:66874|8639||080411170224|96|||89 :169040|8100||080411170540|115|||81 :64066|169055|81690438985227|080411170024|111|||01 :66872|169059|81690408947999|080411170004|46|||01 :66326|169060|816994295677|080411170036|174|||01 :66026|66350||080411170148|12|||89 :45030|169058|816952376761|080411170036|9|||03 :66327|169053|81691300733444|080411170116|109|||01 :169020|110060|81105|080411170136|39|||03 :66871|169059|816995096420|080411170200|15|||01 :66169|169051|816999030752|080411170144|71|||01 :169001|66603||080411170124|6|||81 :169012|110059|81104|080411170204|31|||03 :66332|169048|81690409889688|080411170228|7|||01 :66848|169053|816995095969|080411170144|11|||01 :66610|169046|81690419770077|080411170224|6|||01 :66874|169050|81690419561957|080411170152|13|||01 :66141|169055|816997986444|080411170228|22|||01 :66648|169060|81690403558578|080411170244|26|||01 :169041|66391||080411170216|49|||81 :169028|2||080411170304|1|||82 :169027|66619||080411170304|106|||81 :77083|169059|816992773745|080411170324|21|||01 :169015|77072||080411171128|127|||81 :45030|169053|81690438340534|080411170328|22|||03 :66617|2||080411170428|7|||89 :66789|169059|816951738341|080411170412|3|||01 :77643|66192||080411170408|2|||89 :66335|2||080411170416|4|||89 :169004|66619||080411170420|5|||81 :66848|169059|816986147599|080411170424|6|||01 :64020|169053|816995688141|080411170500|15|||01 :45029|169055|81691300438849|080411170452|28|||03 :8617|169058|81690433946469|080411170500|60|||01 :66427|169054|81690425705787|080411170512|228|||01 :66456|169052|81690418174485|080411170516|124|||01 :64159|66210||080411170620|5|||89 :169011|2||080411170628|22|||82 :66789|66350||080411170616|4|||89 :66467|169056|81690419108781|080411170604|151|||01 :64085|169059|81690418311685|080411170648|12|||01 :8639|169054|81691300119160|080411170704|1|||01 :8617|169054|81691300464663|080411170808|2|||01 :8639|169053|81691300119160|080411170840|10|||01 :66467|66648||080411170852|13|||89 :64027|169060|816992091111|080411170804|76|||01 :169014|66938||080411170832|8|||81 :66938|169052|816990765938|080411170832|8|||01 :169031|2||080411170824|6|||82 :66706|169045|81690409560503|080411170812|153|||01 :66451|169048|81690409889688|080411170816|4|||01 :169005|66923||080411170848|327|||81 :66923|169049|816990765923|080411170848|327|||01 :66848|169054|816995095969|080411170844|11|||01 :66706|2||080411170912|3|||89 :66617|66253||080411171228|52|||89 :66789|169059|816951738341|080411170920|35|||01 :8617|169051|81690408056085|080411170912|18|||01 :64066|169050|81690414822584|080411171024|21|||01 :66332|169059|81690409889688|080411171012|3|||01 :66613|2||080411171020|5|||89 :77040|169056|816995696229|080411171040|55|||01 :64027|169060|81690406593523|080411171048|27|||01 :8611|169057|816995970335|080411171044|416|||01 :169010|66619||080411171116|4|||81 :66611|169056|816995635559|080411171112|3|||01 :169030|66195||080411171112|48|||81 :66707|169060|816995235679|080411171144|11|||01 :64066|169059|816995555377|080411171100|15|||01 :66611|169053|816995635999|080411171204|1|||01 :66326|169057|816995786150|080411171148|12|||01 :169021|64088||080411171224|6|||81 :8639|169054|816995792493|080411171244|41|||01 :66332|169053|81690409889688|080411171316|4|||01 :66705|169058|81690425705787|080411171300|105|||01 :169023|77971||080411171320|35|||81 :66194|169060|816998273494|080411171336|24|||01 :66456|169055|81690412993749|080411171304|91|||01 :66789|66854||080411171436|9|||89 :64027|169057|81690406593523|080411171436|24|||01 :169007|66203||080411171424|6|||81 :169036|66314||080411171412|3|||81 :66762|66613||080411171704|31|||89 :66332|169058|81690409889688|080411171512|3|||01 :64066|169056|816995285141|080411171520|50|||01 :169032|66744||080411171548|12|||81 :66848|169060|8169950959690|080411171536|9|||01 :8617|169059|81690409576211|080411171604|61|||01 :66848|169057|816995969098|080411171624|6|||01 :169034|66773||080411171716|4|||81 :66874|169056|816993871000|080411171704|1|||01 :66497|169058|81690419518597|080411171704|16|||01 :45030|169060|816996466868|080411171704|16|||03 :66874|169056|816995635251|080411171708|2|||01 :64066|169057|816995367777|080411171744|11|||01 :169003|66619||080411171812|18|||81 :8618|169058|816995708747|080411171836|9|||01 :66676|169047|816995296508|080411171844|251|||01 :169002|66938||080411171828|7|||81 :66938|169058|816990765938|080411171828|7|||01 :64035|169059|81691800072040|080411171924|36|||01 :169025|66336||080411171904|16|||81 :169039|66346||080411171956|14|||81 :45030|169060|81690439068915|080411172008|32|||03 :169026|66336||080411172032|8|||81 :45030|169060|81690439993328|080411172108|17|||03 :66192|66336||080411172116|4|||89 :45030|169060|81690425725765|080411172228|7|||03 :169037|64088||080411172224|6|||81 :8611|169058|81690433548740|080411172252|13|||01 :66324|169060|816995511140|080411172348|27|||01 :8614|169057|816997000627|080411172448|87|||01 :169016|110060|8110|080411172416|4|||03 :66342|77074||080411172508|2|||89 :169035|66342||080411172500|15|||81 :169043|66773||080411172528|22|||81 :64066|169058|81690409199536|080411172516|4|||01 :77071|169058|816997881336|080411172516|4|||01 :169019|66619||080411172548|27|||81 :169035|77074||080411172716|19|||81 :66744|2||080411172616|4|||89 :169018|66938||080411172604|1|||81 :66615|169058|816995475594|080411172652|13|||01 :169017|66938||080411172640|10|||81 :66938|169057|816990765938|080411172640|10|||01 :64082|169059|816995746115|080411172700|105|||01 :66744|2||080411172824|6|||89 :8617|169059|81690437660219|080411172748|12|||01 :66762|66744||080411172912|3|||89 :169009|66938||080411172836|24|||81 :66938|169058|816990765938|080411172836|24|||01 :66497|169055|81690400859706|080411172908|2|||01 :64071|169060|816997072790|080411172936|69|||01 :169042|110059|81105|080411172956|14|||03 :45030|169054|81690438544086|080411172944|11|||03 :66195|169059|81690422155844|080411172952|28|||01 :66497|169055|816995792819|080411173056|14|||01 :169006|66063||080411173044|26|||81 :66063|169058|816990765063|080411173044|26|||01 :169040|110060|81108|080411173056|59|||03 :66723|169057|816995274355|080411173240|70|||01 :169020|66341||080411173252|13|||81 :66456|169059|81690409966431|080411173316|19|||01 :66623|169056|816995275867|080411173316|79|||01 :64027|66395||080411173508|17|||89 :66769|169057|81690400859706|080411173500||||01 :66497|169060|816995704671|080411173432|53|||01 :66341|169058|81690425853718|080411173504|16|||01 :64027|169056|816992091111|080411173452|13|||01 :66341|169060|81690402919582|080411173520|5|||01 :169012|110060|8110|080411173628|37|||03 :169041|2||080411173600||||82 :66456|169059|81690409025132|080411173624|51|||01 :169046|110060|81102|080411173832|38|||03 :66497|169060|81690414405167|080411173932|23|||01 :66115|169059|816992091100|080411174012|18|||01 :66623|169058|816997826113|080411174004|76|||01 :169038|66744||080411174152|13|||81 :64027|169059|816992091111|080411174236|9|||01 :66236|2||080411174312|3|||89 :64027|66395||080411174504|16|||89 :66195|169060|816993699091|080411174324|36|||01 :169015|66063||080411174752|73|||81 :66063|169058|816990765063|080411174752|73|||01 :66195|169059|816996878571|080411174816|4|||01 :66497|169058|81690417390558|080411174828|7|||01 :169033|110060|81105|080411174928|7|||03 :169004|110059|81105|080411174928|7|||03 :169044|66428||080411174940|10|||81 :66332|169058|81690409889688|080411175012|3|||01 :169014|66938||080411174940|10|||81 :66938|169059|816990765938|080411174940|10|||01 :66195|169057|816993620260|080411175008|2|||01 :66026|66854||080411175152|13|||89 :77275|64082||080411175416|49|||89 :66619|2||080411175124|6|||89 :66198|169059|816998133855|080411175144|11|||01 :66619|2||080411175212|3|||89 :66183|66854||080411175336|9|||89 :66329|169060|81691300123123|080411175332|98|||01 :66336|2||080411175416|4|||89 :66762|66336||080411175616|4|||89 :169031|66428||080411175732|8|||81 :66329|169060|81690423081547|080411175904|1|||01 :169022|66619||080411175912|3|||81