 :77081|66021||020408154628|37|||89 :77190|169046|81690412248345|020408154428|7|||01 :66801|169057|81690417035891|020408154440|25|||01 :66347|169047|816995844747|020408154424|21|||01 :66239|169048|816995711757|020408154448|87|||01 :64028|169055|816988500500|020408154432|38|||01 :77083|169043|816992773745|020408154404|31|||01 :66314|66348||020408154404|1|||89 :169014|66314||020408154420|5|||81 :66332|169052|81690409889688|020408154404|1|||01 :66183|169045|816995783346|020408154400|15|||01 :66820|77149||020408154508|17|||89 :66741|66460||020408154600|15|||89 :66610|66752||020408154544|11|||89 :169017|66314||020408154448|12|||81 :66261|169054|81690425731357|020408154448|57|||01 :66476|2||020408154504|1|||89 :66752|169048|816995716058|020408154504|1|||01 :66884|169052|81690422632690|020408154512|3|||01 :169014|66348||020408154528|7|||81 :169023|66854||020408154444|11|||81 :169030|110055|8110|020408154500|30|||03 :66611|66707||020408154528|7|||89 :66185|169060|816995095475|020408154600|60|||01 :66239|169055|816995710412|020408154540|10|||01 :66166|169056|816996633231|020408154556|59|||01 :66452|169049|81690403214715|020408154544|56|||01 :66325|66016||020408154616|4|||89 :66391|169060|816995842188|020408154628|7|||01 :66251|2||020408154612|3|||89 :66804|169048|81690419323341|020408154632|8|||01 :66332|169056|81690409889688|020408154604|1|||01 :66752|169049|816995716058|020408154604|1|||01 :66137|169058|816995238624|020408154636|9|||01 :66645|66801||020408154612|3|||89 :66450|169055|81690419533437|020408154620|5|||01 :66777|169052|81691800882170|020408154648|12|||01 :66707|66611||020408154724|6|||89 :8622|169056|816990766189|020408154716|4|||01 :169029|66189||020408154720|5|||81 :169007|110058|81105|020408154720|5|||03 :169032|66447||020408154656|89|||81 :169024|77971||020408154700|120|||81 :77083|169054|816992773745|020408154700|30|||01 :169039|66667||020408154704|1|||81 :66777|169055|81691800882170|020408154752|13|||01 :169034|110056|8110|020408154724|21|||03 :66707|169052|816992859416|020408154748|12|||01 :8622|169056|81690404816330|020408154724|6|||01 :66325|66712||020408154816|4|||89 :66391|169049|816995842180|020408154736|9|||01 :66025|66263||020408155012|33|||89 :66253|169045|816995535319|020408154808|2|||01 :66707|169043|816995253922|020408154816|4|||01 :169025|66619||020408154836|9|||81 :169037|8016||020408154756|14|||81 :66140|169041|81690403022504|020408154816|64|||01 :169036|66450||020408154904|1|||81 :66251|169060|8169132227|020408154828|37|||01 :169015|66648||020408154828|7|||81 :66777|169046|81691800882170|020408154856|14|||01 :66661|66611||020408154936|9|||89 :169019|66476||020408154904|61|||81 :66253|169050|81691300135668|020408154840|10|||01 :169018|66169||020408154904|46|||81 :66267|169049|81690438377752|020408154924|6|||01 :66752|169047|816995716058|020408154952|28|||01 :66158|66456||020408155628|112|||89 :66840|169048|816982903228|020408154952|28|||01 :66455|169054|816995340981|020408154940|25|||01 :169004|66705||020408154916|109|||81 :169012|110059|8110|020408154920|125|||03 :169020|66666||020408154920|50|||81 :169028|66218||020408154924|66|||81 :169025|66619||020408155124|21|||81 :66391|169045|816995842180|020408154916|4|||01 :66801|66645||020408155040|10|||89 :169038|66832||020408154944|11|||81 :169010|77790||020408155004|1|||81 :169006|110058|81107|020408155012|3|||03 :66762|169043|81690402052935|020408155000|15|||01 :66341|169044|816995444503|020408155016|124|||01 :66128|169052|816997061504|020408155036|39|||01 :66261|169049|81690407800305|020408155108|2|||01 :169021|66603||020408155120|5|||81 :169026|66215||020408155116|19|||81 :8620|169050|816997722557|020408155124|21|||01 :8616|169052|816997740010|020408155116|4|||01 :66223|66322||020408155720|95|||89 :169033|66336||020408155128|7|||81 :66676|66289||020408155324|21|||89 :169002|66667||020408155120|5|||81 :66356|169058|816990762764|020408155120|80|||01 :169027|66667||020408155220|5|||81 :66605|169054|816995631274|020408155140|25|||01 :66801|66660||020408155332|23|||89 :66769|169049|816995702574|020408155212|3|||01 :66396|169046|816998090708|020408155224|6|||01 :169029|66667||020408155228|7|||81 :8618|169060|816995939888|020408155224|51|||01 :169014|66340||020408155216|19|||81 :66164|66611||020408155316|4|||89 :66153|169053|816985205200|020408155256|344|||01 :66851|169045|816997881378|020408155300||||01 :66034|2||020408155308|2|||89 :66762|169053|81690425780507|020408155308|2|||01 :66703|169047|81690422239328|020408155332|38|||01 :77096|169050|816995691077|020408155336|24|||01 :66025|169052|816995283903|020408155312|18|||01 :66865|66164||020408155432|8|||89 :169008|77971||020408155404|31|||81 :66851|169045|816997881256|020408155336|9|||01 :64032|2||020408155416|4|||89 :66882|169048|816983455000|020408155448|27|||01 :66661|66611||020408155512|18|||89 :8618|169044|816997966311|020408155404|16|||01 :66164|66289||020408155532|8|||89 :169041|77971||020408155416|4|||81 :169036|66666||020408155416|4|||81 :169015|66773||020408155504|1|||81 :169022|66884||020408155436|144|||81 :66336|169048|816995433568|020408155504|1|||01 :66336|169052|816995433568|020408155436|9|||01 :2|169045|81690413592382|020408155512|3|||02 :66450|169055|816997678623|020408155520|110|||01 :169019|110055|81109|020408155512|3|||03 :66840|169058|81690412160649|020408155500|45|||01 :66195|66335||020408155624|21|||89 :169041|66123||020408155548|12|||81 :66150|169047|816998226761|020408155504|1|||01 :8616|169060|816959869900|020408155544|41|||01 :66137|169049|816995534850|020408155552|28|||01 :169037|66189||020408155516|19|||81 :66336|169045|816995433568|020408155604|1|||01 :66159|169054|81690402124812|020408155512|48|||01 :169003|8018||020408155524|111|||81 :66234|66841||020408155720|20|||89 :169004|66667||020408155604|1|||81 :169036|66123||020408155720|20|||81 :169024|110058|8110|020408155556|59|||03 :169034|66801||020408155600|45|||81 :66872|2||020408155612|3|||89 :66159|169060|816995941791|020408155636|9|||01 :169011|66718||020408155648|12|||81 :64062|169051|81691300139402|020408155640|205|||01 :66629|169054|81690412634859|020408155644|11|||01 :66645|66801||020408155716|4|||89 :66804|169043|81690405209152|020408155648|27|||01 :66717|169044|8169793|020408155656|29|||01 :8617|169056|8169131314|020408155648|132|||01 :169005|66666||020408155656|29|||81 :66221|169042|81690413994175|020408155632|23|||01 :169031|66263||020408155712|93|||81 :169020|66938||020408155656|14|||81 :66938|169055|816990765938|020408155656|14|||01 :169028|66102||020408155720|5|||81 :66332|169056|81690409889688|020408155708|2|||01 :66336|169058|816995433568|020408155708|17|||01 :66033|77089||020408155820|5|||89 :66278|169058|8169949723100|020408155708|2|||01 :169032|66034||020408155720|65|||81 :66195|169050|816997948380|020408155716|19|||01 :66777|169055|816995230925|020408155716|4|||01 :169005|66123||020408155856|14|||81 :169038|110058|8110|020408155724|6|||03 :169010|66178||020408155816|4|||81 :169012|110050|81104|020408155800|30|||03 :66341|169060|816995475995|020408155804|16|||01 :66861|169052|81691800638810|020408155748|27|||01 :64005|169053|816995711275|020408155824|66|||01 :66741|66210||020408155912|18|||89 :66224|169051|816996909144|020408155828|22|||01 :77083|169048|816992773745|020408155812|33|||01 :169025|66610||020408155844|26|||81 :66261|169049|816997955872|020408155828|37|||01 :169040|66528||020408155848|12|||81 :66528|169060|816990765528|020408155848|12|||01 :169016|66607||020408155948|12|||81 :66164|66253||020408155936|9|||89 :66422|66340||020408155944|11|||89 :169026|2||020408155940|10|||82 :66658|169060|816998590042|020408155932|8|||01 :169006|77971||020408155956|29|||81