:9|106054|810610662863|260509060104|1|||01 :169047|66000||260509060112|48|||81 :66000|106055|810610062863|260509060112|48|||01 :66423|169060|81690412227817|260509060200||||01 :66423|66707||260509060900|45|||89 :9|106051|810610662863|260509060604|1|||01 :169045|66322||260509060656|44|||81 :66322|106053|810610662863|260509060656|44|||01 :66423|106050|810610662863|260509060904|1|||01 :66423|66707||260509061636|69|||89 :66423|66335||260509061344|11|||89 :66423|66762||260509061544|11|||89 :66423|66391||260509061620|5|||89 :66423|66713||260509062608|17|||89 :66332|169060|81690409889688|260509062512|3|||01 :66332|169060|81690409889688|260509062704|1|||01 :66332|169060|81690409889688|260509062912|3|||01 :9|106049|810610662863|260509063216|49|||01 :66423|66391||260509063400|15|||89 :9|106048|810610162863|260509063320|50|||01 :66185|66713||260509063608|2|||89 :66451|169060|81690409889688|260509063804|1|||01 :66423|66391||260509063848|12|||89 :169008|66000||260509063856|14|||81 :66000|106047|810610062863|260509063856|14|||01 :66423|66391||260509064016|4|||89 :9|106045|810610662863|260509064608|2|||01 :169026|66000||260509064716|64|||81 :66000|106046|810610062863|260509064716|64|||01 :169048|66744||260509064708|2|||81 :66423|66762||260509064832|8|||89 :169056|66340||260509064812|3|||81 :169057|66340||260509064912|3|||81 :66846|66325||260509065124|6|||89 :169020|66340||260509065204|16|||81 :169049|66806||260509065536|9|||81 :169001|66195||260509065912|3|||81 :66332|169060|81690409889688|260509065908|2|||01