:169026|66442||030408100004|16|||81 :66648|66223||030408100240|40|||89 :169021|77791||030408100000||||81 :66322|66292||030408100032|8|||89 :64064|169047|816999411500|030408100000|15|||01 :66313|66272||030408100144|26|||89 :66183|66854||030408100020|5|||89 :66258|169058|816983444171|030408100036|9|||01 :169013|110059|81109|030408100044|11|||03 :66322|66644||030408100100||||89 :169037|77072||030408100452|58|||81 :8613|8620||030408100120|5|||89 :169014|66396||030408100016|19|||81 :66395|169052|816995263888|030408100036|54|||01 :66751|169056|816985170600|030408100048|12|||01 :66008|169041|816998032772|030408100116|124|||01 :66422|66256||030408100116|4|||89 :8613|8619||030408100104|1|||89 :169016|77971||030408100108|17|||81 :66227|169049|816995315013|030408100120|5|||01 :169032|66938||030408100104|31|||81 :66938|169048|816990765938|030408100104|31|||01 :169016|8619||030408100112|3|||81 :66756|169056|81691800031015|030408100112|3|||01 :169003|77791||030408100144|26|||81 :66178|66854||030408100220|5|||89 :66122|66608||030408100452|43|||89 :169023|66164||030408100148|42|||81 :169036|66605||030408100136|189|||81 :66155|169053|816993627899|030408100200|45|||01 :66613|169048|816998157427|030408100200||||01 :169022|66287||030408100428|37|||81 :66422|66253||030408100304|16|||89 :169027|66616||030408100208|2|||81 :169011|66666||030408100228|7|||81 :64039|169051|81690439319278|030408100212|78|||01 :66644|169047|8169939695000|030408100224|21|||01 :169015|66804||030408100216|4|||81 :66613|169048|816995892126|030408100300||||01 :169040|66791||030408100228|7|||81 :66322|66744||030408100436|24|||89 :66169|169045|81690412520168|030408100244|11|||01 :8617|169052|81691300464663|030408100236|24|||01 :169010|66314||030408100252|13|||81 :66630|169046|816998059800|030408100244|26|||01 :66707|169056|816990766666|030408100332|23|||01 :169011|66123||030408100408|17|||81 :66629|169048|81690424798868|030408100304|1|||01 :66153|169054|81690418814794|030408100352|73|||01 :66161|66854||030408100440|10|||89 :8620|169046|816995199760|030408100404|1|||01 :1|169045|81690419770254|030408100320|5|||02 :8617|169047|816959791322|030408100412|3|||01 :66422|66336||030408100412|3|||89 :66314|66452||030408100420|5|||89 :169002|66314||030408100352|28|||81 :66324|169049|816995835667|030408100404|16|||01 :169039|66275||030408100416|139|||81 :169009|66207||030408100420|5|||81 :66846|66660||030408100404|1|||89 :66349|169053|816996909144|030408100420|35|||01 :66290|66777||030408100548|12|||89 :66727|2||030408100512|3|||89 :8165|169051|816995682033|030408100456|29|||01 :66159|169052|816992440444|030408100440|25|||01 :66113|66600||030408100528|7|||89 :66365|66342||030408100624|21|||89 :8164|169054|81691300733931|030408100500|15|||01 :169008|66865||030408100456|14|||81 :66707|169056|816990766666|030408100528|22|||01 :169033|66666||030408100528|22|||81 :66773|169053|816995282278|030408100524|6|||01 :64065|66718||030408100632|23|||89 :169043|110055|8110|030408100456|14|||03 :77791|169045|816997678625|030408100440|10|||01 :66603|169060|81691300652575|030408100456|74|||01 :169004|77971||030408100532|8|||81 :169005|66218||030408100448|12|||81 :66161|66854||030408100540|10|||89 :66153|169046|816995937126|030408100516|19|||01 :169002|66452||030408100612|18|||81 :64024|169041|816988255833|030408100512|18|||01 :66103|169039|81691800330066|030408100552|13|||01 :77152|66396||030408100616|4|||89 :66027|169057|816996576580|030408100548|372|||01 :169009|66224||030408100732|23|||81 :169038|66666||030408100616|4|||81 :8617|169048|816959791322|030408100536|24|||01 :66322|66253||030408100904|46|||89 :66846|66712||030408100728|22|||89 :66195|169057|81690409132605|030408100612|3|||01 :169024|66396||030408100608|2|||81 :169029|66832||030408100628|7|||81 :66232|169042|816995785004|030408100648|207|||01 :66707|169060|81690404806348|030408100644|11|||01 :169038|66123||030408100752|13|||81 :66475|8046||030408100840|25|||89 :66271|169056|81690403423435|030408100652|13|||01 :169031|66102||030408100652|13|||81 :169030|66664||030408100712|18|||81 :169006|66012||030408100648|27|||81 :169021|110059|8110|030408100712|3|||03 :8613|8618||030408100748|12|||89 :169007|66741||030408100644|41|||81 :66631|77190||030408100728|7|||89 :66368|66234||030408100728|7|||89 :169037|77971||030408100708|2|||81 :169020|66703||030408100712|3|||81 :169012|66800||030408100736|9|||81 :66205|169056|816995620555|030408100732|8|||01 :66322|169052|816995518158|030408100808|17|||01 :169014|66139||030408100744|11|||81 :169001|66791||030408100816|19|||81 :169013|64060||030408100804|16|||81 :66180|66434||030408100828|7|||89 :66342|66750||030408100832|8|||89 :8616|169056|816995577793|030408100812|3|||01 :8621|169044|816959792894|030408100824|96|||01 :66607|169051|8169916|030408100908|17|||01 :66141|169060|816995285258|030408100904|16|||01 :66467|169048|816995199700|030408100824|21|||01 :66158|169046|81690404816313|030408100912|18|||01 :2|66603||030408100904|1|||89 :169030|66423||030408101116|34|||81 :169003|64055||030408100936|24|||81 :66322|169056|816998772533|030408100948|12|||01 :169019|8015||030408100920|65|||81 :169023|66102||030408100956|14|||81 :169015|66666||030408100936|9|||81 :169011|66140||030408101004|1|||81 :169027|66804||030408100940|10|||81 :169025|66666||030408100940|55|||81 :66428|169053|816995337865|030408100956|59|||01 :8616|169051|81690418522877|030408100944|11|||01 :66322|169042|816995012822|030408101028|7|||01 :66629|169049|816998559555|030408100952|88|||01 :169034|77971||030408101028|202|||81 :169033|66494||030408101016|4|||81 :66418|169053|816992156101|030408101020|5|||01 :66648|169045|81690413743439|030408101056|14|||01 :66130|169041|816982903220|030408101032|8|||01 :8613|8618||030408101328|37|||89 :66281|169060|816998432000|030408101040|25|||01 :66789|169053|816995329349|030408101116|4|||01 :169033|66123||030408101148|12|||81 :169032|66762||030408101120|50|||81 :66169|169054|81690439924874|030408101124|66|||01 :77792|8046||030408101156|14|||89 :66600|66117||030408101112|3|||89 :169004|66600||030408101148|12|||81 :66865|169052|81690418364423|030408101104|46|||01 :66256|169048|816996464144|030408101136|24|||01 :66332|169049|81690409889688|030408101136|9|||01 :169008|66636||030408101140|25|||81 :66007|169050|81691300722227|030408101220|245|||01 :66275|169060|81690408329323|030408101124|6|||01 :77190|66222||030408101212|3|||89 :169035|77971||030408101132|98|||81 :66267|169051|8169132723|030408101232|23|||01 :169017|66170||030408101240|10|||81 :77067|169054|816995931970|030408101200|15|||01 :169005|66336||030408101220|5|||81 :66140|66442||030408101404|16|||89 :66234|2||030408101304|1|||89 :169028|66396||030408101248|87|||81 :169024|66130||030408101312|18|||81 :8164|169056|816994117800|030408101320|50|||01 :8165|169043|816995705775|030408101320|50|||01 :169029|66604||030408101320|5|||81 :169038|66834||030408101344|11|||81 :169006|66314||030408101252|13|||81 :66153|169050|816995043510|030408101340|10|||01 :169031|66393||030408101348|12|||81 :169037|110058|81102|030408101316|4|||03 :77083|169056|816992773745|030408101324|6|||01 :66153|169054|816995937126|030408101404|1|||01 :66671|169051|816986116800|030408101312|18|||01 :66338|169060|816985205206|030408101352|13|||01 :8616|169053|81690417552461|030408101340|25|||01 :169002|66287||030408101412|18|||81 :2|66229||030408101428|7|||89 :2|66800||030408101408|2|||89 :169038|66027||030408101448|12|||81 :66239|169056|81690733526000|030408101412|3|||01 :169014|66607||030408101436|9|||81 :66258|169059|816998904603|030408101352|208|||01 :169013|66314||030408101416|4|||81 :169012|66107||030408101444|11|||81 :66141|169049|816998092444|030408101412|18|||01 :169001|66183||030408101416|4|||81 :66636|169052|816995042383|030408101508|32|||01 :169036|110058|8110|030408101520|5|||03 :169021|66422||030408101432|38|||81 :66475|169046|816985856037|030408101440|85|||01 :64013|169045|816995340635|030408101532|23|||01 :66763|66210||030408101612|18|||89 :169022|66428||030408101532|8|||81 :169007|66618||030408101556|44|||81 :66249|169059|81691800127088|030408101600|15|||01 :66141|169054|816995570811|030408101544|11|||01 :66443|169056|81690413013450|030408101552|13|||01 :66313|169060|816992759333|030408101532|23|||01 :64024|169057|81690412930524|030408101524|141|||01 :66117|77810||030408101600||||89 :66213|2||030408101616|4|||89 :66177|66854||030408101620|5|||89 :66169|169051|81690409438286|030408101544|11|||01 :8611|169052|816995199760|030408101544|11|||01 :66253|66422||030408101752|28|||89 :66275|169049|81690417889008|030408101632|8|||01 :169023|66744||030408101628|7|||81 :66734|64007||030408101756|14|||89 :169040|66234||030408101648|57|||81 :8621|169059|81690432117635|030408101644|11|||01 :66488|169058|81690412134373|030408101656|239|||01 :169027|66102||030408101636|9|||81 :169015|66648||030408101648|12|||81 :169026|8014||030408101656|164|||81 :66232|169060|816995286296|030408101652|13|||01 :66741|169059|816995636363|030408101712|3|||01 :66618|66459||030408101732|8|||89 :64052|169047|816997890745|030408101700|195|||01 :66741|2||030408101712|3|||89 :66117|66631||030408101840|10|||89 :169009|66322||030408101704|91|||81 :169030|66218||030408101804|46|||81 :169034|66726||030408101748|12|||81 :8621|169053|81690409236281|030408101800||||01 :64070|169044|81691300135070|030408101748|132|||01 :66422|169058|81690419770095|030408101756|14|||01 :66289|66153||030408101912|18|||89 :169042|66744||030408101836|24|||81 :169032|66195||030408101828|7|||81 :66195|169054|81690409132605|030408101828|7|||01 :66451|169052|81690409889688|030408101816|4|||01 :66256|169057|81691800335911|030408101756|29|||01 :66161|66635||030408101912|18|||89 :66741|169059|81690407303388|030408101844|11|||01 :66139|169050|816995789118|030408101828|7|||01 :169016|66213||030408101828|37|||81 :169008|66155||030408101840|10|||81 :66140|66452||030408102224|51|||89 :66253|66322||030408101940|10|||89 :169041|66367||030408101820|20|||81 :66332|169058|81690409889688|030408101912|3|||01 :66275|169056|8169965454444|030408101908|32|||01 :8612|169054|816998281280|030408101904|1|||01 :169039|66422||030408101848|12|||81 :169043|66322||030408101936|9|||81 :66483|169057|81691800888333|030408101900|15|||01 :66143|169058|81690299958131|030408101936|9|||01 :66227|169060|816995009606|030408101904|31|||01 :66363|169051|816953341255|030408102000||||01 :169031|66664||030408101920|5|||81 :169005|66700||030408101940|10|||81 :169029|66220||030408102000|15|||81 :169024|66834||030408102012|18|||81 :66756|169054|81691800031015|030408102012|3|||01 :169010|77792||030408101956|74|||81 :8613|8616||030408102004|1|||89 :169028|77971||030408101944|26|||81 :66335|169052|81690412452091|030408101952|13|||01 :66888|169058|816998649206|030408102012|3|||01 :169037|66315||030408102040|10|||81 :169020|110057|81105|030408102012|108|||03 :66648|169048|81690411427985|030408102052|103|||01 :66158|169057|81690404816313|030408102048|12|||01 :64055|169054|816997068830|030408102016|4|||01 :66214|66215||030408102140|10|||89 :8612|169056|816998281222|030408102036|24|||01 :169018|77971||030408102052|133|||81 :77083|169049|816992773745|030408102028|22|||01 :66791|66822||030408102156|14|||89 :66635|66854||030408102124|6|||89 :64055|169057|816995570822|030408102120|5|||01 :66888|169050|81690419136683|030408102132|8|||01 :64024|169052|816995235197|030408102108|17|||01 :66741|66422||030408102308|17|||89 :66189|169055|816995780535|030408102128|322|||01 :66341|66650||030408102248|12|||89 :169025|8164||030408103412|183|||81 :66122|66820||030408102228|7|||89 :66710|169051|8169132221|030408102216|34|||01 :66169|169060|81690421579333|030408102220|35|||01 :169028|8616||030408102408|32|||81 :66427|2||030408102216|4|||89 :169004|77810||030408103304|166|||81 :169038|66718||030408102208|32|||81 :66324|66657||030408102532|38|||89 :169045|66174||030408102304|1|||81 :169021|66487||030408102240|10|||81 :66254|169057|816995278434|030408102240|10|||01 :66332|169051|81690409889688|030408102308|2|||01 :66629|169059|816996039500|030408102224|66|||01 :169046|66878||030408102236|9|||81 :66139|169050|816997966322|030408102336|9|||01 :77060|66713||030408102320|5|||89 :169003|66636||030408102328|127|||81 :169023|66666||030408102320|5|||81 :66256|169047|81691800224277|030408102332|8|||01 :77810|66117||030408102500|15|||89 :66644|169048|816993768752|030408102412|48|||01 :66332|169043|81690409889688|030408102412|3|||01 :66820|169060|816994964332|030408102316|19|||01 :66635|66854||030408102420|5|||89 :66475|169054|816995814200|030408102412|33|||01 :169017|66459||030408102344|86|||81 :66636|169047|816992651512|030408102412|3|||01 :169019|66660||030408102424|6|||81 :169011|66075||030408102408|2|||81 :66075|169054|816990765075|030408102408|2|||01 :66324|66712||030408102536|9|||89 :66741|169045|81691800007368|030408102420|20|||01 :169009|66381||030408102504|1|||81 :64005|66396||030408102556|14|||89 :169027|66102||030408102512|18|||81 :8611|169043|816995984620|030408102424|6|||01 :66227|77190||030408102656|29|||89 :77065|2||030408102508|2|||89 :169040|77792||030408102432|23|||81 :66253|169048|81690413933660|030408102508|17|||01 :8621|169042|816995322052|030408102536|9|||01 :169026|66848||030408102508|17|||81 :169034|66342||030408102524|6|||81 :77810|169060|816998269075|030408102528|22|||01 :66619|66631||030408102724|36|||89 :66253|169045|81690413933660|030408102508|2|||01 :169022|66422||030408102552|28|||81 :66259|169053|81690411014229|030408102600|105||1976|01 :66427|169060|816995966954|030408102612|3|||01 :66292|169046|816990763256|030408102600|45|||01 :66412|64005||030408102612|3|||89 :66164|169059|816992154917|030408102612|48|||01 :66648|169043|816997058634|030408102548|12|||01 :66341|169048|816995475995|030408102600|15|||01 :66712|66340||030408102752|13|||89 :66122|169059|81690410580294|030408102608|2|||01 :66423|169053|816995091839|030408102624|6|||01 :66636|169054|816992651321|030408102640|25|||01 :169032|110053|81106|030408102652|13|||03 :66820|169047|81690417369144|030408102624|36|||01 :66800|169051|816995283713|030408102648|57|||01 :169002|110054|81109|030408102700|105|||03 :169039|66932||030408102644|11|||81 :66932|169060|816990765932|030408102644|11|||01 :66341|66611||030408102716|4|||89 :66651|169050|816997984710|030408102644|56|||01 :66275|66459||030408102740|10|||89 :66332|169059|81690409889688|030408102716|4|||01 :66325|66336||030408102728|7|||89 :169005|66287||030408102732|8|||81 :169030|66010||030408102708|17|||81 :169041|66433||030408102716|19|||81 :77645|169058|816992734832|030408102704|106|||01 :66341|66712||030408102828|7|||89 :169018|66773||030408102716|4|||81 :77152|66336||030408102820|5|||89 :66772|169057|816995559067|030408102756|74|||01 :169008|66012||030408102736|9|||81 :169010|66059||030408102740|10|||81 :66059|169048|816990765059|030408102740|10|||01 :66122|169054|81690400585587|030408102744|11|||01 :169016|66422||030408102804|31|||81 :77187|169052|816995281657|030408102736|84|||01 :66341|66611||030408102816|4|||89 :66340|169059|816995282749|030408102824|6|||01 :169014|66648||030408102832|8|||81 :66713|66846||030408102800||||89 :8613|8611||030408102804|1|||89 :169001|77971||030408102828|7|||81 :66338|169055|816998097226|030408102816|94|||01 :66012|169059|81690409799133|030408102904|1|||01 :66423|169053|81690438501736|030408102844|26|||01 :66811|169056|81690437123269|030408102836|114|||01 :66237|169051|81690403276187|030408102856|29|||01 :66340|66657||030408102908|2|||89 :66451|169057|81690409889688|030408102912|3|||01 :66012|169059|81690409799133|030408102908|2|||01 :8619|169047|81690419289261|030408102908|17|||01 :66139|169056|81691300732744|030408102916|4|||01 :169028|66314||030408102940|10|||81 :66035|169055|81690296309268|030408102928|7|||01 :169001|8611||030408103120|20|||81 :169020|66800||030408103008|32|||81 :169013|66168||030408102932|128|||81 :66332|169056|81690409889688|030408103008|2|||01 :66249|169059|81691800127088|030408103024|6|||01 :169037|110056|81106|030408102952|43|||03 :66301|169060|81691800500853|030408103024|51|||01 :66761|66619||030408103040|10|||89 :169007|66618||030408103056|14|||81 :169035|66312||030408103112|183|||81 :66324|169050|816995612439|030408103128|52|||01 :66149|169059|816995274352|030408103148|12|||01 :66189|169049|816998097226|030408103136|129|||01 :169006|66744||030408103116|79|||81 :169023|66804||030408103128|7|||81 :66800|66483||030408103108|2|||89 :66290|169060|816995516660|030408103104|1|||01 :169017|110056|81101|030408103140|10|||03 :66611|66325||030408103444|41|||89 :66338|66619||030408103316|19|||89 :169021|77791||030408103152|28|||81 :66012|169056|81690409799133|030408103204|1|||01 :169019|66870||030408103200|15|||81 :169040|66140||030408103240|10|||81 :169027|66130||030408103248|12|||81 :66225|169059|816993842088|030408103236|9|||01 :169011|1||030408103224|6|||82 :66256|169053|816994176420|030408103212|3|||01 :66879|64007||030408103324|6|||89 :66610|66605||030408103316|4|||89 :66249|169051|81691800127088|030408103236|9|||01 :66346|169056|816995783346|030408103232|8|||01 :66871|169053|816995283342|030408103304|1|||01 :66012|66357||030408103320|5|||89 :66712|66341||030408103308|2|||89 :169045|66153||030408103332|8|||81 :169033|77434||030408103308|2|||81 :66275|169049|816990968892|030408103332|8|||01 :77791|169051|816997964830|030408103316|4|||01 :66871|169043|816995283342|030408103328|7|||01 :66260|77648||030408103432|8|||89 :77643|169047|816996909144|030408103336|9|||01 :169022|66139||030408103404|16|||81 :66648|77647||030408103504|16|||89 :8010|169055|816998878787|030408103416|64|||01 :169026|66102||030408103432|23|||81 :66256|169056|81691223|030408103412|18|||01 :66287|169042|816999288185|030408103436|9|||01 :66227|169054|816995210170|030408103412|33|||01 :66166|66038||030408103404|1|||89 :169046|66166||030408103356|14|||81 :66012|169048|816982905000|030408103404|16|||01 :66855|169050|816995984567|030408103436|24|||01 :8012|169045|816997209345|030408103444|11|||01 :169031|66314||030408103436|9|||81 :169028|64013||030408103852|73|||81 :66189|169051|816995937158|030408103428|7|||01 :66717|169053|816995329349|030408103424|21|||01 :66100|66215||030408103512|3|||89 :77791|169054|816994163034|030408103504|1|||01 :66157|169049|816995253651|030408103440|10|||01 :66629|169044|816996039500|030408103456|179|||01 :64052|169053|816997988534|030408103504|1|||01 :169003|66834||030408103532|68|||81 :66325|66660||030408103608|17|||89 :169032|77971||030408103544|26|||81 :66830|66349||030408103656|14|||89 :77791|169054|816994194824|030408103508|2|||01 :66800|169052|816998265429|030408103548|27|||01 :66430|169050|816998292749|030408103540|10|||01 :169012|66888||030408103616|214|||81 :66140|66452||030408103812|33|||89 :66332|169049|81690409889688|030408103612|3|||01 :64024|169051|816995236023|030408103600|15|||01 :8620|169056|816997722557|030408103548|27|||01 :66855|169055|816998485223|030408103636|24|||01 :66234|169053|816995962375|030408103600|15|||01 :64052|169054|816997873908|030408103636|9|||01 :77647|66260||030408103840|25|||89 :169046|66038||030408103948|42|||81 :66341|66661||030408104012|33|||89 :66422|66619||030408104112|48|||89 :66234|169055|816995790784|030408103736|9|||01 :66153|169058|816996454419|030408103808|152|||01 :66141|169060|816997069208|030408103808|92|||01 :66347|66218||030408104124|51|||89 :66119|169051|81690407959424|030408103732|8|||01 :169041|66346||030408103800|15|||81 :66255|66366||030408103832|8|||89 :66861|169053|816995244000|030408103840|25|||01 :64052|169054|81690448509063|030408103812|18|||01 :169009|77971||030408103856|104|||81 :66487|169058|816996864975|030408103820|5|||01 :66680|66289||030408103932|8|||89 :8610|66312||030408104108|32|||89 :169008|66218||030408103832|8|||81 :66396|77193||030408103956|14|||89 :66176|77434||030408103956|14|||89 :66846|66422||030408104124|36|||89 :77791|169060|816957831810|030408103848|12|||01 :66336|169059|81690407330446|030408103928|97|||01 :66366|169054|816995284952|030408103916|4|||01 :169025|66122||030408103924|171|||81 :66726|169052|816994163034|030408103944|26|||01 :169039|110055|81105|030408103948|57|||03 :169010|66209||030408103948|12|||81 :66178|169055|816996676755|030408103944|26|||01 :66183|66854||030408104020|5|||89 :8611|169049|816995986072|030408103940|10|||01 :66422|169060|8169204|030408103956|14|||01 :66396|77149||030408104108|17|||89 :66395|169052|816995881064|030408104004|1|||01 :66701|169059|816992991750|030408104004|16|||01 :66281|169053|81690423708376|030408104028|7|||01 :66026|66854||030408104120|5|||89 :169037|66848||030408104116|4|||81 :169007|66938||030408104116|4|||81 :66938|169055|816990765938|030408104116|4|||01 :66113|66396||030408104136|9|||89 :66801|169055|816996464655|030408104104|1|||01 :169018|66341||030408104132|53|||81 :169020|66666||030408104120|5|||81 :169006|66012||030408104136|9|||81 :66229|66395||030408104212|3|||89 :66851|169050|816959856923|030408104208|2|||01 :66176|77434||030408104228|7|||89 :66388|169059|816993224777|030408104216|19|||01 :66422|66713||030408104328|22|||89 :66178|169060|816996676755|030408104240|25|||01 :169013|66434||030408104224|21|||81 :169035|8019||030408104224|21|||81 :169036|66800||030408104240|25|||81 :66705|66275||030408104348|12|||89 :66718|66349||030408104432|23|||89 :8164|169053|816995577553|030408104236|24|||01 :169038|66261||030408104216|34|||81 :169017|110057|8110|030408104252|13|||03 :169019|66271||030408104244|11|||81 :66499|169060|81690434045339|030408104328|7|||01 :169021|66619||030408104312|18|||81 :169016|66342||030408104308|32|||81 :66019|64028||030408104312|3|||89 :169020|77810||030408104448|27|||81 :66347|8010||030408104808|62|||89 :169040|77971||030408104352|13|||81 :66249|169049|81691800127088|030408104400|15|||01 :66130|169059|816985205255|030408104412|18|||01 :66422|66744||030408104524|21|||89 :66164|66611||030408104424|6|||89 :1|66287||030408104548|27|||89 :64044|169059|816993083511|030408104404|1|||01 :66149|169047|816985175632|030408104440|10|||01 :169033|66167||030408104356|14|||81 :66178|169050|816996676755|030408104440|25|||01 :66801|169053|816990766000|030408104420|20|||01 :66480|169048|816995235314|030408104404|16|||01 :66290|77046||030408104532|8|||89 :66275|169049|816995966922|030408104424|6|||01 :66851|169055|816997881378|030408104448|42|||01 :66253|77270||030408104512|3|||89 :169024|77971||030408104516|4|||81 :66629|169052|816993405100|030408104528|37|||01 :66391|1||030408104500||||89 :66253|77270||030408104504|1|||89 :64071|66762||030408104528|7|||89 :66851|169048|816998575494|030408104504|1|||01 :66499|169060|81690405106884|030408104552|13|||01 :66141|169050|816997934111|030408104524|6|||01 :169028|66336||030408104612|3|||81 :66661|66611||030408104632|8|||89 :66804|66342||030408104636|9|||89 :66648|169055|81690402333540|030408104544|11|||01 :66352|169057|816998820967|030408104620|245|||01 :66325|66705||030408104720|20|||89 :66791|169060|816954271477|030408104620|5|||01 :169026|110057|81103|030408104636|9|||03 :66161|66177||030408104656|14|||89 :66336|77434||030408104624|6|||89 :66019|64028||030408104608|2|||89 :169032|66029||030408104636|9|||81 :66851|169052|816959856923|030408104628|7|||01 :1|66287||030408104736|9|||89 :66347|169049|8169132224|030408104632|23|||01 :169022|77971||030408104632|38|||81 :169009|66322||030408104708|2|||81 :169025|66428||030408104704|1|||81 :66139|169052|816995984360|030408104720|5|||01 :66630|169058|81691300735363|030408104704|121|||01 :66648|66271||030408104724|6|||89 :66234|169060|816995256788|030408104712|3|||01 :66229|169057|816998857571|030408104728|7|||01 :66161|66854||030408104736|9|||89 :169027|66268||030408104732|38|||81 :66705|77060||030408104756|14|||89 :8010|169060|816996350145|030408104708|2|||01 :64064|169053|81690412749040|030408104736|39|||01 :8614|8616||030408104812|3|||89 :169003|77971||030408104756|14|||81 :64005|169047|816996676206|030408104804|16|||01 :169002|66183||030408104720|35|||81 :1|169048|8169132227|030408104828|7|||02 :169003|8616||030408104820|5|||81 :66679|66422||030408104912|18|||89 :66712|66761||030408104820|5|||89 :169029|66342||030408104804|31|||81 :8010|169057|816996350145|030408104816|4|||01 :169012|110056|8110457|030408104832|23|||03 :66841|66871||030408105104|46|||89 :66161|66178||030408104840|10|||89 :169008|110057|81109|030408104844|26|||03 :169041|8012||030408104812|33|||81 :8019|8010||030408104904|1|||89 :169007|8019||030408104824|6|||81 :169010|66314||030408104820|20|||81 :169004|110059|81103|030408104828|7|||03 :169018|66340||030408104832|8|||81 :64002|66117||030408104944|11|||89 :77190|66751||030408104916|4|||89 :169001|66666||030408104904|16|||81 :169039|66141||030408104856|29|||81 :66263|66032||030408104916|4|||89 :66139|169057|816995570822|030408104920|5|||01 :169045|66773||030408104904|61|||81 :66338|169055|816998278326|030408104916|49|||01 :66801|169049|816996464655|030408104916|34|||01 :77649|77889||030408105000||||89 :77190|77649||030408105048|12|||89 :169023|66025||030408104952|13|||81 :66705|66762||030408105108|17|||89 :66261|169056|816995613047|030408104928|202|||01 :169013|66341||030408104940|10|||81 :1|66271||030408105036|9|||89 :8612|169058|816997764688|030408105012|18|||01 :66161|66854||030408105104|16|||89 :66422|169053|8169204|030408104952|28|||01 :66313|1||030408105004|1|||89 :66801|1||030408105016|4|||89 :77190|77889||030408105048|12|||89 :169036|66158||030408105028|7|||81 :169035|110059|81105|030408105052|13|||03 :66153|66603||030408105216|34|||89 :169007|8010||030408105300|30|||81 :66005|66648||030408105240|25|||89 :66800|169056|816995793629|030408105048|12|||01 :169017|66938||030408105120|5|||81 :66938|169049|816990765938|030408105120|5|||01 :8610|169055|816985522222|030408105120|20|||01 :64052|169060|816997988534|030408105116|49|||01 :169019|66195||030408105124|6|||81 :66195|169046|81690409132605|030408105124|6|||01 :169006|66313||030408105048|12|||81 :64005|169058|81690404816308|030408105100|15|||01 :66686|169053|816997982869|030408105156|14|||01 :66234|66287||030408105300|15|||89 :66386|169049|816993835461|030408105128|7|||01 :66451|169055|81690409889688|030408105116|4|||01 :66161|66178||030408105312|18|||89 :169020|66287||030408105124|6|||81 :169038|110057|81109|030408105124|21|||03 :66791|169047|81690422074946|030408105144|11|||01 :66644|169057|816988040629|030408105212|33|||01 :66332|169055|81690409889688|030408105216|4|||01 :66618|66251||030408105532|53|||89 :169021|66865||030408105152|13|||81 :169016|1||030408105156|14|||82 :66422|66253||030408105252|13|||89 :66865|66260||030408105224|6|||89 :169037|77971||030408105236|69|||81 :66644|169057|816992123000|030408105200||||01 :66161|66854||030408105340|10|||89 :169011|66269||030408105220|5|||81 :66611|66341||030408105404|16|||89 :66829|169053|816995311720|030408105300|15|||01 :1|66336||030408105312|3|||89 :66800|169055|816998265429|030408105320|5|||01 :64005|169049|816996676206|030408105320|20|||01 :66249|169043|81691800127088|030408105300|15|||01 :66256|169060|816996547100|030408105300|30|||01 :77170|169045|816995638022|030408105344|41|||01 :66104|169041|816992156100|030408105340|10|||01 :169024|66866||030408105304|1|||81 :66141|169048|816995570811|030408105312|63|||01 :66644|169057|816992123008|030408105344|11|||01 :8016|169047|816997056914|030408105336|24|||01 :77060|66234||030408105500|15|||89 :66161|66183||030408105436|9|||89 :66335|66164||030408105416|4|||89 :66214|66832||030408105528|22|||89 :169028|66174||030408105416|4|||81 :66608|66679||030408105932|83|||89 :66865|77340||030408105544|26|||89 :169040|66336||030408105424|21|||81 :169032|66938||030408105424|6|||81 :66938|169055|816990765938|030408105424|6|||01 :169033|66029||030408105412|33|||81 :66137|1||030408105432|8|||89 :66499|169039|816990764700|030408105432|23|||01 :66117|77643||030408105628|22|||89 :66727|169048|816985870279|030408105424|6|||01 :66613|1||030408105520|5|||89 :66161|66183||030408105536|9|||89 :66003|169055|81691300882812|030408105520|5|||01 :8622|169038|816997898583|030408105452|28|||01 :66434|169047|816995238388|030408105456|14|||01 :66451|169040|81690409889688|030408105508|2|||01 :66664|66268||030408105516|4|||89 :66234|66368||030408105504|1|||89 :66328|64005||030408105516|4|||89 :66832|169037|816995272033|030408105548|12|||01 :66820|77149||030408105804|46|||89 :77170|169057|816995282908|030408105532|23|||01 :66707|66422||030408105800|30|||89 :66329|169052|816998775448|030408105524|126|||01 :66499|169039|81690402692498|030408105536|9|||01 :66791|169049|81690421217282|030408105532|23|||01 :169030|66314||030408105536|24|||81 :169027|66322||030408105532|8|||81 :66800|169055|816995275847|030408105544|11|||01 :66727|169048|816995291059|030408105556|14|||01 :66117|64028||030408105600||||89 :169014|66012||030408105540|10|||81 :66483|169046|816996464655|030408105544|71|||01 :66613|66025||030408105700|15|||89 :66679|66210||030408105728|22|||89 :66332|169053|81690409889688|030408105616|4|||01 :169042|77971||030408105612|168|||81 :169015|110058|81101|030408105628|487|||03 :169002|66189||030408105636|9|||81 :66705|169060|81690413616372|030408105652|13|||01 :66149|169059|816985175696|030408105656|179|||01 :169009|66174||030408105648|27|||81 :77281|66611||030408105720|5|||89 :169018|66744||030408105712|3|||81 :66840|169041|816994975076|030408105636|39|||01 :66713|1||030408105740|10|||89 :66336|66777||030408105708|2|||89 :169029|66336||030408105652|13|||81 :66189|169044|816995681702|030408105712|78|||01 :169012|66140||030408105648|12|||81 :66153|169057|816995937126|030408105728|22|||01 :169014|64028||030408105820|20|||81 :169019|66174||030408105704|1|||81 :66281|66485||030408105700||||89 :169023|66281||030408105728|7|||81 :66338|169052|81690419194710|030408105744|11|||01 :169010|66174||030408105748|12|||81 :66322|66341||030408105856|14|||89 :66856|169046|816985175906|030408105732|8|||01 :169006|66607||030408105736|9|||81 :66791|169047|81690433962014|030408105732|8|||01 :64005|169060|816995555377|030408105800|15|||01 :169035|66145||030408105804|16|||81 :66253|66422||030408105816|4|||89 :169031|77791||030408105752|73|||81 :169011|66832||030408105804|1|||81 :66629|66234||030408105820|5|||89 :66391|169048|816995256693|030408105812|18|||01 :8616|169056|816995465127|030408105832|113|||01 :66600|169060|816986015262|030408105828|7|||01 :77190|66107||030408105912|3|||89 :66713|77193||030408105904|1|||89 :66455|169057|816998671314|030408105856|14|||01 :169022|66801||030408105940|70|||81 :8615|169046|816995257629|030408105912|18|||01 :64013|169052|81690413120789|030408105924|21|||01 :66363|169050|816953583889|030408105856|194|||01 :169020|77792||030408105948|27|||81 :66034|169043|81690417015026|030408105932|8|||01 :66791|169057|81690406319029|030408105924|6|||01 :66483|169049|816996464655|030408105952|43|||01 :169017|66648||030408105928|7|||81