:66846|66423||030408170032|53|||89 :169039|66718||030408170212|48|||81 :66414|66336||030408170328|52|||89 :169019|66395||030408170028|7|||81 :66251|66617||030408170016|4|||89 :66292|169059|816995692183|030408170004|1|||01 :66221|169057|81690409355677|030408170104|1|||01 :66644|169046|81690407871717|030408170112|18|||01 :66872|169050|816992257112|030408170100|30|||01 :66174|169048|816990932000|030408170132|23|||01 :66804|169052|816995784320|030408170052|43|||01 :66467|169051|816995199700|030408170132|53|||01 :66801|66660||030408170616|64|||89 :66423|66713||030408170324|21|||89 :66153|169059|81690418130793|030408170152|13|||01 :66630|169055|816990924587|030408170216|4|||01 :169047|66866||030408171728|217|||81 :169022|66349||030408170236|9|||81 :66804|169055|816995714046|030408170344|11|||01 :66428|169058|816992651250|030408170412|48|||01 :66481|169056|81690422554041|030408170416|79|||01 :169040|66713||030408170424|6|||81 :66451|169058|81690409889688|030408170504|1|||01 :66856|66338||030408170756|44|||89 :169041|66670||030408170456|614|||81 :169008|66467||030408170512|3|||81 :66446|169057|81690293681200|030408170512|63|||01 :169017|66938||030408170520|5|||81 :66938|169055|816990765938|030408170520|5|||01 :169044|66139||030408170536|24|||81 :66332|169053|81690409889688|030408170612|3|||01 :66255|77030||030408170732|23|||89 :66804|169058|816995781068|030408170616|19|||01 :66326|2||030408170708|2|||89 :66610|169057|81690419770077|030408170620|5|||01 :66328|2||030408170752|13|||89 :2|66326||030408170700||||89 :66680|169060|816984701111|030408170752|163|||01 :169029|66865||030408170720|35|||81 :169015|66465||030408170716|4|||81 :66373|169059|816995784101|030408170720|80|||01 :169033|8014||030408170748|12|||81 :66332|169060|81690409889688|030408170804|1|||01 :66093|169056|816990765093|030408170844|56|||01 :66610|169057|816995316328|030408170808|17|||01 :169025|66195||030408170836|24|||81 :66195|169058|81690409132605|030408170836|24|||01 :66804|169060|816995723776|030408170836|9|||01 :66610|169058|81690417302391|030408170920|5|||01 :169037|66326||030408170908|32|||81 :66332|169060|81690409889688|030408170908|2|||01 :169038|66829||030408170928|22|||81 :169026|77147||030408170956|224|||81 :66326|169060|816994295677|030408171048|12|||01 :169013|110059|8110|030408171040|190|||03 :77661|169057|81690404816327|030408171104|1|||01 :66288|169054|81691300138960|030408171032|83|||01 :169035|66700||030408171124|6|||81 :66804|169058|816995966551|030408171108|17|||01 :77661|2||030408171120|5|||89 :66373|169059|816995639411|030408171148|57|||01 :169018|66140||030408171204|1|||81 :169007|66335||030408171212|48|||81 :66177|169060|816992846797|030408171240|25|||01 :66613|2||030408171356|14|||89 :169009|66166||030408171304|16|||81 :66804|169057|816995238887|030408171244|11|||01 :66332|169060|81690409889688|030408171312|3|||01 :66423|169060|816995921580|030408171316|4|||01 :66326|169057|816995782027|030408171320|5|||01 :66213|77661||030408171440|10|||89 :169010|66718||030408171400|90|||81 :169045|110059|8110|030408171436|24|||03 :66332|169055|81690409889688|030408171420|5|||01 :66804|169054|816995714995|030408171440|10|||01 :66219|169056|81690419394714|030408171452|43|||01 :66272|169059|816995710303|030408171432|38|||01 :64054|169060|81690418531027|030408171504|1|||01 :66332|169059|81690409889688|030408171504|1|||01 :169006|110059|81106|030408171552|13|||03 :66804|169059|816995534544|030408171504|1|||01 :77661|169060|816995096630|030408171544|11|||01 :169030|66465||030408171636|9|||81 :169012|66713||030408171604|16|||81 :169005|66343||030408171624|6|||81 :66804|169059|816995710458|030408171644|11|||01 :66888|169059|81690425725765|030408171728|7|||01 :66605|169058|816993873414|030408171756|89|||01 :169023|66727||030408171808|2|||81 :169036|66664||030408171744|206|||81 :66804|169060|816995281606|030408171844|11|||01 :66680|169060|816995239314|030408171920|5|||01 :66617|66613||030408172008|17|||89 :66357|169057|816995273783|030408171920|50|||01 :169032|66355||030408171920|5|||81 :169016|66322||030408172004|16|||81 :77055|77147||030408172108|17|||89 :66804|169060|816995681220|030408172036|9|||01 :66177|169056|816995965458|030408172024|21|||01 :2|66423||030408172104|1|||89 :64054|169054|816985856028|030408172104|1|||01 :66872|2||030408172104|1|||89 :66005|169059|816995962375|030408172100|15|||01 :66717|66136||030408172724|96|||89 :169021|66290||030408172104|46|||81 :64056|169058|816959762627|030408172056|44|||01 :66332|169060|81690409889688|030408172104|1|||01 :66429|169057|816995847730|030408172140|25|||01 :169049|77054||030408172208|2|||81 :169019|2||030408172256|14|||82 :66804|169058|816995783808|030408172240|10|||01 :169046|66263||030408172208|2|||81 :66878|169054|816959965661|030408172252|13|||01 :66706|66613||030408172420|20|||89 :66136|66428||030408172448|27|||89 :169011|66423||030408172348|42|||81 :66605|169056|8169133282|030408172404|31|||01 :169001|66209||030408172332|23|||81 :169052|66178||030408172416|4|||81 :2|66326||030408172404|1|||89 :66136|66413||030408172544|11|||89 :66336|169060|81691300888801|030408172500|45|||01 :66245|169057|816994845275|030408172420|35|||01 :66419|66253||030408172636|24|||89 :169024|110059|8110|030408172536|9|||03 :66804|169056|816985089485|030408172552|13|||01 :66635|66435||030408172616|4|||89 :169048|66326||030408172520|20|||81 :66021|169058|816998075569|030408172620|35|||01 :66635|169060|816995329349|030408172620|5|||01 :169027|66314||030408172724|6|||81 :66373|169055|816998047125|030408172656|119|||01 :66136|66161||030408172848|27|||89 :66635|169057|816995329349|030408172720|5|||01 :169047|66207||030408172656|14|||81 :66658|169056|816998187874|030408172740|10|||01 :66422|77193||030408172800||||89 :66167|169058|816998029264|030408172808|17|||01 :66635|169057|816995329349|030408172820|5|||01 :66878|169056|816997072108|030408172832|8|||01 :66804|169058|816997953661|030408172824|6|||01 :64054|169058|81691300653356|030408172912|3|||01 :66635|169052|816995329349|030408172820|5|||01 :66326|169053|816995274355|030408172920|20|||01 :66373|169056|816995703184|030408172948|12|||01 :169022|66346||030408172928|7|||81 :169050|66340||030408173016|94|||81 :66326|169058|816995942770|030408173008|2|||01 :66161|66854||030408173040|10|||89 :169017|66026||030408173016|4|||81 :66451|169053|81690409889688|030408173104|1|||01 :66395|169058|816995271100|030408173112|3|||01 :169008|2||030408173044|11|||82 :77096|169056|816995786721|030408173124|6|||01 :66161|66183||030408173136|9|||89 :64054|169058|81691300555526|030408173120|5|||01 :66395|169052|816995230266|030408173124|6|||01 :66326|169053|816995942775|030408173140|10|||01 :66410|2||030408173204|1|||89 :2|66410||030408173200||||89 :66036|169059|81690403344707|030408173252|163|||01 :66161|66183||030408173336|9|||89 :66727|169057|816995340635|030408173244|71|||01 :66725|66361||030408173340|10|||89 :66161|66890||030408173328|7|||89 :66835|169059|816995931962|030408173352|13|||01 :66405|66820||030408173440|10|||89 :169014|66744||030408173424|51|||81 :66251|169059|81691800331719|030408173428|7|||01 :66161|66854||030408173544|11|||89 :2|169058|8169132227|030408173500|30|||02 :169048|77074||030408174436|144|||81 :66153|169055|8169132244|030408173516|124|||01 :66102|66342||030408173844|41|||89 :66429|169059|816995216210|030408173612|3|||01 :169025|66744||030408173544|11|||81 :66635|169058|816995329349|030408173620|5|||01 :169037|66938||030408173628|7|||81 :66938|169055|816990765938|030408173628|7|||01 :169038|66428||030408173812|18|||81 :169035|66335||030408173856|14|||81 :66329|169055|816995781950|030408173928|22|||01 :66423|169060|816995921580|030408174000|195|||01 :169040|66410||030408173924|111|||81 :66153|169058|81691800148148|030408174032|53|||01 :169002|110059|81101|030408174000|120|||03 :169018|110058|8110|030408174024|6|||03 :64059|169054|816995512018|030408174044|206|||01 :66423|66335||030408174136|9|||89 :169010|66329||030408174116|4|||81 :66675|169060|816997881269|030408174044|11|||01 :66169|169059|816995629222|030408174116|79|||01 :66410|169054|816995966826|030408174120|5|||01 :169043|66342||030408174128|22|||81 :66429|169056|81690422688422|030408174116|79|||01 :169045|110059|8110|030408174212|3|||03 :66373|169057|816995572888|030408174152|118|||01 :64059|169055|816997351527|030408174148|12|||01 :169034|110059|8110|030408174228|7|||03 :169009|66335||030408174312|18|||81 :66332|169060|81690409889688|030408174304|1|||01 :169007|66382||030408174352|43|||81 :169031|110058|8110|030408174344|11|||03 :66654|169060|816995340247|030408174408|17|||01 :169005|66253||030408174428|7|||81 :66332|169060|81690409889688|030408174504|1|||01 :169036|110058|8110|030408174452|13|||03 :8615|169053|81690419770123|030408174528|97|||01 :66251|169052|81691300361138|030408174620|95|||01 :169032|66329||030408174544|11|||81 :66253|169060|816996463838|030408174640|10|||01 :169016|110058|8110|030408174708|17|||03 :66335|2||030408174712|3|||89 :66185|66617||030408174928|37|||89 :169039|66762||030408174804|16|||81 :66255|169060|816998172429|030408174900|15|||01 :66325|2||030408175016|4|||89 :169004|110058|81109|030408175104|1|||03 :169021|66428||030408175148|27|||81 :169049|66100||030408175120|5|||81 :169051|66263||030408175216|424|||81 :169019|66280||030408175228|7|||81 :66136|66161||030408175328|7|||89 :169028|66335||030408175312|33|||81 :66613|66341||030408175516|19|||89 :66727|66263||030408175404|1|||89 :169046|66207||030408175520|5|||81 :2|169060|8169132227|030408175552|13|||02 :66332|169060|81690409889688|030408175704|1|||01 :169042|66263||030408175704|1|||81 :66451|169060|81690409889688|030408175736|9|||01 :169011|66246||030408175736|9|||81 :66255|2||030408175908|2|||89 :169024|66625||030408175936|9|||81