:169059|66680||030408141312|288|||81 :66330|66347||030408140016|64|||89 :169017|66454||030408140208|47|||81 :66761|66644||030408140056|14|||89 :77647|66314||030408140124|21|||89 :66826|66012||030408140056|14|||89 :66619|66613||030408140000||||89 :169034|66619||030408140000|15|||81 :66021|66361||030408140028|7|||89 :169027|169049|81690404455280|030408140008|32|||03 :66341|66289||030408140032|8|||89 :66640|169046|816999030248|030408140016|4|||01 :66741|169059|816995324828|030408140032|23|||01 :169024|66702||030408140032|38|||81 :66446|169051|816959757642|030408140004|1|||01 :169030|2||030408140004|1|||82 :66349|169052|816987|030408140032|8|||01 :169022|66660||030408140048|42|||81 :169014|66382||030408140056|44|||81 :169010|66666||030408140112|3|||81 :66366|77643||030408140140|10|||89 :169009|66209||030408140052|28|||81 :66025|169050|81690406001443|030408140024|21|||01 :66281|169057|816997725004|030408140044|41|||01 :66829|169048|816995979914|030408140044|131|||01 :66021|169055|81690448370711|030408140032|8|||01 :169031|66167||030408140108|77|||81 :169020|110057|81103|030408140112|3|||03 :169037|66189||030408140140|10|||81 :66395|2||030408140104|1|||89 :66408|169049|816995311469|030408140116|4|||01 :66222|169045|8169132227|030408140128|22|||01 :66119|169047|816995236839|030408140056|29|||01 :169025|66314||030408140116|4|||81 :169010|66123||030408140248|12|||81 :169013|66702||030408140116|4|||81 :77069|169059|816995841644|030408140140|25|||01 :77661|169045|816922|030408140216|4|||01 :169028|66713||030408140240|10|||81 :77152|66322||030408140228|7|||89 :66189|169042|816995761737|030408140244|296|||01 :66341|169051|816995466456|030408140256|29|||01 :66451|169057|81690409889688|030408140312|3|||01 :66408|169050|816995311469|030408140300|15|||01 :169011|169055|81690414403640|030408140244|26|||03 :66705|169059|816998019750|030408140256|14|||01 :66773|169043|816995968490|030408140308|17|||01 :77661|169038|816999211000|030408140336|9|||01 :64078|169035|816998138432|030408140332|8|||01 :66025|66342||030408140320|5|||89 :169041|66290||030408140256|14|||81 :66713|169042|816995582530|030408140328|7|||01 :66102|66103||030408140304|1|||89 :169001|66666||030408140312|3|||81 :169033|66776||030408140344|11|||81 :66842|169052|816983451267|030408140316|34|||01 :64071|169037|816995953330|030408140400|15|||01 :66705|66322||030408140416|4|||89 :169021|66712||030408140400|30|||81 :66302|169045|816990763274|030408140324|21|||01 :66183|66854||030408140420|5|||89 :66391|169056|816995242000|030408140352|58|||01 :66870|169036|816995982393|030408140348|12|||01 :66324|66322||030408140416|4|||89 :66027|2||030408140432|8|||89 :169001|66123||030408140440|10|||81 :77758|66611||030408140428|7|||89 :169033|66123||030408140432|8|||81 :66395|66660||030408140652|43|||89 :66278|169048|81691300309309|030408140424|36|||01 :77083|169042|816992773745|030408140408|2|||01 :8617|169058|816959836110|030408140352|283|||01 :64035|169048|816995093343|030408140404|1|||01 :77661|169057|816999211000|030408140412|18|||01 :66650|169045|816992154917|030408140432|8|||01 :66428|66002||030408140540|10|||89 :169018|66426||030408141052|88|||81 :64005|66005||030408140528|7|||89 :66183|169041|816995329349|030408140420|5|||01 :169008|77971||030408140444|56|||81 :66408|169050|816995716439|030408140456|14|||01 :77152|2||030408140528|7|||89 :66675|169052|816992979010|030408140520|20|||01 :66871|77889||030408141128|97|||89 :169019|66621||030408140532|8|||81 :169003|66058||030408140508|17|||81 :66058|169056|816990765058|030408140508|17|||01 :66365|169053|81690883844441|030408140512|123|||01 :169002|66183||030408140516|4|||81 :169016|77971||030408140528|7|||81 :169004|66029||030408140516|4|||81 :66842|169043|81691300369019|030408140540|25|||01 :66027|66301||030408140716|19|||89 :169006|110057|81105|030408140556|29|||03 :169032|66100||030408140612|3|||81 :66446|169051|81690418393176|030408140616|34|||01 :66408|169056|816995706767|030408140604|1|||01 :169015|8014||030408141504|136|||81 :66644|64056||030408140712|18|||89 :169017|66834||030408140636|9|||81 :8611|169056|816995002256|030408140628|7|||01 :66198|169045|816993767223|030408140708|2|||01 :66408|66801||030408140736|9|||89 :66713|66611||030408140712|3|||89 :77069|169057|81691800007368|030408140632|23|||01 :169007|8019||030408140720|65|||81 :66012|66826||030408140728|7|||89 :66750|169051|8169359|030408140648|12|||01 :66373|169060|816990117374|030408140656|329|||01 :66706|2||030408140812|3|||89 :169027|66029||030408140720|5|||81 :66166|169048|816995715850|030408140756|14|||01 :66278|169058|81691300369666|030408140808|47|||01 :66661|66611||030408140816|4|||89 :66336|169047|8169132629|030408140808|62|||01 :66325|169049|816995966184|030408140812|93|||01 :66408|169057|816995706767|030408140748|12|||01 :66373|169045|816996424442|030408140824|6|||01 :66139|169056|816998091971|030408140832|8|||01 :1|66744||030408140832|8|||89 :169030|110058|81101|030408140848|12|||03 :169024|66631||030408140900|15|||81 :66204|66431||030408141008|17|||89 :66224|2||030408140912|3|||89 :169009|66366||030408140820|5|||81 :66422|66021||030408141348|72|||89 :169012|66707||030408140912|33|||81 :169014|77971||030408140908|17|||81 :169025|66207||030408140916|4|||81 :66324|66322||030408141008|17|||89 :66872|169051|816995780888|030408140912|18|||01 :66194|169057|816996958320|030408140836|9|||01 :66007|169045|816998272097|030408140904|1|||01 :66412|169050|816995285981|030408140932|38|||01 :66713|66660||030408140904|1|||89 :66314|64020||030408140904|1|||89 :169020|66314||030408140924|6|||81 :66139|169047|816997821843|030408140940|10|||01 :66408|169042|816995283623|030408140908|2|||01 :169025|66123||030408140924|6|||81 :66450|66352||030408140936|9|||89 :8616|169043|816997828759|030408140936|24|||01 :66706|169060|816995081222|030408140956|29|||01 :66161|66717||030408141052|13|||89 :66005|66343||030408141208|32|||89 :169010|66322||030408140948|12|||81 :66224|66100||030408141120|20|||89 :66640|169057|81690411243062|030408140932|8|||01 :66877|66804||030408141032|8|||89 :66777|2||030408141016|4|||89 :66100|66611||030408141008|2|||89 :66713|66210||030408141052|13|||89 :66702|66417||030408141204|31|||89 :77170|169051|816997032900|030408140956|14|||01 :66021|169041|816999211433|030408141020|20|||01 :66278|169049|81691300362332|030408141008|32|||01 :66408|169047|816995282623|030408141048|12|||01 :169013|66801||030408141036|9|||81 :169019|66237||030408141632|83|||81 :66675|169052|816995835020|030408141024|66|||01 :66139|169042|816985856005|030408141028|7|||01 :66872|169045|816997857313|030408141040|10|||01 :66253|66210||030408141116|4|||89 :169038|66631||030408141044|11|||81 :66744|2||030408141108|2|||89 :169040|66382||030408141056|29|||81 :66171|169052|816995116451|030408141108|2|||01 :169020|64020||030408141300|30|||81 :66027|66820||030408141144|11|||89 :8610|169037|816996906808|030408141136|9|||01 :66744|66100||030408141112|3|||89 :66422|169043|8169204|030408141116|19|||01 :66325|169058|816998151900|030408141112|48|||01 :66872|2||030408141212|3|||89 :169001|66666||030408141124|6|||81 :66366|66193||030408141532|53|||89 :66791|169051|81690413329265|030408141212|18|||01 :66389|66115||030408141516|49|||89 :66661|66611||030408141304|16|||89 :66324|66326||030408141300|15|||89 :66871|66287||030408141232|8|||89 :2|66272||030408141200||||89 :66651|66176||030408141252|13|||89 :169011|66261||030408141236|39|||81 :66635|169045|816990766350|030408141220|5|||01 :169003|66350||030408141220|5|||81 :169031|110057|81105|030408141224|66|||03 :66322|169041|81690402155175|030408141220|5|||01 :66029|169040|816995329349|030408141220|5|||01 :66171|169038|816995303716|030408141208|2|||01 :66198|169060|816997948380|030408141244|41|||01 :66183|66487||030408141320|5|||89 :66322|169060|816995098833|030408141312|3|||01 :169002|66290||030408141252|13|||81 :169021|66336||030408141304|31|||81 :66804|169037|816997953661|030408141344|11|||01 :66446|169056|816998935368|030408141304|76|||01 :66332|169051|81690409889688|030408141304|16|||01 :66180|169038|81690289771380|030408141320|5|||01 :66325|169041|816995966184|030408141348|12|||01 :66036|169048|816995285523|030408141336|84|||01 :66278|169049|8169131816|030408141316|34|||01 :169023|66271||030408141324|321|||81 :66938|169040|816990765938|030408141356|14|||01 :66661|66713||030408141500|15|||89 :66471|169053|816995258308|030408141320|80|||01 :66644|66204||030408141820|65|||89 :169008|66272||030408141340|25|||81 :169007|66801||030408141340|10|||81 :169004|66012||030408141404|16|||81 :66658|2||030408141408|2|||89 :169027|66389||030408141344|11|||81 :66872|169058|81690412791631|030408141436|39|||01 :8621|169053|81690400069426|030408141404|1|||01 :169032|66335||030408141420|5|||81 :66777|169057|81690350223333|030408141420|65|||01 :66253|66367||030408141524|6|||89 :169022|66218||030408141436|9|||81 :66366|77647||030408141624|21|||89 :66661|66846||030408141612|18|||89 :77645|169056|816995571720|030408141524|21|||01 :66151|169048|81690412403858|030408141516|4|||01 :169015|66322||030408141504|31|||81 :66126|66002||030408141520|5|||89 :66763|169053|816995286101|030408141524|6|||01 :66007|169050|81690419336153|030408141544|86|||01 :169029|64028||030408143928|367|||81 :66373|169041|816995199700|030408141516|19|||01 :66224|66826||030408141748|42|||89 :66804|169040|816995276448|030408141516|4|||01 :66205|169039|816986846064|030408141500|195|||01 :169017|110059|81103|030408141524|36|||03 :66938|169037|816990765938|030408141524|6|||01 :66382|169049|816995570009|030408141544|26|||01 :66717|66161||030408141736|24|||89 :169030|66395||030408141524|21|||81 :66422|169042|81690419770095|030408141544|56|||01 :66861|169056|816995285955|030408141536|9|||01 :66763|169048|81690422444817|030408141608|2|||01 :66611|66340||030408141632|8|||89 :169004|66194||030408141820|35|||81 :66408|169045|816995572497|030408141648|57|||01 :169035|66631||030408141616|4|||81 :66139|169053|816997821843|030408141640|10|||01 :66271|169051|81690417105116|030408141644|41|||01 :66640|169047|816995805498|030408141652|73|||01 :66763|169049|81690422444817|030408141620|5|||01 :169012|66335||030408141648|27|||81 :169024|66777||030408141708|32|||81 :66122|66341||030408141752|13|||89 :66263|169053|816995283267|030408141704|1|||01 :66278|169038|8169131816|030408141648|27|||01 :169010|77971||030408141732|23|||81 :66611|66619||030408141748|12|||89 :66263|1||030408141816|4|||89 :66660|66713||030408141852|13|||89 :66171|169060|816997645666|030408141732|68|||01 :66460|169042|816993761115|030408141804|1|||01 :66661|66657||030408141848|12|||89 :77147|169054|816997826113|030408141816|319|||01 :66680|66218||030408141824|6|||89 :169005|66324||030408141816|34|||81 :169014|66446||030408141812|48|||81 :66193|169043|81690414328201|030408141820|95|||01 :66871|169048|816997963399|030408141800||||01 :169036|66866||030408141832|8|||81 :66611|66762||030408141916|4|||89 :66029|169041|816997963399|030408141836|9|||01 :169035|66102||030408142132|38|||81 :66153|169051|816985205209|030408141904|31|||01 :66717|66854||030408142008|17|||89 :169020|66700||030408141852|13|||81 :66037|169055|816994187466|030408141904|196|||01 :66408|169047|816995312404|030408141920|20|||01 :169019|66314||030408141932|23|||81 :66267|66480||030408141920|5|||89 :66189|169059|816995846081|030408141944|236|||01 :169028|66340||030408141928|7|||81 :66314|64020||030408142004|1|||89 :169002|66314||030408141916|4|||81 :169018|66776||030408141908|17|||81 :66611|66336||030408142028|7|||89 :77170|169052|816982901333|030408141952|118|||01 :66342|66192||030408142028|7|||89 :66155|169057|81691800456655|030408141956|74|||01 :66332|169047|81690409889688|030408142020|5|||01 :66205|169056|816990117374|030408141952|58|||01 :66769|169040|81690404455280|030408142020|20|||01 :66373|169050|816995199700|030408142024|66|||01 :169026|8012||030408142016|34|||81 :66366|77643||030408142044|11|||89 :66680|66322||030408142128|22|||89 :64024|169049|816998825151|030408142028|37|||01 :66183|66854||030408142020|5|||89 :66221|169049|81690409355677|030408142008|2|||01 :66830|66713||030408142104|1|||89 :169016|66744||030408142044|116|||81 :66680|1||030408142112|3|||89 :169033|66391||030408142052|133|||81 :66804|169055|816951743998|030408142112|18|||01 :66717|66002||030408142136|9|||89 :169023|66161||030408142112|18|||81 :66221|169055|81690409355677|030408142104|1|||01 :66189|169059|816995230040|030408142044|11|||01 :66332|169043|81690409889688|030408142124|6|||01 :169007|66433||030408142056|14|||81 :66422|169051|81690419770095|030408142108|32|||01 :169027|66666||030408142144|11|||81 :66290|169052|816995327220|030408142056|14|||01 :66811|169054|81690413067426|030408142120|35|||01 :66155|169059|816993264600|030408142116|4|||01 :64028|169045|816996676444|030408142156|59|||01 :66680|169049|81690402406130|030408142152|13|||01 :8611|169047|81690432068140|030408142120|5|||01 :66845|66149||030408142220|5|||89 :169002|64020||030408142412|33|||81 :169026|8018||030408142344|26|||81 :66871|169057|816995277435|030408142144|26|||01 :66242|169046|816995755333|030408142208|317|||01 :66342|77643||030408142244|11|||89 :66178|169050|816995781630|030408142136|24|||01 :66234|169057|816998197096|030408142204|1|||01 :66636|169060|81690421357818|030408142244|56|||01 :169027|66804||030408142300|15|||81 :66122|66325||030408142724|81|||89 :66724|66338||030408142340|25|||89 :66161|66717||030408142308|17|||89 :169009|66713||030408142224|21|||81 :66026|66854||030408142324|6|||89 :66237|169060|816995103601|030408142308|2|||01 :169003|110057|8110|030408142248|57|||03 :66389|169054|816995282077|030408142240|10|||01 :66221|169047|81690409355677|030408142304|1|||01 :66718|66192||030408142320|5|||89 :66171|169056|816998184141|030408142300|45|||01 :169037|66195||030408142316|4|||81 :66195|169050|81690409132605|030408142316|4|||01 :8621|169048|816997881370|030408142328|67|||01 :169039|66366||030408142404|16|||81 :169025|66618||030408142344|131|||81 :169030|66222||030408142348|12|||81 :66631|66012||030408142408|2|||89 :169006|66658||030408142348|147|||81 :77142|66227||030408143544|176|||89 :66373|169059|816995095915|030408142416|34|||01 :169038|77971||030408142432|8|||81 :169012|66002||030408142440|10|||81 :66661|66611||030408142424|6|||89 :66721|66830||030408142736|39|||89 :66871|169055|81690405021968|030408142416|34|||01 :66139|1||030408142504|1|||89 :169024|66335||030408142440|10|||81 :169013|66395||030408142448|27|||81 :66193|169052|81690413445728|030408142452|43|||01 :169001|66447||030408142512|3|||81 :66456|169049|81690404446078|030408142548|12|||01 :169036|66422||030408142532|8|||81 :66029|169055|816997963399|030408142548|12|||01 :66631|66102||030408142744|26|||89 :66804|169059|816995555377|030408142612|18|||01 :169010|66717||030408142524|21|||81 :169008|66341||030408142600|90|||81 :66117|64026||030408142600||||89 :66237|169046|816995272934|030408142544|41|||01 :66171|169043|816996503344|030408142628|7|||01 :66450|169049|816959501685|030408142648|12|||01 :66804|169059|816995963601|030408142608|2|||01 :66660|66342||030408142920|35|||89 :66341|66289||030408142732|8|||89 :66290|169056|816995784488|030408142708|47|||01 :66870|169050|816997053200|030408142648|42|||01 :66189|169049|816995250160|030408142708|2|||01 :169035|66801||030408142640|10|||81 :169015|66261||030408142644|86|||81 :66153|169045|816995251300|030408142640|25|||01 :66389|169048|816995282278|030408142700|45|||01 :66336|66192||030408142728|7|||89 :64064|169047|816995072055|030408142648|27|||01 :66155|66267||030408142828|22|||89 :66273|169044|816997660661|030408142752|598|||01 :169019|66717||030408142712|18|||81 :66171|169049|816995625111|030408142804|1|||01 :66804|169056|816995238690|030408142812|3|||01 :66661|66713||030408142912|18|||89 :64062|169052|81690439952941|030408142844|41|||01 :66332|169047|81690409889688|030408142812|3|||01 :169020|77971||030408142752|13|||81 :66701|169058|816992991750|030408142756|209|||01 :169014|77971||030408142824|51|||81 :169032|110056|81108|030408142900|15|||03 :169007|66666||030408142816|4|||81 :66450|169050|816995243333|030408142832|23|||01 :66474|1||030408142916|4|||89 :66713|66210||030408142908|2|||89 :169022|66938||030408142844|11|||81 :66938|169043|816990765938|030408142844|11|||01 :66346|169045|816995783346|030408142904|16|||01 :66176|66651||030408142916|4|||89 :169033|66058||030408142908|17|||81 :66058|169049|816990765058|030408142908|17|||01 :66804|169044|81690425752436|030408142852|13|||01 :66391|77434||030408142904|1|||89 :66193|169042|81690409251105|030408142940|40|||01 :169023|66161||030408142924|21|||81 :66218|66664||030408142920|5|||89 :66744|169046|8169000|030408142908|47|||01 :169027|66012||030408142924|6|||81 :169029|66169||030408142908|17|||81 :66329|169056|816998157800|030408142944|26|||01 :169018|8012||030408142956|44|||81 :66830|66721||030408143040|10|||89 :66171|169058|816996963532|030408142940|10|||01 :66640|8011||030408143016|4|||89 :66152|169055|816985175696|030408143000|60|||01 :64020|169056|816998352333|030408143008|2|||01 :77340|169057|816997419500|030408142944|116|||01 :66481|169040|816995255200|030408142944|26|||01 :169007|66123||030408143124|21|||81 :66471|66865||030408143812|123|||89 :64020|169057|816998352333|030408143004|1|||01 :169025|64051||030408143008|2|||81 :169041|77971||030408143000|75|||81 :66389|169046|816995090055|030408143040|10|||01 :66826|66224||030408143248|42|||89 :66026|66854||030408143120|5|||89 :8619|169052|816995874855|030408143012|33|||01 :66213|66661||030408143128|7|||89 :66019|66890||030408143136|9|||89 :169038|66012||030408143112|3|||81 :66152|169056|81690409302508|030408143116|4|||01 :66234|169051|81690409219226|030408143028|127|||01 :66456|169049|81690414405167|030408143128|22|||01 :66422|66253||030408143112|3|||89 :66153|169052|816995251300|030408143112|3|||01 :169037|66450||030408143120|20|||81 :66290|66192||030408143112|3|||89 :169011|66139||030408143108|77|||81 :66280|169051|816990762658|030408143124|6|||01 :66151|66391||030408143200|15|||89 :66152|169051|816985175632|030408143104|1|||01 :66336|66338||030408143424|36|||89 :66661|66611||030408143212|3|||89 :169003|77971||030408143128|37|||81 :66791|169050|81690433023151|030408143132|38|||01 :169038|66123||030408143252|13|||81 :77069|77147||030408143236|9|||89 :66139|1||030408143200||||89 :66193|169055|81690412788168|030408143216|19|||01 :77040|1||030408143204|1|||89 :66724|169056|816992651233|030408143156|14|||01 :66422|66021||030408143252|13|||89 :66171|169052|816998989093|030408143228|7|||01 :169006|66619||030408143148|12|||81 :66035|169050|816995275568|030408143228|7|||01 :169036|66834||030408143216|4|||81 :8014|169055|816996909144|030408143216|4|||01 :169017|110056|81101|030408143156|44|||03 :66346|169049|816995783346|030408143204|16|||01 :169024|66801||030408143208|2|||81 :66153|169043|816985205209|030408143156|14|||01 :66373|169059|816997073571|030408143228|82|||01 :169016|66474||030408143240|55|||81 :169026|66166||030408143256|59|||81 :66680|169051|816997728469|030408143248|12|||01 :66029|169042|816997963399|030408143248|12|||01 :169028|66287||030408143304|91|||81 :66161|66717||030408143344|11|||89 :66177|169059|816995081596|030408143316|4|||01 :66607|169041|8169578|030408143308|17|||01 :169010|66700||030408143240|10|||81 :66661|66611||030408143316|4|||89 :66152|169037|816985175999|030408143308|17|||01 :66389|169040|816990766938|030408143324|21|||01 :169001|66938||030408143324|21|||81 :66938|169038|816990765938|030408143324|21|||01 :169020|1||030408143344|11|||82 :169002|1||030408143340|70|||82 :1|66623||030408143400||||89 :169015|66712||030408143328|7|||81 :66171|169049|816997729816|030408143336|9|||01 :169012|66801||030408143400|45|||81 :169013|77971||030408143348|27|||81 :66648|169035|8169132227|030408143352|28|||01 :1|66623||030408143404|1|||89 :66192|66608||030408143416|4|||89 :169004|77040||030408143420|35|||81 :64020|169042|81690439038771|030408143456|14|||01 :66254|169054|81690410416510|030408143448|177|||01 :66225|169044|816995793623|030408143524|81|||01 :66130|169059|816985205255|030408143540|25|||01 :169022|66012||030408143500|15|||81 :66422|66336||030408143624|6|||89 :66304|66713||030408143716|19|||89 :66119|169059|816995278451|030408143604|1|||01 :66322|169054|816997635162|030408143532|8|||01 :169032|66800||030408143556|29|||81 :66724|169052|816995548951|030408143532|53|||01 :66231|169058|816995286907|030408143544|86|||01 :66389|169035|816990765075|030408143600|15|||01 :64024|169038|816995230954|030408143616|19|||01 :64020|169034|816998352333|030408143528|7|||01 :64073|169043|81690448370711|030408143612|33|||01 :169029|66648||030408143628|7|||81 :66878|169049|81690418554685|030408143600|30|||01 :8610|169053|81690412525000|030408143548|282|||01 :66872|169045|81691300369019|030408143632|98|||01 :66275|169047|81690419770142|030408143644|101|||01 :66338|169044|81690412035588|030408143636|9|||01 :169023|66938||030408143552|13|||81 :66938|169042|816990765938|030408143552|13|||01 :169027|66396||030408143652|13|||81 :169021|110057|81104|030408143636|204|||03 :66171|169040|816995984263|030408143704|31|||01 :66005|169031|816995256788|030408143700|15|||01 :66661|66611||030408143708|2|||89 :66835|169059|816995755309|030408143632|8|||01 :77147|1||030408143736|9|||89 :169033|110056|81100|030408143700|45|||03 :169014|66281||030408143700|45|||81 :66679|1||030408143704|1|||89 :66251|66680||030408143728|7|||89 :169011|66241||030408143712|3|||81 :66396|66608||030408143736|9|||89 :169003|66700||030408143712|3|||81 :8615|169055|816995881146|030408143700|75|||01 :8614|8610||030408143708|2|||89 :169025|77971||030408143732|8|||81 :66415|66661||030408143808|2|||89 :66314|77647||030408143936|24|||89 :66346|66854||030408143836|9|||89 :66763|66112||030408144028|37|||89 :8621|169051|816992651524|030408143744|71|||01 :66393|169045|816990139791|030408143720|5|||01 :66218|169036|816996694192|030408143756|44|||01 :169005|66618||030408143756|14|||81 :66336|66777||030408143828|7|||89 :1|66623||030408143820|5|||89 :66811|66330||030408144300|75|||89 :66422|169054|81690414405801|030408143736|24|||01 :66021|66804||030408144128|52|||89 :169007|66679||030408143752|13|||81 :64020|169058|816995636226|030408143748|27|||01 :169024|66834||030408143748|12|||81 :66171|169044|816998985769|030408143736|9|||01 :169026|66225||030408143832|8|||81 :66769|169052|816995343709|030408143836|24|||01 :66336|66281||030408143812|3|||89 :169008|66158||030408143804|1|||81 :66223|169046|816995908302|030408143836|114|||01 :66737|169060|816995941466|030408143848|237|||01 :8619|169059|8169131314|030408143844|26|||01 :66428|169037|816925|030408143912|63|||01 :169001|66618||030408143920|5|||81 :64065|169047|816990968406|030408143904|31|||01 :8611|169039|816995960955|030408143844|161|||01 :8014|169050|816996909144|030408143916|94|||01 :169020|66866||030408143904|1|||81 :77643|66631||030408143924|6|||89 :66680|169060|816995330404|030408143908|2|||01 :66171|169058|816998085769|030408143856|14|||01 :66878|169045|816959965661|030408143940|10|||01 :66119|169054|816995283791|030408143940|25|||01 :66342|169053|8169131008|030408143932|53|||01 :66459|169060|816995325631|030408144012|3|||01 :8617|169052|816997918872|030408143940|10|||01 :8619|169059|8169131314|030408143948|12|||01 :66183|169049|816990763812|030408144012|48|||01 :169015|66866||030408144000|15|||81 :66273|169043|81691300658783|030408144024|21|||01 :169012|66666||030408144028|7|||81 :8165|169050|816995768218|030408144016|4|||01 :66332|169060|81690409889688|030408144016|4|||01 :1|66623||030408144048|12|||89 :64052|169053|81690448509063|030408144008|2|||01 :169018|66820||030408144052|73|||81 :66151|66326||030408144132|8|||89 :169010|66804||030408144052|43|||81 :66198|169047|816995443140|030408144104|16|||01 :8619|169052|816913131|030408144128|7|||01 :66183|169060|816995551982|030408144112|3|||01 :66366|66621||030408144124|6|||89 :169019|66648||030408144132|23|||81 :66487|169054|816997646330|030408144124|21|||01 :1|77147||030408144148|12|||89 :66451|169050|81690409889688|030408144140|10|||01 :66373|169048|816997935744|030408144108|212|||01 :66245|169046|816994268702|030408144208|2|||01 :169004|66636||030408144128|22|||81 :169002|110051|8110|030408144144|41|||03 :169038|66854||030408144124|6|||81 :66242|169041|816995091053|030408144216|109|||01 :66198|169054|816995577052|030408144204|1|||01 :64011|169050|816990766000|030408144212|3|||01 :66750|169052|8169359|030408144156|14|||01 :1|77147||030408144216|4|||89 :66713|169043|816995551000|030408144212|3|||01 :66332|169060|81690409889688|030408144228|7|||01 :66363|169047|816995282077|030408144232|23|||01 :66899|169051|816999407807|030408144312|63|||01 :66867|66648||030408144348|12|||89 :64052|169053|816997873908|030408144304|31|||01 :66332|169060|81690409889688|030408144308|2|||01 :66178|169048|816995960412|030408144324|21|||01 :66342|77074||030408144304|1|||89 :169030|66342||030408144248|12|||81 :64007|169045|816995573806|030408144320|20|||01 :66451|169046|81690409889688|030408144256|14|||01 :66037|169052|816998186716|030408144316|4|||01 :66727|66456||030408144520|35|||89 :169027|66151||030408144336|9|||81 :66195|169054|81690404130888|030408144340|10|||01 :66005|169059|816995555377|030408144304|46|||01 :66119|169053|816995576313|030408144404|1|||01 :66826|66224||030408144528|22|||89 :64052|169048|81690448509063|030408144340|10|||01 :169021|66002||030408144436|9|||81 :169025|8610||030408145040|100|||81 :64059|1||030408144404|1|||89 :66223|169059|816995932477|030408144436|9|||01 :66151|169045|81690422568871|030408144424|6|||01 :66700|169060|816998086586|030408144416|19|||01 :66661|66611||030408144552|13|||89 :66271|169043|81690403423435|030408144432|8|||01 :66212|66341||030408144556|14|||89 :169032|66428||030408144440|55|||81 :66855|169044|816982907025|030408144516|94|||01 :66021|169054|816933|030408144520|20|||01 :66177|66136||030408144520|5|||89 :77149|77643||030408144512|3|||89 :66804|169047|81691300360929|030408144452|13|||01 :66336|66679||030408144520|5|||89 :169030|77074||030408144704|31|||81 :66183|169052|816995551987|030408144500|30|||01 :66872|169059|816995962853|030408144524|6|||01 :77149|77649||030408144608|2|||89 :66373|169048|816995081222|030408144528|22|||01 :66332|169047|81690409889688|030408144516|4|||01 :66373|169051|816995081222|030408144532|38|||01 :169014|66722||030408144612|3|||81 :169017|110056|8110|030408144540|10|||03 :169003|66012||030408144536|9|||81 :169016|66700||030408144608|2|||81 :66251|169058|816995555377|030408144624|96|||01 :66713|169047|816995255200|030408144616|4|||01 :169031|110059|8110|030408144624|36|||03 :169034|66804||030408144704|46|||81 :66021|66422||030408144836|24|||89 :66183|169048|816995551987|030408144644|11|||01 :169003|66123||030408144744|11|||81 :77068|169050|816998225470|030408144636|54|||01 :169007|1||030408144716|4|||82 :169023|66227||030408144700|75|||81 :66177|169052|81691800269040|030408144720|20|||01 :66338|169059|81691800224277|030408144728|22|||01 :66012|169052|81690418342636|030408144708|2|||01 :169005|66012||030408144752|13|||81 :66422|169045|8169204|030408144744|11|||01 :66332|169050|81690409889688|030408144704|1|||01 :8618|169056|816995582709|030408144724|231|||01 :169011|110052|81109|030408144712|33|||03 :66712|66340||030408144828|7|||89 :66631|77190||030408145020|35|||89 :66382|66322||030408144836|9|||89 :66712|169056|816995034487|030408144804|1|||01 :169026|110058|8110|030408144808|17|||03 :66137|66251||030408144844|11|||89 :169028|66619||030408144832|8|||81 :66155|1||030408144804|1|||89 :66870|169053|816995698934|030408144812|63|||01 :66866|169059|81690410560103|030408144816|4|||01 :66712|169056|816995318521|030408144904|1|||01 :66706|66330||030408144932|8|||89 :169036|169048|81690409192297|030408144832|23|||03 :169037|64019||030408144856|14|||81 :66785|77190||030408145040|25|||89 :169033|8012||030408144836|69|||81 :66139|169052|816988093059|030408144916|4|||01 :66322|66336||030408144912|3|||89 :66275|169059|816996532666|030408144904|16|||01 :169028|9||030408145020|20|||81 :66712|169056|816995922774|030408144936|9|||01 :66183|169053|816995345655|030408144956|14|||01 :66178|169050|816995960412|030408144936|24|||01 :169001|66218||030408145004|31|||81 :66801|169054|816995963767|030408144940|70|||01 :66712|169045|816995256450|030408145012|3|||01 :169019|66938||030408144936|9|||81 :66938|169048|816990765938|030408144936|9|||01 :169004|66002||030408145036|9|||81 :66427|1||030408145012|3|||89 :66871|77792||030408145052|13|||89 :66661|66611||030408145028|7|||89 :77071|169051|81691300664977|030408145032|68|||01 :66845|169056|81690408001422|030408145048|12|||01 :66713|66801||030408145136|9|||89 :169008|66309||030408145020|50|||81 :169041|66322||030408145036|9|||81 :77152|66195||030408145144|11|||89 :169002|8016||030408145056|14|||81 :66712|169054|816985744900|030408145040|10|||01 :66328|169053|816995281731|030408145108|17|||01 :169038|1||030408145040|10|||82 :66005|1||030408145104|1|||89 :66707|66251||030408145144|11|||89 :169018|66012||030408145100|30|||81 :169024|66155||030408145100|45|||81 :169042|66322||030408145108|2|||81 :77073|66790||030408145204|16|||89 :66712|169054|816995969492|030408145116|4|||01 :169029|110059|81105|030408145124|6|||03 :66332|169053|81690409889688|030408145104|1|||01 :66119|169060|816995237247|030408145152|103|||01 :66275|169051|816996879322|030408145144|11|||01 :66712|66382||030408145212|3|||89 :66854|169045|816995109124|030408145128|7|||01 :66664|66610||030408145348|27|||89 :66112|66012||030408145212|3|||89 :66851|169053|816987961506|030408145208|2|||01 :66871|169054|816994741568|030408145140|10|||01 :66610|169060|816992123000|030408145204|1|||01 :8008|66314||030408145428|22|||89 :66727|66422||030408145420|20|||89 :8165|169049|816998855553|030408145224|171|||01 :66497|169043|81690401670688|030408145300|15|||01 :66658|66608||030408145452|28|||89 :66338|169045|81690404880844|030408145244|11|||01 :66451|169053|81690409889688|030408145312|3|||01 :169021|66198||030408145308|17|||81 :66373|169060|816995235205|030408145340|10|||01 :66314|169049|81690411401299|030408145312|3|||01 :66130|169045|816995362748|030408145332|8|||01 :169006|66341||030408145336|69|||81 :66373|169033|816995319811|030408145400||||01 :77190|169037|81690411899838|030408145400||||01 :66336|169038|81691300888801|030408145336|9|||01 :77340|169053|816998117298|030408145336|9|||01 :77792|169049|81690439663936|030408145416|4|||01 :66789|66350||030408145416|4|||89 :66388|169054|816995785555|030408145348|27|||01 :169016|66093||030408145432|8|||81 :66093|169029|816990765093|030408145432|8|||01 :64052|169037|81690448509063|030408145408|2|||01 :169022|64059||030408145412|153|||81 :169032|66102||030408145436|24|||81 :66744|169046|816995966377|030408145400|165|||01 :66314|169036|81690411404299|030408145432|8|||01 :66177|66136||030408145552|13|||89 :66610|169049|816992123010|030408145408|2|||01 :66314|66373||030408145524|6|||89 :169014|66314||030408145508|17|||81 :66211|2||030408145516|4|||89 :66380|66474||030408145504|1|||89 :66324|169060|816990117200|030408145512|18|||01 :66139|169034|816999209098|030408145448|12|||01 :169040|66650||030408145452|163|||81 :8005|8008||030408145500||||89 :169003|8005||030408145516|4|||81 :66661|66395||030408145548|12|||89 :169007|66102||030408145532|8|||81 :8006|66340||030408145756|44|||89 :77190|169038|81690411899838|030408145456|14|||01 :66275|169060|816986601697|030408145516|4|||01 :169014|66373||030408145540|10|||81 :66380|169054|816990764743|030408145504|1|||01 :64059|66707||030408145540|10|||89 :66427|169050|816995081222|030408145512|78|||01 :169023|66012||030408145532|8|||81 :77792|169046|81690439663936|030408145512|3|||01 :66314|66205||030408145640|10|||89 :169039|66844||030408145536|114|||81 :66245|169052|816998452700|030408145528|97|||01 :77190|77810||030408145612|3|||89 :66151|169049|81690427562081|030408145548|12|||01 :169003|8008||030408145640|10|||81 :66342|169031|816995329900|030408145556|29|||01 :66271|169051|8169131312|030408145612|63|||01 :66617|2||030408145612|3|||89 :64005|169056|816995994006|030408145624|81|||01 :66451|169050|81690409889688|030408145604|1|||01 :169011|64039||030408145552|13|||81 :169015|66666||030408145628|7|||81 :169030|66846||030408145620|50|||81 :66661|66611||030408145712|3|||89 :169026|110058|8110|030408145608|17|||03 :66131|169060|81690404862564|030408145648|12|||01 :66338|169033|816995707345|030408145700|30|||01 :77792|169046|81690438663936|030408145636|9|||01 :169002|66315||030408145700||||81 :66610|169060|81690419770077|030408145704|1|||01 :77071|169053|816992651000|030408145700|15|||01 :66328|66727||030408145724|6|||89 :64070|169050|816998081544|030408145728|7|||01 :169010|110057|81107|030408145740|10|||03 :169005|66776||030408145724|21|||81 :66607|169051|8169918|030408145704|16|||01 :66844|66631||030408145828|22|||89 :169017|66032||030408145716|49|||81 :169001|77790||030408145656|14|||81 :64036|169054|816990381300|030408145800|30|||01 :169028|110056|81108|030408145748|27|||03 :169008|66666||030408145716|19|||81 :169025|66314||030408145752|73|||81 :169018|66204||030408145752|13|||81 :169029|66666||030408145816|4|||81 :77758|66619||030408145828|7|||89 :77071|169053|816992651000|030408145804|16|||01 :66700|169058|81690410170045|030408145756|179|||01 :64070|169046|816994187400|030408145820|5|||01 :66332|169039|81690409889688|030408145804|1|||01 :66707|169056|81690409251105|030408145824|36|||01 :169016|66322||030408145856|14|||81 :66278|169057|816996018222|030408145844|431|||01 :66102|66103||030408145900||||89 :66195|169058|816998825084|030408145924|6|||01 :169035|64045||030408145900|270|||81 :66161|66854||030408145944|11|||89 :66332|169056|81690409889688|030408145908|2|||01 :66338|169040|81690423042224|030408145928|37|||01 :8616|169059|816959752427|030408145904|151|||01 :169037|2||030408145932|8|||82 :77792|169051|816995696920|030408145940|25|||01 :77083|169038|816992773745|030408145932|23|||01 :66617|169045|81690421542526|030408145940|55|||01