:169031|66448||080409090240|100|||81 :66141|169052|816997063187|080409090012|33|||01 :8167|66117||080409090104|16|||89 :66195|2||080409090004|1|||89 :66304|66218||080409090028|7|||89 :169002|66603||080409090040|10|||81 :8615|169055|816995782389|080409090028|7|||01 :66171|169054|81690437887787|080409090032|8|||01 :66195|169052|816995575721|080409090036|9|||01 :66249|169048|816995600188|080409090056|29|||01 :66806|169057|81690402135143|080409090100|15|||01 :66744|169050|81690407802752|080409090128|52|||01 :64052|169051|816985522222|080409090116|19|||01 :66717|66350||080409090216|4|||89 :66117|8167||080409090220|5|||89 :66199|169045|816995992363|080409090128|22|||01 :169014|66834||080409090152|13|||81 :169007|66260||080409090152|58|||81 :66314|66199||080409090208|2|||89 :169019|66314||080409090200|15|||81 :66130|169052|816993545006|080409090244|11|||01 :66618|169056|81690418580396|080409090228|82|||01 :169005|8211||080409090236|24|||81 :66842|169051|816985587902|080409090300|15|||01 :66263|66270||080409090300||||89 :77999|169048|81690287783190|080409090240|10|||01 :66653|169057|816995783346|080409090304|31|||01 :169036|66744||080409090328|7|||81 :66255|169049|816996998044|080409090336|84|||01 :66263|66270||080409090324|6|||89 :66130|169056|816985205255|080409090340|10|||01 :66259|169054|81690356234056|080409090320|35|||01 :66322|169053|81690260242440|080409090436|204|||01 :66422|66324||080409090508|17|||89 :66878|169055|816997881378|080409090344|41|||01 :66169|169046|81690417314861|080409090412|63|||01 :8167|169052|816998226864|080409090424|21|||01 :169036|64107||080409090632|23|||81 :77810|169059|81690411386702|080409090424|111|||01 :169018|66322||080409090448|12|||81 :169019|66199||080409090744|41|||81 :77068|169045|816995718540|080409090512|3|||01 :8615|169051|816998359100|080409090440|25|||01 :64073|169048|816996929500|080409090512|3|||01 :66471|169050|81690413735895|080409090516|49|||01 :169015|64086||080409090548|12|||81 :66422|66341||080409090652|13|||89 :169042|66253||080409090516|124|||81 :66315|169044|81690417574435|080409090548|12|||01 :66166|169055|81690412769740|080409090604|16|||01 :77068|2||080409090612|3|||89 :66475|169060|81691300131079|080409090604|106|||01 :66878|169053|816995814200|080409090604|16|||01 :66744|66611||080409090652|13|||89 :77068|169059|81690425763513|080409090600||||01 :169012|66229||080409090636|39|||81 :66755|169054|8169132928|080409090632|38|||01 :169024|66341||080409090632|8|||81 :169040|110058|81101|080409090636|39|||03 :77068|2||080409090716|4|||89 :169003|66888||080409090616|64|||81 :66169|169052|81690411505264|080409090656|29|||01 :169004|66362||080409090724|21|||81 :77068|169055|81690425783513|080409090716|4|||01 :8615|169054|816995578322|080409090732|8|||01 :169026|66878||080409090732|8|||81 :66314|66467||080409090804|1|||89 :169034|66314||080409090720|5|||81 :169033|66666||080409090812|3|||81 :66249|169059|816995600188|080409090824|21|||01 :169006|110059|81104|080409090808|17|||03 :77068|169054|816995718540|080409090844|11|||01 :2|77068||080409090804|1|||89 :169021|66433||080409090812|18|||81 :169054|2||080409090804|1|||82 :66651|66604||080409091012|18|||89 :169030|66135||080409090824|6|||81 :66848|169046|816990766135|080409090824|6|||01 :66605|169052|816996839999|080409090912|18|||01 :66804|169045|8169132265|080409090836|9|||01 :66012|169048|816995578476|080409090840|10|||01 :77040|2||080409090916|4|||89 :64052|169052|816995773333|080409090908|2|||01 :66117|66631||080409091016|19|||89 :66161|66854||080409091116|19|||89 :169023|110059|81108|080409090912|3|||03 :66021|77434||080409091012|3|||89 :66497|169060|81690438386219|080409091024|51|||01 :8615|169048|81691300790750|080409091016|4|||01 :169038|66666||080409090952|13|||81 :66249|169046|816995600188|080409091024|21|||01 :169011|66652||080409091012|33|||81 :66631|77054||080409091016|4|||89 :66640|8011||080409091312|48|||89 :169013|66713||080409091000|30|||81 :169039|66705||080409091028|22|||81 :66314|66199||080409091004|1|||89 :169041|66314||080409091020|5|||81 :8616|169054|816984127111|080409091040|25|||01 :169009|110058|8110|080409091016|4|||03 :64071|66422||080409091244|26|||89 :66401|169055|8169133343|080409091016|49|||01 :169039|2||080409091120|5|||82 :64085|169052|81690403338568|080409091108|17|||01 :66605|169054|816996632495|080409091112|3|||01 :66738|169043|816995231825|080409091112|3|||01 :66178|66350||080409091116|4|||89 :66471|169046|816995098600|080409091112|3|||01 :77190|66880||080409091104|1|||89 :77068|169045|816992585000|080409091112|18|||01 :66746|66422||080409091128|7|||89 :66256|169052|816952792221|080409091108|2|||01 :66342|77074||080409091104|1|||89 :169027|66342||080409091132|8|||81 :66482|169055|816998197087|080409091140|10|||01 :66161|66854||080409091220|20|||89 :66451|169046|81690409889688|080409091108|2|||01 :66197|169044|81690297254164|080409091148|12|||01 :169008|110059|8110|080409091212|3|||03 :169041|66199||080409091320|20|||81 :66362|66457||080409091236|9|||89 :8615|169054|816998281222|080409091148|12|||01 :169017|66744||080409091128|7|||81 :66415|66707||080409091212|3|||89 :169028|66340||080409091208|17|||81 :66692|64013||080409091212|3|||89 :64024|169052|816995048331|080409091220|5|||01 :66021|169055|81690421746263|080409091224|6|||01 :8610|169054|81690409576211|080409091228|7|||01 :169016|66259||080409091228|22|||81 :66429|169057|816994668551|080409091244|131|||01 :169032|66603||080409091224|6|||81 :66006|2||080409091304|1|||89 :77810|169052|816985205200|080409091236|9|||01 :66878|169050|816998272449|080409091316|79|||01 :66605|169054|81690422335503|080409091300||||01 :169020|110059|81105|080409091320|20|||03 :169022|66006||080409091328|7|||81 :66183|169046|816995329349|080409091320|5|||01 :66171|169052|81690437887787|080409091332|8|||01 :66721|66422||080409091700|45|||89 :66742|169055|816995576742|080409091400|15|||01 :66249|169057|816995600188|080409091352|13|||01 :169010|66366||080409091336|24|||81 :66631|77054||080409091452|13|||89 :66322|66342||080409091500|15|||89 :66629|169060|81690411079109|080409091356|59|||01 :64052|169048|816998359100|080409091408|62|||01 :66800|77149||080409091524|6|||89 :66312|66253||080409091536|9|||89 :66832|169054|816995806025|080409091444|26|||01 :169033|66877||080409092216|109|||81 :169014|66804||080409091512|18|||81 :169002|66619||080409091520|5|||81 :66721|77810||080409091640|25|||89 :66832|169054|816995806025|080409091508|2|||01 :64024|169060|816995555377|080409091532|8|||01 :169005|66117||080409091548|12|||81 :66800|66631||080409091708|17|||89 :66866|169053|816995107235|080409091540|130|||01 :66021|66322||080409091628|7|||89 :66661|66611||080409091652|13|||89 :66332|169052|81690409889688|080409091612|3|||01 :66261|169056|81690262318205|080409091604|181|||01 :169027|77074||080409092044|71|||81 :169042|66287||080409091608|2|||81 :169035|66270||080409091616|34|||81 :8612|8614||080409091600||||89 :8620|8612||080409091620|5|||89 :66451|169054|81690409889688|080409091608|2|||01 :64098|66713||080409091632|8|||89 :169001|66341||080409091704|31|||81 :169018|66032||080409091656|14|||81 :8615|169050|81691300737942|080409091624|51|||01 :66497|169057|816995702112|080409091632|38|||01 :66451|169054|81690409889688|080409091708|2|||01 :66021|77434||080409091700||||89 :66618|169060|816993317833|080409091712|18|||01 :64098|66424||080409091720|5|||89 :66631|66117||080409091812|18|||89 :8620|8614||080409091800|15|||89 :66270|169053|816995091400|080409091700|15|||01 :169026|66012||080409091808|2|||81 :66429|66713||080409091852|13|||89 :66721|8167||080409092004|31|||89 :8612|8615||080409091804|1|||89 :169031|77971||080409091724|6|||81 :169012|8211||080409091744|26|||81 :169019|66726||080409091748|27|||81 :66804|77190||080409091824|6|||89 :66002|169060|816911|080409091744|11|||01 :169031|8615||080409091816|4|||81 :66773|66178||080409091828|7|||89 :169040|77971||080409091836|24|||81 :66183|66136||080409092112|33|||89 :66705|169054|81690395782027|080409091848|12|||01 :169006|66713||080409091844|11|||81 :66161|66854||080409092008|17|||89 :66413|169060|816998775448|080409091844|11|||01 :169015|66261||080409091856|44|||81 :169037|110057|8110|080409091908|32|||03 :66171|169060|81690437887787|080409091904|1|||01 :169030|66336||080409091924|6|||81 :66761|169058|816995790373|080409091928|547|||01 :66218|66713||080409092048|27|||89 :169004|66422||080409091912|33|||81 :66879|66865||080409092052|13|||89 :66713|66830||080409092016|4|||89 :169038|66168||080409091952|13|||81 :66429|169054|81690438393250|080409091924|6|||01 :169007|66800||080409091912|78|||81 :169039|66314||080409091928|7|||81 :66261|169060|816997861556|080409092016|4|||01 :66260|66603||080409092040|10|||89 :66854|66136||080409092032|8|||89 :169026|66398||080409092228|37|||81 :66287|169049|81691300040506|080409092036|234|||01 :64038|169053|816995767922|080409091956|14|||01 :64052|169055|816988237900|080409092004|76|||01 :169009|110055|8110|080409092040|25|||03 :66332|169048|81690409889688|080409092012|3|||01 :169041|66932||080409092024|6|||81 :66932|169060|816990765932|080409092024|6|||01 :169003|66314||080409092100|60|||81 :169017|66433||080409092104|1|||81 :66611|66341||080409092256|29|||89 :66171|169046|81690408578171|080409092024|6|||01 :66117|169057|816995368454|080409092020|50|||01 :66177|66143||080409092132|8|||89 :66718|66725||080409092144|11|||89 :66171|169048|81690437887787|080409092104|1|||01 :169013|77971||080409092128|37|||81 :66338|66762||080409092340|40|||89 :169016|66316||080409092144|11|||81 :64020|169060|81690417054153|080409092128|7|||01 :66396|169044|816995631133|080409092128|7|||01 :66192|66382||080409092116|4|||89 :64052|169055|816995786848|080409092144|11|||01 :8620|169053|816995102421|080409092108|17|||01 :169045|66261||080409092204|31|||81 :66876|169057|81690404012210|080409092136|9|||01 :66611|66336||080409092220|5|||89 :66192|66253||080409092220|5|||89 :64038|169048|816997011244|080409092208|17|||01 :8615|169049|816994812355|080409092156|29|||01 :66192|66336||080409092212|3|||89 :64073|169059|816996929500|080409092216|214|||01 :169010|64037||080409092300||||81 :66396|169060|816995447167|080409092256|14|||01 :66611|66762||080409092320|5|||89 :66332|169055|81690409889688|080409092220|5|||01 :169021|66314||080409092236|69|||81 :66192|66341||080409092320|5|||89 :64107|77089||080409092304|1|||89 :169011|110056|81108|080409092324|66|||03 :169020|66619||080409092300|15|||81 :169033|66287||080409092304|1|||81 :66631|77889||080409092300||||89 :66285|66631||080409092320|5|||89 :66769|169057|816995318845|080409092244|11|||01 :169002|77434||080409092316|4|||81 :66761|169049|816997953661|080409092304|1|||01 :66480|169058|816995780041|080409092328|52|||01 :169022|66666||080409092312|18|||81 :66396|169044|816995631133|080409092304|1|||01 :66192|66744||080409092312|3|||89 :169036|66246||080409092328|7|||81 :169029|66340||080409092344|26|||81 :169035|66648||080409092324|6|||81 :169034|66467||080409093956|239|||81 :64071|66198||080409092512|18|||89 :169027|66002||080409092336|9|||81 :66830|66215||080409092412|3|||89 :66234|66611||080409092428|7|||89 :66447|169059|81690404816345|080409092324|6|||01 :66189|169048|816992123008|080409092356|14|||01 :169028|66648||080409092332|53|||81 :169032|66261||080409092352|43|||81 :77190|64017||080409092404|1|||89 :169043|66269||080409092412|78|||81 :66640|8011||080409092508|2|||89 :66867|169054|81690412315158|080409092436|69|||01 :77810|169046|81690437353315|080409092428|52|||01 :64052|169053|816998281222|080409092424|21|||01 :66161|169058|816998138393|080409092500|15|||01 :66248|169055|816985522222|080409092448|27|||01 :66292|77434||080409092524|6|||89 :66285|77889||080409092644|26|||89 :66718|169060|81690401758465|080409092508|32|||01 :66332|169037|81690409889688|080409092512|3|||01 :66705|169050|81690395101963|080409092428|82|||01 :169018|66932||080409092444|11|||81 :66932|169044|816990765932|080409092444|11|||01 :66178|169049|816998138432|080409092500|15|||01 :77790|169045|816999288185|080409092500|30|||01 :64024|169048|816995977488|080409092448|12|||01 :64013|169040|816995345444|080409092508|17|||01 :8620|8614||080409092748|27|||89 :66232|169052|816998226864|080409092532|113|||01 :66604|169054|81690408392677|080409092612|18|||01 :66248|169048|816995966922|080409092620|5|||01 :66707|66422||080409092740|25|||89 :64011|2||080409092600||||89 :66178|169050|816985205255|080409092628|7|||01 :169023|110057|81108|080409092612|3|||03 :66854|66350||080409092620|5|||89 :66401|169051|8169133343|080409092640|280|||01 :169025|66932||080409092628|7|||81 :66932|169054|816990765932|080409092628|7|||01 :66724|169041|816996589345|080409092608|77|||01 :169006|110058|81103|080409092620|5|||03 :169019|64011||080409092632|8|||81 :64020|169057|81690411166579|080409092712|48|||01 :66144|66341||080409092816|19|||89 :66642|169047|816952267006|080409092628|547|||01 :66763|66332||080409092708|2|||89 :66389|66854||080409092732|8|||89 :66806|66879||080409092748|12|||89 :66025|66263||080409093128|67|||89 :66270|66713||080409092720|5|||89 :66136|66428||080409092752|13|||89 :169008|66168||080409092708|107|||81 :66648|66287||080409092932|38|||89 :8164|169046|816995963551|080409092728|37|||01 :66177|169052|81690395212740|080409092724|21|||01 :66422|66744||080409092820|20|||89 :64013|66314||080409092856|14|||89 :66706|169048|816995282077|080409092732|23|||01 :66763|77434||080409092828|7|||89 :66153|169059|816995783701|080409092736|54|||01 :66192|66619||080409093208|62|||89 :66261|169044|816997828390|080409092728|7|||01 :66021|66218||080409093308|77|||89 :66178|169054|816985205255|080409092824|21|||01 :66718|169058|81690401758465|080409092740|40|||01 :169007|66314||080409092736|9|||81 :66706|2||080409092808|2|||89 :169030|66713||080409092828|7|||81 :66742|169046|816995272156|080409092832|8|||01 :66404|169057|816995020070|080409092804|16|||01 :66341|66144||080409092816|4|||89 :66032|169038|81690439331838|080409092832|53|||01 :66769|169039|816995717784|080409092748|42|||01 :169024|110056|81102|080409092800|15|||03 :66136|66413||080409092848|12|||89 :66603|66611||080409092840|10|||89 :66021|77434||080409092900||||89 :64020|169047|816995962853|080409092836|24|||01 :66605|169052|81690419770145|080409092856|14|||01 :169003|66726||080409092820|5|||81 :169009|66281||080409092852|13|||81 :64073|169045|816995785810|080409092924|51|||01 :8164|169041|816995793522|080409092928|22|||01 :66705|66422||080409092952|13|||89 :66314|64020||080409092904|1|||89 :169005|66314||080409092908|92|||81 :66260|66819||080409092924|6|||89 :66314|66448||080409092904|1|||89 :169017|66314||080409092936|9|||81 :169015|66195||080409092928|37|||81 :66851|169056|816959501663|080409092908|197|||01 :66618|169043|816995550351|080409092956|74|||01 :169026|66143||080409093004|31|||81 :8017|169047|816995533326|080409093004|1|||01 :8615|169049|81691300733510|080409093028|67|||01 :66158|169055|816997692877|080409092944|71|||01 :64073|169057|81690434268115|080409093000|15|||01 :66002|169056|816911|080409093044|11|||01 :169010|66063||080409093028|7|||81 :66063|169047|816990765063|080409093028|7|||01 :66021|77434||080409093100||||89 :66159|169052|816990768689|080409093012|18|||01 :169011|2||080409093016|4|||82 :66366|66222||080409093100||||89 :169013|66366||080409093044|11|||81 :66192|66762||080409093400|45|||89 :66707|169050|816998172429|080409093108|62|||01 :66136|66161||080409093300|30|||89 :66631|77190||080409093148|12|||89 :66170|66877||080409093300|30|||89 :77192|66616||080409093112|3|||89 :66785|169051|816995963136|080409093044|71|||01 :169013|66222||080409093128|7|||81 :8610|169058|816995773333|080409093140|40|||01 :66713|66342||080409093304|31|||89 :66752|66316||080409093108|2|||89 :66422|169055|816999261222|080409093120|5|||01 :66648|77089||080409093208|2|||89 :66174|169048|816995239645|080409093108|32|||01 :66422|169049|816999261222|080409093208|2|||01 :66189|169057|816995534300|080409093220|20|||01 :77083|169052|816992773745|080409093132|8|||01 :66136|66161||080409093232|8|||89 :66661|66611||080409093208|2|||89 :169017|66448||080409093452|43|||81 :66404|169056|816993455778|080409093224|21|||01 :77190|66116||080409093216|4|||89 :66877|169058|81690412402984|080409093252|13|||01 :169033|66314||080409093216|4|||81 :66867|169053|816998021884|080409093232|113|||01 :77198|169055|816995309130|080409093312|3|||01 :169001|66494||080409093236|9|||81 :169022|66666||080409093232|8|||81 :77660|66876||080409094252|148|||89 :66316|169056|81690416026420|080409093328|7|||01 :66263|66492||080409093904|91|||89 :66676|169049|81690409984138|080409093248|12|||01 :66136|66854||080409093328|7|||89 :66610|169051|816992123000|080409093336|24|||01 :169001|66123||080409093336|9|||81 :66174|169050|816995570811|080409093340|25|||01 :66867|169058|816998852026|080409093316|4|||01 :8017|169046|816995559766|080409093316|49|||01 :169022|66878||080409093436|9|||81 :66713|66611||080409093440|10|||89 :66314|66454||080409093404|1|||89 :66189|66314||080409093420|5|||89 :66232|8167||080409093412|3|||89 :66006|2||080409093400||||89 :169029|66316||080409093340|10|||81 :66192|66396||080409093700|45|||89 :66791|2||080409093408|2|||89 :169037|66270||080409093416|4|||81 :66260|66603||080409093412|3|||89 :66867|169053|81690423021869|080409093428|7|||01 :169027|66742||080409093408|17|||81 :66422|169057|816990761000|080409093416|34|||01 :66021|66322||080409093552|13|||89 :66031|77147||080409093556|14|||89 :66025|66879||080409093656|29|||89 :66713|66611||080409093520|5|||89 :66791|66012||080409093536|9|||89 :66170|66877||080409093704|31|||89 :66192|66340||080409093540|10|||89 :66363|169050|81690458608466|080409093436|9|||01 :66237|169056|81690402082977|080409093524|21|||01 :66769|169045|816995685300|080409093516|49|||01 :66752|169058|816997990209|080409093524|21|||01 :169031|2||080409093516|4|||82 :66603|66611||080409093508|2|||89 :66192|66657||080409093612|3|||89 :169023|66861||080409093508|2|||81 :66204|169057|816987813409|080409093536|9|||01 :169032|110057|8110|080409093604|31|||03 :169006|110054|81108|080409093604|1|||03 :66003|169050|816990763029|080409093524|6|||01 :169034|66218||080409093532|38|||81 :169025|110055|81105|080409093528|7|||03 :66422|66619||080409093644|11|||89 :169020|77971||080409093628|82|||81 :169035|66006||080409093612|33|||81 :66204|169057|81690447331668|080409093616|4|||01 :66159|169056|816985881022|080409093640|10|||01 :169028|110058|81102|080409093600|45|||03 :64107|66326||080409093620|5|||89 :66629|169047|81690408140363|080409093632|68|||01 :77190|169046|816994284387|080409093640|10|||01 :64005|169059|816995980617|080409093636|114|||01 :66705|66210||080409093856|29|||89 :169038|66314||080409093644|11|||81 :169018|66293||080409093644|26|||81 :66705|169046|816985175950|080409093704|1|||01 :66033|66712||080409093716|4|||89 :66232|169051|816998224242|080409093700|45|||01 :169004|64036||080409093652|13|||81 :66192|66713||080409093824|21|||89 :66761|169050|816997953661|080409093652|13|||01 :66272|169053|81690407811148|080409093708|32|||01 :66705|2||080409093712|3|||89 :66166|169052|816964314598|080409093648|72|||01 :64026|169048|816995714174|080409093716|79|||01 :169009|66431||080409093708|2|||81 :169002|66167||080409093652|73|||81 :66248|169043|816995371614|080409093656|14|||01 :66865|169045|816995273383|080409093736|24|||01 :8622|169059|81691300147147|080409093724|6|||01 :66456|169056|816990965518|080409093752|13|||01 :169039|66168||080409093716|19|||81 :66389|66115||080409093744|11|||89 :169024|66819||080409093732|8|||81 :66707|169053|81690421350284|080409093804|1|||01 :66648|169044|81690439303600|080409093736|24|||01 :66804|169059|81690412476005|080409093804|1|||01 :8615|169047|816995939888|080409093820|20|||01 :66886|169057|816995715053|080409093808|17|||01 :66025|66742||080409094012|33|||89 :66161|66178||080409093916|19|||89 :66245|169049|816998027384|080409093836|54|||01 :66800|66401||080409093800||||89 :169040|66800||080409093804|46|||81 :66153|169054|81691300633933|080409093748|132|||01 :64013|169056|816995345444|080409093836|9|||01 :64035|66342||080409094524|96|||89 :169040|66401||080409093928|7|||81 :169016|66802||080409093812|3|||81 :66635|66370||080409093932|8|||89 :66325|2||080409093912|3|||89 :169010|66727||080409093836|9|||81 :66629|169057|81690413047564|080409093904|1|||01 :66762|77147||080409093908|2|||89 :66725|66718||080409093936|9|||89 :169026|66322||080409093852|13|||81 :169014|66117||080409093928|247|||81 :66012|77660||080409093908|2|||89 :66161|66854||080409093948|12|||89 :66769|169059|816995308862|080409093908|17|||01 :66033|66335||080409094004|1|||89 :66415|66611||080409094008|2|||89 :64035|169057|81690409215139|080409093936|9|||01 :66842|169048|816959625961|080409094012|3|||01 :66338|169049|816985205200|080409093936|9|||01 :169015|66253||080409093952|43|||81 :8166|169055|81690429679390|080409094012|93|||01 :169003|110058|8110|080409094028|52|||03 :66706|169051|816995942229|080409094008|32|||01 :66648|169050|81690421573039|080409093952|13|||01 :66209|169054|816998224401|080409094000|15|||01 :64055|169057|816997068830|080409094016|4|||01 :64107|66422||080409094212|33|||89 :169033|66249||080409094040|10|||81 :66744|64107||080409094100||||89 :66328|66744||080409094136|9|||89 :169013|66752||080409094104|16|||81 :66143|169038|816995994355|080409094048|57|||01 :64065|2||080409094100||||89 :66218|169046|816995966377|080409094052|58|||01 :66398|66611||080409094136|9|||89 :66197|169055|816990766418|080409094040|10|||01 :169036|66418||080409094040|10|||81 :66322|66342||080409094120|5|||89 :66199|169042|8169137663|080409094048|252|||01 :169022|66207||080409094116|4|||81 :66033|66341||080409094140|10|||89 :64002|169057|81690433590360|080409094136|9|||01 :64065|2||080409094100||||89 :169017|66322||080409094136|24|||81 :66680|169047|816995551000|080409094128|22|||01 :66600|66396||080409094216|19|||89 :66338|169051|816995814200|080409094108|17|||01 :66166|169046|81690431378230|080409094112|3|||01 :169001|66834||080409094208|17|||81 :8610|169055|816997966311|080409094120|5|||01 :8166|169057|816995239824|080409094132|8|||01 :169007|66467||080409095548|207|||81 :66398|66713||080409094240|10|||89 :66363|169045|816998885023|080409094212|33|||01 :169027|64064||080409094224|6|||81 :66033|66336||080409094300|15|||89 :66255|169051|816997821785|080409094212|3|||01 :64065|2||080409094300||||89 :169029|66249||080409094244|26|||81 :66325|169056|81690413534971|080409094244|56|||01 :66422|66744||080409094324|6|||89 :169011|66314||080409094308|62|||81 :77083|169055|816992773745|080409094244|11|||01 :169025|66666||080409094224|6|||81 :169008|66433||080409094312|3|||81 :66033|66341||080409094316|4|||89 :66189|66454||080409095220|140|||89 :169032|66012||080409094304|16|||81 :64065|2||080409094300||||89 :169019|110057|8110|080409094404|1|||03 :169005|64020||080409095832|218|||81 :64005|169049|816995635060|080409094320|50|||01 :64002|169057|816986760455|080409094324|21|||01 :66263|169056|81690412885977|080409094328|7|||01 :8614|169050|81691800500853|080409094332|53|||01 :169035|66369||080409094340|10|||81 :66398|169046|816996962347|080409094348|27|||01 :66166|169051|816993999930|080409094424|21|||01 :66661|66713||080409094452|13|||89 :169006|110058|81105|080409094404|31|||03 :169023|66744||080409094412|18|||81 :8205|169052|81690404640234|080409094444|101|||01 :66192|66342||080409094412|3|||89 :8166|169039|816994705980|080409094432|8|||01 :66110|169047|816998171200|080409094404|46|||01 :66848|169049|816998281280|080409094432|8|||01 :169012|110059|81103|080409094444|296|||03 :64065|169037|816996622395|080409094440|10|||01 :66264|169057|816996456331|080409094428|7|||01 :66422|66727||080409094504|1|||89 :8613|169057|816992392580|080409094500||||01 :169034|77971||080409094504|31|||81 :66205|66301||080409094556|14|||89 :66171|169044|81691800141067|080409094448|57|||01 :8614|8615||080409094504|1|||89 :169018|77971||080409094428|7|||81 :66887|169042|81690285434000|080409094432|23|||01 :66451|169052|81690409889688|080409094512|3|||01 :66169|169038|816999030752|080409094516|19|||01 :169004|66003||080409094520|5|||81 :66189|169051|816996509966|080409094540|10|||01 :169020|66249||080409094516|34|||81 :66034|169055|81690409215139|080409094504|31|||01 :8016|66362||080409094516|4|||89 :8610|169036|816985522222|080409094540|25|||01 :66707|66705||080409095100|75|||89 :66261|169047|81690433362940|080409094604|16|||01 :77190|169050|81690430023308|080409094636|9|||01 :169002|66871||080409094540|10|||81 :169010|66802||080409094604|1|||81 :64046|169055|816995931962|080409094640|10|||01 :66115|169044|816995781682|080409094612|18|||01 :66661|66800||080409094656|14|||89 :8616|169053|816997757605|080409094624|126|||01 :66034|66314||080409094712|3|||89 :66869|169060|81690402776377|080409094616|319|||01 :66769|169045|816995953330|080409094640|55|||01 :169018|8615||080409094900|30|||81 :66322|66762||080409094720|5|||89 :169031|66744||080409094704|31|||81 :66773|66428||080409094720|5|||89 :66707|169042|81690425748028|080409094648|12|||01 :66287|169040|81690419770145|080409094640|10|||01 :66427|66422||080409094756|14|||89 :66183|66350||080409094716|4|||89 :169021|66605||080409094644|11|||81 :66842|169055|81690401208180|080409094720|5|||01 :66403|169041|816992440472|080409094704|166|||01 :66635|169047|81691300657265|080409094724|21|||01 :66227|169052|816998112044|080409094728|37|||01 :66166|169050|816993981109|080409094752|13|||01 :8620|169044|81690264953575|080409094804|1|||01 :169015|66253||080409094724|6|||81 :169024|66249||080409094812|33|||81 :169003|66251||080409094800|15|||81 :169014|66102||080409094808|32|||81 :64020|169056|81691300687746|080409094824|66|||01 :169022|66744||080409094812|3|||81 :169013|66168||080409094756|14|||81 :66328|64107||080409095540|115|||89 :169007|66177||080409094824|6|||81 :8007|169050|8169132221|080409094840|10|||01 :169011|66800||080409094816|4|||81 :66205|66429||080409095316|64|||89 :8614|169038|816913|080409094900||||01 :169032|77971||080409094920|5|||81 :66027|169058|8169271|080409094840|205|||01 :66777|66316||080409094912|3|||89 :66314|77889||080409094928|7|||89 :64073|169040|816996460629|080409094900||||01 :8613|169040|816992392580|080409094900||||01 :169008|77971||080409094932|8|||81 :169025|66314||080409094944|11|||81 :66166|169056|816993704705|080409094936|9|||01 :169027|77147||080409094940|10|||81 :66706|169054|816995942842|080409094900|135|||01 :66021|169039|816997115374|080409094916|4|||01 :66193|169041|816995714571|080409094956|14|||01 :66631|77190||080409095032|8|||89 :66419|169051|81690409771234|080409094928|52|||01 :169015|66253||080409095152|28|||81 :169012|66428||080409094932|8|||81 :66342|66422||080409095056|14|||89 :64002|169044|81690261413457|080409094924|21|||01 :66746|66218||080409095036|9|||89 :169037|110057|8110|080409094940|10|||03 :8616|169053|81691300464663|080409094952|43|||01 :169019|64046||080409094956|14|||81 :66613|77645||080409095232|38|||89 :66680|169055|816993495426|080409094928|37|||01 :8007|169058|81691300304932|080409094944|11|||01 :8611|169050|816995257629|080409095012|18|||01 :66325|66289||080409095028|7|||89 :169035|66270||080409094948|12|||81 :66718|66192||080409095008|2|||89 :64038|169045|816997528907|080409095000|45|||01 :66245|169059|81690419005335|080409095044|161|||01 :64098|66800||080409095148|27|||89 :169016|66195||080409095048|72|||81 :66025|169048|816995572437|080409095044|146|||01 :66623|169047|816995710598|080409095024|36|||01 :169036|66428||080409095032|8|||81 :77645|66631||080409095128|7|||89 :64013|169057|81690425707360|080409095016|34|||01 :169018|66623||080409095116|4|||81 :169031|2||080409095120|5|||82 :8610|169052|816998131908|080409095124|51|||01 :77648|66396||080409095152|13|||89 :66762|66611||080409095220|20|||89 :66117|169055|816998665436|080409095136|9|||01 :66288|66316||080409095248|27|||89 :169005|77068||080409095104|31|||81 :64107|169050|816995281538|080409095132|8|||01 :64038|169045|816997011481|080409095108|2|||01 :66769|169058|81690419740002|080409095148|12|||01 :66270|169051|816995708538|080409095144|11|||01 :8614|169058|81690732743655|080409095100||||01 :169004|77971||080409095148|27|||81 :66617|169060|81690409148763|080409095136|69|||01 :169026|66340||080409095140|85|||81 :66706|2||080409095212|3|||89 :77810|169048|816997769186|080409095140|10|||01 :8610|169052|816997843197|080409095132|8|||01 :66497|169044|816951738599|080409095152|28|||01 :8622|169046|8169131142|080409095128|112|||01 :66013|169055|81690409889688|080409095124|6|||01 :66263|169049|816985089300|080409095216|109|||01 :169033|110056|8110|080409095148|12|||03 :66270|169060|81690403423435|080409095212|3|||01 :66161|66854||080409095412|33|||89 :66887|169053|81690437106765|080409095208|17|||01 :66631|77190||080409095232|8|||89 :66396|66744||080409095248|12|||89 :169034|66032||080409095240|10|||81 :169006|110058|81101|080409095212|48|||03 :169020|66713||080409095236|24|||81 :64073|169056|81690409921847|080409095236|24|||01 :66804|169054|816995698818|080409095232|38|||01 :66110|169047|816998300090|080409095224|21|||01 :169002|77971||080409095208|32|||81 :66148|77434||080409095332|8|||89 :66785|66700||080409095400|15|||89 :169024|66322||080409095216|19|||81 :169007|66218||080409095240|10|||81 :66706|169050|81690419770245|080409095224|6|||01 :169013|66349||080409095236|9|||81 :64071|169043|816951471520|080409095252|178|||01 :66166|169053|81690431379230|080409095340|10|||01 :169009|66189||080409095252|118|||81 :66033|66396||080409095400|15|||89 :8166|169054|816998265518|080409095344|11|||01 :64107|169047|81690417083089|080409095304|1|||01 :169014|66619||080409095404|31|||81 :66137|169048|816995924308|080409095352|28|||01 :169024|2||080409095512|18|||82 :8615|169057|81690417752724|080409095344|41|||01 :66661|66611||080409095412|3|||89 :66322|66148||080409095512|18|||89 :64038|169049|816997071900|080409095420|20|||01 :66769|169060|816995717784|080409095352|28|||01 :169012|66044||080409095404|1|||81 :66044|169046|816990765014|080409095404|1|||01 :169039|66146||080409095404|1|||81 :169015|66322||080409095420|5|||81 :169001|66102||080409095452|28|||81 :169019|66003||080409095428|7|||81 :169029|66249||080409095436|99|||81 :66234|169054|816990117374|080409095500|15|||01 :66713|2||080409095512|3|||89 :8614|8616||080409095508|2|||89 :169035|77971||080409095428|7|||81 :66108|66393||080409095728|37|||89 :66161|66029||080409095736|39|||89 :169035|8616||080409095516|4|||81 :169018|66122||080409095508|2|||81 :66738|2||080409095516|4|||89 :169025|66342||080409095500|30|||81 :66328|169052|81690414944189|080409095536|39||2025|01 :169037|66938||080409095456|14|||81 :66938|169044|816990765938|080409095456|14|||01 :8613|8610||080409095504|1|||89 :169036|77971||080409095528|7|||81 :169031|110059|81105|080409095524|6|||03 :66713|169054|81690417112356|080409095516|4|||01 :169010|66882||080409095544|11|||81 :169021|66618||080409095512|3|||81 :66455|169049|816998265003|080409095516|19|||01 :169005|66261||080409095608|2|||81 :66153|169041|816995994654|080409095520|65|||01 :66166|169040|816992555205|080409095536|9|||01 :64073|169060|816995096111|080409095524|21|||01 :66358|169056|816996890745|080409095608|47|||01 :169030|64098||080409095632|53|||81 :66245|66162||080409095956|44|||89 :169014|66741||080409095948|42|||81 :66769|169053|81690418564997|080409095640|25|||01 :66108|66832||080409095812|18|||89 :66429|66707||080409095752|13|||89 :169016|66260||080409095712|18|||81 :66193|169059|816995341462|080409095612|93|||01 :77066|169043|816996502450|080409095656|29|||01 :66791|66396||080409095808|17|||89 :8164|169052|816995722944|080409095720|5|||01 :64073|169060|81690418320247|080409095728|7|||01 :66618|66746||080409095804|16|||89 :169034|66938||080409095652|13|||81 :66938|169054|816990765938|080409095652|13|||01 :66166|169059|816993982227|080409095724|6|||01 :66610|169055|816998204064|080409095708|77|||01 :169008|66340||080409095716|19|||81 :66661|66611||080409095808|2|||89 :66450|169042|81690403961296|080409095716|154|||01 :169009|66834||080409095720|5|||81 :66744|77147||080409095900|15|||89 :2|169060|81690408094130|080409095820|5|||02 :169026|77971||080409095752|28|||81 :77066|169059|816995343597|080409095800||||01 :66110|169053|816998175507|080409095816|19|||01 :66746|66721||080409095848|12|||89 :77149|169052|8169132221|080409095828|7|||01 :66887|169056|816998433000|080409095748|27|||01 :169003|66012||080409095748|102|||81 :169022|2||080409095816|4|||82 :169024|66016||080409095856|14|||81 :169009|66123||080409095948|12|||81 :66882|169060|81690403619499|080409095824|6|||01 :169020|110060|81104|080409095844|11|||03 :169032|66148||080409095840|70|||81 :66324|169046|816995274355|080409095928|67|||01 :66358|169056|81690417376714|080409095904|1|||01 :8622|169047|81691300147147|080409095912|78|||01 :169038|66713||080409095952|13|||81 :66382|169045|816995461973|080409095940|115|||01 :169007|66032||080409095940|40|||81 :169017|64086||080409095932|158|||81 :66848|169060|816995938288|080409095936|9|||01 :66166|169052|816993693950|080409095956|14|||01