:66270|66774||020609090136|54|||89 :66422|66253||020609090124|21|||89 :169004|66314||020609090020|35|||81 :66608|66212||020609090240|40|||89 :66762|64108||020609090000||||89 :66710|66762||020609090032|8|||89 :169011|66121||020609090000|15|||81 :169001|66218||020609090044|11|||81 :77081|2||020609090100||||89 :77643|77190||020609090208|17|||89 :77791|77790||020609090104|1|||89 :66773|169054|816985205255|020609090144|11|||01 :66261|77089||020609090112|3|||89 :66151|66287||020609090308|17|||89 :77190|66118||020609090212|3|||89 :66425|169058|816995711543|020609090144|41|||01 :66237|169053|816995967516|020609090128|7|||01 :77791|77790||020609090200||||89 :169028|77791||020609090148|12|||81 :169043|66063||020609090216|4|||81 :66063|169054|816990765063|020609090216|4|||01 :169005|66207||020609090216|4|||81 :66868|169052|81690418388331|020609090200||||01 :169006|110058|81109|020609090144|26|||03 :77810|66117||020609090420|35|||89 :66710|64108||020609090400|30|||89 :66430|169055|816956|020609090240|25|||01 :169028|77790||020609090228|7|||81 :169032|110056|81105|020609090248|12|||03 :66710|2||020609090316|4|||89 :169016|66346||020609090232|23|||81 :8166|169057|816995009192|020609090256|179|||01 :66027|66806||020609090932|98|||89 :169019|66804||020609090236|24|||81 :66712|66611||020609090336|9|||89 :66037|169058|816995968555|020609090304|16|||01 :169009|66800||020609090320|5|||81 :66103|169056|816995279447|020609090328|52|||01 :66425|77190||020609090416|4|||89 :66322|169057|816995844236|020609090324|6|||01 :169023|66832||020609090344|11|||81 :66752|66610||020609090408|2|||89 :169008|66221||020609090344|11|||81 :66800|66611||020609090444|11|||89 :66448|169060|81690423653686|020609090408|62|||01 :110002|169059|81690414403640|020609090348|117|||03 :66322|169051|816995880747|020609090412|3|||01 :66103|169052|81690299727500|020609090424|6|||01 :66314|169055|816995895449|020609090412|18|||01 :66019|169057|816995550087|020609090444|11|||01 :66183|66350||020609090528|7|||89 :66027|169056|816997931719|020609090440|10|||01 :77758|66611||020609090508|2|||89 :66192|66336||020609090556|14|||89 :169027|66207||020609090432|8|||81 :169005|66231||020609090808|47|||81 :66398|169059|816985175666|020609090524|6|||01 :66192|66341||020609090516|4|||89 :169003|66273||020609090508|2|||81 :169048|66433||020609090540|10|||81 :66350|169057|8169430|020609090520|5|||01 :169042|66439||020609090604|31|||81 :169013|66314||020609090604|16|||81 :66443|169058|816995314926|020609090536|9|||01 :66192|66744||020609090616|4|||89 :66322|169059|816987867292|020609090612|3|||01 :66195|169060|81691300366313|020609090616|19|||01 :66314|66456||020609090600||||89 :64084|66314||020609090612|3|||89 :66016|169056|816995791258|020609090548|12|||01 :66660|66611||020609090620|5|||89 :66210|64123||020609090736|24|||89 :66325|2||020609090636|9|||89 :169018|66141||020609090624|21|||81 :66630|64005||020609090712|3|||89 :169036|66260||020609090620|20|||81 :66635|66350||020609090812|18|||89 :66608|66710||020609091032|53|||89 :64084|66456||020609090756|14|||89 :66237|169058|816995092735|020609090656|14|||01 :66717|169056|81691800852030|020609090640|10|||01 :66608|2||020609090708|2|||89 :169044|77081||020609090716|94|||81 :66789|169055|816995329349|020609090720|5|||01 :66253|169053|81691300888801|020609090732|53|||01 :66192|66619||020609090756|14|||89 :64076|66341||020609090836|24|||89 :169014|66314||020609090744|26|||81 :66210|169052|816995238624|020609090740|10|||01 :66350|169058|816995876612|020609090716|4|||01 :66661|66611||020609090912|18|||89 :66423|66335||020609090820|5|||89 :169021|66207||020609090744|11|||81 :8014|66391||020609090832|8|||89 :66231|169051|816995271628|020609090836|24|||01 :169033|66666||020609090816|4|||81 :169020|66834||020609090816|34|||81 :66659|169059|816995282650|020609090808|32|||01 :66741|66429||020609091148|42|||89 :66261|169054|816997821135|020609090820|95|||01 :66273|169058|816994266666|020609090840|10|||01 :66423|66619||020609090944|11|||89 :66210|169055|816995239393|020609090924|6|||01 :66161|169056|816995960126|020609090928|7|||01 :66635|66350||020609091012|18|||89 :77758|66611||020609090904|1|||89 :169047|66168||020609090928|7|||81 :66378|2||020609091004|1|||89 :169027|77190||020609091420|65|||81 :8014|66253||020609091000||||89 :169035|66477||020609091036|9|||81 :66325|2||020609091004|1|||89 :8014|66253||020609091016|4|||89 :66336|169053|81691300888801|020609091016|4|||01 :169002|110056|81105|020609091024|6|||03 :169049|66834||020609091020|5|||81 :169017|66611||020609091024|6|||81 :169034|110055|8110|020609091112|3|||03 :66027|169057|816997638483|020609091124|81|||01 :66452|169056|816995340981|020609091052|28|||01 :169029|77149||020609091140|40|||81 :66325|66486||020609091144|11|||89 :66218|169055|816997647655|020609091056|29|||01 :77643|66342||020609091156|14|||89 :66705|66608||020609091108|2|||89 :66161|169054|816995960126|020609091132|23|||01 :66378|66341||020609091336|24|||89 :169031|110056|8110|020609091128|7|||03 :64016|169053|81690448456405|020609091140|10|||01 :2|66713||020609091200||||89 :66432|2||020609091200||||89 :169041|110057|81101|020609091208|62|||03 :169040|66254||020609091136|9|||81 :66105|169057|816951571702|020609091220|5|||01 :8617|169047|816998131908|020609091152|13|||01 :66237|169059|816998226305|020609091148|42|||01 :66610|66752||020609091648|72|||89 :169024|77971||020609091212|3|||81 :66859|169052|816995711543|020609091148|27|||01 :66432|2||020609091216|4|||89 :169010|66713||020609091236|9|||81 :64027|169052|81691223|020609091204|1|||01 :169012|66800||020609091220|20|||81 :66378|66680||020609091404|16|||89 :64124|169053|81690419598678|020609091308|2|||01 :66322|169054|81690416288336|020609091308|2|||01 :66103|169057|81690412879881|020609091228|7|||01 :169022|66314||020609091232|23|||81 :169039|77971||020609091320|5|||81 :66631|66391||020609091336|9|||89 :169038|66261||020609091352|28|||81 :66332|169054|81690409889688|020609091408|2|||01 :66422|66253||020609091404|1|||89 :169001|66880||020609091400|15|||81 :66254|169051|816995034095|020609091424|51|||01 :169028|110058|81103|020609091412|3|||03 :66237|169057|816995967516|020609091348|12|||01 :169039|66123||020609091512|18|||81 :8617|169059|816995236303|020609091420|35|||01 :66349|66888||020609091536|24|||89 :66612|66884||020609091556|14|||89 :66427|77089||020609091508|2|||89 :66442|66301||020609091512|3|||89 :66751|169055|81690400301043|020609091456|44|||01 :169016|66820||020609091440|10|||81 :169011|66834||020609091456|29|||81 :169046|110059|81105|020609091444|86|||03 :66442|169051|81690414405167|020609091512|3|||01 :169006|66314||020609091532|23|||81 :66713|169060|81691300888801|020609091608|137|||01 :169008|110060|8110|020609091624|6|||03 :169037|77971||020609091620|65|||81 :66115|169060|816990766002|020609091620|5|||01 :169042|66002||020609091620|5|||81 :169023|66253||020609091620|20|||81 :66800|169054|816998229019|020609091604|16|||01 :169018|66058||020609091704|1|||81 :66058|169045|816990765058|020609091704|1|||01 :66151|77070||020609091952|43|||89 :64027|66395||020609091812|18|||89 :66442|2||020609091708|2|||89 :169013|66800||020609091656|14|||81 :66422|66336||020609091940|40|||89 :169049|77810||020609092328|97|||81 :66102|66103||020609091704|1|||89 :66442|66177||020609091812|3|||89 :66611|77889||020609091824|6|||89 :66254|169059|816982903410|020609091824|51|||01 :169014|66422||020609091800|15|||81 :66260|169054|816995636581|020609091800|15|||01 :169015|66851||020609091844|146|||81 :2|77147||020609091812|3|||89 :169021|8010||020609091756|14|||81 :169003|66619||020609091836|39|||81 :66442|66744||020609091844|11|||89 :66365|169045|816997560127|020609091852|13|||01 :66002|66675||020609091936|9|||89 :66304|66611||020609091908|2|||89 :66322|169049|816995518158|020609091920|20|||01 :169027|66314||020609091908|2|||81 :66105|169042|816951532608|020609091928|7|||01 :66432|169047|816952792276|020609091940|100|||01 :169025|66804||020609091936|9|||81 :66398|169048|816990117210|020609091928|127|||01 :169043|66610||020609091904|91|||81 :66178|169060|816998173716|020609091900|45|||01 :66205|169056|81690414405167|020609091952|118|||01 :64015|169042|816995238536|020609091932|8|||01 :66868|169044|81690418388331|020609092016|49|||01 :66733|169040|81690413135301|020609091940|10|||01 :77889|66611||020609092100|15|||89 :66658|66482||020609092020|5|||89 :66322|169060|816995877128|020609092024|6|||01 :169007|66607||020609092024|6|||81 :169020|64086||020609092032|23|||81 :169026|110060|81105|020609092036|24|||03 :66611|66632||020609092016|4|||89 :66322|169048|816995284978|020609092012|3|||01 :66285|66680||020609092504|61|||89 :66800|66033||020609092140|10|||89 :169002|66938||020609092036|9|||81 :66938|169044|816990765938|020609092036|9|||01 :169030|66705||020609092028|142|||81 :66346|66115||020609092352|43|||89 :66422|169054|81690429419415|020609092020|35|||01 :66105|169047|816995386707|020609092124|21|||01 :169033|66528||020609092036|39|||81 :66528|169059|816990765528|020609092036|39|||01 :66253|66660||020609092124|6|||89 :64076|66396||020609092120|5|||89 :169005|66261||020609092120|80|||81 :169004|66314||020609092128|7|||81 :66340|66608||020609092228|22|||89 :169029|110060|8110|020609092132|8|||03 :169035|66359||020609092124|21|||81 :64024|169055|81691300555400|020609092140|100|||01 :66192|66762||020609093404|181|||89 :66713|66270||020609092212|3|||89 :66026|66854||020609092224|6|||89 :66442|66270||020609092512|48|||89 :66721|66746||020609093732|233|||89 :66820|64007||020609092228|7|||89 :169034|66322||020609092216|19|||81 :66660|66611||020609092224|6|||89 :66289|2||020609092212|3|||89 :66800|77889||020609092256|14|||89 :64036|169046|816998119008|020609092236|99|||01 :66037|169052|81690412008183|020609092228|127|||01 :66405|2||020609092204|1|||89 :8611|169039|816995939888|020609092200|45|||01 :66661|66707||020609092816|79|||89 :66878|169054|816998882232|020609092300|15|||01 :169024|66834||020609092304|16|||81 :66290|169046|816997727627|020609092300||||01 :169031|66287||020609092312|18|||81 :169043|66752||020609092616|49|||81 :66769|66117||020609092736|69|||89 :66192|66713||020609092332|8|||89 :66289|169044|81690417980000|020609092236|9|||01 :66800|169052|816995922388|020609092228|7|||01 :66204|169049|816995283211|020609092300|60|||01 :66851|66785||020609092540|40|||89 :66661|66611||020609092312|3|||89 :66619|169039|816995106100|020609092316|4|||01 :66636|66340||020609092404|16|||89 :64124|169051|816994201357|020609092316|109|||01 :66630|77070||020609092412|3|||89 :169012|66938||020609092412|18|||81 :66938|169040|816990765938|020609092412|18|||01 :64024|169055|816988255833|020609092356|29|||01 :66442|169052|816995718619|020609092352|13|||01 :66237|169042|816998245425|020609092356|14|||01 :66105|169046|816951503475|020609092404|16|||01 :66161|66854||020609092508|17|||89 :66611|66762||020609092416|4|||89 :169001|66102||020609092344|11|||81 :66475|169045|816986285600|020609092424|81|||01 :66322|169044|816997836642|020609092412|3|||01 :169022|64086||020609092412|18|||81 :64024|169055|816998894042|020609092428|7|||01 :66650|77089||020609092412|3|||89 :77281|66654||020609092440|10|||89 :66254|169048|81691300847466|020609092440|40|||01 :66689|169059|816996909144|020609092416|49|||01 :66289|66611||020609092524|6|||89 :169006|66834||020609092424|6|||81 :169019|66121||020609092428|7|||81 :66153|169060|816996464163|020609092520|50|||01 :66213|64076||020609092740|40|||89 :66161|66854||020609092548|12|||89 :66176|66340||020609092524|6|||89 :66630|169048|81691800022002|020609092536|9|||01 :169016|66713||020609092528|22|||81 :66742|66783||020609092532|8|||89 :66349|8010||020609092508|2|||89 :66457|169059|816995577636|020609092544|11|||01 :66680|66173||020609092720|20|||89 :77810|169043|81691300652575|020609092544|41|||01 :66332|169048|81690409889688|020609092604|1|||01 :66425|169058|81690412687130|020609092556|254|||01 :2|66253||020609092608|2|||89 :169032|66245||020609092628|37|||81 :169013|66938||020609092640|10|||81 :66938|169049|816990765938|020609092640|10|||01 :169018|64003||020609092656|14|||81 :66630|169059|81691300720274|020609092648|12|||01 :169014|66148||020609092700||||81 :169021|110058|8110|020609092712|3|||03 :169008|66178||020609092616|34|||81 :169023|2||020609092644|11|||82 :66424|66718||020609093736|159|||89 :169007|66389||020609092704|1|||81 :66705|169051|81690410426928|020609092720|50|||01 :64072|169055|816995001933|020609092736|39|||01 :169027|66832||020609092704|1|||81 :66717|64040||020609092740|10|||89 :66476|169047|81690434315536|020609092720|80|||01 :66785|169048|816995781022|020609092720|5|||01 :66290|2||020609092816|4|||89 :66312|169059|81690404816372|020609092728|7|||01 :64084|169050|81690438485537|020609092800|255|||01 :66325|2||020609092804|1|||89 :66652|169054|816996500147|020609092812|78|||01 :66183|66854||020609092824|6|||89 :64024|169060|816995942900|020609092800|45|||01 :66117|64031||020609092804|1|||89 :66153|169055|81690432216629|020609092836|9|||01 :169033|110060|8110|020609092812|3|||03 :66002|169046|816911|020609092848|12|||01 :169020|66804||020609092832|23|||81 :64058|169049|816959982873|020609092832|23|||01 :66348|169059|816995274553|020609092844|11|||01 :66140|169041|81691300728801|020609092844|146|||01 :66025|66263||020609092908|2|||89 :66340|66608||020609092952|13|||89 :169030|66434||020609092828|7|||81 :66328|169058|816995282077|020609092824|36|||01 :169003|66395||020609092904|31|||81 :66752|66610||020609093416|79|||89 :169029|66703||020609092920|5|||81 :66348|169059|816998223832|020609092904|1|||01 :66705|169051|816996039544|020609092940|25|||01 :64071|66270||020609092904|1|||89 :169036|66270||020609092904|16|||81 :66290|169048|816952792222|020609092940|25|||01 :66315|169056|816990764700|020609092924|141|||01 :169002|77971||020609092944|26|||81 :66605|66287||020609093124|21|||89 :169004|2||020609092908|17|||82 :169024|64065||020609093008|2|||81 :66712|66611||020609093036|9|||89 :64024|169060|816988255833|020609092920|20|||01 :169034|66168||020609092928|7|||81 :66755|66012||020609093048|12|||89 :77889|66800||020609093004|1|||89 :64027|169052|816985744900|020609093000|90|||01 :66348|169059|816995235148|020609093044|11|||01 :66611|66744||020609093016|4|||89 :64028|169056|81690402135419|020609093032|8|||01 :169005|110058|81101|020609093016|34|||03 :66859|169057|816995251300|020609093020|245|||01 :66653|66890||020609093132|8|||89 :169010|2||020609093112|18|||82 :66773|169056|816997765223|020609093116|4|||01 :66442|169055|81690414405167|020609093048|12|||01 :66611|66619||020609093116|4|||89 :169039|66218||020609093056|14|||81 :66136|169054|816995109124|020609093132|8|||01 :66610|66752||020609093112|3|||89 :169036|64071||020609093412|33|||81 :169038|66834||020609093116|19|||81 :66348|169059|81690419513139|020609093152|13|||01 :66640|169053|816995417575|020609093152|268|||01 :66121|66002||020609093232|8|||89 :169011|66666||020609093208|17|||81 :66162|169059|816957232024|020609093212|3|||01 :169045|66422||020609093144|11|||81 :66773|169055|816992883901|020609093224|6|||01 :66800|169060|81690401185393|020609093232|23|||01 :66224|169056|816995968555|020609093236|9|||01 :66611|66341||020609093332|8|||89 :169011|66742||020609093344|11|||81 :66136|66854||020609093332|8|||89 :66763|169057|816997964212|020609093216|19|||01 :169009|66804||020609093244|26|||81 :169012|66800||020609093232|38|||81 :66328|169059|81690411224873|020609093252|13||2025|01 :66773|169054|816995931276|020609093320|5|||01 :66611|66713||020609093324|6|||89 :66848|169051|816998134805|020609093320|5|||01 :169040|66366||020609093256|44|||81 :66332|169057|81690409889688|020609093312|3|||01 :66324|169055|816995239223|020609093256|14|||01 :77081|66721||020609093320|5|||89 :66153|169060|816996992064|020609093252|13|||01 :66664|66173||020609093604|31|||89 :169019|66660||020609093316|19|||81 :169043|66776||020609093408|2|||81 :66773|169059|816998954601|020609093336|9|||01 :66195|66203||020609093400||||89 :169016|66389||020609093436|9|||81 :66153|169057|81690421548988|020609093436|9|||01 :2|66405||020609093444|11|||89 :66773|169059|816995281815|020609093428|7|||01 :66878|77648||020609093552|13|||89 :169021|8006||020609093512|3|||81 :169044|66210||020609093448|57|||81 :66652|66322||020609093532|8|||89 :66804|169054|816995094822|020609093440|10|||01 :169025|66776||020609093504|1|||81 :169006|66314||020609093520|35|||81 :169013|66380||020609093524|6|||81 :66773|169051|816995259033|020609093512|3|||01 :66332|169055|81690409889688|020609093508|2|||01 :169021|66607||020609093520|5|||81 :66710|2||020609093508|2|||89 :169023|77971||020609093524|6|||81 :66492|66137||020609093756|44|||89 :169018|66102||020609093532|8|||81 :66254|169060|816997881378|020609093500|30|||01 :169027|110058|81101|020609093512|3|||03 :169008|66321||020609093604|16|||81 :66865|169052|81690262626029|020609093612|48|||01 :66773|169055|816995688740|020609093616|4|||01 :169014|66314||020609093616|19|||81 :66477|169059|816985205200|020609093604|16|||01 :64124|169058|81690410417107|020609093608|92|||01 :169007|66352||020609093552|13|||81 :66366|66800||020609093624|6|||89 :169015|66366||020609093604|16|||81 :169026|110057|8110|020609093608|2|||03 :66325|66245||020609094412|123|||89 :66773|169060|816995946900|020609093616|4|||01 :169015|66800||020609093724|6|||81 :66422|169056|816995953424|020609093656|59|||01 :66742|169057|816995631389|020609093624|36|||01 :64028|64073||020609093700||||89 :66773|169055|816997232651|020609093716|4|||01 :169050|110056|81101|020609093728|7|||03 :64027|169060|81690448552907|020609093736|9|||01 :66389|169058|816995107271|020609093736|9|||01 :66652|66218||020609093756|14|||89 :169046|66287||020609093724|6|||81 :169041|66932||020609093708|2|||81 :66932|169058|816990765932|020609093708|2|||01 :169049|66433||020609093804|1|||81 :66192|66340||020609093808|2|||89 :66773|169060|816995725299|020609093728|7|||01 :169030|8017||020609093804|1|||81 :169033|66335||020609093748|12|||81 :66783|66742||020609093848|12|||89 :66240|66016||020609094440|100|||89 :169003|66644||020609093808|2|||81 :66315|169057|816986014360|020609093836|9|||01 :66806|66218||020609093816|4|||89 :66192|66652||020609093812|3|||89 :66773|169055|816992651572|020609093816|4|||01 :66726|169056|816993837669|020609093824|6|||01 :169022|66341||020609093904|46|||81 :64124|169054|816998822033|020609093812|3|||01 :66618|169057|81690419802266|020609093824|6|||01 :66382|66620||020609093908|2|||89 :169029|66666||020609093852|13|||81 :66773|169055|816995710088|020609093920|5|||01 :8611|169058|816997966311|020609093856|14|||01 :66422|66341||020609093932|8|||89 :169032|110058|8110|020609093912|48|||03 :169048|66029||020609093936|9|||81 :169020|66193||020609093912|33|||81 :169028|8017||020609093908|2|||81 :66425|169056|816995317089|020609093952|13|||01 :66613|2||020609094004|1|||89 :169035|110059|81101|020609093920|20|||03 :77067|169053|81691300728801|020609093952|103|||01 :169031|66261||020609093956|149|||81 :169002|66800||020609093948|12|||81 :169046|66841||020609094220|35|||81 :66773|169058|81690359968243|020609093916|4|||01 :169001|66820||020609093944|131|||81 :169010|110058|81103|020609094028|7|||03 :66382|66611||020609094104|16|||89 :169005|110057|8110|020609094028|7|||03 :66773|169053|816995760334|020609094016|4|||01 :66192|66396||020609094136|24|||89 :66804|169057|816998855908|020609094016|19|||01 :66425|77190||020609094112|3|||89 :66192|66342||020609094112|3|||89 :66101|169055|816996350000|020609094100|15|||01 :66137|66611||020609094116|4|||89 :66173|66253||020609094620|80|||89 :169038|66350||020609094116|4|||81 :66122|169052|81690412066154|020609094052|13|||01 :66101|8614||020609094116|4|||89 :66315|169057|81690419314651|020609094140|10|||01 :66192|66382||020609094108|2|||89 :169036|66104||020609094112|3|||81 :66161|66019||020609094128|7|||89 :66773|66130||020609094252|13|||89 :169042|66389||020609094212|3|||81 :66848|169055|816959752263|020609094136|9|||01 :66382|66611||020609094212|3|||89 :66192|66253||020609094208|2|||89 :169019|110057|81101|020609094208|2|||03 :66742|169058|816995309334|020609094208|32|||01 :66804|169053|816996929432|020609094156|14|||01 :169037|66322||020609094240|10|||81 :169045|66776||020609094300|15|||81 :169034|66856||020609094224|51|||81 :169043|66435||020609094236|9|||81 :169011|66938||020609094252|13|||81 :66938|169052|816990765938|020609094252|13|||01 :66427|64076||020609094640|55|||89 :66395|169059|816985175777|020609094240|100|||01 :66425|169049|816992680577|020609094236|9|||01 :66487|169050|816995109124|020609094248|12|||01 :66661|66611||020609094308|2|||89 :66335|2||020609094304|1|||89 :8004|8011||020609094312|3|||89 :169040|66314||020609094312|18|||81 :66432|66210||020609094424|21|||89 :169025|66619||020609094332|8|||81 :169016|66189||020609094348|12|||81 :66144|66260||020609094532|23|||89 :169009|66246||020609094324|21|||81 :66800|169048|816996909194|020609094344|11|||01 :66366|2||020609094408|2|||89 :66335|66660||020609094440|10|||89 :66772|169057|816992462833|020609094400|15|||01 :169027|66301||020609094400|15|||81 :169013|66314||020609094352|13|||81 :169026|66712||020609094412|3|||81 :8166|169059|81690403168675|020609094352|13|||01 :169014|66269||020609094420|5|||81 :66329|169049|816995514357|020609094428|7|||01 :169023|66136||020609094428|22|||81 :66744|66761||020609094512|3|||89 :66712|64005||020609094520|5|||89 :169041|66666||020609094512|3|||81 :169004|66261||020609094504|91|||81 :66396|169055|81691300888801|020609094448|42|||01 :8006|66342||020609094524|6|||89 :66153|169053|81691300633933|020609094512|33|||01 :64124|169054|81690419598678|020609094508|92|||01 :169018|66261||020609094504|31|||81 :66155|169056|816951738383|020609094540|85|||01 :66635|169057|816995329349|020609094520|5|||01 :169033|66435||020609094532|8|||81 :169007|66063||020609094544|26|||81 :66063|169050|816990765063|020609094544|26|||01 :169003|66666||020609094532|8|||81 :66177|66115||020609094620|5|||89 :66742|169057|81690412429444|020609094608|2|||01 :169041|66123||020609094716|19|||81 :77648|66619||020609094620|5|||89 :66290|169052|816995053534|020609094636|39|||01 :66254|169058|816995961313|020609094628|52|||01 :66778|169059|816995216706|020609094628|22|||01 :169022|66666||020609094616|4|||81 :66707|66611||020609094756|14|||89 :169008|66314||020609094620|35|||81 :169027|66725||020609094936|39|||81 :169032|66667||020609094728|7|||81 :169035|66322||020609094712|3|||81 :66661|66611||020609094808|2|||89 :169022|66742||020609094932|23|||81 :66178|64040||020609094900|15|||89 :169046|66435||020609094840|10|||81 :66173|66619||020609095052|28|||89 :169001|66744||020609094832|8|||81 :66335|66406||020609095148|42|||89 :2|66405||020609094940|10|||89 :169042|66322||020609094912|3|||81 :169028|66382||020609094844|26|||81 :66661|66611||020609094912|3|||89 :169005|66141||020609094852|13|||81 :66680|66253||020609094928|7|||89 :66341|169056|81691300888801|020609094916|49|||01 :66322|169049|81690407098720|020609094904|1|||01 :169038|66887||020609094952|13|||81 :169044|66718||020609094940|10|||81 :66249|169050|816995942106|020609094936|9|||01 :66221|169059|816995967516|020609094952|13|||01 :169012|66435||020609094956|14|||81 :169031|169058|81690395199700|020609095008|32|||03 :66707|66664||020609095048|12|||89 :169034|66314||020609094952|13|||81 :66423|169059|816995806524|020609095012|3|||01 :8618|169054|816995210677|020609094948|72|||01 :66332|169058|81690409889688|020609095004|1|||01 :8612|8617||020609095108|2|||89 :169043|77971||020609095040|10|||81 :66325|66422||020609095124|6|||89 :77758|66324||020609095112|3|||89 :66322|66705||020609095120|5|||89 :66423|169059|816995806524|020609095100||||01 :169021|66341||020609095120|5|||81 :66707|2||020609095132|8|||89 :8007|2||020609095108|2|||89 :8205|169060|816995097563|020609095116|199|||01 :169016|66389||020609095140|10|||81 :169030|110057|8110|020609095140|100|||03 :66322|169056|816995098833|020609095116|4|||01 :66148|77434||020609095220|5|||89 :66406|169052|81690412051967|020609095128|37|||01 :66619|77147||020609095212|3|||89 :169009|66314||020609095148|12|||81 :169018|66261||020609095220|5|||81 :169023|66002||020609095136|9|||81 :66707|169058|81690407338946|020609095132|8|||01 :169011|66718||020609095204|31|||81 :66332|169058|81690409889688|020609095204|1|||01 :66290|169057|816995769495|020609095228|52|||01 :169033|66314||020609095236|9|||81 :169025|110059|81108|020609095300|15|||03 :66423|169056|816995806524|020609095228|7|||01 :66025|169055|816995725495|020609095232|113|||01 :66762|64035||020609095300||||89 :169040|66762||020609095320|20|||81 :169007|66422||020609095312|18|||81 :77074|66301||020609095356|14|||89 :169010|66650||020609095256|74|||81 :169008|66705||020609095248|12|||81 :169003|66195||020609095316|19|||81 :169041|66660||020609095352|13|||81 :169029|110056|8110|020609095404|106|||03 :8007|169054|81690431102250|020609095316|34|||01 :66650|2||020609095408|2|||89 :169048|66261||020609095356|44|||81 :169020|66744||020609095428|7|||81 :66363|169056|816997627829|020609095404|1|||01 :64107|169055|816995696031|020609095432|8|||01 :77889|66367||020609095428|7|||89 :66221|169057|816995967516|020609095448|12|||01 :66164|169058|816997729271|020609095436|9|||01 :66253|66611||020609095516|4|||89 :169043|8617||020609095908|62|||81 :64088|169056|816995238088|020609095428|7|||01 :66336|66800||020609095512|3|||89 :169037|66336||020609095500|90|||81 :77643|66713||020609095532|8|||89 :66744|2||020609095532|8|||89 :169035|66435||020609095500|15|||81 :169019|66012||020609095544|11|||81 :77889|66102||020609095648|12|||89 :66026|169058|816995329349|020609095520|5|||01 :66033|66253||020609095612|3|||89 :169036|66859||020609095600|15|||81 :8164|169050|816994907522|020609095516|19|||01 :169028|66607||020609095536|9|||81 :66744|169057|81690409889688|020609095524|6|||01 :169038|110057|8110|020609095608|2|||03 :169045|66141||020609095608|107|||81 :66425|169053|81690407817259|020609095600|105|||01 :66845|66611||020609095652|13|||89 :66618|169059|816986623920|020609095624|81|||01 :66403|169053|816998776807|020609095708|2|||01 :77791|77790||020609095704|1|||89 :169002|77791||020609095632|38|||81 :66717|66115||020609095720|5|||89 :169037|66800||020609095904|31|||81 :66613|66611||020609095716|4|||89 :169024|66256||020609095636|54|||81 :66650|169054|816995929144|020609095704|46|||01 :77281|66287||020609095716|4|||89 :169044|66938||020609095732|23|||81 :66938|169058|816990765938|020609095732|23|||01 :66422|66619||020609095748|12|||89 :66406|169060|81690400173356|020609095724|81|||01 :169022|66762||020609095708|47|||81 :169031|66744||020609095740|10|||81 :169027|77971||020609095800|75|||81 :66322|169059|81690404816372|020609095716|4|||01 :66717|66245||020609095808|2|||89 :66287|64012||020609095824|6|||89 :77040|2||020609095804|1|||89 :66183|66136||020609095908|17|||89 :169012|66178||020609095808|17|||81 :66744|2||020609095808|2|||89 :169017|66820||020609095808|107|||81 :66638|66800||020609095900|15|||89 :66661|66253||020609095804|1|||89 :66234|66611||020609095816|4|||89 :169032|66289||020609095828|67|||81 :66239|169050|816998272449|020609095848|27|||01 :66322|169053|81690404816372|020609095828|7|||01 :169026|77971||020609095836|9|||81 :2|66744||020609095820|5|||89 :66301|66631||020609095940|10|||89 :169015|77758||020609095836|9|||81 :77040|66660||020609095948|12|||89 :66155|169052|816995272817|020609095840|70|||01 :66661|66336||020609095932|8|||89 :169004|66744||020609095932|8|||81 :169016|66938||020609095932|23|||81 :66938|169059|816990765938|020609095932|23|||01 :66605|169050|81690411695923|020609095952|13|||01 :66790|169054|816995922501|020609095920|20|||01 :169009|110053|81102|020609095920|5|||03 :169018|66422||020609095940|10|||81 :66630|169052|816995256148|020609095952|13|||01 :169013|110055|8110|020609095944|41|||03