:66332|169060|81690409889688|210408180008|2|||01 :169012|2||210408180044|11|||82 :66396|169059|816994043906|210408180052|13|||01 :169011|66741||210408180248|12|||81 :66811|169059|816995128266|210408180416|4|||01 :169051|66263||210408180412|3|||81 :66811|169058|816995128266|210408180444|11|||01 :66195|169060|81690430538093|210408180532|38|||01 :66342|77073||210408180500||||89 :169005|66342||210408180528|7|||81 :169029|2||210408180532|38|||82 :66877|169060|816995755386|210408180632|8|||01 :66877|169060|816987102808|210408180828|7|||01 :2|66707||210408180804|1|||89 :66705|2||210408180924|6|||89 :66877|169060|816992096394|210408181000|15|||01 :66332|169056|81690409889688|210408180904|1|||01 :169034|64060||210408180908|212|||81 :66137|169057|816970|210408181004|16|||01 :66707|169058|81690412055380|210408181124|36|||01 :66137|66423||210408181140|10|||89 :66179|169060|816998060977|210408181148|12|||01 :169016|66253||210408181148|12|||81 :169044|66744||210408181256|14|||81 :66021|169060|816998856862|210408181304|1|||01 :66393|2||210408181304|1|||89 :169050|66707||210408181416|4|||81 :169046|110059|81105|210408181420|20|||03 :169050|2||210408181536|9|||82 :169005|77073||210408182608|152|||81 :169004|66253||210408181520|35|||81 :66619|169060|816998132350|210408181528|22|||01 :169035|66625||210408181628|127|||81 :66385|2||210408181604|1|||89 :169009|66607||210408181648|12|||81 :66385|66395||210408181724|6|||89 :169021|66607||210408181736|9|||81 :64035|169059|816996909172|210408181756|209|||01 :66178|169060|816997235271|210408181828|7|||01 :169053|66341||210408181908|2|||81 :77648|66744||210408182524|51|||89 :169018|66860||210408182236|9|||81 :169003|66707||210408182316|4|||81 :66495|169060|816997939797|210408182336|24|||01 :169030|66717||210408182508|2|||81 :169048|66705||210408182608|17|||81 :66178|169060|816995329349|210408182624|6|||01 :66332|169059|81690409889688|210408182708|2|||01 :169049|66623||210408182716|34|||81 :169014|66625||210408182756|44|||81 :66342|77072||210408183000||||89 :169038|66342||210408182936|9|||81 :66613|66705||210408183208|17|||89 :66195|169060|816993699091|210408183104|1|||01 :66002|169059|816990761474|210408183116|4|||01 :77648|66395||210408183700|15|||89 :169038|77072||210408184420|110|||81 :77073|169060|816996453782|210408183732|23|||01 :169024|66336||210408183736|9|||81 :169010|66531||210408183832|8|||81 :66531|169059|816990765531|210408183832|8|||01 :66332|169060|81690409889688|210408183908|2|||01 :66402|169059|816998260606|210408183908|2|||01 :77901|2||210408184016|4|||89 :169002|66341||210408184040|55|||81 :169028|64060||210408184036|9|||81 :169019|66619||210408184104|121|||81 :66362|169060|8169235|210408184112|3|||01 :66335|2||210408184156|14|||89 :169023|66625||210408184212|18|||81 :2|66341||210408184224|6|||89 :169017|66341||210408184304|16|||81 :169008|110059|81105|210408184324|21|||03 :66761|66253||210408184420|5|||89 :66335|169060|81690416057540|210408184408|47|||01 :169027|66341||210408184536|9|||81 :66377|66761||210408184612|3|||89 :169022|66866||210408184548|12|||81 :66395|66340||210408184652|13|||89 :66332|169060|81690409889688|210408184704|1|||01 :66195|66395||210408184908|2|||89 :169025|66625||210408185028|22|||81 :66684|66395||210408185120|5|||89 :66253|169059|8169132265|210408185040|10|||01 :169043|66342||210408185220|5|||81 :66329|169060|816997027717|210408185220|50|||01 :66623|2||210408185308|2|||89 :169039|66744||210408185228|7|||81 :66329|169060|816997027717|210408185324|6|||01 :169007|66625||210408185432|53|||81 :66623|66342||210408185716|34|||89 :169006|66253||210408185928|37|||81