:66387|77087||030408130012|18|||89 :66408|66800||030408130252|58|||89 :169012|66804||030408130004|46|||81 :66195|169052|81690409132605|030408130008|2|||01 :66734|66005||030408130800|120|||89 :66389|66115||030408130144|26|||89 :169024|66619||030408130044|11|||81 :66737|169047|816995941466|030408130004|1|||01 :66878|169052|816997881256|030408130032|8|||01 :64024|169056|816995230954|030408130016|4|||01 :169048|66382||030408130020|5|||81 :66119|8167||030408130620|80|||89 :1|169045|81690404816327|030408130120|5|||02 :169011|66834||030408130048|12|||81 :66737|169056|816995941477|030408130104|1|||01 :66241|169047|816997846990|030408130104|1|||01 :169010|66762||030408130044|131|||81 :169029|66198||030408130124|81|||81 :169035|110056|81105|030408130124|81|||03 :66288|169053|816999125430|030408130056|44|||01 :66408|169057|81691223|030408130128|22|||01 :8612|169052|816994952500|030408130144|11|||01 :66448|169046|816998957608|030408130112|18|||01 :66332|169056|81690409889688|030408130120|5|||01 :66151|169055|81690431557239|030408130128|7|||01 :169033|66648||030408130152|13|||81 :66820|66801||030408130344|26|||89 :66195|2||030408130228|7|||89 :66145|169058|81690404082916|030408130156|29|||01 :66806|169057|81690400181116|030408130212|3|||01 :66680|77434||030408130224|6|||89 :66290|66210||030408130248|12|||89 :169036|66618||030408130156|14|||81 :169024|2||030408130348|27|||82 :66408|2||030408130200||||89 :66648|169052|816982901675|030408130236|9|||01 :66456|169058|81690404516308|030408130204|1|||01 :66151|66100||030408130212|3|||89 :169020|66336||030408130256|29|||81 :169023|66183||030408130216|4|||81 :169013|66153||030408130228|22|||81 :66485|77040||030408130404|16|||89 :66483|169051|81690415714127|030408130308|182|||01 :66195|169056|81690419770145|030408130320|20|||01 :8612|169055|816994952500|030408130324|6|||01 :169015|77971||030408130344|71|||81 :66749|169054|816995924044|030408130336|84|||01 :66378|2||030408130312|3|||89 :66195|169044|81690409132605|030408130312|33|||01 :169031|66801||030408130328|22|||81 :66456|169057|81690404816308|030408130340|10|||01 :169025|8016||030408130340|25|||81 :66829|169058|816995579817|030408130340|10|||01 :77152|66619||030408130520|20|||89 :66174|169050|816990932000|030408130340|55|||01 :66480|169058|816995811900|030408130412|3|||01 :66139|66346||030408131124|111|||89 :66879|66820||030408130548|27|||89 :8011|2||030408130416|4|||89 :66332|169058|81690409889688|030408130408|2|||01 :169012|8165||030408130956|74|||81 :8613|169058|816992123000|030408130500||||01 :169016|77971||030408130440|10|||81 :66151|169050|81690412403858|030408130512|3|||01 :169021|66717||030408130428|7|||81 :169030|66422||030408130444|11|||81 :169034|66784||030408130516|169|||81 :66195|169042|816995551253|030408130504|1|||01 :8006|2||030408130512|3|||89 :169043|66773||030408130508|47|||81 :66820|169044|81690417369144|030408130504|1|||01 :64020|169057|81690402333540|030408130504|16|||01 :169014|66063||030408130524|21|||81 :66063|169054|816990765063|030408130524|21|||01 :66486|77190||030408130616|4|||89 :8011|169046|81690407813819|030408130552|13|||01 :66872|169047|81691300369367|030408130540|70|||01 :66713|169053|816992585000|030408130516|34|||01 :66026|66350||030408130644|11|||89 :66845|169048|816994881888|030408130600|75|||01 :66408|169051|816995722211|030408130548|27|||01 :8006|169052|81690417140059|030408130616|4|||01 :64055|169054|816995570822|030408130616|4|||01 :66653|66418||030408130616|4|||89 :66174|169050|816995937158|030408130540|10|||01 :169005|66428||030408130556|59|||81 :66451|169050|81690409889688|030408130612|3|||01 :64055|169046|816997068830|030408130612|3|||01 :66115|169045|816997846990|030408130656|29|||01 :66026|169054|816997298738|030408130620|5|||01 :66408|169052|816995466667|030408130620|5|||01 :66619|169051|816998559555|030408130624|6|||01 :66195|169057|81690400152382|030408130628|22|||01 :169017|8164||030408131528|127|||81 :66332|169046|81690409889688|030408130712|3|||01 :66866|169056|816990932000|030408130704|46|||01 :66804|66341||030408130832|8|||89 :66713|169050|816995317717|030408130732|8|||01 :77083|169055|816992773745|030408130740|25|||01 :66025|169052|816995281298|030408130744|11|||01 :66480|169051|816995238999|030408130732|8|||01 :64024|169042|816995328063|030408130724|6|||01 :169004|66122||030408130728|52|||81 :66026|169057|816995329349|030408130820|5|||01 :64056|169046|816997881370|030408130848|12|||01 :64056|169054|816997881246|030408130828|22|||01 :169039|77971||030408130756|14|||81 :8046|169056|816998565010|030408130844|11|||01 :66804|66253||030408130940|10|||89 :169002|66261||030408130824|36|||81 :66713|169052|816990762000|030408130836|9|||01 :66841|66288||030408131212|48|||89 :66451|169054|81690409889688|030408130912|3|||01 :66218|169041|816997875322|030408130904|1|||01 :169018|66102||030408130932|8|||81 :169037|64037||030408130924|6|||81 :66178|66136||030408131140|25|||89 :66218|169052|816998785322|030408130916|4|||01 :66140|169057|816997881370|030408130952|13|||01 :66139|66346||030408131520|80|||89 :169003|66271||030408130932|8|||81 :66140|169058|816992651524|030408131020|5|||01 :66804|66253||030408131020|5|||89 :66653|66418||030408131016|4|||89 :169001|64037||030408131040|10|||81 :66141|169039|816995872786|030408131048|12|||01 :66617|66660||030408131232|23|||89 :66439|169049|816994591331|030408131040|160|||01 :66428|169044|816990761252|030408131112|63|||01 :66332|169058|81690409889688|030408131108|2|||01 :66342|169056|81691300888801|030408131100|30|||01 :64024|169051|81690402395856|030408131128|37|||01 :169028|66102||030408131104|16|||81 :66328|169041|816997963399|030408131112|33|||01 :169010|66791||030408131220|5|||81 :66195|169055|81690414731670|030408131204|46|||01 :64052|169058|816959821315|030408131132|8|||01 :66021|66361||030408131224|6|||89 :66029|169050|816995365333|030408131204|61|||01 :66408|169042|816995962798|030408131216|49|||01 :66772|169046|81690403425740|030408131224|51|||01 :66141|169052|816995570811|030408131228|22|||01 :66177|66854||030408131224|6|||89 :66788|169047|81690409554611|030408131300|90|||01 :66256|169043|816998247807|030408131256|89|||01 :66335|2||030408131336|9|||89 :8617|169047|816997678776|030408131308|2|||01 :66140|169056|816992123000|030408131244|26|||01 :169035|66140||030408131248|12|||81 :169038|66242||030408131256|59|||81 :66410|169051|816985175999|030408131304|16|||01 :66178|169054|816998559550|030408131324|51|||01 :66193|169046|81690413445728|030408131328|7|||01 :169029|66382||030408131348|27|||81 :169022|8015||030408131408|107|||81 :66159|169040|816998896145|030408131424|96|||01 :169033|66136||030408131328|7|||81 :66335|169044|81690402780853|030408131408|17|||01 :66218|169043|816998785322|030408131356|14|||01 :8617|169056|816997678776|030408131404|16|||01 :64056|169044|816997881246|030408131412|3|||01 :169020|110058|81109|030408131504|1|||03 :66801|169057|8169132150|030408131512|48|||01 :66804|169051|816995282813|030408131504|1|||01 :66131|169049|81690408571286|030408131512|33|||01 :169036|66136||030408131432|8|||81 :66840|169037|816998227523|030408131528|82|||01 :169013|66801||030408131520|5|||81 :66872|169053|816996844380|030408131540|145|||01 :169023|110058|8110|030408131524|6|||03 :66141|169052|816998092444|030408131556|44|||01 :169019|2||030408131548|87|||82 :66713|169046|81691300888801|030408131604|16|||01 :169031|8006||030408131520|5|||81 :169024|169049|81690419770254|030408131524|6|||03 :66007|169054|81690410216429|030408131556|29|||01 :66290|66712||030408131624|6|||89 :66136|66413||030408131644|11|||89 :66435|169054|816957357559|030408131628|7|||01 :169025|66143||030408131612|18|||81 :169012|2||030408131624|6|||82 :8164|66883||030408131704|1|||89 :66139|66346||030408132336|99|||89 :169030|110058|8110|030408131732|8|||03 :66136|66161||030408131728|7|||89 :8612|169054|8169131638|030408131724|6|||01 :66724|66338||030408131836|9|||89 :66408|169050|816996997819|030408131808|77|||01 :66330|2||030408131832|8|||89 :169027|110059|81100|030408131808|2|||03 :66253|169047|81690409434373|030408131828|67|||01 :66139|169051|816995696111|030408131824|6|||01 :66332|169049|81690409889688|030408131812|3|||01 :169021|66335||030408131800|15|||81 :169031|8012||030408132040|40|||81 :66195|169053|816995237867|030408131844|41|||01 :66139|169051|81691300732744|030408131820|5|||01 :66119|169057|816995927206|030408131832|53|||01 :66324|2||030408131908|2|||89 :66332|169053|81690409889688|030408131916|4|||01 :8611|169056|81690419574985|030408131920|65|||01 :66240|169046|816995782449|030408131904|1|||01 :169006|66713||030408131912|3|||81 :66314|66456||030408131900||||89 :66324|2||030408131900||||89 :2|66623||030408131900||||89 :66724|77810||030408132016|4|||89 :66326|77434||030408132024|6|||89 :66104|169055|816995183888|030408131928|97|||01 :66324|66623||030408132024|6|||89 :169034|66387||030408131920|35|||81 :66301|169054|816993836505|030408131944|26|||01 :66938|169049|816990765938|030408132016|4|||01 :66611|66661||030408132116|19|||89 :169004|77971||030408131948|12|||81 :66680|66289||030408132028|7|||89 :66707|66361||030408132008|2|||89 :169001|66776||030408132008|2|||81 :66452|169047|81690282023479|030408132020|5|||01 :66655|2||030408132008|2|||89 :2|66655||030408132000||||89 :77083|169055|816992773745|030408132044|11|||01 :66330|66312||030408132316|34|||89 :169016|66143||030408132052|13|||81 :66177|66350||030408132120|5|||89 :66408|169056|81690411111194|030408132104|16||1673|01 :77096|169051|816995964560|030408132044|11|||01 :77170|169044|816995707818|030408132028|7|||01 :66332|169049|81690409889688|030408132012|3|||01 :169003|66016||030408132056|14|||81 :66025|169047|81690413741379|030408132024|6|||01 :169004|66123||030408132148|12|||81 :66840|169046|816995703790|030408132100|15|||01 :64035|169050|816998221095|030408132124|36|||01 :169042|66136||030408132144|11|||81 :169011|66314||030408132136|24|||81 :66102|77810||030408132208|17|||89 :66227|169052|81690423824867|030408132108|77|||01 :66408|169055|816995701132|030408132112|3|||01 :169001|66773||030408132324|21|||81 :169022|66600||030408132120|5|||81 :66866|169057|81690404700829|030408132120|35|||01 :66332|169051|81690409889688|030408132216|4|||01 :66025|66281||030408132208|2|||89 :66717|169048|816993649198|030408132140|235|||01 :66841|66341||030408132228|7|||89 :169039|64052||030408132156|29|||81 :66452|169043|81690294161606|030408132240|25|||01 :2|66314||030408132200||||89 :169035|66314||030408132252|28|||81 :8612|169053|8169136196|030408132216|49|||01 :66707|66361||030408132336|9|||89 :66324|66304||030408132308|2|||89 :66804|66648||030408132324|6|||89 :169007|66804||030408132236|39|||81 :66162|169059|8169133444|030408132224|381|||01 :169015|66287||030408132252|13|||81 :169037|66666||030408132312|3|||81 :66713|66193||030408132548|42|||89 :169036|66204||030408132308|2|||81 :169029|66314||030408132352|13|||81 :66840|169057|816998226186|030408132320|20|||01 :169041|66872||030408132344|41|||81 :66174|169045|816995685772|030408132312|243|||01 :66660|66611||030408132452|13|||89 :66763|169051|81690413086043|030408132328|7|||01 :77081|2||030408132408|2|||89 :66326|169052|816995790141|030408132316|19|||01 :66654|169060|816995340247|030408132324|801|||01 :169037|66123||030408132456|14|||81 :169038|77081||030408132424|6|||81 :169007|66648||030408132524|21|||81 :169040|66619||030408132352|13|||81 :169023|66139||030408132416|4|||81 :66866|169057|81690404700829|030408132448|12|||01 :64005|169058|816995573500|030408132432|188|||01 :66026|169053|8169|030408132448|27|||01 :169020|110059|8110|030408132448|27|||03 :66174|169051|816990932000|030408132504|16|||01 :169024|66631||030408132456|14|||81 :66326|77434||030408132528|7|||89 :66193|169052|8169132290|030408132532|23|||01 :66611|66341||030408132652|13|||89 :8622|169059|816998281222|030408132544|41|||01 :169005|66791||030408132624|6|||81 :66452|169060|816995315833|030408132600|30|||01 :66369|169048|816996967228|030408132556|29|||01 :66026|169053|8169|030408132600|15|||01 :169030|110059|8110|030408132600|15|||03 :66304|66611||030408132608|2|||89 :66707|66340||030408132800|15|||89 :169031|66938||030408132656|14|||81 :66938|169052|816990765938|030408132656|14|||01 :8610|169059|816995127212|030408132632|8|||01 :169013|77971||030408132636|54|||81 :169008|110057|8110|030408132704|316|||03 :77170|169056|81690413723043|030408132644|86|||01 :66408|169055|816995701132|030408132728|82|||01 :66183|66350||030408132736|9|||89 :64056|169051|81690434844203|030408132744|26|||01 :66332|169057|81690409889688|030408132712|33|||01 :8008|169048|816998855703|030408132712|3|||01 :169033|2||030408132720|65|||82 :64076|169052|816990762000|030408132744|11|||01 :169009|66762||030408132720|170|||81 :77040|64010||030408132816|4|||89 :66121|66002||030408133008|32|||89 :66763|169049|816985747100|030408132732|53|||01 :64005|169050|81691300550457|030408132732|68|||01 :66332|169057|81690409889688|030408132808|2|||01 :66867|169060|816995273383|030408132736|9|||01 :66611|66661||030408132836|9|||89 :169032|110059|81105|030408132816|19|||03 :169027|66275||030408132836|39|||81 :169018|110057|81102|030408132812|18|||03 :66122|169056|81691800668626|030408132820|20|||01 :66314|66454||030408132904|1|||89 :66242|66314||030408132928|7|||89 :66741|66620||030408132900||||89 :66636|169058|816992651512|030408132852|58|||01 :66451|169057|81690409889688|030408132916|4|||01 :66193|169053|8169131243|030408132916|34|||01 :66801|169054|8169132150|030408132848|132|||01 :169016|66314||030408132912|3|||81 :66369|66209||030408133016|19|||89 :169017|110058|81109|030408132848|27|||03 :169028|66287||030408132836|9|||81 :66153|169052|816995937126|030408132848|12|||01 :169003|66607||030408132932|8|||81 :64020|169050|816998542612|030408132948|12|||01 :169026|66655||030408132900|135|||81 :169014|66744||030408132900|75|||81 :66328|169051|816997963399|030408132904|16|||01 :66661|66611||030408133028|7|||89 :169044|66012||030408132940|10|||81 :64005|66314||030408133056|14|||89 :66408|169054|81690409807482|030408132924|6||1673|01 :66636|169058|816995690703|030408132952|13|||01 :66275|66195||030408133124|21|||89 :169039|66666||030408133020|5|||81 :8610|169053|816995127212|030408133028|7|||01 :66102|169054|81690448852907|030408133004|1|||01 :66845|169059|816995265313|030408133008|47|||01 :169011|66938||030408133040|10|||81 :66938|169050|816990765938|030408133040|10|||01 :66346|169057|816995783346|030408133020|20|||01 :66326|2||030408133000||||89 :66408|169058|816995311469|030408133012|3|||01 :66482|169049|816995725175|030408133020|5|||01 :169012|66227||030408133044|86|||81 :169002|66119||030408133008|167|||81 :169039|66123||030408133132|8|||81 :66613|2||030408133104|1|||89 :66122|169056|81690417244923|030408133016|19|||01 :66452|169051|816997405079|030408133108|17|||01 :169022|2||030408133120|5|||82 :66002|169057|816996967228|030408133132|8|||01 :66332|169056|81690409889688|030408133116|4|||01 :66618|169060|816984568438|030408133056|44|||01 :66153|169050|816985205209|030408133112|3|||01 :66102|66396||030408133152|13|||89 :66635|169058|816997298738|030408133132|8|||01 :169004|66218||030408133128|37|||81 :66242|66454||030408133452|43|||89 :66408|169049|816995716439|030408133120|5|||01 :66253|66422||030408133252|13|||89 :66845|169054|81690408001422|030408133208|17|||01 :66346|169053|816995783346|030408133152|13|||01 :66153|169058|816985205200|030408133204|1|||01 :66330|66335||030408133308|17|||89 :66342|169057|816995790141|030408133224|6|||01 :169010|66261||030408133240|55|||81 :66611|66744||030408133220|5|||89 :66422|169053|81690417131495|030408133204|1|||01 :66271|169058|816995038420|030408133228|7|||01 :169029|66102||030408133308|17|||81 :66183|169056|816995329349|030408133220|5|||01 :66618|169060|816996741557|030408133300|15|||01 :66322|66342||030408133304|1|||89 :66151|169055|816998187791|030408133304|76|||01 :66804|169049|816998780122|030408133328|7|||01 :8616|169050|816997837099|030408133332|8|||01 :66408|169057|816995697156|030408133248|12|||01 :169036|66713||030408133332|23|||81 :64028|169053|816998010137|030408133344|11|||01 :66456|169051|816996618335|030408133324|36|||01 :66242|169054|816985345488|030408133320|20|||01 :66332|169060|81690409889688|030408133312|3|||01 :169023|66035||030408133316|4|||81 :169019|77971||030408133404|1|||81 :66435|169058|816996464566|030408133344|11|||01 :169020|66218||030408133416|4|||81 :169006|66366||030408133400|45|||81 :169037|110058|81101|030408133404|16|||03 :66762|2||030408133420|5|||89 :66761|66619||030408133420|5|||89 :8164|66751||030408133528|22|||89 :66741|169055|81691300888801|030408133344|11|||01 :169041|66261||030408133356|29|||81 :169025|66168||030408133352|13|||81 :169030|66666||030408133424|6|||81 :66242|169050|816995681389|030408133424|6|||01 :66271|169057|816995708538|030408133400|15|||01 :169035|8012||030408133436|54|||81 :66102|169051|816993981400|030408133452|13|||01 :169007|66804||030408133448|12|||81 :66115|169058|816990766063|030408133432|8|||01 :169031|66063||030408133432|8|||81 :66063|169049|816990765063|030408133432|8|||01 :66408|169046|81690419353220|030408133512|3||1673|01 :66408|169054|816995706767|030408133500|15|||01 :66762|169048|81690409868580|030408133444|11|||01 :66234|2||030408133504|1|||89 :66452|169053|816994994449|030408133520|20|||01 :169032|66600||030408133512|3|||81 :169005|66322||030408133516|19|||81 :66341|169059|816995639631|030408133536|69|||01 :66102|66103||030408133524|6|||89 :66332|169060|81690409889688|030408133512|3|||01 :66705|66395||030408133516|4|||89 :169034|8019||030408133548|117|||81 :169015|66268||030408133456|59|||81 :77147|66654||030408134232|98|||89 :66664|66603||030408133628|7|||89 :169045|66261||030408133552|43|||81 :66631|77149||030408133600||||89 :169009|66631||030408133548|12|||81 :66012|169051|81690448552907|030408133608|2|||01 :169027|66012||030408133552|13|||81 :169018|66661||030408133528|7|||81 :66290|66422||030408133712|18|||89 :169017|66349||030408133604|1|||81 :66664|66820||030408133612|3|||89 :66451|169054|81690409889688|030408133612|3|||01 :169016|77971||030408133644|11|||81 :169033|66153||030408133648|27|||81 :66435|169053|816996454566|030408133712|18|||01 :8617|169054|816994812335|030408133708|2|||01 :169042|66169||030408133728|112|||81 :66332|169051|81690409889688|030408133708|2|||01 :66713|66611||030408133752|13|||89 :66288|2||030408133700||||89 :66341|66650||030408133720|5|||89 :66183|66435||030408133716|4|||89 :66408|169057|816995781931|030408133716|34|||01 :66452|169048|81690418502451|030408133724|6|||01 :169026|66804||030408133724|6|||81 :169014|66391||030408133716|4|||81 :66332|169051|81690409889688|030408133808|2|||01 :169009|77149||030408134028|37|||81 :66408|169053|816994786453|030408133824|6|||01 :66288|2||030408133820|5|||89 :169043|64024||030408133844|11|||81 :66435|169057|816996464566|030408133840|10|||01 :8617|169054|816994812355|030408133824|21|||01 :66713|169051|81690402355339|030408133900||||01 :66701|169052|816998570661|030408133916|139|||01 :66763|169055|81690414685724|030408133828|52|||01 :169028|66619||030408133924|36|||81 :66288|169053|81690262706666|030408133836|9|||01 :66332|169052|81690409889688|030408133912|3|||01 :66408|169057|816995283393|030408133920|5|||01 :169012|66281||030408133928|7|||81 :66363|169055|816997924049|030408133936|9|||01 :66414|66341||030408134056|14|||89 :66801|169050|81690417035891|030408133948|42|||01 :66149|66157||030408134040|10|||89 :66617|169054|81690418455575|030408133944|11|||01 :66119|169049|816995707487|030408134012|18|||01 :66408|169053|816995282623|030408134012|3|||01 :66352|169057|81690403399812|030408133944|11|||01 :77660|169056|81690409235500|030408134016|109|||01 :66189|66349||030408134100|15|||89 :66341|66650||030408134120|5|||89 :169022|66025||030408134044|11|||81 :66322|66340||030408134228|22|||89 :66332|169054|81690409889688|030408134020|5|||01 :2|8612||030408134108|2|||89 :169039|9||030408134100||||81 :64042|169057|816995648163|030408134104|1|||01 :8610|169053|81690438658347|030408134116|4|||01 :66183|66435||030408134120|5|||89 :66617|66660||030408134144|11|||89 :66263|169057|816994199386|030408134104|1|||01 :169029|110058|81108|030408134144|11|||03 :8617|169053|816997678776|030408134204|1|||01 :66456|169052|816995447167|030408134204|16|||01 :77149|66611||030408134208|2|||89 :169020|66322||030408134224|6|||81 :66741|169050|81691800007368|030408134232|8|||01 :77649|66227||030408134352|28|||89 :66314|66452||030408134332|8|||89 :8610|169052|816997966311|030408134220|5|||01 :66701|169053|8169907668036|030408134232|8|||01 :169023|8008||030408134236|9|||81 :66335|169054|81691800888333|030408134224|21|||01 :66102|77810||030408134316|4|||89 :66253|66611||030408134308|2|||89 :169010|77971||030408134308|32|||81 :169036|66314||030408134328|22|||81 :66826|169055|81690421717163|030408134244|26|||01 :66456|169049|816997238584|030408134248|12|||01 :66192|169043|8169132230|030408134256|14|||01 :66451|169041|81690409889688|030408134316|4|||01 :8610|169053|816997072332|030408134316|4|||01 :169038|77971||030408134312|3|||81 :8617|169044|81690410347942|030408134316|19|||01 :77147|66654||030408134416|4|||89 :66408|169056|816998331031|030408134400|45|||01 :169038|66667||030408134420|5|||81 :66870|169048|816998260569|030408134324|21|||01 :66102|8164||030408134516|19|||89 :66335|66341||030408134452|13|||89 :169006|8019||030408134356|29|||81 :66263|169057|816998083416|030408134432|38|||01 :169013|66234||030408134408|137|||81 :66195|169055|81690407811407|030408134432|8|||01 :66791|169051|816996873590|030408134432|38|||01 :66801|77149||030408134432|8|||89 :66251|66253||030408134512|3|||89 :169021|2||030408134428|7|||82 :66435|169053|816996464566|030408134444|11|||01 :64052|169058|816997755489|030408134432|143|||01 :66137|169057|81691300657265|030408134504|1|||01 :66791|169055|816998181318|030408134520|5|||01 :66139|66346||030408134540|10|||89 :169037|8008||030408134516|34|||81 :66347|169060|81690419548650|030408134440|145|||01 :66408|169049|816997636337|030408134456|14|||01 :169035|66314||030408134500||||81 :66322|169051|816994494966|030408134540|10|||01 :77147|66654||030408134628|22|||89 :66195|169051|81690407811407|030408134504|1|||01 :66619|169054|816995687590|030408134548|42|||01 :169008|77147||030408134528|7|||81 :66231|169047|81690419194710|030408134520|275|||01 :66137|169057|81691300657265|030408134608|2|||01 :66717|66854||030408134656|14|||89 :66826|2||030408134840|40|||89 :77147|8042||030408134616|4|||89 :66335|66325||030408134752|28|||89 :66255|66289||030408134608|2|||89 :169007|66666||030408134552|13|||81 :66242|169045|816995091053|030408134648|57|||01 :77152|2||030408134704|1|||89 :66025|169044|81690406001443|030408134656|29|||01 :64076|169054|81690411539808|030408134704|1|||01 :77649|77190||030408134728|7|||89 :66408|169049|816995342488|030408134704|16|||01 :169031|66253||030408134708|32|||81 :8019|2||030408134712|3|||89 :66408|169051|816995342488|030408134704|1|||01 :169005|66195||030408134744|26|||81 :66195|169053|81690409132605|030408134744|26|||01 :66717|66854||030408134912|18|||89 :66417|8008||030408135004|31|||89 :66636|169056|816995236070|030408134744|56|||01 :169003|77792||030408134756|14|||81 :169016|66449||030408134816|19|||81 :64076|169051|816998224242|030408134824|6|||01 :169034|110058|81101|030408134832|38|||03 :66341|169041|816995475995|030408134804|1|||01 :64071|66872||030408135412|93|||89 :66290|66414||030408134936|24|||89 :66408|169045|816995235001|030408134824|6|||01 :169015|66314||030408134816|34|||81 :66288|169048|8169131881|030408134804|61|||01 :66137|169057|81691300687746|030408134828|37|||01 :169019|66328||030408134824|96|||81 :169032|77152||030408134916|34|||81 :169012|110058|81101|030408134924|6|||03 :66198|169051|816995436475|030408134940|10|||01 :169014|64024||030408134912|18|||81 :66804|77810||030408134912|3|||89 :66347|66701||030408135052|28|||89 :66324|169041|816995236303|030408134916|4|||01 :66451|169038|81690409889688|030408134912|3|||01 :66408|66801||030408135116|19|||89 :77083|169057|816992773745|030408134956|14|||01 :169024|66618||030408135036|99|||81 :66741|169045|81691300888801|030408135020|20|||01 :66330|66664||030408135148|27|||89 :66304|66336||030408135512|63|||89 :66619|169049|81691800007368|030408135024|51|||01 :169002|66888||030408135020|20|||81 :66804|8165||030408135208|17|||89 :169018|77971||030408135040|70|||81 :8610|169041|816959771676|030408135036|9|||01 :66012|64028||030408135104|1|||89 :169029|66012||030408135032|8|||81 :66195|169048|816995230032|030408135040|25|||01 :77190|66107||030408135112|3|||89 :66332|169034|81690409889688|030408135108|2|||01 :66287|66242||030408135120|5|||89 :77147|66329||030408135428|52|||89 :66314|66347||030408135108|2|||89 :66330|66314||030408135136|9|||89 :66661|66611||030408135112|3|||89 :66804|169048|816995282813|030408135128|7|||01 :66429|169051|81690425782702|030408135200|30|||01 :8611|169036|816997878394|030408135148|12|||01 :8610|169041|81690408662640|030408135148|12|||01 :66610|64047||030408135256|14|||89 :66192|66341||030408135420|35|||89 :77069|169053|816996676788|030408135152|73|||01 :169009|77971||030408135156|29|||81 :66139|169049|81691300660245|030408135248|27|||01 :66717|169039|816995346159|030408135228|67|||01 :169020|66126||030408135224|6|||81 :66454|169051|816985175904|030408135204|1|||01 :66169|169056|816998894617|030408135304|76|||01 :66038|169057|816995876702|030408135304|46|||01 :66325|169045|816997939797|030408135244|41|||01 :169010|66428||030408135256|14|||81 :66456|169047|816987904718|030408135328|97|||01 :169011|66314||030408135344|71|||81 :8618|169043|816998094400|030408135408|92|||01 :169025|66777||030408135408|2|||81 :169013|66631||030408135412|3|||81 :8014|2||030408135412|3|||89 :66326|66322||030408135436|9|||89 :66460|169053|816993761115|030408135404|1|||01 :169021|66804||030408135448|12|||81 :66119|169046|816995680761|030408135412|183|||01 :66773|169056|816992651297|030408135420|5|||01 :66661|66713||030408135424|6|||89 :66450|169041|81690411697715|030408135420|5|||01 :8014|169047|81690403602935|030408135504|1|||01 :66660|66611||030408135500||||89 :66352|169054|816995761667|030408135440|115|||01 :66460|169039|816993761115|030408135508|2||6161|01 :66600|169059|81690401727415|030408135532|8||6161|01 :66660|66611||030408135508|2|||89 :169007|66139||030408135512|18|||81 :66867|169055|816995273383|030408135536|129|||01 :66446|169049|816995091811|030408135512|18|||01 :66195|169057|81690412027220|030408135504|31|||01 :8164|169053|81690418516433|030408135552|13|||01 :66242|169033|816995794908|030408135548|57|||01 :8620|169056|816997722557|030408135540|10|||01 :66104|169051|816995183888|030408135528|22|||01 :66322|66657||030408135620|5|||89 :66456|169043|816994879246|030408135536|24|||01 :77071|169052|8169132099|030408135540|190|||01 :66454|169059|816985089300|030408135544|11|||01 :66661|66611||030408135656|14|||89 :66314|66454||030408135604|1|||89 :169017|66314||030408135616|4|||81 :169005|66773||030408135628|7|||81 :169001|66613||030408135644|386|||81 :169026|8620||030408135620|5|||81 :169006|66712||030408135640|55|||81 :169003|66666||030408135624|6|||81 :66408|169038|816993809369|030408135628|97|||01 :64005|169050|816998033282|030408135632|203|||01 :77147|2||030408135712|3|||89 :8012|8014||030408135708|2|||89 :169015|8012||030408135728|7|||81 :66253|66611||030408135716|4|||89 :66038|169045|816999044410|030408135656|44|||01 :66121|66002||030408135740|10|||89 :66195|169057|816995212234|030408135724|21|||01 :66275|66100||030408135708|2|||89 :169019|66619||030408135728|7|||81 :169032|2||030408135720|5|||82 :169016|77790||030408135740|10|||81 :66450|8619||030408135924|21|||89 :66131|169050|816995346383|030408135808|2|||01 :66608|169059|816998247913|030408135720|20|||01 :66231|169056|81691300550457|030408135824|21|||01 :66773|169057|816995551987|030408135828|7|||01 :77072|169035|816997963399|030408135804|106|||01 :77198|169055|816995329900|030408135752|13|||01 :66326|66258||030408135940|25|||89 :66131|169059|816995346383|030408135808|2|||01 :66444|169056|81691800551702|030408135808|2|||01 :169012|77792||030408135856|14|||81 :66733|66426||030408135900||||89 :169018|66426||030408135824|6|||81 :64056|169052|816987686100|030408135832|23|||01 :169002|66857||030408135836|9|||81 :169004|66446||030408135904|16|||81 :169036|66801||030408135956|14|||81 :66408|169055|816995466667|030408135956|14|||01 :8612|169051|816998827977|030408135932|8|||01 :64019|169056|81690425773222|030408135932|8|||01