:169046|2||100409140048|42|||82 :169032|77074||100409140636|69|||81 :66253|2||100409140320|5|||89 :66253|77649||100409140624|21|||89 :66332|169058|81690409889688|100409140512|3|||01 :77147|66707||100409140852|58|||89 :66635|66002||100409140520|5|||89 :66341|2||100409140616|4|||89 :66706|66185||100409140608|2|||89 :66713|2||100409140616|4|||89 :77649|66253||100409140812|18|||89 :66415|169058|816995511841|100409140656|14|||01 :66005|169060|816995536565|100409140736|69|||01 :66427|66341||100409140848|12|||89 :77649|66713||100409140852|13|||89 :66183|66002||100409140920|5|||89 :66329|66423||100409141232|23|||89 :66342|77072||100409141204|1|||89 :169047|66342||100409141120|5|||81 :66253|2||100409141312|3|||89 :66427|66253||100409141408|2|||89 :169042|66063||100409141400||||81 :66063|169057|816990765063|100409141400||||01 :66619|169058|816998881318|100409141420|95|||01 :66415|77649||100409141608|2|||89 :66342|169058|816995790141|100409141716|19|||01 :169047|77072||100409142624|111|||81 :66707|169058|81690434253021|100409141840|10|||01 :169013|66744||100409142104|121|||81 :66846|169058|81691900966201|100409142120|5|||01 :66336|66342||100409142200|15|||89 :66846|169058|81691900966222|100409142144|11|||01 :66396|169057|816998224714|100409142208|47|||01 :66341|2||100409142312|3|||89 :66341|169058|81690424157227|100409142420|5|||01 :77281|2||100409142424|6|||89 :77073|169059|816995701481|100409142532|428|||01 :66329|66423||100409142644|11|||89 :169029|66012||100409142708|2|||81 :66427|169059|816995696792|100409142704|1|||01 :169054|2||100409142712|3|||82 :169004|66063||100409142816|4|||81 :66063|169058|816990765063|100409142816|4|||01 :169048|110060|8110|100409142916|34|||03 :66335|169059|816997003926|100409142912|33|||01 :66234|66619||100409143124|6|||89 :2|169059|81690404816431|100409143020|5|||02 :64035|169058|81690401983701|100409143112|3|||01 :66846|169059|816995963418|100409143144|11|||01 :169053|66075||100409143248|27|||81 :66075|169057|816990765075|100409143248|27|||01 :2|169059|8169132227|100409143336|9|||02 :77083|169059|816992773745|100409143440|10|||01 :66427|169059|816997023384|100409143632|8|||01 :169024|66075||100409143644|11|||81 :66075|169058|816990765075|100409143644|11|||01 :169001|110060|81105|100409143832|8|||03 :66326|169058|816997980513|100409143804|16|||01 :169037|77147||100409143924|21|||81 :66830|66149||100409144012|3|||89 :66415|2||100409144104|1|||89 :66653|169057|816995783346|100409144148|27|||01 :66629|169060|816997954679|100409144420|530|||01 :66332|169057|81690409889688|100409144412|3|||01 :66326|169058|8169132660|100409144456|74|||01 :66741|66391||100409145212|93|||89 :66253|77055||100409144920|35|||89 :169055|66336||100409144732|8|||81 :66329|169058|816995099039|100409144828|7|||01 :77649|169057|816995789092|100409144944|11|||01 :66234|169060|816998076657|100409145000|60|||01 :77649|169057|81690413554989|100409145016|4|||01 :64071|169056|816987072958|100409145116|19|||01 :66328|66326||100409145204|1|||89 :66196|2||100409145200||||89 :77649|169060|81690413554989|100409145204|16|||01 :169014|66304||100409145236|9|||81 :66005|169059|81690260404943|100409145500|255|||01 :66196|169060|816998908145|100409145424|21|||01 :66324|169058|816995611938|100409145504|91|||01 :66196|169057|816998597901|100409145516|19|||01 :66196|169060|816998973264|100409145616|4|||01 :66336|2||100409145828|7|||89 :66761|66744||100409145916|4|||89 :169041|66713||100409145932|8|||81