:169060|66123||020609140432|98|||81 :66365|66008||020609141348|237|||89 :66341|66422||020609140056|29|||89 :66389|66115||020609140000|15|||89 :66330|66601||020609141204|196|||89 :66754|2||020609140020|5|||89 :64076|64107||020609140300|45|||89 :66426|66761||020609140040|10|||89 :169036|110059|8110|020609140032|68|||03 :66705|169052|81690402247095|020609140020|200|||01 :66754|66314||020609140040|10|||89 :66497|169050|81690418237965|020609140012|33|||01 :169034|66938||020609140040|10|||81 :66938|169048|816990765938|020609140040|10|||01 :169041|66192||020609140016|4|||81 :66403|169059|816997709958|020609140048|27|||01 :66342|66727||020609140100||||89 :169017|66342||020609140056|14|||81 :169029|110059|81101|020609140020|5|||03 :169010|66281||020609140016|19|||81 :66630|77901||020609140248|27|||89 :169025|66314||020609140116|4|||81 :66653|66413||020609140116|4|||89 :66680|169060|816995386711|020609140024|21|||01 :66335|66325||020609140200|15|||89 :169028|66341||020609140040|25|||81 :66895|169042|816998222487|020609140048|102|||01 :66161|66183||020609140140|10|||89 :169008|66261||020609140148|27|||81 :66601|66330||020609140204|16|||89 :66718|169060|81690413586639|020609140124|6|||01 :77082|2||020609140212|3|||89 :64028|169047|816990769888|020609140148|27|||01 :66857|169052|81690433170322|020609140144|11|||01 :66277|2||020609140208|2|||89 :66846|66619||020609140220|5|||89 :169006|66289||020609140220|50|||81 :66848|169060|816959752263|020609140232|8|||01 :169026|66834||020609140216|64|||81 :66161|66183||020609140244|11|||89 :66804|64022||020609140232|8|||89 :66330|66746||020609140240|10|||89 :66270|169051|81690413135301|020609140232|8|||01 :169022|66433||020609140224|6|||81 :64028|169049|816990769888|020609140240|10|||01 :66287|169042|81690439031378|020609140204|1|||01 :64086|169050|816995708538|020609140240|10|||01 :169027|110059|81101|020609140228|22|||03 :66261|169059|81690422412771|020609140252|13|||01 :66277|169052|81690411152078|020609140236|9|||01 :169030|66604||020609140236|159|||81 :66422|66707||020609140344|11|||89 :169021|66166||020609140236|24|||81 :169017|66727||020609140528|37|||81 :66365|169048|816997001673|020609140300|15|||01 :64101|66426||020609140604|46|||89 :66037|169053|81690412008183|020609140320|50|||01 :66450|169054|816992123002|020609140252|58|||01 :66712|66340||020609140356|14|||89 :66107|169060|81690431153144|020609140320|5|||01 :66734|77147||020609140400|15|||89 :66161|66854||020609140340|10|||89 :66422|66744||020609140320|5|||89 :66253|2||020609140316|4|||89 :169044|66046||020609140328|22|||81 :66046|169047|816990765046|020609140328|22|||01 :169032|66261||020609140344|41|||81 :66178|169054|816995329349|020609140400||||01 :169003|77971||020609140336|84|||81 :169012|66435||020609140412|78|||81 :77791|77790||020609140404|1|||89 :169024|77791||020609140424|6|||81 :66451|169052|81690409889688|020609140408|2|||01 :66635|66350||020609140440|10|||89 :169040|110057|811000|020609140356|74|||03 :66868|169054|816997881378|020609140400||||01 :169011|66804||020609140408|47|||81 :66652|1||020609140512|3|||89 :169016|66666||020609140412|3|||81 :66253|169059|816957212011|020609140512|18|||01 :66432|64101||020609140520|5|||89 :66234|169060|81690422674335|020609140520|20|||01 :66378|1||020609140512|3|||89 :66277|66173||020609140624|21|||89 :66287|169050|816997032900|020609140436|9|||01 :66178|169052|816995329349|020609140524|6|||01 :169024|77790||020609140548|12|||81 :169014|66644||020609140528|22|||81 :169005|66834||020609140540|25|||81 :66661|66281||020609140536|9|||89 :66415|169054|81690431557239|020609140544|11|||01 :169001|66387||020609140520|5|||81 :66378|169060|81690447329044|020609140512|3|||01 :66170|66857||020609140748|42|||89 :66428|169045|816998909993|020609140520|50|||01 :66652|169048|81690418336218|020609140544|11|||01 :66178|66435||020609140620|5|||89 :66002|169049|816992884774|020609140612|18|||01 :169038|77971||020609140616|19|||81 :66640|8011||020609140636|9|||89 :169002|66722||020609140556|104|||81 :66443|169055|816995814210|020609140544|131|||01 :66801|169050|816995571384|020609140616|4|||01 :66635|66350||020609140620|5|||89 :66869|169054|816995294251|020609140548|12|||01 :169035|77971||020609140556|29|||81 :169033|66447||020609140644|71|||81 :66626|1||020609140604|1|||89 :169039|66093||020609140632|8|||81 :66093|169048|816990765093|020609140632|8|||01 :66601|169047|816990967879|020609140640|10|||01 :64036|169044|81691223|020609140640|10|||01 :66287|169052|81690439031378|020609140624|21|||01 :66270|169051|81690403148160|020609140720|65|||01 :169036|1||020609140736|9|||82 :66225|66209||020609140852|28|||89 :8610|169058|816997701371|020609140740|205|||01 :169020|110056|8110|020609140748|117|||03 :66378|169049|81691800656403|020609140716|19|||01 :66872|1||020609140712|3|||89 :66443|169052|816996082122|020609140712|3|||01 :77083|169047|816992773745|020609140704|1|||01 :169004|66433||020609140700|15|||81 :66801|169060|816995281402|020609140728|7|||01 :77791|77790||020609140804|1|||89 :66287|77791||020609140828|7|||89 :66255|169043|816996676788|020609140728|82|||01 :66707|66422||020609140808|2|||89 :66626|66426||020609140904|16|||89 :169019|110060|81107|020609140812|78|||03 :169029|66433||020609140744|11|||81 :169034|110059|81102|020609140820|20|||03 :66744|66422||020609140816|4|||89 :64036|169050|81691223|020609140804|16|||01 :77083|169052|816992773745|020609140832|8|||01 :66234|169059|816990770828|020609140800|45|||01 :66447|169058|81690419962790|020609140752|13|||01 :66450|169051|816997017311|020609140820|20|||01 :8619|169055|816959862272|020609140840|25|||01 :169008|66666||020609140812|3|||81 :66605|169043|816995690746|020609140904|1|||01 :66426|66611||020609140952|13|||89 :66458|169059|816996039544|020609140824|6|||01 :66721|169053|81691300363687|020609140916|79|||01 :169016|66804||020609141316|64|||81 :66705|1||020609140908|2|||89 :77647|169054|816995318554|020609140912|33|||01 :66166|64116||020609140928|7|||89 :169010|66166||020609140920|35|||81 :66857|169045|81690408701671|020609140912|48|||01 :8619|169055|816959821583|020609140916|4|||01 :66342|77073||020609140900||||89 :169009|66342||020609140912|48|||81 :66287|77790||020609141156|29|||89 :66341|66229||020609141028|7|||89 :169008|66123||020609141056|14|||81 :66325|66322||020609141036|9|||89 :169031|66435||020609140948|12|||81 :66366|66801||020609141044|11|||89 :66037|169058|816995961989|020609140952|13|||01 :66161|66177||020609141108|17|||89 :66746|66330||020609141144|26|||89 :169023|66261||020609140948|102|||81 :169026|64086||020609140928|7|||81 :169037|66168||020609140944|101|||81 :66164|169046|816995719335|020609140920|275|||01 :169006|77971||020609141000|15|||81 :169022|66012||020609141016|4|||81 :8617|169047|816959752263|020609141000|30|||01 :66705|1||020609141012|3|||89 :169010|64116||020609141044|11|||81 :64036|169050|816995685800|020609140944|26|||01 :66183|169059|816996676755|020609141016|19|||01 :169022|64026||020609141020|5|||81 :169015|66864||020609141032|8|||81 :66605|169055|816995690746|020609141004|1|||01 :66185|169060|81691300859887|020609141048|42|||01 :66872|169049|81690448031499|020609141052|43|||01 :169027|66667||020609141020|5|||81 :66218|169053|816998017411|020609141104|16|||01 :169009|77073||020609141220|20|||81 :66458|169046|81690430167777|020609141044|11|||01 :169017|66789||020609141120|5|||81 :66164|66289||020609141152|13|||89 :66738|66629||020609141128|7|||89 :66034|169054|816995814200|020609141136|24|||01 :66381|169058|816995966983|020609141140|10|||01 :66479|1||020609141112|3|||89 :169013|66804||020609141104|31|||81 :66346|169059|816990762928|020609141152|13|||01 :169021|66712||020609141140|10|||81 :8617|169049|816959779554|020609141212|18|||01 :169007|66225||020609141224|21|||81 :66629|169059|816995372146|020609141200||||01 :66213|66820||020609141248|12|||89 :8164|169047|816995611689|020609141208|2|||01 :64076|169044|81690458387989|020609141152|73|||01 :169032|66287||020609141228|22|||81 :66430|169054|81690451023764|020609141248|12|||01 :169024|66322||020609141228|7|||81 :66366|77889||020609141248|12|||89 :66362|169055|81690410240122|020609141252|28|||01 :66369|169049|816995541516|020609141252|13|||01 :66804|66611||020609141328|7|||89 :66432|66777||020609141324|6|||89 :64013|77145||020609141304|1|||89 :169005|66433||020609141304|1|||81 :8617|169046|816959752263|020609141240|10|||01 :66314|169051|8169136629|020609141300|60|||01 :66632|169044|816988|020609141332|8|||01 :66034|1||020609141304|1|||89 :77083|169047|816992773745|020609141336|9|||01 :77190|169053|81690433522267|020609141244|11|||01 :66177|66854||020609141320|5|||89 :66746|66330||020609141420|20|||89 :66429|66361||020609141304|1|||89 :66332|169051|81690409889688|020609141308|2|||01 :169030|66741||020609141340|40|||81 :66325|66322||020609141420|5|||89 :66240|169053|816996844254|020609141416|4|||01 :66626|1||020609141404|1|||89 :169014|66203||020609141408|17|||81 :8164|169051|816995095746|020609141404|1|||01 :66369|66209||020609141448|12|||89 :169035|110057|81104|020609141432|8|||03 :66626|66426||020609141424|6|||89 :169001|66218||020609141436|24|||81 :66432|66366||020609141440|10|||89 :169042|66435||020609141440|70|||81 :66177|66854||020609141520|5|||89 :66136|169049|816995109124|020609141436|24|||01 :169033|110060|81108|020609141416|4|||03 :66391|66218||020609141540|10|||89 :169011|66034||020609141500|30|||81 :169040|110056|8110|020609141532|53|||03 :66178|66854||020609141524|6|||89 :8614|8618||020609141528|7|||89 :169025|66341||020609141528|7|||81 :66366|66800||020609141540|10|||89 :66772|169048|816992462833|020609141524|126|||01 :66363|66164||020609141636|9|||89 :169038|77971||020609141552|28|||81 :66415|169051|81690421605373|020609141552|13|||01 :66239|169049|816995792250|020609141528|7|||01 :66429|66361||020609141620|5|||89 :169020|66435||020609141544|11|||81 :66332|169048|81690409889688|020609141604|1|||01 :66430|169044|81690409971652|020609141616|4|||01 :8167|169047|81690413962386|020609141556|29|||01 :8619|169045|816959821583|020609141544|86|||01 :169034|66207||020609141628|7|||81 :66335|66164||020609141616|4|||89 :66314|66205||020609141608|2|||89 :169028|66314||020609141620|5|||81 :8622|169056|816995788618|020609141548|327|||01 :66754|169054|816993152088|020609141612|48|||01 :169043|66666||020609141620|5|||81 :66136|66428||020609141704|16|||89 :169016|8619||020609141624|6|||81 :169031|66314||020609141612|3|||81 :169012|77971||020609141648|42|||81 :66478|169058|816995253922|020609141612|78|||01 :169002|1||020609141632|53|||82 :169043|66123||020609141724|6|||81 :169037|66666||020609141712|3|||81 :66430|169051|816997015507|020609141644|11|||01 :66289|77190||020609141728|7|||89 :77083|169058|816992773745|020609141700||||01 :64107|64076||020609141836|24|||89 :66137|66611||020609141748|12|||89 :169028|66205||020609141748|12|||81 :66192|66744||020609141752|13|||89 :169023|66650||020609141732|8|||81 :169037|66123||020609141720|5|||81 :169026|66183||020609141652|13|||81 :66865|77190||020609141724|6|||89 :66635|66350||020609141732|8|||89 :169004|66800||020609141728|37|||81 :169015|66314||020609141712|3|||81 :66164|66335||020609141856|14|||89 :169010|66287||020609141724|6|||81 :66835|169049|816996589542|020609141732|23|||01 :169029|110060|811057|020609141736|39|||03 :66341|66322||020609141840|10|||89 :169019|66278||020609141804|46|||81 :77065|66619||020609141916|19|||89 :66332|169048|81690409889688|020609141816|4|||01 :66389|66854||020609141840|10|||89 :169022|66166||020609141752|13|||81 :66329|169047|816986280400|020609141800|30|||01 :169003|66115||020609141816|109|||81 :66746|66664||020609141916|4|||89 :169008|110057|8110|020609141820|35|||03 :169041|1||020609141908|62|||82 :169017|66632||020609141832|8|||81 :66034|1||020609141904|1|||89 :66605|169056|816995690746|020609141900|15|||01 :66895|169048|816994282104|020609141916|4|||01 :77643|169054|816996909144|020609141912|18|||01 :66790|169052|816995251300|020609141856|164|||01 :66451|169044|81690409889688|020609141916|4|||01 :77065|66820||020609141940|10|||89 :66137|77147||020609142008|17|||89 :66312|169058|81691300130980|020609141916|19|||01 :66314|66205||020609142000||||89 :77065|66314||020609142012|3|||89 :66240|169053|81690488342950|020609141908|77|||01 :64085|169045|816962247401|020609141948|12|||01 :66117|169059|8169132227|020609142016|109|||01 :169007|66618||020609141948|12|||81 :66618|169047|81690404816339|020609141948|12|||01 :66746|169048|81690404816336|020609141936|9|||01 :8164|169051|816995097633|020609141940|25|||01 :64123|66620||020609142212|33|||89 :169014|66207||020609142008|2|||81 :66366|169049|816995239116|020609142000|30|||01 :66661|66707||020609142008|2|||89 :66363|66611||020609142024|6|||89 :66389|169056|816985744900|020609142028|22|||01 :66312|66218||020609142040|10|||89 :169009|66866||020609142000|30|||81 :169027|66274||020609142024|36|||81 :66605|169054|81690403174510|020609142024|21|||01 :77065|66205||020609142216|19|||89 :66443|169058|816995734100|020609142032|23|||01 :169001|1||020609142036|9|||82 :66629|169046|81690407681331|020609142028|112|||01 :66164|66289||020609142128|7|||89 :169033|66666||020609142116|4|||81 :77149|66707||020609142152|13|||89 :66164|1||020609142104|1|||89 :66660|66619||020609142144|11|||89 :66253|1||020609142104|1|||89 :66746|169051|81690404816339|020609142108|2|||01 :66363|169053|816998993640|020609142100||||01 :169033|66102||020609142116|4|||81 :169031|66458||020609142704|76|||81 :169011|66804||020609142120|5|||81 :66330|169059|81690413135301|020609142136|24|||01 :77648|66192||020609142244|11|||89 :66654|169049|816993373500|020609142212|3|||01 :66800|169052|816995692834|020609142204|31|||01 :169035|66834||020609142132|23|||81 :169032|66261||020609142200|45|||81 :169036|66804||020609142148|57|||81 :66450|169055|816997915475|020609142204|136|||01 :66440|169053|81690401668924|020609142224|6|||01 :66117|169058|81690422404930|020609142236|9|||01 :66178|66350||020609142240|10|||89 :66102|169052|816904028827659|020609142204|1|||01 :66848|169059|816959752263|020609142212|3|||01 :169021|66341||020609142256|59|||81 :169020|66002||020609142232|8|||81 :64036|169060|816985314444|020609142212|183|||01 :8619|169051|816985870100|020609142248|12|||01 :66177|169054|816959788319|020609142304|31|||01 :66613|66611||020609142316|4|||89 :64116|66166||020609142328|7|||89 :66332|169055|81690409889688|020609142312|3|||01 :169006|66640||020609142304|91|||81 :169024|66396||020609142244|56|||81 :169014|77810||020609142608|47|||81 :66718|66193||020609142316|4|||89 :169038|66366||020609142320|20|||81 :8009|169053|816997915843|020609142332|8|||01 :169040|66251||020609142256|29|||81 :169030|66012||020609142312|3|||81 :66802|169059|816999298624|020609142332|8|||01 :66117|66631||020609142456|14|||89 :169034|66804||020609142332|8|||81 :66192|66301||020609142436|9|||89 :66341|66253||020609142412|3|||89 :66242|77046||020609142420|5|||89 :169016|66002||020609142328|7|||81 :77758|66611||020609142436|9|||89 :66363|169048|81690412023666|020609142332|23|||01 :169038|77810||020609142432|8|||81 :66619|66820||020609142500|15|||89 :8165|169057|8169131450|020609142424|471|||01 :169030|66194||020609142432|8|||81 :66102|169054|81690428827659|020609142408|17|||01 :8017|169057|816995607546|020609142408|2|||01 :66312|169056|816993308888|020609142444|56|||01 :66791|66422||020609142932|83|||89 :169026|66204||020609142408|2|||81 :66192|77648||020609142544|11|||89 :66341|66336||020609142520|5|||89 :66029|169053|816995783346|020609142456|14|||01 :66211|1||020609142500||||89 :169002|66620||020609142432|23|||81 :66322|66705||020609142508|2|||89 :66389|169052|816986100168|020609142448|12|||01 :66034|169057|816995966377|020609142424|6|||01 :169023|66834||020609142448|12|||81 :66661|66611||020609142540|10|||89 :66651|66664||020609142524|6|||89 :169004|66119||020609142512|3|||81 :66314|169056|816994795883|020609142500||||01 :64076|66762||020609142528|7|||89 :169018|110058|81108|020609142448|327|||03 :66341|66325||020609142500||||89 :66322|66341||020609142520|5|||89 :64016|169057|816995094488|020609142512|3|||01 :66672|169056|816994696602|020609142500||||01 :66242|77046||020609142524|6|||89 :66322|66325||020609142616|4|||89 :66234|66423||020609142624|6|||89 :66661|66741||020609142616|4|||89 :77067|169055|816995274355|020609142516|34|||01 :66177|66890||020609142620|5|||89 :66026|66854||020609142620|5|||89 :66270|66476||020609142600||||89 :169037|66270||020609142548|27|||81 :64036|169060|816996432371|020609142628|52|||01 :66102|66728||020609142756|14|||89 :169029|66119||020609142636|9|||81 :169037|66476||020609142744|11|||81 :66037|8612||020609142828|22|||89 :169019|66012||020609142632|8|||81 :64072|1||020609142716|4|||89 :169028|66834||020609142640|55|||81 :66289|1||020609142708|2|||89 :66261|169060|81690458002587|020609142728|7|||01 :77190|169045|816995755333|020609142652|13|||01 :169022|66998||020609142700|15|||81 :66998|169044|816990765998|020609142700|15|||01 :66137|66422||020609142732|8|||89 :169025|66834||020609142720|5|||81 :66389|169046|816986100168|020609142716|19|||01 :66312|66619||020609143104|46|||89 :77069|1||020609142820|5|||89 :66164|66804||020609142956|29|||89 :169008|64117||020609142720|5|||81 :66205|169048|81690414405167|020609142812|33|||01 :169013|66130||020609142728|7|||81 :66210|66611||020609142812|3|||89 :169017|66174||020609142724|6|||81 :66136|66854||020609142824|6|||89 :169010|66423||020609142736|24|||81 :8167|169057|81690422031462|020609142808|2|||01 :169012|110059|81105|020609142804|76|||03 :66287|169054|81690439031378|020609142816|49|||01 :169003|66762||020609142816|19|||81 :169007|66002||020609142832|8|||81 :66705|1||020609142808|2|||89 :77149|169043|816993240119|020609142908|32|||01 :66322|66341||020609143152|43|||89 :66358|169060|81691300721394|020609142820|20|||01 :64118|169045|816997865666|020609142820|20|||01 :64116|169046|816995611025|020609142844|11|||01 :169009|66434||020609142840|10|||81 :66396|169044|81691223|020609142928|22|||01 :77758|66611||020609142924|6|||89 :169032|66012||020609142916|4|||81 :66476|169040|81690434315536|020609142940|25|||01 :66289|66281||020609143056|29|||89 :169031|66117||020609142848|12|||81 :66679|66322||020609143128|37|||89 :77071|169037|816993645888|020609142920|20|||01 :66378|169052|816995274355|020609142912|63|||01 :66337|169057|81691300724690|020609142904|16|||01 :169024|66302||020609142904|1|||81 :66705|169035|81690413135301|020609143000|15|||01 :66382|169038|816997597778|020609142904|31|||01 :66612|169047|816995617104|020609142940|55|||01 :66389|66251||020609143056|14|||89 :66231|66248||020609143004|1|||89 :169020|66773||020609142932|8|||81 :169033|110056|8110|020609142936|24|||03 :66848|169034|816959752263|020609142932|8|||01 :169027|66115||020609142940|25|||81 :66341|77434||020609143028|7|||89 :66107|169036|81690409245813|020609142940|25|||01 :169021|66314||020609142944|11|||81 :66312|169048|816996741590|020609142952|28|||01 :64028|169051|816996039528|020609142944|86|||01 :66396|169046|816985744900|020609142948|12|||01 :66751|169052|81690434676580|020609143036|9|||01 :66800|64029||020609143116|19|||89 :169011|66800||020609143052|28|||81 :66002|169060|816985175610|020609143000|15|||01 :66717|66350||020609143032|8|||89 :169014|66880||020609143052|13|||81 :169016|110059|8110|020609143048|12|||03 :66277|169057|816998894128|020609143040|10|||01 :66164|66335||020609143400|45|||89 :66277|1||020609143108|2|||89 :169005|66830||020609143124|51|||81 :66791|66292||020609143624|81|||89 :64072|169042|81690412364855|020609143136|69|||01 :66802|169059|816999298624|020609143156|119|||01 :66450|169058|816997915475|020609143128|142|||01 :77190|169054|81690434059282|020609143216|19|||01 :169006|66938||020609143136|39|||81 :66938|169045|816990765938|020609143136|39|||01 :66120|66611||020609143224|6|||89 :66738|169060|816995794740|020609143224|21|||01 :66211|169056|81691300133122|020609143228|97|||01 :169018|66012||020609143212|3|||81 :66761|64086||020609143220|5|||89 :66322|66340||020609143600|45|||89 :66393|169050|816998235222|020609143304|331|||01 :66804|169048|816995282767|020609143224|21|||01 :169004|66800||020609143304|16|||81 :169023|110059|8110|020609143224|21|||03 :169018|66123||020609143332|8|||81 :169025|66027||020609143820|80|||81 :66178|66136||020609143412|18|||89 :66389|169052|816985744950|020609143256|29|||01 :169026|66342||020609143304|46|||81 :66325|66422||020609143456|29|||89 :66324|66664||020609143332|8|||89 :64036|169057|816996432374|020609143320|35|||01 :66324|66297||020609143400|15|||89 :66362|66611||020609143332|8|||89 :66278|1||020609143400|15|||89 :66246|169058|816988049412|020609143320|20|||01 :169002|77971||020609143308|2|||81 :169039|110055|8110|020609143320|290|||03 :169022|110060|81102|020609143316|4|||03 :66322|66292||020609143420|5|||89 :8619|169050|816997881370|020609143324|6|||01 :169015|66258||020609143344|11|||81 :169019|66666||020609143328|7|||81 :66871|169046|816995630060|020609143336|24|||01 :66707|66619||020609143500|15|||89 :66102|169056|816995794740|020609143412|18|||01 :66403|169055|816998776807|020609143404|121|||01 :169028|66155||020609143348|12|||81 :66183|66854||020609143440|10|||89 :64036|169058|816996395355|020609143448|12|||01 :169011|64029||020609143908|62|||81 :66717|66350||020609143608|17|||89 :64031|66820||020609143512|3|||89 :66324|66722||020609143608|17|||89 :77810|169057|816995919232|020609143504|16|||01 :77069|77147||020609143532|8|||89 :66126|66002||020609143516|4|||89 :169017|66434||020609143528|7|||81 :66791|169060|816990762000|020609143540|40|||01 :77758|66611||020609143540|10|||89 :169030|66349||020609143544|86|||81 :66341|66251||020609143556|14|||89 :66738|77190||020609143648|12|||89 :66763|77046||020609143632|8|||89 :66335|169054|816995345151|020609143548|42|||01 :66277|169047|81690448885910|020609143612|63|||01 :66153|169055|81690409576211|020609143536|9|||01 :66661|66611||020609143612|3|||89 :66209|169044|816995008280|020609143628|7|||01 :169041|77971||020609143620|80|||81 :66406|169048|816995256377|020609143548|12|||01 :66255|66273||020609143704|16|||89 :66261|169050|816997547880|020609143540|10|||01 :66721|66707||020609143624|6|||89 :66246|169057|816988049412|020609143620|20|||01 :169003|66938||020609143608|17|||81 :66938|169046|816990765938|020609143608|17|||01 :66324|66727||020609143820|20|||89 :66773|169045|81690395096177|020609143608|17|||01 :8617|169060|816992651276|020609143644|11|||01 :169032|66314||020609143628|7|||81 :66475|169053|816995965604|020609143632|173|||01 :66255|1||020609143712|3|||89 :66337|169056|81691300887954|020609143616|34|||01 :66255|169054|81690413135301|020609143716|4|||01 :66396|66395||020609143700||||89 :169037|66396||020609143724|6|||81 :169035|66063||020609143724|6|||81 :66063|169053|816990765063|020609143724|6|||01 :66741|66620||020609143732|8|||89 :169001|66718||020609143656|134|||81 :66358|169043|816986481900|020609143740|25|||01 :8617|169056|816992651276|020609143720|5|||01 :66209|169060|816995008280|020609143756|14|||01 :66341|64086||020609143828|7|||89 :169024|66314||020609143752|13|||81 :66322|169047|816997595444|020609143716|4|||01 :66314|169049|816994793930|020609143724|186|||01 :169037|66395||020609143836|9|||81 :66738|77810||020609143948|27|||89 :66868|169057|816997881378|020609143724|21|||01 :169033|66447||020609143816|4|||81 :66450|169054|816959968612|020609143756|14|||01 :66406|169050|816995696699|020609143804|16|||01 :66325|66322||020609143820|5|||89 :169009|77971||020609143748|27|||81 :66166|66403||020609143812|3|||89 :169020|66166||020609143836|9|||81 :169038|66100||020609143752|13|||81 :66452|169055|816992651750|020609143820|35|||01 :66741|66630||020609144004|16|||89 :169027|66239||020609143840|10|||81 :66707|169056|816998577100|020609143820|5|||01 :66620|66654||020609144000|15|||89 :66389|66115||020609143940|10|||89 :169010|66800||020609143856|59|||81 :66618|169046|81690407395133|020609143844|11|||01 :169034|66727||020609143848|12|||81 :66325|2||020609143916|4|||89 :169016|64011||020609143908|2|||81 :66605|169047|816996839999|020609143916|4|||01 :64031|169053|816998092444|020609143912|18|||01 :66185|66713||020609143948|12|||89 :66406|169054|816995713003|020609143836|9|||01 :66800|169050|81690417014978|020609143932|8|||01 :66451|169047|81690409889688|020609143912|3|||01 :169012|110055|81101|020609143916|64|||03 :66422|66341||020609143940|10|||89 :66358|169057|81690402476225|020609143948|12|||01 :169004|66664||020609143912|3|||81 :8619|169058|816987813400|020609143956|74|||01 :66459|66297||020609144004|1|||89 :169005|66422||020609143916|4|||81 :169006|110054|81100|020609143940|10|||03 :66705|66713||020609144032|8|||89 :66218|169054|816995555256|020609143940|10|||01 :169025|66800||020609144012|3|||81 :66744|169059|81691300888801|020609144016|109|||01 :66377|2||020609144012|3|||89 :66325|169056|81690401407052|020609144036|9|||01 :169018|110059|81103|020609143952|13|||03 :169019|66804||020609144636|99|||81 :66255|66629||020609144032|8|||89 :66705|66713||020609144012|3|||89 :169040|66619||020609144000|60|||81 :66029|169057|816995783346|020609144044|11|||01 :169008|66274||020609144056|104|||81 :66349|66718||020609144300|30|||89 :66404|169058|816992543570|020609144048|12|||01 :64085|169044|816998181471|020609144044|11|||01 :169023|66093||020609144036|24|||81 :66093|169046|816990765093|020609144036|24|||01 :66366|77889||020609144120|5|||89 :66337|169054|816987934800|020609144040|10|||01 :169026|66664||020609144112|3|||81 :66335|169048|816990762000|020609144044|56|||01 :66791|66336||020609144236|24|||89 :64028|169051|816996039528|020609144128|157|||01 :169029|66528||020609144040|10|||81 :66528|169059|816990765528|020609144040|10|||01 :66619|66611||020609144108|2|||89 :169025|66102||020609144208|17|||81 :66377|64082||020609144204|16|||89 :66459|66722||020609144216|19|||89 :169039|66002||020609144132|8|||81 :66636|169052|816995953412|020609144124|96|||01 :77070|169058|816995571911|020609144128|7|||01 :66804|169048|81690402227579|020609144204|1|||01 :66137|66210||020609144232|8|||89 :66791|169050|81690404816427|020609144212|3|||01 :169020|66403||020609144540|55|||81 :66448|66458||020609144204|1|||89 :66448|169045|816995081909|020609144152|28|||01 :66164|66611||020609144208|2|||89 :66349|169057|816988|020609144208|17|||01 :169021|110056|8110|020609144152|58|||03 :66718|66632||020609144328|22|||89 :8617|169049|816992651000|020609144220|65|||01 :66002|169048|816911|020609144236|9|||01 :66707|169055|816985747100|020609144208|47|||01 :169002|66280||020609144252|28|||81 :169011|66046||020609144232|8|||81 :66046|169050|816990765046|020609144232|8|||01 :169045|66458||020609144352|13|||81 :169028|77971||020609144240|10|||81 :66705|169059|816992759333|020609144244|26|||01 :66791|66391||020609144348|12|||89 :169030|66207||020609144312|3|||81 :66791|169050|81690404816372|020609144308|2|||01 :66878|169056|81690411242865|020609144340|40|||01 :66349|66632||020609144400|15|||89 :66635|66350||020609144320|5|||89 :66451|169055|81690409889688|020609144312|3|||01 :169042|66314||020609144328|67|||81 :66664|66791||020609144400||||89 :169041|66664||020609144340|10|||81 :169007|66938||020609144400|15|||81 :66938|169057|816990765938|020609144400|15|||01 :66679|66322||020609144416|4|||89 :169017|66702||020609144320|20|||81 :8617|169049|816992651276|020609144416|4|||01 :66699|169055|81690404816339|020609144424|6|||01 :66368|169058|816995684877|020609144416|34|||01 :66329|66636||020609144448|12|||89 :66389|66350||020609144432|8|||89 :169041|66791||020609144436|9|||81 :66422|169057|816993427840|020609144420|5|||01 :66325|66164||020609144504|16|||89 :66161|66717||020609144632|23|||89 :169035|66002||020609144432|8|||81 :66680|66251||020609144524|6|||89 :169032|66800||020609144504|16|||81 :66395|169059|816992766800|020609144504|16|||01 :77810|169051|816995239192|020609144544|56|||01 :66332|169055|81690409889688|020609144508|2|||01 :169022|66340||020609144456|59|||81 :64028|169052|81690458387989|020609144532|53|||01 :66458|169057|816983440926|020609144552|13|||01 :66611|66336||020609144548|12|||89 :169024|66161||020609144532|8|||81 :64107|66192||020609144636|9|||89 :77190|66862||020609144620|5|||89 :66335|169054|816990768090|020609144604|76|||01 :66699|169058|81690407395133|020609144552|28|||01 :66800|64031||020609144604|1|||89 :169030|66477||020609144924|51|||81 :66395|169059|816995329900|020609144552|13|||01 :64045|169056|816994172111|020609144556|44|||01 :66422|66741||020609144832|23|||89 :169014|66140||020609144616|124|||81 :169033|64055||020609144624|6|||81 :169009|66365||020609144612|3|||81 :66335|169058|816990766365|020609144612|3|||01 :77190|66862||020609144708|2|||89 :66822|64011||020609144904|31|||89 :66341|169052|816990762025|020609144712|18|||01 :64028|169057|81690425817235|020609144716|19|||01 :66246|169054|816957220349|020609144708|2|||01 :64107|66718||020609144900|15|||89 :66368|169056|81690433137789|020609144712|3|||01 :169027|66389||020609144728|7|||81 :66178|66350||020609144840|10|||89 :169003|64123||020609144728|52|||81 :169038|66804||020609144752|13|||81 :77190|169054|816956592479|020609144832|8|||01 :66336|66341||020609144900|15|||89 :64071|169041|816986224315|020609144804|1|||01 :64028|169057|816996039528|020609144816|19|||01 :66451|169045|81690409889688|020609144816|4|||01 :169034|110058|8110|020609144840|10|||03 :169016|66938||020609144844|11|||81 :66938|169056|816990765938|020609144844|11|||01 :169010|66428||020609144856|14|||81 :66419|66611||020609144920|5|||89 :66476|169047|816995243333|020609144904|136|||01 :66636|169051|816998281222|020609144848|42|||01 :169005|66322||020609144828|7|||81 :66459|66297||020609144904|1|||89 :8612|169051|816911|020609144900||||01 :169036|77971||020609144916|34|||81 :66341|66336||020609144920|5|||89 :66750|66218||020609144916|4|||89 :66234|169052|81690406932734|020609144848|12|||01 :169004|66322||020609144916|4|||81 :77190|169040|816997994776|020609144936|9|||01 :66772|169057|816998852537|020609144916|4|||01 :66161|66717||020609145124|21|||89 :66422|66301||020609145020|5|||89 :66712|169052|81690405065649|020609144924|6|||01 :8164|169043|81690401578178|020609144940|145|||01 :64036|169042|816998221466|020609144948|27|||01 :169012|110056|8110|020609144940|25|||03 :77190|169041|816995219069|020609145028|7|||01 :8167|169060|816995787057|020609145012|183|||01 :66336|2||020609145004|1|||89 :66046|169060|816990765046|020609145004|1|||01 :77083|169045|816992773745|020609144956|14|||01 :66450|169056|816997915475|020609145024|21|||01 :169019|66887||020609145028|7|||81 :66335|169058|816990762000|020609145028|52|||01 :66620|169052|81690401255428|020609145024|6|||01 :66712|169047|816995236898|020609145032|8|||01 :77756|66750||020609145124|6|||89 :66287|66611||020609145144|11|||89 :66475|169053|816957624855|020609145036|174|||01 :169008|66666||020609145032|8|||81 :66712|169056|816995724832|020609145108|2|||01 :66211|2||020609145104|1|||89 :169006|66804||020609145056|29|||81 :169018|2||020609145100||||82 :66119|169054|81690411147274|020609145044|41|||01 :66396|66148||020609145104|1|||89 :169025|66396||020609145120|5|||81 :66422|169043|81690414405167|020609145116|19|||01 :169029|66617||020609145132|8|||81 :77190|169060|81690409519997|020609145144|11|||01 :66012|77149||020609145136|9|||89 :8205|169050|816995688135|020609145124|81|||01 :169008|66123||020609145252|13|||81 :66164|66611||020609145204|1|||89 :169011|66632||020609145124|6|||81 :66261|169042|81690408319615|020609145208|17|||01 :66336|66791||020609145324|21|||89 :169037|66404||020609145220|95|||81 :66763|169046|816998060604|020609145148|72|||01 :66713|169040|816995966377|020609145204|31|||01 :169002|110056|81105|020609145152|13|||03 :77067|169060|816998221547|020609145208|2|||01 :169031|66619||020609145204|121|||81 :8164|66751||020609145420|35|||89 :169020|110058|8110|020609145220|20|||03 :77067|2||020609145312|3|||89 :66712|169052|81690412178482|020609145212|18|||01 :77190|169060|816995232245|020609145224|6|||01 :169007|66876||020609145236|9|||81 :8618|66644||020609145316|4|||89 :169022|66938||020609145328|7|||81 :66938|169050|816990765938|020609145328|7|||01 :169001|66426||020609145328|127|||81 :66619|169052|816995964769|020609145324|6|||01 :66395|169053|816990762000|020609145304|31|||01 :169024|66012||020609145316|4|||81 :66183|169046|816995282278|020609145332|8|||01 :66363|169059|816999473243|020609145348|102|||01 :66712|169060|816995717482|020609145340|10|||01 :66136|66413||020609145520|20|||89 :169014|66126||020609145336|9|||81 :66741|66846||020609145720|50|||89 :169024|66123||020609145444|11|||81 :66193|169045|81690425720986|020609145344|11|||01 :64118|169051|81691800354431|020609145412|33|||01 :66848|169059|816959968666|020609145448|12|||01 :169034|66422||020609145424|6|||81 :169010|66666||020609145420|5|||81 :169016|66619||020609145432|8|||81 :169005|66776||020609145424|6|||81 :8164|169043|81690401578178|020609145452|28|||01 :169025|66148||020609145848|57|||81 :66718|169052|81690414405870|020609145440|25|||01 :66195|169059|81690433092362|020609145504|1|||01 :66620|169058|81690401255428|020609145520|65|||01 :66141|169051|816996825579|020609145524|6|||01 :77190|169060|81690431253405|020609145532|23|||01 :169004|169050|81690404816372|020609145532|8|||03 :66112|2||020609145508|2|||89 :64086|169049|816995878628|020609145504|151|||01 :64035|169055|81690411427985|020609145540|145|||01 :66744|66422||020609145612|3|||89 :66322|66341||020609145616|4|||89 :66195|169060|816993699091|020609145604|1|||01 :66258|169041|816995837890|020609145556|14|||01 :66231|169042|816994795680|020609145552|13|||01 :77281|66611||020609145648|12|||89 :66635|169060|816997298738|020609145628|7|||01 :169010|66123||020609145740|25|||81 :66183|66136||020609145752|13|||89 :169036|66253||020609145700|15|||81 :169039|2||020609145640|10|||82 :169028|66938||020609145700||||81 :66112|66218||020609145824|21|||89 :64028|169049|816996039528|020609145708|2|||01 :66800|169045|816995893318|020609145700|30|||01 :169012|66762||020609145708|32|||81 :169006|66607||020609145648|12|||81 :8622|169054|816995953412|020609145732|68|||01 :8164|169043|816995795038|020609145704|1|||01 :169026|66261||020609145724|21|||81 :169009|66153||020609145656|59|||81 :169003|77971||020609145720|20|||81 :66403|169046|816994350614|020609145736|39|||01 :64066|169050|816995239116|020609145712|18|||01 :66619|66361||020609145800||||89 :169029|110058|8110|020609145724|6|||03 :66396|77643||020609145900|15|||89 :66718|169059|81690414407438|020609145836|39|||01 :66278|2||020609145820|5|||89 :8619|169049|816987922272|020609145816|4|||01 :66131|169060|81690412610657|020609145808|17|||01 :66717|66890||020609145924|6|||89 :66314|64066||020609145924|6|||89 :169008|66314||020609145812|18|||81 :8164|169059|816995788159|020609145904|1|||01 :66332|169046|81690409889688|020609145808|2|||01 :169015|110057|8110|020609145900|255|||03 :66396|66744||020609145920|5|||89 :77067|169047|81690413740036|020609145908|92|||01 :66218|169050|81690400012501|020609145856|14|||01 :169037|66012||020609145904|16|||81 :66738|169043|816987957825|020609145936|9|||01 :64028|169054|816996039528|020609145948|27|||01 :8009|169057|8169131880|020609145944|131|||01 :169021|64086||020609145952|43|||81 :169011|77971||020609145932|23|||81 :66355|169052|816995235837|020609145936|54|||01 :66239|169055|816995092704|020609145944|56|||01 :169032|110056|8110|020609145940|10|||03