:169005|8615||060409171240|340|||81 :66366|64098||060409170016|4|||89 :66366|2||060409170000||||89 :66348|169056|81690416146763|060409170008|122|||01 :66193|169057|816995341462|060409170012|18|||01 :66162|169055|816996769400|060409170004|16|||01 :66177|66136||060409170232|23|||89 :66648|169059|8169131538|060409170024|111|||01 :169046|66287||060409170112|3|||81 :169047|66448||060409170036|9|||81 :66636|169057|81690424882718|060409170052|13|||01 :66177|66136||060409170120|5|||89 :66680|66335||060409170300|15|||89 :169021|110059|81100|060409170148|12|||03 :66675|169053|816997881376|060409170140|55|||01 :66717|66350||060409170240|10|||89 :169026|66261||060409170212|63|||81 :169019|169056|81690409001183|060409170216|4|||03 :66884|66806||060409170356|29|||89 :66177|66143||060409170232|8|||89 :64046|169055|816995308202|060409170236|9|||01 :66391|169059|816986225266|060409170232|23|||01 :66171|169052|81690402276819|060409170240|10|||01 :66193|169056|816995715670|060409170316|4|||01 :8620|8613||060409170328|7|||89 :66398|169060|816998224044|060409170244|71|||01 :66324|66727||060409170436|24|||89 :77083|169058|816992773745|060409170336|69|||01 :105020|110060|8110|060409170308|2|||03 :66877|66884||060409170420|5|||89 :77083|169060|816992773745|060409170412|3|||01 :169008|66207||060409170348|12|||81 :169016|66880||060409170444|116|||81 :169014|66431||060409170444|11|||81 :66382|169053|816995372522|060409170440|40|||01 :66177|66136||060409170604|16|||89 :66332|169056|81690409889688|060409170608|2|||01 :66859|169059|81690409947147|060409170528|37|||01 :64108|66427||060409171012|63|||89 :169001|66314||060409170620|5|||81 :66385|66395||060409170740|25|||89 :66029|169057|816996967370|060409170648|72|||01 :66136|169059|816995960412|060409170652|13|||01 :169022|66389||060409170724|6|||81 :77083|169060|816992773745|060409170732|53|||01 :66016|169050|816995768483|060409170740|355|||01 :66174|169057|816995212316|060409170828|7|||01 :66718|66193||060409170908|17|||89 :66177|66143||060409170844|11|||89 :66100|169060|8169131008|060409171008|17|||01 :66263|169055|81690412465987|060409171000|105|||01 :66332|169060|81690409889688|060409171008|2|||01 :169044|66139||060409171024|6|||81 :169015|66619||060409171044|11|||81 :66388|169051|816999253254|060409171056|134|||01 :66136|169059|816995960412|060409171052|58|||01 :66195|169060|81690422155844|060409171212|18|||01 :64083|169060|816995570512|060409171212|3|||01 :169003|66938||060409171248|27|||81 :66938|169055|816990765938|060409171248|27|||01 :169012|66623||060409171300|45|||81 :66892|169056|816995782561|060409171224|36|||01 :66195|169053|816995554624|060409171244|11|||01 :169018|77971||060409171244|26|||81 :64085|169054|81691300660068|060409171240|235|||01 :66287|169058|81690427004731|060409171344|116|||01 :66866|169060|816995368466|060409171312|3|||01 :66415|169057|816994800679|060409171408|62|||01 :66341|2||060409171412|3|||89 :66395|66251||060409171548|27|||89 :169025|66741||060409171416|49|||81 :169032|66270||060409171432|8|||81 :66388|169052|8169132221|060409171440|40|||01 :66263|169056|816996039527|060409171428|22|||01 :169006|110060|8110|060409171516|4|||03 :66713|66762||060409171512|3|||89 :66659|169057|81690438191288|060409171532|8|||01 :66727|77087||060409171600||||89 :66341|169058|81690401407052|060409171604|31|||01 :66174|169059|816995790498|060409171636|69|||01 :66865|169057|816995283842|060409171632|8|||01 :169038|66102||060409171708|2|||81 :169013|66177||060409171716|4|||81 :64026|169058|816995782838|060409171628|7|||01 :66713|66744||060409171840|25|||89 :169037|66393||060409171728|187|||81 :66332|169057|81690409889688|060409171804|1|||01 :8618|169058|81690404458830|060409171856|14|||01 :66272|169055|816995259707|060409171812|78|||01 :169020|66314||060409171812|3|||81 :169023|2||060409171848|27|||82 :66635|169056|816995329349|060409171916|4|||01 :66174|169058|816995788882|060409172000|15|||01 :66335|169059|816995535319|060409172004|46|||01 :66325|169057|816998083156|060409172020|20|||01 :66635|169056|816995329349|060409172020|5|||01 :169040|66744||060409171948|12|||81 :169024|77645||060409172120|5|||81 :169035|110060|81109|060409172136|9|||03 :8613|8615||060409172104|1|||89 :169011|77971||060409172124|6|||81 :77040|169059|816998856862|060409172104|1|||01 :169011|8615||060409172216|4|||81 :66288|2||060409172244|11|||89 :169024|66718||060409172436|24|||81 :169028|66603||060409172236|9|||81 :66194|169057|816995304530|060409172300||||01 :66661|66741||060409172516|34|||89 :64071|169056|816995235227|060409172300||||01 :66336|169055|816988029260|060409172312|3|||01 :66332|169057|81690409889688|060409172304|1|||01 :169030|66341||060409172304|16|||81 :66194|169053|81690432443412|060409172304|1|||01 :66355|169059|816997692877|060409172304|16|||01 :64064|169054|816995072055|060409172340|10|||01 :64086|66761||060409173016|94|||89 :66326|2||060409172404|1|||89 :169004|66139||060409172424|6|||81 :66332|169056|81690409889688|060409172508|2|||01 :169029|66227||060409172452|13|||81 :66341|2||060409172544|11|||89 :169049|66249||060409172444|11|||81 :169039|66762||060409172540|25|||81 :66866|169058|816995302681|060409172612|48|||01 :66341|77147||060409172640|10|||89 :66859|169056|81690409947147|060409172552|13|||01 :66888|66761||060409172620|5|||89 :66194|169055|81690432443412|060409172708|17|||01 :169041|110060|81109|060409172708|17|||03 :66194|169056|81690412610657|060409172744|11|||01 :77075|169058|816995782027|060409172752|28|||01 :66859|169057|816982901185|060409172756|14|||01 :66194|169056|81690431051353|060409172812|3|||01 :66177|169055|81691300327275|060409172824|21|||01 :66619|66325||060409172832|8|||89 :66183|66854||060409172920|5|||89 :66859|169057|81690409947147|060409173000|15|||01 :169033|66093||060409172944|11|||81 :66093|169056|816990765093|060409172944|11|||01 :66761|66325||060409173056|14|||89 :66336|169057|816995053534|060409173108|2|||01 :66761|64086||060409173132|8|||89 :66326|2||060409173208|2|||89 :66272|169056|81690419331978|060409173140|10|||01 :66167|169058|8169137663|060409173224|66|||01 :66332|169058|81690409889688|060409173304|1|||01 :77147|66341||060409173324|6|||89 :169042|66854||060409173244|11|||81 :169002|110060|811000|060409173336|24|||03 :66774|169058|816995638329|060409173348|12|||01 :169017|66938||060409173436|9|||81 :66938|169053|816990765938|060409173436|9|||01 :66451|169051|81690409889688|060409173504|1|||01 :66373|169060|816998784103|060409173500|315|||01 :64086|169055|81690418388246|060409173516|19|||01 :64059|169058|8169132221|060409173500||||01 :169058|2||060409173504|1|||82 :66326|66619||060409173808|47|||89 :64059|169060|816997351527|060409173600||||01 :169007|66834||060409173616|4|||81 :77071|169058|816998018169|060409173604|1|||01 :66100|169057|8169132227|060409173700|60|||01 :169046|66341||060409173628|7|||81 :66741|2||060409173720|5|||89 :66121|169058|816999221225|060409173712|3|||01 :66415|169060|81690427562081|060409173720|5|||01 :66348|169055|816995237297|060409173704|1|||01 :169047|66447||060409173704|1|||81 :66415|169060|816998851671|060409173816|4|||01 :66741|169057|81690411749693|060409173744|11|||01 :169021|66063||060409173752|13|||81 :66063|169053|816990765063|060409173752|13|||01 :169019|66619||060409173812|3|||81 :66348|169058|81690401475708|060409173820|5|||01 :169026|66428||060409173900|15|||81 :169036|66426||060409173904|1|||81 :169008|66093||060409173844|11|||81 :66093|169057|816990765093|060409173844|11|||01 :169016|66002||060409173936|9|||81 :66329|169056|816995781950|060409173936|99|||01 :169014|66063||060409173944|11|||81 :66063|169058|816990765063|060409173944|11|||01 :169001|66938||060409173916|4|||81 :66938|169055|816990765938|060409173916|4|||01 :66121|169060|81690299221225|060409173928|22|||01 :66332|169058|81690409889688|060409174008|2|||01 :169022|66002||060409174032|8|||81 :169048|66880||060409174036|24|||81 :66705|66741||060409174112|3|||89 :169050|66938||060409174116|4|||81 :66938|169060|816990765938|060409174116|4|||01 :66884|169054|81690408322297|060409174100|195|||01 :169009|66707||060409174116|4|||81 :169005|66751||060409174204|1|||81 :66433|169057|816995875878|060409174128|37|||01 :66290|169052|816995237417|060409174244|131|||01 :169031|110060|811000|060409174240|115|||03 :169044|66657||060409174332|23|||81 :66194|169057|81690431051353|060409174304|1|||01 :169003|66619||060409174536|54|||81 :169032|66773||060409174532|8|||81 :66398|169058|816998043148|060409174524|51|||01 :66741|66342||060409174644|11|||89 :66451|169058|81690409889688|060409174608|2|||01 :169006|66341||060409174640|10|||81 :8620|169059|816998856083|060409174648|342|||01 :169010|66487||060409174808|2|||81 :77758|66253||060409174904|16|||89 :66395|169056|816998428632|060409174924|6|||01 :169038|66003||060409174924|6|||81 :169034|66657||060409175028|7|||81 :77055|77147||060409175148|27|||89 :169013|110060|811000|060409175212|18|||03 :66332|169056|81690409889688|060409175208|2|||01 :66829|169057|816998671605|060409175240|130|||01 :66623|169055|816997826113|060409175228|7|||01 :66263|169058|816998083416|060409175316|64|||01 :66880|169056|81690403379933|060409175304|16|||01 :169043|66744||060409175520|20|||81 :169020|66938||060409175556|14|||81 :66938|169055|816990765938|060409175556|14|||01 :64086|169058|81690409752310|060409175640|40|||01 :66707|169054|816995705064|060409175604|61|||01 :66290|169059|816995695689|060409175644|131|||01 :66332|169058|81690409889688|060409175704|1|||01 :169037|64086||060409175748|12|||81 :66332|169059|81690409889688|060409175808|2|||01 :169023|66713||060409175740|10|||81 :66657|169057|816995687395|060409175732|53|||01 :169045|77147||060409175832|68|||81 :169035|66938||060409175820|5|||81 :66938|169059|816990765938|060409175820|5|||01 :66336|169057|816995053534|060409175908|2|||01 :169011|66938||060409175932|8|||81 :66938|169059|816990765938|060409175932|8|||01