:169029|77790||080409161324|276|||81 :66650|66335||080409160012|33|||89 :64086|66012||080409160204|46|||89 :66801|66268||080409160140|40|||89 :66342|66414||080409160056|14|||89 :66341|66289||080409160028|7|||89 :66856|169050|816995235307|080409160028|7|||01 :169020|66012||080409160024|6|||81 :66373|169057|816995081222|080409160024|36|||01 :8615|169059|816997724998|080409160028|22|||01 :169033|66330||080409160036|9|||81 :169012|66261||080409160028|22|||81 :169011|66167||080409160008|77|||81 :66223|66349||080409160116|4|||89 :66777|169054|816997881200|080409160040|55|||01 :66705|169057|816998033928|080409160016|4|||01 :64107|2||080409160108|2|||89 :169005|66263||080409160044|11|||81 :66269|169052|816995570811|080409160048|27|||01 :66856|169050|816995235307|080409160112|3|||01 :169004|66744||080409160140|40|||81 :66269|169052|816998595256|080409160120|5|||01 :66428|66744||080409160104|1|||89 :169001|110056|81105|080409160112|18|||03 :66636|169058|816995237715|080409160112|108|||01 :66189|169057|816992123008|080409160144|11|||01 :66292|169056|816995921919|080409160124|51|||01 :169020|66123||080409160324|21|||81 :66650|66631||080409160536|54|||89 :169014|66075||080409160124|6|||81 :66075|169050|816990765075|080409160124|6|||01 :66717|66002||080409160216|4|||89 :169028|66428||080409160112|3|||81 :66868|169047|816998277709|080409160152|13|||01 :169021|110055|81104|080409160204|1|||03 :66777|169054|816997837288|080409160212|3|||01 :66761|66253||080409160304|16|||89 :66746|169052|816998981970|080409160136|9|||01 :66442|169048|816998160444|080409160144|26|||01 :169026|66269||080409160212|3|||81 :66707|66382||080409160408|32|||89 :169016|110057|81101|080409160212|33|||03 :66221|77810||080409160248|12|||89 :66137|77147||080409160304|16|||89 :169029|66341||080409160220|5|||81 :169008|110055|8110|080409160220|5|||03 :8167|169055|81690404883457|080409160308|92|||01 :66741|169051|816996083591|080409160248|117|||01 :169013|77971||080409160228|52|||81 :169023|66110||080409160304|1|||81 :169015|8210||080409160300||||81 :169034|66890||080409160332|8|||81 :169036|66744||080409160320|5|||81 :169025|66800||080409160312|3|||81 :169041|110054|8110|080409160320|20|||03 :169003|66010||080409160404|1|||81 :77165|169050|816995703468|080409160412|3|||01 :66221|8164||080409160540|25|||89 :66180|169048|816986015299|080409160420|5|||01 :66840|169045|816985856200|080409160440|40|||01 :66038|169058|816995551000|080409160408|32|||01 :169017|66869||080409161816|214|||81 :169024|66341||080409160436|9|||81 :66777|169054|816997837288|080409160412|33|||01 :169040|66834||080409160420|35|||81 :66356|169053|816993373585|080409160512|78|||01 :66115|169050|816994277558|080409160428|7|||01 :66819|169055|816992343636|080409160508|32|||01 :66166|169058|816993981109|080409160520|5|||01 :169032|64013||080409160436|9|||81 :66137|77147||080409160608|17|||89 :66185|169060|816995942842|080409160540|130|||01 :169031|66301||080409160540|10|||81 :169025|66123||080409160652|28|||81 :66195|169056|816990762270|080409160536|54|||01 :66221|77190||080409160620|5|||89 :169044|66287||080409160552|28|||81 :66166|66038||080409160616|4|||89 :66289|169052|816985870270|080409160552|43|||01 :66005|2||080409160600||||89 :169022|66733||080409160624|21|||81 :66840|169055|816995093890|080409160548|12|||01 :66636|169054|816995538870|080409160616|19|||01 :8166|169050|816956252858|080409160608|17|||01 :66130|169057|816995789118|080409160616|64|||01 :169006|66434||080409160652|28|||81 :66447|169060|81690431112181|080409160612|18|||01 :169009|66867||080409160636|54|||81 :66221|66804||080409160800|15|||89 :66140|169049|81690406317829|080409160656|119|||01 :169033|66249||080409160732|8|||81 :169028|110060|81102|080409160716|4|||03 :66034|169055|816988662200|080409160712|3|||01 :169030|66422||080409160732|83|||81 :169038|66314||080409160804|46|||81 :8166|169055|816995320739|080409160804|1|||01 :169008|66256||080409160820|5|||81 :169014|66117||080409160804|16|||81 :66856|169047|81691800451300|080409160728|52|||01 :66130|169060|816985205255|080409160808|17|||01 :66707|169051|81690401900563|080409160840|70|||01 :66189|169053|816953482091|080409160832|38|||01 :169020|66605||080409160836|24|||81 :66356|169055|816993373585|080409160824|6|||01 :66038|169056|816992440320|080409160856|29|||01 :66223|169045|81690407959424|080409160856|44|||01 :169012|66336||080409160832|38|||81 :66631|66650||080409160928|7|||89 :169019|66314||080409160920|50|||81 :66130|169054|816995994355|080409160828|7|||01 :66819|169057|81691300130963|080409160856|29|||01 :66314|64085||080409160904|1|||89 :169011|66314||080409160940|40|||81 :169018|77971||080409160936|9|||81 :64086|66761||080409161148|27|||89 :66772|169057|816995012036|080409160932|8|||01 :169003|8017||080409161012|3|||81 :66680|2||080409161016|4|||89 :66189|169056|816953484946|080409160956|14|||01 :66297|169057|816995760617|080409161020|5|||01 :66205|169059|816995814200|080409161016|139|||01 :66707|66422||080409161032|8|||89 :66197|169049|816990760399|080409161036|9|||01 :169015|110060|8110|080409161024|36|||03 :66204|169042|816995197000|080409161020|140|||01 :169005|66801||080409161048|72|||81 :169036|66314||080409161040|25|||81 :169016|2||080409161116|49|||82 :169043|66269||080409161132|8|||81 :66226|169056|81690407338946|080409161104|1|||01 :66886|169051|816995896668|080409161200|30|||01 :64107|66210||080409161324|21|||89 :8616|169048|816987681384|080409161136|99|||01 :66029|169043|816997298738|080409161120|5|||01 :66381|2||080409161208|2|||89 :8166|169056|816995050034|080409161208|2|||01 :66189|169059|816995534300|080409161204|16|||01 :66236|169049|81690401059051|080409161128|7|||01 :66433|169040|816995797414|080409161216|4|||01 :66127|169042|816959649157|080409161212|3|||01 :169026|66840||080409161216|64|||81 :66610|169056|816997831008|080409161204|1|||01 :8620|169052|81690262691000|080409161148|42|||01 :66636|66448||080409161740|85|||89 :169007|66005||080409161216|94|||81 :66183|66854||080409161320|5|||89 :66246|169044|816996569406|080409161216|19|||01 :169025|66820||080409161312|3|||81 :66777|169056|816997881261|080409161324|6|||01 :66381|66340||080409161356|14|||89 :169022|66650||080409161336|9|||81 :169017|66619||080409161316|19|||81 :169031|77971||080409161300|15|||81 :66746|66721||080409161404|16|||89 :169027|66342||080409161348|27|||81 :169001|66026||080409161316|4|||81 :66450|169056|81690422025103|080409161404|1|||01 :66846|66660||080409161416|4|||89 :66428|66002||080409161420|5|||89 :66034|169052|81691223|080409161336|24|||01 :66820|77068||080409161432|8|||89 :169009|66369||080409161444|11|||81 :169028|66717||080409161416|4|||81 :169037|66341||080409161420|5|||81 :169010|66791||080409161420|50|||81 :169030|66029||080409161428|7|||81 :2|66713||080409161508|2|||89 :169004|66666||080409161520|20|||81 :66237|169056|816995371614|080409161444|11|||01 :66706|169060|81691300735363|080409161452|103|||01 :66782|77190||080409161704|31|||89 :66605|169052|816990117210|080409161508|17|||01 :66820|66395||080409161552|13|||89 :66373|169044|81690261253099|080409161536|9|||01 :77083|169042|816992773745|080409161532|8|||01 :169038|66652||080409161528|7|||81 :77198|169055|816995687338|080409161608|107|||01 :66404|169048|816982906000|080409161552|13|||01 :66447|169057|81690418396312|080409161604|76|||01 :169021|66776||080409161540|25|||81 :169020|8008||080409161608|2|||81 :169014|66322||080409161552|13|||81 :66820|66657||080409161616|4|||89 :66819|169054|816995571700|080409161556|104|||01 :8615|169043|816985856098|080409161632|23|||01 :169032|66727||080409161648|72|||81 :66665|8007||080409161844|26|||89 :169033|110060|81101|080409161628|37|||03 :66176|66330||080409161736|9|||89 :66185|169055|81691800226126|080409161648|12|||01 :66221|169049|81690421869557|080409161724|51|||01 :66856|169053|816995235307|080409161728|127|||01 :169008|77971||080409161656|29|||81 :66454|169045|816994163956|080409161712|108|||01 :66717|66350||080409161740|10|||89 :66680|169047|81690413378274|080409161700|105|||01 :169006|66744||080409161720|20|||81 :169023|66713||080409161704|16|||81 :169003|110054|81109|080409161744|11|||03 :66342|169056|81691300888801|080409161752|28|||01 :66185|66706||080409161820|5|||89 :64055|169055|81691300738053|080409161816|4|||01 :169039|77971||080409161740|25|||81 :169040|66314||080409161808|2|||81 :169041|110058|8110|080409161744|131|||03 :66717|66854||080409161820|5|||89 :169005|66010||080409161756|14|||81 :66141|169050|816992999030|080409161848|132|||01 :169026|66804||080409161824|6|||81 :66234|169059|816996451995|080409161816|94|||01 :66832|169052|816995806025|080409161848|12|||01 :8614|8616||080409161904|1|||89 :169007|77971||080409161820|5|||81 :66341|66289||080409161912|3|||89 :169002|110059|81109|080409161840|10|||03 :169019|110056|81106|080409161920|35|||03 :64074|169056|816995714010|080409161848|12|||01 :169005|66117||080409161940|10|||81 :169022|66207||080409161936|9|||81 :66113|66395||080409161928|7|||89 :66255|2||080409161920|5|||89 :66153|169049|816995338120|080409161852|13|||01 :66832|169059|816995806025|080409161932|8|||01 :169007|8616||080409161944|11|||81 :169031|110055|8110|080409161952|13|||03 :66854|169055|816995214494|080409161944|11|||01 :169025|110058|81101|080409161912|18|||03 :66313|2||080409162012|3|||89 :169030|66804||080409162016|4|||81 :8612|8616||080409162004|1|||89 :169024|77971||080409162020|20|||81 :66447|66349||080409162156|29|||89 :66742|169060|81690432506579|080409162000|60|||01 :169010|110054|8110|080409162028|7|||03 :169028|110056|81109|080409161944|11|||03 :169034|66718||080409162000|60|||81 :66777|169051|816997881261|080409161944|101|||01 :169022|66123||080409162104|16|||81 :77198|169054|816995784199|080409162000|45|||01 :169004|66029||080409162020|5|||81 :66832|169059|816982903204|080409162052|13|||01 :169012|66270||080409162024|6|||81 :169009|77971||080409162056|29|||81 :77071|169055|816998856062|080409162040|10|||01 :66451|169060|81690409889688|080409162108|2|||01 :66313|169056|81690415474188|080409162036|9|||01 :169015|66712||080409162116|49|||81 :66255|66145||080409162236|24|||89 :169036|110060|8110|080409162040|55|||03 :66398|169052|816996396144|080409162100|15|||01 :169044|66800||080409162108|2|||81 :66717|66002||080409162116|4|||89 :8613|66636||080409162140|10|||89 :64026|169053|81690450049463|080409162144|56|||01 :66430|169057|81691800998995|080409162108|77|||01 :66712|169056|816995966422|080409162216|4|||01 :66742|66783||080409162348|27|||89 :64101|169058|816996502626|080409162152|253||4144|01 :169001|66433||080409162220|50|||81 :169017|66666||080409162228|7|||81 :66178|66350||080409162232|8|||89 :169020|8017||080409162212|3|||81 :66226|169057|81690407338946|080409162228|7|||01 :169043|66666||080409162216|4|||81 :169017|66123||080409162340|10|||81 :66256|169060|816952792222|080409162240|25|||01 :66791|66819||080409162308|2|||89 :169021|66801||080409162240|10|||81 :169043|66123||080409162320|5|||81 :66430|169057|816995432833|080409162324|6|||01 :169014|66287||080409162320|5|||81 :66840|169056|816995237842|080409162256|14|||01 :66856|169059|816995286929|080409162336|24|||01 :169018|66819||080409162336|9|||81 :169047|66938||080409162316|4|||81 :66938|169050|816990765938|080409162316|4|||01 :66178|66435||080409162416|4|||89 :66450|169055|816992123002|080409162312|18|||01 :66199|169052|816995814200|080409162316|19|||01 :66153|169053|816995243315|080409162324|21|||01 :66648|169051|816995292062|080409162348|12|||01 :169003|66287||080409162408|2|||81 :169027|2||080409162328|82|||82 :64107|66210||080409162416|4|||89 :66012|169058|816987910200|080409162428|22|||01 :66707|66423||080409162752|58|||89 :66332|169051|81690409889688|080409162404|1|||01 :66113|169052|816995639798|080409162420|5|||01 :169026|66012||080409162404|1|||81 :64020|169059|816995538870|080409162456|14|||01 :169002|66139||080409162428|7|||81 :66382|169054|816995282077|080409162512|63|||01 :66165|169050|816993082349|080409162440|10|||01 :66395|2||080409162612|3|||89 :66888|66127||080409162720|20|||89 :66629|66288||080409162640|10|||89 :169042|66804||080409162544|56|||81 :169026|66398||080409162728|22|||81 :66325|66289||080409162620|5|||89 :77083|169049|816992773745|080409162612|18|||01 :66428|66183||080409162720|20|||89 :66113|169052|816998278009|080409162532|8|||01 :169035|66270||080409162544|11|||81 :66153|169054|81690419885917|080409162548|12|||01 :66395|169050|81690405142576|080409162700|15|||01 :66447|169051|816986954700|080409162704|31|||01 :66381|169055|816995966983|080409162700|45|||01 :8018|169060|816995185600|080409162640|55|||01 :66430|66800||080409162820|20|||89 :66382|2||080409162716|4|||89 :66287|66281||080409162708|2|||89 :169029|66666||080409162712|3|||81 :169023|66776||080409162744|56|||81 :64026|169052|81690433554633|080409162720|20|||01 :66391|169059|816996425353|080409162804|46|||01 :169030|64055||080409162740|10|||81 :169031|66661||080409162740|25|||81 :66192|66422||080409162824|6|||89 :66848|169050|816997966322|080409162824|6|||01 :66675|169054|816995713262|080409162840|25|||01 :66221|169045|816995303125|080409162800|15|||01 :66428|66136||080409162944|26|||89 :66742|169055|81690417374537|080409162832|8|||01 :66717|66350||080409162840|10|||89 :169029|77810||080409163012|18|||81 :169025|66314||080409162828|7|||81 :169034|66197||080409162836|9|||81 :66108|169058|816997956106|080409162832|68|||01 :169004|66335||080409162836|9|||81 :66113|169052|81690412062253|080409162852|13|||01 :66303|169059|816995783346|080409162856|14|||01 :66382|169060|81690405287728|080409162856|29|||01 :66654|169049|816995511452|080409162916|4|||01 :66195|169045|8169132221|080409162924|6|||01 :8612|8615||080409162904|1|||89 :169036|77971||080409162924|6|||81 :169032|66834||080409162940|100|||81 :169015|66207||080409162908|2|||81 :66717|66350||080409163036|9|||89 :169023|66123||080409163204|31|||81 :66777|66336||080409163012|3|||89 :66141|169055|816995795078|080409162944|11|||01 :169001|66382||080409162916|4|||81 :169044|66197||080409162928|7|||81 :169010|110060|8110|080409162944|26|||03 :66348|169051|81690434312089|080409162956|29|||01 :8007|169056|816993416200|080409163016|94|||01 :8018|2||080409163136|24|||89 :66712|169050|816995969492|080409163012|18|||01 :66882|169058|81690414435067|080409163008|2|||01 :169007|66166||080409163008|62|||81 :66287|2||080409163016|4|||89 :169038|66776||080409163012|3|||81 :169020|66102||080409163032|8|||81 :64098|169052|81690415876505|080409163012|3|||01 :64020|169048|81690400829762|080409163024|81|||01 :169036|8615||080409163212|18|||81 :66325|2||080409163112|3|||89 :169019|77971||080409163036|84|||81 :8018|169056|81690400959817|080409163028|7|||01 :169009|66666||080409163104|31|||81 :66117|66393||080409163108|2|||89 :169017|66326||080409163112|3|||81 :169021|66477||080409163112|3|||81 :66287|66335||080409163140|10|||89 :169028|66776||080409163132|38|||81 :66325|169051|81690403825690|080409163116|4|||01 :66386|66342||080409163352|43|||89 :169014|66433||080409163108|2|||81 :66882|169058|81690417735067|080409163200|15|||01 :169013|66269||080409163124|351|||81 :66213|66603||080409163516|49|||89 :66783|66742||080409163256|14|||89 :66332|169045|81690409889688|080409163204|1|||01 :77790|169059|816995467700|080409163220|35|||01 :169018|66834||080409163220|5|||81 :66183|66350||080409163228|7|||89 :66761|169060|816995965197|080409163216|34|||01 :66382|169055|816995782027|080409163216|34|||01 :64098|169052|816995340981|080409163236|24|||01 :8166|169060|816995348800|080409163204|1|||01 :169033|66829||080409163256|29|||81 :169009|66868||080409163452|28|||81 :66386|66657||080409163408|17|||89 :8615|169059|81690402832757|080409163232|8|||01 :66356|169056|816993179617|080409163316|34|||01 :169011|64085||080409165656|359|||81 :8619|169060|816992937133|080409163316|4|||01 :169043|8017||080409163344|41|||81 :169040|66433||080409163344|11|||81 :66382|2||080409163412|3|||89 :64020|169050|816996829955|080409163344|41|||01 :66239|169044|816995303125|080409163400|15|||01 :169018|77810||080409163548|27|||81 :66219|169057|816992152400|080409163328|157|||01 :66495|169060|816999261173|080409163404|1|||01 :66443|169045|81690417392678|080409163404|16|||01 :169006|66713||080409163356|29|||81 :169024|8616||080409164812|213|||81 :66404|169053|816995706525|080409163420|140|||01 :66661|66762||080409163424|6|||89 :66717|66350||080409163424|6|||89 :169003|2||080409163432|8|||82 :66820|169056|81690429979974|080409163424|6|||01 :66741|2||080409163408|2|||89 :66038|169050|816995551000|080409163432|8|||01 :169002|66016||080409163440|10|||81 :66382|169059|81690755722479|080409163440|10|||01 :169016|66604||080409163452|253|||81 :169030|66314||080409163428|7|||81 :169005|66666||080409163432|8|||81 :66423|169052|816998772533|080409163424|36|||01 :169026|66237||080409163440|10|||81 :66165|169051|816995346847|080409163520|50|||01 :66117|169043|8169132227|080409163504|16|||01 :169012|66003||080409163524|6|||81 :66447|169054|816996161609|080409163520|95|||01 :169025|66335||080409163520|5|||81 :66314|64020||080409163520|5|||89 :77069|66636||080409163720|35|||89 :169035|66153||080409163516|19|||81 :66482|169056|816994266666|080409163532|8|||01 :66414|66342||080409163620|20|||89 :66430|169057|81690409971652|080409163508|17|||01 :169030|66348||080409163708|17|||81 :8620|169050|816992937133|080409163552|13|||01 :169029|66316||080409163608|17|||81 :66356|169057|816993012764|080409163604|1|||01 :66287|169055|816995314902|080409163632|53|||01 :169034|66834||080409163556|14|||81 :66495|169060|81690430538093|080409163600|30|||01 :169023|66249||080409163632|8|||81 :66635|169056|816995436770|080409163624|6|||01 :169001|66422||080409163620|5|||81 :169015|66340||080409163648|12|||81 :169032|66744||080409163628|7|||81 :66325|66251||080409163820|20|||89 :66443|169059|81690417392678|080409163656|29|||01 :66326|169057|8169200|080409163636|9|||01 :64066|169047|81690419551769|080409163712|168|||01 :169038|66314||080409163708|2|||81 :169031|66882||080409163744|41|||81 :8167|169058|816992651090|080409163752|73|||01 :66600|66113||080409163832|23|||89 :66332|169059|81690409889688|080409163708|2|||01 :66356|169052|816993378225|080409163804|1|||01 :66338|169049|81690410560146|080409163732|98|||01 :66350|169058|8169430|080409163824|6|||01 :66718|66193||080409163900|15|||89 :169036|66322||080409163832|8|||81 :169007|66834||080409163812|18|||81 :77069|169059|816995274589|080409163836|9|||01 :169022|77971||080409163808|62|||81 :66448|66636||080409163956|14|||89 :66115|169051|816992651279|080409163856|14|||01 :169019|66619||080409163824|6|||81 :66395|66210||080409163932|8|||89 :66495|169060|816997498222|080409163916|34|||01 :66428|66183||080409164016|19|||89 :169007|66123||080409164012|18|||81 :66350|169051|816995876612|080409163936|9|||01 :169057|77073||080409164248|42|||81 :66877|169046|81691300132925|080409163948|1242|||01 :169028|64036||080409163924|21|||81 :66373|169039|816995687244|080409164012|108|||01 :169017|2||080409164052|28|||81 :169014|66938||080409164100|30|||81 :66938|169058|816990765938|080409164100|30|||01 :66762|2||080409164124|6|||89 :169008|64045||080409164100|15|||81 :169013|66382||080409164108|17|||81 :169040|66666||080409164108|2|||81 :8166|169053|816995373600|080409164140|100|||01 :169042|66434||080409164100|15|||81 :169011|66141||080409164112|18|||81 :169009|66431||080409164120|20|||81 :64073|169051|81690434268115|080409164132|8|||01 :66712|2||080409164252|13|||89 :66326|66707||080409164312|18|||89 :66199|169046|81691800330066|080409164148|12|||01 :66350|169060|816995210467|080409164208|17|||01 :66348|169052|816998229822|080409164232|38|||01 :66718|169047|816995702327|080409164208|17|||01 :169040|66123||080409164312|18|||81 :66115|169042|816992651279|080409164256|14|||01 :66443|169056|816995555377|080409164236|84|||01 :169003|64086||080409164308|2|||81 :169006|66153||080409164316|4|||81 :169018|66324||080409164324|21|||81 :64062|169051|816995091650|080409164304|16|||01 :66389|66350||080409164340|10|||89 :169033|66404||080409164324|51|||81 :169044|66139||080409164432|38|||81 :66819|66791||080409165832|203|||89 :66204|169053|816953203635|080409164456|44|||01 :77645|169051|816995329900|080409164444|11|||01 :66675|66002||080409164636|24|||89 :66762|169049|81690407770721|080409164440|55|||01 :66162|169059|816959985213|080409164508|92|||01 :8610|169039|816995939888|080409164452|43|||01 :66443|169060|81690418997529|080409164452|28|||01 :169016|110060|81100|080409164500|15|||03 :169027|66261||080409164444|176|||81 :169012|64086||080409164520|5|||81 :66877|77190||080409164556|14|||89 :66422|66707||080409164700|30|||89 :169005|66619||080409164524|6|||81 :66348|169046|816990951257|080409164612|18|||01 :66636|169058|81690403178638|080409164532|68|||01 :169030|66102||080409164612|3|||81 :64098|169043|81691300654329|080409164604|61|||01 :66199|169060|816992766102|080409164612|3|||01 :169035|66270||080409164548|12|||81 :169026|66314||080409164556|14|||81 :66635|66350||080409164636|9|||89 :169029|66002||080409164616|4|||81 :66877|169060|81690488375983|080409164608|2|||01 :66415|169047|81690402666990|080409164556|29|||01 :66115|169059|816992651279|080409164640|10|||01 :66434|66428||080409164656|14|||89 :66352|169038|816998048737|080409164620|65|||01 :66356|169050|816993379969|080409164616|109|||01 :169006|66338||080409165052|58|||81 :66846|66422||080409164720|5|||89 :66165|169054|816996909144|080409164644|176|||01 :66326|169056|816995714010|080409164700|45|||01 :169023|66350||080409164632|8|||81 :66161|66183||080409164736|9|||89 :169034|66253||080409164712|18|||81 :169015|66773||080409164720|5|||81 :66636|66448||080409164804|16|||89 :66877|77190||080409164748|12|||89 :66389|66350||080409164708|2|||89 :8616|169051|81690438791654|080409164748|12|||01 :64098|66718||080409164820|5|||89 :66161|66854||080409164840|10|||89 :66419|169052|81690408315626|080409164800|60|||01 :66773|169050|816992651297|080409164832|8|||01 :66443|169059|81690417392678|080409164836|9|||01 :66341|66210||080409164820|5|||89 :66434|66180||080409164940|25|||89 :66183|66350||080409164916|4|||89 :64030|169056|816992651000|080409164852|13|||01 :66800|169052|816995235067|080409164816|4|||01 :66395|66350||080409164904|1|||89 :66744|169060|81690412872925|080409164920|20|||01 :66851|169051|816995340981|080409164912|18|||01 :169036|110059|81109|080409164844|26|||03 :66428|66136||080409165044|26|||89 :169004|66063||080409164916|19|||81 :66063|169049|816990765063|080409164916|19|||01 :66877|77810||080409165204|31|||89 :169007|66661||080409164912|18|||81 :66448|169054|816995282717|080409165000|30|||01 :169037|110060|8110|080409165012|3|||03 :169031|66153||080409164932|38|||81 :66391|169048|81691331333|080409165028|262|||01 :66395|66210||080409165044|11|||89 :169017|66139||080409165032|8|||81 :66314|66443||080409165004|1|||89 :169009|66314||080409165016|4|||81 :169021|77790||080409165036|39|||81 :66617|169044|816993428447|080409165052|88|||01 :66404|169042|816995706525|080409165048|87|||01 :169008|66342||080409165040|10|||81 :66161|66183||080409165140|10|||89 :66428|66177||080409165224|21|||89 :66635|66350||080409165140|10|||89 :64059|169057|81691300133245|080409165056|164|||01 :169009|66443||080409165144|11|||81 :66877|66861||080409165216|19|||89 :66773|169054|816995096177|080409165136|9|||01 :66800|169056|816998363247|080409165056|29|||01 :66225|169050|816959985213|080409165128|37|||01 :169014|66335||080409165136|9|||81 :64071|169052|816997426711|080409165116|4|||01 :66879|66878||080409165428|37|||89 :66707|66664||080409165244|11|||89 :66117|66393||080409165212|3|||89 :169011|66117||080409165148|12|||81 :66314|66199||080409165204|1|||89 :169040|66314||080409165216|4|||81 :66851|169056|8169132221|080409165148|12|||01 :66465|169051|81690409741745|080409165252|13|||01 :169024|110060|81108|080409165208|17|||03 :169028|66253||080409165220|20|||81 :66635|66350||080409165340|10|||89 :169011|66393||080409165404|16|||81 :8610|169057|816997837099|080409165252|28|||01 :64071|66650||080409165312|3|||89 :66115|169056|816992651100|080409165344|11|||01 :169020|66610||080409165332|98|||81 :66635|66350||080409165440|10|||89 :66255|2||080409165416|4|||89 :66861|169052|816990967138|080409165416|34|||01 :66140|169049|816995433757|080409165420|5|||01 :66617|169054|81690423652261|080409165448|42|||01 :66741|169045|81690419141710|080409165524|306|||01 :66127|169056|816992706941|080409165528|7|||01 :66161|66183||080409165536|9|||89 :66707|169050|81690421358002|080409165456|14|||01 :66717|66350||080409165628|22|||89 :64066|169055|816995235786|080409165508|272|||01 :8614|66450||080409165604|1|||89 :169018|77971||080409165532|8|||81 :169013|66776||080409165608|92|||81 :66204|8620||080409165720|20|||89 :66869|169058|816995684625|080409165548|147|||01 :66130|169057|816995254564|080409165624|36|||01 :66600|66012||080409165612|3|||89 :169002|66139||080409165632|8|||81 :66819|169053|816995788130|080409165620|170|||01 :66248|169051|816996829428|080409165640|40|||01 :66185|66706||080409165720|5|||89 :169033|66744||080409165620|5|||81 :66382|169052|816995282077|080409165724|36|||01 :66130|169057|816985205255|080409165640|10|||01 :66332|169051|81690409889688|080409165704|1|||01 :66395|2||080409165716|4|||89 :66635|169054|816997426700|080409165656|29|||01 :169016|66249||080409165744|11|||81 :64098|66396||080409165716|4|||89 :169039|66183||080409165808|17|||81 :66165|169051|816995574886|080409165808|2|||01 :8167|169052|81690448370711|080409165744|11|||01 :169012|77054||080409165724|6|||81 :169027|66866||080409165808|17|||81 :8616|169055|81691300464663|080409165828|22|||01 :66269|169056|816995570811|080409165816|34|||01 :169046|66340||080409165804|1|||81 :66856|169059|816995235307|080409165748|147|||01 :66314|66348||080409165952|13|||89 :66341|66251||080409165944|11|||89 :77040|169053|8169132221|080409165852|28|||01 :66809|169059|8169131532|080409165820|5|||01 :66204|169054|816987813409|080409165904|16|||01 :66674|169058|816998869876|080409165928|37|||01 :169043|66003||080409165920|5|||81 :66395|169055|816995788350|080409165848|12|||01 :66395|169057|81690407117595|080409165932|23|||01 :66809|169059|8169131532|080409165948|12|||01 :169041|66198||080409165948|537|||81