:66763|66391||020409190320|65|||89 :169006|66713||020409190012|3|||81 :169028|66249||020409190300|30|||81 :66451|169060|81690409889688|020409190404|1|||01 :66335|169060|816997003926|020409190516|4|||01 :66332|169060|81690409889688|020409190608|2|||01 :169048|66737||020409190808|242|||81 :64107|169059|816996451995|020409190840|130|||01 :169053|66253||020409190824|6|||81 :169036|66341||020409190912|93|||81 :66811|169056|81690433852223|020409191108|47|||01 :66629|169058|81690434010205|020409191232|68|||01 :66706|169059|816987902476|020409191300|60|||01 :169040|66762||020409191328|37|||81 :169047|66636||020409191408|17|||81 :66811|169056|816990774948|020409191448|42|||01 :66034|169056|816995714668|020409191744|41|||01 :169032|66249||020409191712|18|||81 :66767|169058|81690417591936|020409191908|17|||01 :66177|66350||020409192032|8|||89 :2|66195||020409192316|4|||89 :66679|169058|816995789405|020409192300|30|||01 :77083|169056|816992773745|020409192404|16|||01 :66263|169058|816994199386|020409192504|1|||01 :66332|169058|81690409889688|020409192708|2|||01 :77149|66341||020409192728|7|||89 :66629|169059|816995790253|020409192656|194|||01 :66335|169056|816995717919|020409192708|2|||01 :66325|169058|816995445595|020409192736|9|||01 :66387|169059|816995271550|020409192824|6|||01 :66100|169059|8169132227|020409193100|15|||01 :66761|2||020409193112|3|||89 :66341|169056|816995283284|020409193044|11|||01 :66326|169058|816995153787|020409193120|20|||01 :66451|169058|81690409889688|020409193204|1|||01 :77071|169059|816997991734|020409193200|15|||01 :66335|169056|816995717919|020409193232|8|||01 :66335|169059|816995722176|020409193604|46|||01 :66325|169059|816996723553|020409193716|4|||01 :66707|2||020409193816|4|||89 :66332|169059|81690409889688|020409193804|1|||01 :77083|169059|816992773745|020409193940|10|||01 :169020|66938||020409194016|4|||81 :66938|169056|816990765938|020409194016|4|||01 :66198|169059|816993699091|020409194008|2|||01 :169016|66335||020409194040|10|||81 :66332|169059|81690409889688|020409194104|1|||01 :64071|169059|816997003926|020409194104|1|||01 :66335|66706||020409194248|12|||89 :169055|66938||020409194232|8|||81 :66938|169059|816990765938|020409194232|8|||01 :64071|169056|816993957370|020409194208|2|||01 :77069|66707||020409194340|10|||89 :66332|169059|81690409889688|020409194304|1|||01 :169004|66342||020409194256|44|||81 :66342|77074||020409194504|1|||89 :169010|66342||020409194448|27|||81 :66423|169058|816995702169|020409194532|113|||01 :66326|169058|816997730393|020409194808|17|||01 :66427|169059|816995713152|020409194816|64|||01 :169017|66336||020409195028|22|||81 :169037|66341||020409195136|9|||81 :169019|66619||020409195332|8|||81 :66423|66340||020409195608|17|||89 :169041|66713||020409195608|17|||81 :66336|2||020409195604|1|||89 :77083|169059|816992773745|020409195604|46|||01 :169009|66249||020409195740|10|||81 :66741|169058|816995801371|020409195740|55|||01 :169035|66369||020409195952|13|||81