:66820|66424||010409090152|133|||89 :77758|2||010409090004|1|||89 :66651|66386||010409090344|56|||89 :66800|169050|816996546799|010409090028|7|||01 :66610|169055|816998204064|010409090000|45|||01 :77065|66661||010409090144|26|||89 :169007|77758||010409090040|10|||81 :64035|169058|816985175777|010409090028|22|||01 :66680|169053|816995273521|010409090004|16|||01 :66102|66103||010409090104|1|||89 :169032|66117||010409090028|7|||81 :169012|66227||010409090304|31|||81 :66741|169059|81690415474188|010409090128|67|||01 :169009|66660||010409090108|122|||81 :66246|169055|816957721748|010409090040|10|||01 :169044|66832||010409090108|2|||81 :66631|169049|816949|010409090140|40|||01 :66762|66611||010409090148|12|||89 :169027|66801||010409090132|8|||81 :66192|66713||010409090200|15|||89 :66204|66712||010409090144|11|||89 :169025|66340||010409090128|37|||81 :66121|169059|816995231342|010409090236|9|||01 :66657|169051|816997753675|010409090236|39|||01 :66448|2||010409090216|4|||89 :66273|169060|816997660661|010409090236|39|||01 :169011|66259||010409090240|10|||81 :77810|169046|816995787608|010409090224|6|||01 :169038|64045||010409090320|20|||81 :169035|66631||010409090324|6|||81 :66611|66705||010409090348|12|||89 :66851|169053|816997881378|010409090320|20|||01 :169018|66321||010409090244|11|||81 :66684|66396||010409090612|48|||89 :169047|66127||010409090308|32|||81 :66192|66762||010409090428|22|||89 :66121|66773||010409090436|9|||89 :169042|66168||010409090344|11|||81 :66100|169058|816995847894|010409090356|44|||01 :66651|77434||010409090416|4|||89 :66878|169058|816995340981|010409090408|2|||01 :66684|66387||010409090412|3|||89 :66215|169050|81690419336580|010409090356|29|||01 :169034|66218||010409090404|16|||81 :66192|66744||010409090416|4|||89 :77758|66611||010409090404|1|||89 :169006|8018||010409090456|44|||81 :169008|66267||010409090444|11|||81 :66713|77147||010409090516|4|||89 :169033|66762||010409090408|17|||81 :169043|66623||010409090508|2|||81 :66741|2||010409090512|3|||89 :8610|169060|81691300464663|010409090448|27|||01 :169026|66804||010409090532|8|||81 :66325|66287||010409090520|5|||89 :66717|169051|816995329349|010409090520|5|||01 :66741|2||010409090512|3|||89 :66312|66712||010409090520|5|||89 :66396|169053|816995255200|010409090604|16|||01 :66325|66128||010409090612|3|||89 :66878|169058|816992389600|010409090536|24|||01 :66762|66611||010409090640|10|||89 :169020|66776||010409090548|12|||81 :66741|169060|81690415474188|010409090540|10|||01 :66845|66619||010409090716|19|||89 :66497|66631||010409090732|23|||89 :169037|66938||010409090620|20|||81 :66938|169050|816990765938|010409090620|20|||01 :169001|66314||010409090616|19|||81 :66841|169048|81691300040506|010409090612|63|||01 :66325|66128||010409090620|5|||89 :169005|77054||010409090604|16|||81 :66270|66341||010409090720|5|||89 :169022|64046||010409090712|18|||81 :169041|66322||010409090720|5|||81 :169034|66215||010409090940|40|||81 :66427|169058|816993871000|010409090704|16|||01 :169017|66938||010409090728|7|||81 :66938|169060|816990765938|010409090728|7|||01 :8010|8007||010409090916|34|||89 :169019|66648||010409090720|20|||81 :169014|66314||010409090724|36|||81 :66203|2||010409090708|2|||89 :169023|66322||010409090740|100|||81 :66663|169055|8169132200|010409090704|91|||01 :169003|64017||010409090712|3|||81 :66003|169058|8169029|010409090724|6|||01 :64086|169060|81690417038473|010409090728|7|||01 :66396|66631||010409090916|19|||89 :169024|110057|81101|010409090808|17|||03 :64020|169059|816995285821|010409090752|73|||01 :169039|2||010409090808|2|||82 :169015|66343||010409090836|9|||81 :66357|2||010409090804|1|||89 :169030|77790||010409090828|22|||81 :66260|169051|816995782561|010409090848|42|||01 :66203|66322||010409091004|16|||89 :169031|66192||010409090912|3|||81 :169028|110056|81101|010409090916|19|||03 :110001|169058|81690410505706|010409090836|9|||03 :66499|169053|816995349266|010409090840|25|||01 :169029|66791||010409090908|2|||81 :66192|66619||010409091052|28|||89 :66448|169051|81690419517230|010409090920|5|||01 :169040|66938||010409090948|12|||81 :66938|169059|816990765938|010409090948|12|||01 :169012|66666||010409090932|8|||81 :66784|66855||010409091432|68|||89 :77281|2||010409091016|4|||89 :66003|169053|8169029|010409091000||||01 :169038|110059|81103|010409091004|1|||03 :66287|169055|81690427004731|010409090956|14|||01 :169007|66102||010409091008|17|||81 :169035|66619||010409091012|3|||81 :169032|66657||010409091028|22|||81 :169047|110059|81103|010409091104|1|||03 :66312|169051|81690423644199|010409091024|6|||01 :169042|110058|81101|010409091120|5|||03 :66304|2||010409091104|1|||89 :169018|66263||010409091036|9|||81 :66183|66854||010409091124|6|||89 :66448|169059|81690419571230|010409091132|23|||01 :66322|66651||010409091332|38|||89 :169012|66751||010409091256|29|||81 :66403|169053|81690358252593|010409091156|14|||01 :169016|66063||010409091120|5|||81 :66063|169059|816990765063|010409091120|5|||01 :66342|169055|816998761843|010409091148|12|||01 :169008|66681||010409091124|6|||81 :169046|66192||010409091144|26|||81 :66322|66744||010409091232|8|||89 :66874|169048|816995682599|010409091228|7|||01 :66205|169056|81690414405167|010409091208|227|||01 :66304|169050|81690404816339|010409091156|14|||01 :66382|169047|816995286708|010409091144|11|||01 :169035|66741||010409091344|26|||81 :66332|169046|81690409889688|010409091208|2|||01 :169020|2||010409091216|4|||82 :66804|169051|816995783512|010409091224|21|||01 :169011|66742||010409091256|44|||81 :66878|169049|816995340981|010409091256|29|||01 :66249|169055|816998873770|010409091232|8|||01 :169037|64036||010409091320|5|||81 :77083|169059|816992773745|010409091308|17|||01 :169044|77790||010409091312|63|||81 :8612|8615||010409091548|27|||89 :66348|169060|816995338512|010409091340|85|||01 :66192|77068||010409091420|5|||89 :169009|77971||010409091352|73|||81 :169034|110056|81102|010409091428|7|||03 :66718|169056|816995251941|010409091332|8|||01 :169027|66666||010409091348|72|||81 :169022|110058|81101|010409091400|15|||03 :169033|66314||010409091432|38|||81 :66192|66342||010409091412|3|||89 :66215|169060|81690412366273|010409091408|2|||01 :169019|66776||010409091412|3|||81 :66031|77147||010409091444|11|||89 :169041|66675||010409091504|16|||81 :66712|169051|816995095067|010409091452|28|||01 :64002|169050|81691300362455|010409091456|29|||01 :66718|169047|816995293586|010409091436|9|||01 :66007|169055|816996929400|010409091444|11|||01 :169017|66012||010409091452|13|||81 :8610|169059|816959863326|010409091436|24|||01 :66215|169060|816996822400|010409091512|3|||01 :169014|66776||010409091504|1|||81 :66137|66251||010409091536|9|||89 :66762|169058|81690409700665|010409091508|92|||01 :169027|66123||010409091616|19|||81 :66611|66253||010409091608|2|||89 :66332|169060|81690409889688|010409091608|2|||01 :66727|66342||010409091612|3|||89 :66631|169046|816996909144|010409091548|27|||01 :169004|66032||010409091636|144|||81 :169023|66465||010409091644|11|||81 :77069|169060|816995782140|010409091608|2|||01 :66183|66350||010409091624|6|||89 :169039|66873||010409091608|2|||81 :64071|64073||010409091912|48|||89 :66003|169043|8169029|010409091656|29|||01 :77810|77190||010409091808|17|||89 :66663|169053|8169132200|010409091716|79|||01 :66680|169051|816995278342|010409091640|10|||01 :66349|169045|81691300875500|010409091700|75|||01 :66192|66396||010409091928|37|||89 :77643|66117||010409091736|9|||89 :66381|66314||010409091752|13|||89 :169010|66880||010409091648|12|||81 :66874|169055|816995682599|010409091724|6|||01 :66285|66707||010409091848|27|||89 :66789|66026||010409091816|4|||89 :169031|66867||010409091736|9|||81 :66734|169058|816985747100|010409091736|24|||01 :169030|66012||010409091728|7|||81 :66007|169053|816998047655|010409091808|2|||01 :66332|169051|81690409889688|010409091808|2|||01 :66727|169050|816995782034|010409091752|28|||01 :66032|66718||010409091948|27|||89 :66100|66459||010409091924|21|||89 :66467|169055|816995001516|010409091852|13|||01 :66478|66619||010409092436|84|||89 :169038|66012||010409091904|1|||81 :66263|169056|81690412696639|010409091840|70|||01 :66368|169049|8169136150|010409091856|89|||01 :66150|169058|816995714225|010409091840|10|||01 :66874|169053|816995251300|010409091900|15|||01 :169029|66260||010409091920|20|||81 :64020|169050|816995710692|010409091932|8|||01 :66486|77147||010409091916|4|||89 :64035|169048|816985175999|010409091916|79|||01 :169007|110058|81105|010409091944|11|||03 :169005|110059|8110|010409091948|102|||03 :66832|169046|81690881616758|010409091952|13|||01 :169032|66242||010409092000|15|||81 :169028|66762||010409091936|39|||81 :66478|169056|816995556777|010409091944|11|||01 :169015|66666||010409092028|52|||81 :66842|169060|81690431645214|010409092020|35|||01 :8205|169051|816995629401|010409091940|25|||01 :64020|169058|81690439393917|010409092032|8|||01 :169018|66012||010409092028|7|||81 :77040|2||010409092112|3|||89 :169003|66482||010409092048|72|||81 :66368|169053|816995348166|010409092104|16|||01 :77758|66218||010409092120|5|||89 :77040|169050|81690418747266|010409092116|4|||01 :169012|66631||010409092116|4|||81 :66718|66301||010409092120|5|||89 :169042|66364||010409092040|25|||81 :66789|66350||010409092116|4|||89 :169016|66287||010409092128|7|||81 :2|77040||010409092120|5|||89 :169050|77040||010409092116|4|||81 :169008|66938||010409092132|8|||81 :66938|169049|816990765938|010409092132|8|||01 :66874|169055|816995340981|010409092140|25|||01 :66237|66107||010409092144|11|||89 :77040|2||010409092108|2|||89 :66007|169053|816995339874|010409092124|6|||01 :66648|66218||010409092248|12|||89 :169035|77054||010409092128|7|||81 :169036|66314||010409092204|16|||81 :66848|169050|81691300732744|010409092116|4|||01 :66150|169051|816995855614|010409092156|14|||01 :66287|77190||010409092220|5|||89 :66025|66263||010409092204|1|||89 :169034|66791||010409092204|1|||81 :169037|66102||010409092208|2|||81 :66326|169059|81691800007656|010409092240|100|||01 :77758|64086||010409092324|21|||89 :169009|66287||010409092236|9|||81 :169011|66744||010409092244|11|||81 :66605|169055|816998900571|010409092208|17|||01 :169021|110056|8110|010409092204|46|||03 :169039|110054|81103|010409092216|4|||03 :66368|169047|816995302643|010409092312|18|||01 :169041|2||010409092240|10|||82 :77810|169048|816995787608|010409092300|30|||01 :169020|110059|81101|010409092240|25|||03 :169001|66314||010409092320|20|||81 :169027|66322||010409092328|7|||81 :64020|169053|816995704343|010409092316|19|||01 :169033|66232||010409092340|25|||81 :66031|66657||010409092508|17|||89 :169044|66631||010409092312|18|||81 :77040|169049|81690418747266|010409092328|37|||01 :169043|77054||010409092400|15|||81 :66314|66454||010409092436|9|||89 :66012|169046|81690438708408|010409092432|8|||01 :66177|66350||010409092428|7|||89 :169037|66105||010409092604|31|||81 :66446|169059|81690412043261|010409092408|17|||01 :169006|66166||010409092420|65|||81 :77810|169044|816983456661|010409092440|10|||01 :66183|66350||010409092520|5|||89 :169004|66281||010409092524|36|||81 :66137|66210||010409092524|6|||89 :169038|110060|81102|010409092512|3|||03 :66789|169051|816985175790|010409092524|51|||01 :66396|66387||010409092604|1|||89 :169030|66396||010409092540|25|||81 :169002|66877||010409092524|531|||81 :66270|66272||010409092608|2|||89 :169005|66270||010409092520|5|||81 :66221|169047|816995278886|010409092604|31|||01 :169029|66003||010409092544|11|||81 :66304|66459||010409093316|109|||89 :66762|77147||010409092616|4|||89 :169045|66314||010409092548|42|||81 :66804|169044|816995782580|010409092548|12|||01 :169010|110059|81107|010409092536|39|||03 :66446|169041|81690412043261|010409092540|10|||01 :77081|66239||010409093056|74|||89 :66842|169056|81690409568337|010409092616|79|||01 :169032|66938||010409092540|10|||81 :66938|169039|816990765938|010409092540|10|||01 :66314|64020||010409092604|1|||89 :169031|66314||010409092604|31|||81 :64024|169058|816995555377|010409092552|88|||01 :66427|169043|816995462214|010409092608|17|||01 :169017|66664||010409092556|44|||81 :66368|169053|816993296733|010409092648|42|||01 :66314|66454||010409092604|1|||89 :169040|66314||010409092620|35|||81 :64035|169038|816985175999|010409092608|17|||01 :66718|66725||010409093240|85|||89 :169024|66322||010409092640|160|||81 :169018|66002||010409092636|9|||81 :77999|169049|81690287783190|010409092632|38|||01 :66395|169053|8169132221|010409092712|3|||01 :66366|169059|816998855153|010409092704|31|||01 :66005|169045|816995713152|010409092700||||01 :66289|169046|816997794943|010409092632|38|||01 :66314|66348||010409092704|1|||89 :64028|66314||010409092856|29|||89 :66218|169050|81690411114820|010409092640|70|||01 :66830|169053|816994087246|010409092716|4|||01 :66851|169043|816959771678|010409092708|2|||01 :169023|110055|8110|010409092704|76|||03 :169003|110060|8110|010409092804|16|||03 :66234|66261||010409092832|8|||89 :66717|169049|816992651297|010409092748|12|||01 :66741|2||010409092808|2|||89 :169036|66126||010409092808|2|||81 :66263|66025||010409093204|61|||89 :66661|66611||010409092908|17|||89 :169016|66322||010409092804|16|||81 :169026|110059|81102|010409092820|5|||03 :169031|64020||010409092948|27|||81 :169005|66272||010409093028|37|||81 :66332|169049|81690409889688|010409092808|2|||01 :169022|2||010409092812|3|||82 :66830|169043|816995523521|010409092816|4|||01 :66032|66718||010409092812|3|||89 :77810|169050|816995286416|010409092836|9|||01 :66303|66890||010409092956|14|||89 :66205|66314||010409092956|14|||89 :169030|66387||010409093220|50|||81 :169021|66457||010409092836|9|||81 :66619|66661||010409092916|4|||89 :66100|66459||010409093040|25|||89 :64035|2||010409092904|1|||89 :66349|66604||010409092900||||89 :169034|66349||010409092836|9|||81 :66119|169056|816995692776|010409092840|40|||01 :66033|169049|81690413175067|010409092900||||01 :77790|169050|81690432071806|010409092932|8|||01 :169007|66804||010409092916|4|||81 :169011|66002||010409092908|17|||81 :169020|66012||010409092856|14|||81 :169004|66873||010409092912|3|||81 :66718|66192||010409093004|16|||89 :169037|66117||010409092924|6|||81 :66657|169044|816995782027|010409092944|41|||01 :66804|77810||010409093008|2|||89 :66368|169046|81690249672529|010409092924|36|||01 :66663|169060|816995962853|010409092928|142|||01 :66261|64086||010409093052|13|||89 :66742|169053|816995285821|010409092956|29|||01 :64007|169060|81690419392022|010409093008|2|||01 :66155|66226||010409093056|14|||89 :66174|169055|816995696699|010409092944|101|||01 :66368|2||010409093004|1|||89 :66872|169041|816995987069|010409093016|34|||01 :66741|169045|81690419386199|010409093008|32|||01 :169002|66762||010409093000|15|||81 :64066|66314||010409093040|10|||89 :2|64038||010409093008|2|||89 :66322|169038|816995518158|010409093008|32|||01 :66152|169051|816996039500|010409093048|72|||01 :66866|169056|81691300369193|010409093008|17|||01 :66259|169050|816986271724|010409093008|17|||01 :169029|66314||010409093104|16|||81 :64024|169049|816988255833|010409093120|20|||01 :169033|66368||010409093048|12|||81 :66389|169055|816995345655|010409093132|8|||01 :169019|110057|8110|010409093100|135|||03 :64035|2||010409093100||||89 :64071|169056|81690417144449|010409093112|3|||01 :66322|169051|81690438372361|010409093120|5|||01 :66872|169060|816995331111|010409093144|11|||01 :8610|169045|816997997374|010409093128|7|||01 :169028|110060|81101|010409093140|25|||03 :64057|169047|816995249500|010409093120|80|||01 :66774|64073||010409093236|24|||89 :169012|66873||010409093148|12|||81 :77190|66223||010409093208|2|||89 :169024|110056|8110|010409093200|15|||03 :66272|169055|81690404816336|010409093136|9|||01 :66389|66210||010409093216|4|||89 :66635|66350||010409093216|4|||89 :169032|66342||010409093128|22|||81 :66619|169053|816998789191|010409093200|30|||01 :66888|169041|816997678778|010409093128|7|||01 :169059|77810||010409093704|76|||81 :169027|77971||010409093144|56|||81 :169035|64055||010409093212|18|||81 :66143|169056|81691300762338|010409093232|8|||01 :66742|77190||010409093232|8|||89 :66789|169046|816995212740|010409093236|24|||01 :66713|66229||010409093244|11|||89 :169048|8205||010409094124|141|||81 :64024|169049|816998894042|010409093212|18|||01 :66155|66287||010409093304|1|||89 :169026|110057|81101|010409093228|7|||03 :66304|2||010409093308|2|||89 :66249|169056|816998706371|010409093232|8|||01 :66846|66611||010409093308|2|||89 :66007|169048|816996929400|010409093316|4|||01 :169010|77971||010409093328|52|||81 :66246|169051|816957721748|010409093324|21|||01 :169003|66314||010409093316|34|||81 :8615|169047|81691300147147|010409093308|2|||01 :169034|66604||010409093824|66|||81 :169016|66166||010409093316|19|||81 :66459|77242||010409093404|1|||89 :169039|66002||010409093336|9|||81 :169008|110055|8110300|010409093428|37|||03 :66663|169044|816996039500|010409093400|45|||01 :169005|64060||010409093336|9|||81 :66603|169056|816987403230|010409093424|6|||01 :169017|77971||010409093404|31|||81 :169036|110060|81100|010409093452|43|||03 :66365|169043|81690433195981|010409093412|3|||01 :66680|66287||010409093640|25|||89 :66718|66725||010409093520|5|||89 :66851|169044|816997821000|010409093444|11|||01 :169030|66776||010409093532|8|||81 :169021|66873||010409093528|7|||81 :66672|169038|816996146827|010409093520|5|||01 :169011|66610||010409093504|1|||81 :64066|169047|81690419194710|010409093456|14|||01 :64046|8619||010409094636|174|||89 :169025|77054||010409093516|4|||81 :8616|169039|816959734419|010409093516|4|||01 :66350|169036|8169430|010409093516|4|||01 :66012|169048|816998047655|010409093532|23|||01 :66218|169056|816993142611|010409093532|23|||01 :66304|169046|81690418539852|010409093540|40|||01 :169001|64035||010409093536|69|||81 :169031|66110||010409093616|49|||81 :66322|169060|816996873590|010409093616|64|||01 :169007|2||010409093600|15|||82 :169020|110056|8110|010409093612|3|||03 :66037|169043|81690438032504|010409093600|15|||01 :169040|66454||010409094536|144|||81 :66192|66382||010409093628|7|||89 :66002|66136||010409093624|6|||89 :66851|169037|816997821451|010409093652|13|||01 :66700|169042|816998453211|010409093708|197|||01 :66419|66680||010409093720|5|||89 :66100|66314||010409093724|6|||89 :169014|110056|8110|010409093720|5|||03 :169006|66830||010409093708|122|||81 :66713|66707||010409093700||||89 :64035|66713||010409093724|6|||89 :1|66314||010409094144|71|||89 :8610|169056|816959758810|010409093732|8|||01 :66332|169046|81690409889688|010409093712|3|||01 :66145|66619||010409093852|13|||89 :66267|169047|816990251668|010409093800|30|||01 :169015|66275||010409093812|183|||81 :169018|66227||010409093812|3|||81 :66314|169043|81690419770245|010409093800||||01 :66872|169045|816998664892|010409093740|55|||01 :169004|77054||010409093752|13|||81 :66121|66002||010409093840|10|||89 :64035|66707||010409094028|22|||89 :169028|66223||010409093804|1|||81 :66314|64066||010409093904|1|||89 :169033|66314||010409093836|9|||81 :64071|2||010409093908|2|||89 :169024|66834||010409093820|5|||81 :66611|66341||010409093924|6|||89 :66189|169050|816992123008|010409093852|118|||01 :66761|169046|816997953661|010409093920|5|||01 :169022|66166||010409093900|75|||81 :66016|169047|816995284668|010409093836|9|||01 :64035|169050|816985175999|010409093904|1|||01 :66866|169051|816993291426|010409093920|65|||01 :169035|66600||010409093940|10|||81 :64076|169045|816990766600|010409093940|10|||01 :169023|66707||010409093944|11|||81 :169009|66261||010409093908|17|||81 :169026|66192||010409093932|8|||81 :66712|66336||010409094220|35|||89 :66037|169056|81690407303648|010409093948|27|||01 :66007|169053|816996929400|010409094000|90|||01 :66121|169051|81690289771380|010409093940|10|||01 :169034|66700||010409094028|7|||81 :8167|169055|816995042538|010409094032|113|||01 :66611|66253||010409094128|22|||89 :8610|169056|816959820394|010409094028|7|||01 :66152|169040|816994280056|010409094048|42|||01 :66159|169050|81690423807455|010409094028|7|||01 :66312|66684||010409094024|6|||89 :66007|169053|816995339874|010409094004|1|||01 :66012|66381||010409094100||||89 :169008|66012||010409094036|9|||81 :66635|66350||010409094208|17|||89 :2|66631||010409094124|6|||89 :110002|169046|81690438554161|010409094020|5|||03 :169033|64066||010409094308|32|||81 :64020|169055|816995695028|010409094028|7|||01 :66003|169043|816985747100|010409094108|2|||01 :66851|169056|816997881378|010409094104|1|||01 :66706|66774||010409094156|14|||89 :169027|66314||010409094112|33|||81 :66713|66660||010409094120|5|||89 :66451|169042|81690409889688|010409094112|3|||01 :8618|169060|816995570811|010409094056|59|||01 :169017|66314||010409094120|5|||81 :66648|169045|816995713071|010409094152|13|||01 :66290|2||010409094204|1|||89 :169021|66019||010409094200|15|||81 :66467|169046|816985870198|010409094140|10|||01 :169001|66666||010409094212|3|||81 :169039|66341||010409094136|9|||81 :66314|169056|81690419770245|010409094208|2|||01 :169007|66263||010409094204|1|||81 :66635|66350||010409094216|4|||89 :169031|66314||010409094208|2|||81 :66717|169055|816995329349|010409094220|5|||01 :169003|110059|81105|010409094244|41|||03 :8618|169045|816995839646|010409094212|3|||01 :169002|66166||010409094252|73|||81 :66744|66774||010409094212|3|||89 :66362|66102||010409094352|13|||89 :169011|66804||010409094236|24|||81 :66611|66661||010409094512|33|||89 :66322|169043|816995577189|010409094244|11|||01 :66213|2||010409094300||||89 :169016|66267||010409094304|46|||81 :8612|169032|816992123004|010409094300||||01 :169037|77971||010409094304|16|||81 :66611|66253||010409094328|7|||89 :169006|66058||010409094336|9|||81 :66058|169046|816990765058|010409094336|9|||01 :66451|169039|81690409889688|010409094312|3|||01 :66003|169043|816985747200|010409094336|9|||01 :169026|66193||010409094800|60|||81 :66159|169045|81690402908711|010409094340|10|||01 :64035|169034|816985175999|010409094340|10|||01 :169020|8018||010409094352|28|||81 :169025|110060|81105|010409094348|42|||03 :66761|169047|816997953661|010409094400|75|||01 :66800|169051|816996546799|010409094352|58|||01 :66357|169058|816995970882|010409094340|265|||01 :66332|169045|81690409889688|010409094408|2|||01 :169024|110059|81103|010409094424|6|||03 :66663|169044|81691300131079|010409094344|131|||01 :169014|66213||010409094404|16|||81 :169019|66776||010409094356|89|||81 :66800|169058|816998246602|010409094500||||01 :66037|169060|81690424396630|010409094420|35|||01 :169018|66834||010409094444|26|||81 :66169|169056|81690418426530|010409094520|35|||01 :66428|169042|816995835020|010409094500|30|||01 :66324|66218||010409094500||||89 :66322|169035|816996873590|010409094516|34|||01 :66332|169058|81690409889688|010409094512|3|||01 :169005|66117||010409094516|4|||81 :66003|169034|816985747100|010409094544|11|||01 :66705|66774||010409094616|4|||89 :66217|66396||010409094620|5|||89 :77149|66801||010409094624|6|||89 :66451|169042|81690409889688|010409094608|2|||01 :66177|169051|816995212740|010409094620|20|||01 :77149|66801||010409094608|2|||89 :2|169044|816993994071|010409094612|18|||02 :66629|169049|81690418176234|010409094612|198|||01 :66789|66350||010409094616|4|||89 :66800|169060|816995091062|010409094604|16|||01 :169017|66012||010409094612|3|||81 :66465|169045|816959685648|010409094636|24|||01 :66712|169058|816995235886|010409094620|5|||01 :66033|169040|8169132221|010409094608|47|||01 :169005|66123||010409094648|12|||81 :66475|169048|816992651233|010409094608|137|||01 :169030|66391||010409094556|14|||81 :66451|169051|81690409889688|010409094616|4|||01 :66631|169053|8169132227|010409094636|84|||01 :66872|66251||010409094708|17|||89 :66335|169043|816998811815|010409094620|35|||01 :169012|66198||010409094628|37|||81 :66168|169047|81690407577153|010409094648|27|||01 :66322|169044|81690416288336|010409094604|1|||01 :66631|2||010409094708|2|||89 :8618|169055|81690438791654|010409094640|55|||01 :66492|66270||010409094716|4|||89 :66336|66713||010409095212|78|||89 :66800|169058|81690411964890|010409094704|1|||01 :169009|66834||010409094624|6|||81 :169023|66314||010409094644|11|||81 :66366|169046|816994620174|010409094720|50|||01 :169010|66672||010409094636|114|||81 :8614|8617||010409094704|1|||89 :169003|77971||010409094724|6|||81 :66144|169035|81690406362884|010409094708|17|||01 :66467|169037|816995755322|010409094732|23|||01 :169038|66290||010409094736|84|||81 :169008|66381||010409095348|102|||81 :169003|8617||010409094832|8|||81 :8610|169033|816985522222|010409094720|65|||01 :169017|66123||010409094928|22|||81 :169007|66352||010409094816|19|||81 :66705|169034|81690419565623|010409094748|27|||01 :169015|66012||010409094816|4|||81 :169006|66322||010409094812|3|||81 :66713|66336||010409094936|24|||89 :66365|169056|816998783645|010409094804|46|||01 :66033|169053|8169132221|010409094836|9|||01 :66467|169055|81690404862573|010409094836|9|||01 :169011|66166||010409094900|15|||81 :169022|110059|8110|010409094908|62|||03 :169004|66169||010409094848|12|||81 :66401|169031|816994196255|010409094844|56|||01 :64086|66304||010409094912|3|||89 :66832|169058|816982903204|010409094908|32|||01 :8618|169056|816995570811|010409094932|8|||01 :169036|66830||010409094856|119|||81 :64036|169049|81691223|010409094912|18|||01 :66801|169058|816993871000|010409095012|3|||01 :169014|110060|81101|010409094920|5|||03 :8615|169050|816997867306|010409095016|139|||01 :66762|66611||010409095004|1|||89 :66164|169039|816992651090|010409095020|80|||01 :64036|169058|816998192827|010409095036|9|||01 :169021|110058|81107|010409095032|68|||03 :169025|66938||010409095016|19|||81 :66938|169053|816990765938|010409095016|19|||01 :169016|66261||010409095040|40|||81 :66832|169050|816982903204|010409095044|11|||01 :169028|66776||010409095036|24|||81 :64005|66145||010409095728|97|||89 :169032|66304||010409095056|14|||81 :66336|169055|81691300040506|010409095108|32|||01 :66702|169059|8169136666|010409095116|289|||01 :66725|66718||010409095248|27|||89 :66717|66209||010409095252|13|||89 :77083|169048|816992773745|010409095108|32|||01 :66806|64086||010409095208|2|||89 :8612|169059|816997881276|010409095200||||01 :169024|77971||010409095208|32|||81 :66422|169060|816994266307|010409095112|78|||01 :169020|66166||010409095132|38|||81 :66342|77147||010409095224|6|||89 :66804|169045|816995713095|010409095148|12|||01 :169040|2||010409095224|6|||82 :66607|169044|816995981539|010409095200|15|||01 :169029|64071||010409095212|198|||81 :169015|64027||010409095600|60|||81 :66428|169060|816995620832|010409095220|5|||01 :169012|66801||010409095224|6|||81 :66725|66193||010409095216|4|||89 :66477|169059|816995924631|010409095204|1|||01 :169018|110060|8110|010409095240|25|||03 :66026|169056|816987922351|010409095236|39|||01 :64036|169043|816997695322|010409095204|16|||01 :66884|66806||010409095324|6|||89 :66234|2||010409095300||||89 :66631|77190||010409095324|6|||89 :66802|169058|816999298666|010409095304|31|||01 :169027|66102||010409095308|17|||81 :66657|169051|816997023384|010409095232|68|||01 :66748|66253||010409095352|13|||89 :66806|66804||010409095312|3|||89 :169023|66287||010409095324|6|||81 :66761|169046|816995790373|010409095336|39|||01 :66428|169056|816995168050|010409095348|12|||01 :66267|66424||010409095540|25|||89 :169005|66234||010409095348|12|||81 :66189|169047|8169136100|010409095324|51|||01 :169009|110059|81102|010409095328|22|||03 :169026|66261||010409095340|70|||81 :64071|2||010409095404|1|||89 :66833|169055|81690409009464|010409095320|20|||01 :66761|66763||010409095428|7|||89 :66342|77072||010409095404|1|||89 :169035|66342||010409095324|6|||81 :66725|66192||010409095532|23|||89 :66422|66762||010409095456|14|||89 :169002|66938||010409095340|25|||81 :66938|169048|816990765938|010409095340|25|||01 :169037|66322||010409095424|6|||81 :66236|169056|81690410696784|010409095432|8|||01 :66465|169060|81690410471803|010409095436|24|||01 :66332|169050|81690409889688|010409095420|5|||01 :66249|169059|81690364315670|010409095444|26|||01 :66183|169046|816995212740|010409095444|11|||01 :66176|66322||010409095520|5|||89 :66467|169042|816995755366|010409095428|52|||01 :169038|66204||010409095440|10|||81 :64038|169047|816959716353|010409095440|10|||01 :66804|169059|816995713095|010409095516|4|||01 :64036|169058|816990900900|010409095508|32|||01 :169010|66866||010409095524|36|||81 :66734|66744||010409095532|8|||89 :66253|77270||010409095524|6|||89 :66428|169046|816995168050|010409095524|6|||01 :66673|169060|816995910466|010409095456|14|||01 :77281|66611||010409095612|3|||89 :169003|110059|81102|010409095612|18|||03 :66648|169056|816995783259|010409095604|16|||01 :169017|66336||010409095632|8|||81 :169022|66435||010409095628|7|||81 :66382|77434||010409095632|8|||89 :169023|64071||010409095920|50|||81 :66702|169051|8169137228|010409095628|52|||01 :66102|66314||010409095640|10|||89 :66804|169058|816995783512|010409095624|6|||01 :66657|169047|816997023384|010409095620|20|||01 :169006|2||010409095648|12|||82 :66358|169046|816999030567|010409095704|1|||01 :169019|66002||010409095632|8|||81 :169008|77971||010409095648|42|||81 :66037|64066||010409095740|10|||89 :64038|169059|816997827000|010409095624|21|||01 :66176|2||010409095708|2|||89 :66005|66422||010409095952|43|||89 :66713|64086||010409095852|28|||89 :66467|169060|816997689614|010409095652|13|||01 :66137|169048|816995101963|010409095640|25|||01 :66314|169045|81690409562667|010409095720|5|||01 :66330|66314||010409095800|15|||89 :169004|66166||010409095736|24|||81 :169011|66261||010409095740|25|||81 :66872|66251||010409095748|12|||89 :66878|169059|816997923644|010409095732|8|||01 :169020|66676||010409095728|7|||81 :169024|66776||010409095724|6|||81 :66679|66302||010409095804|1|||89 :66189|169055|81691300136166|010409095744|56|||01 :66144|66253||010409095928|22|||89 :66176|169047|81690434646791|010409095740|10|||01 :169029|66207||010409095728|7|||81 :169032|66002||010409095744|11|||81 :169015|66856||010409095744|11|||81 :64071|169058|81691800224277|010409095812|18|||01 :66648|169044|816995092271|010409095808|17|||01 :169029|66123||010409095824|6|||81 :66326|169051|816995719933|010409095836|24|||01 :66804|169060|816995647495|010409095852|13|||01 :169027|66322||010409095820|5|||81 :169016|66166||010409095840|25|||81 :66176|169055|816995235050|010409095828|7|||01 :169009|66002||010409095836|9|||81 :169018|66603||010409095856|14|||81 :66203|169053|816995415291|010409095848|102|||01 :66332|169060|81690409889688|010409095908|2|||01 :66465|169043|81690410471803|010409095920|35|||01 :77281|2||010409095904|1|||89 :169038|66314||010409095944|11|||81 :169036|66340||010409095928|7|||81 :66478|169041|816998907583|010409095944|371|||01 :169010|66261||010409095948|12|||81 :169014|66465||010409095944|11|||81 :169025|66433||010409095948|57|||81