:2|66100||070408190200||||89 :169046|66713||070408190148|12|||81 :169021|66100||070408190528|52|||81 :66326|169060|816995153787|070408190512|48|||01 :66761|169059|816994342849|070408190608|62|||01 :66705|2||070408190952|13|||89 :66656|169058|816997027717|070408191024|6|||01 :169002|66063||070408191240|40|||81 :66063|169059|816990765063|070408191240|40|||01 :66705|169060|81690420668969|070408191304|61|||01 :66335|66341||070408191536|9|||89 :66332|169060|81690409889688|070408191604|1|||01 :169030|66395||070408191840|10|||81 :66762|2||070408192320|5|||89 :66707|169060|816995330238|070408192416|64|||01 :169016|66705||070408192652|13|||81 :169053|110059|81101|070408192740|25|||03 :169055|66253||070408192824|21|||81 :169036|66335||070408193016|94|||81 :169039|66382||070408193056|14|||81 :169040|66249||070408193132|8|||81 :66830|169060|816994087246|070408193528|82|||01 :66177|66126||070408193620|5|||89 :169038|66335||070408193536|9|||81 :66335|66253||070408193800||||89 :66423|66382||070408194056|29|||89 :64035|169060|816995571911|070408193952|13|||01 :169044|66762||070408194016|19|||81 :66423|66395||070408194400|30|||89 :66892|169059|816997414169|070408194220|155|||01 :66423|66713||070408194316|4|||89 :66623|169060|816995720436|070408194404|1|||01 :66423|169059|81690439381275|070408194316|4|||01 :66762|2||070408194424|6|||89 :66623|169060|816995720436|070408194416|4|||01 :66382|2||070408194416|4|||89 :66423|169060|816995370858|070408194424|6|||01 :66762|169059|81690422474662|070408194428|7|||01 :169054|66197||070408194552|13|||81 :169048|66625||070408194624|96|||81 :66382|169060|816985026395|070408194736|24|||01 :66423|66707||070408195244|26|||89 :169037|66341||070408195224|6|||81 :169010|66531||070408195256|14|||81 :66531|169060|816990765531|070408195256|14|||01 :66635|169060|816990766003|070408195612|3|||01 :169042|66003||070408195616|4|||81 :66149|2||070408195704|1|||89 :66714|169060|81691800222149|070408195824|6|||01 :169011|66149||070408195804|16|||81 :9|106003|810610662863|070408195908|2|||01