:169049|66391||210608200628|7|||81 :66340|66342||210608201016|19|||89 :9|106011|810610162863|210608201028|67|||01 :66325|66253||210608201444|11|||89 :169019|66000||210608201852|28|||81 :66000|106010|810610062863|210608201852|28|||01 :169048|66000||210608202148|12|||81 :66000|106007|810610062863|210608202148|12|||01 :169034|66000||210608202156|44|||81 :66000|106009|810610062863|210608202156|44|||01 :66686|169060|816984144400|210608202256|14|||01 :9|106006|810610062863|210608202300||||01 :169024|66000||210608202352|43|||81 :66000|106008|810610062863|210608202352|43|||01 :9|106005|810610662863|210608202420|5|||01 :66214|66744||210608202616|4|||89 :66707|169059|81690408510487|210608202808|17|||01 :9|106004|810610162863|210608202932|8|||01 :66382|169058|816995557084|210608202924|51|||01 :66686|169060|816984144400|210608203124|126|||01 :77071|169059|816995631101|210608203204|1|||01 :66325|169058|816998132198|210608203324|6|||01 :66451|169058|81690409889688|210608203404|1|||01 :66325|169057|816994287045|210608203504|16|||01 :66185|66744||210608204032|68|||89 :77071|169059|816995723267|210608203644|56|||01 :66686|169060|81690411280013|210608204124|141|||01 :169056|66340||210608204720|5|||81 :66290|66335||210608205132|8|||89 :9|106001|810610662863|210608205720|5|||01