:66742|66170||020609171152|193|||89 :66481|169054|81690422554041|020609170000|90|||01 :169005|66722||020609170008|2|||81 :169015|77790||020609170932|143|||81 :66177|66350||020609170016|4|||89 :169036|66231||020609170044|41|||81 :169040|66292||020609170044|11|||81 :66130|169051|81691300657265|020609170056|59|||01 :66876|169059|816993337030|020609170036|9|||01 :77647|66396||020609170436|54|||89 :66702|169058|81690297279773|020609170116|229|||01 :169021|64051||020609170212|3|||81 :66177|66350||020609170220|5|||89 :66342|77073||020609170200||||89 :169010|66342||020609170212|18|||81 :66855|169055|81690421357056|020609170144|41|||01 :66876|169056|816998087448|020609170140|10|||01 :66660|66713||020609170244|11|||89 :66387|2||020609170212|3|||89 :169007|66840||020609170228|52|||81 :169010|77073||020609170348|12|||81 :66659|169058|81690295312011|020609170300|15|||01 :66387|169055|81690414104797|020609170308|2|||01 :169046|66102||020609170248|12|||81 :169023|66347||020609170300||||81 :169029|66270||020609170328|7|||81 :169022|66341||020609170320|5|||81 :169014|2||020609170404|1|||82 :169026|66487||020609170408|2|||81 :66619|66313||020609170400||||89 :169025|66619||020609170356|14|||81 :169009|66314||020609170412|3|||81 :66726|169051|816986147599|020609170416|4|||01 :66869|169053|816995636479|020609170428|37|||01 :66342|77074||020609170400||||89 :169042|66342||020609170440|10|||81 :169001|110058|81109|020609170452|13|||03 :169019|66346||020609170512|3|||81 :66482|169060|816995725175|020609170520|65|||01 :66352|169050|816994898093|020609170516|229|||01 :66119|169052|81690408090903|020609170552|43|||01 :66482|169049|816995711362|020609170624|6|||01 :66482|169060|816995725175|020609170600|15|||01 :2|66341||020609170616|4|||89 :66324|169051|816995719933|020609170604|16|||01 :169028|66063||020609170636|9|||81 :66063|169052|816990765063|020609170636|9|||01 :169035|66336||020609170720|50|||81 :66659|169055|816995105500|020609170656|44|||01 :66177|66854||020609170720|5|||89 :169042|77074||020609170936|39|||81 :66742|169057|816995717357|020609170636|84|||01 :169004|66439||020609170716|4|||81 :66169|169050|81691300661456|020609170656|14|||01 :169011|66876||020609170732|38|||81 :66428|169058|816995000654|020609170800|60|||01 :169039|110059|81108|020609170844|11|||03 :169024|66324||020609170848|27|||81 :169034|66210||020609170836|9|||81 :64123|66251||020609170932|8|||89 :66355|169060|816995237297|020609170824|6|||01 :169013|66876||020609170904|1|||81 :169027|66834||020609170812|3|||81 :66742|169058|816995098646|020609170836|9|||01 :66872|169053|816995702399|020609170856|59|||01 :66713|169055|816995285550|020609170836|9|||01 :169031|66608||020609170916|79|||81 :8615|169057|81690404816331|020609170856|14|||01 :169002|66336||020609170916|4|||81 :169045|66741||020609170940|10|||81 :64027|169060|816995230928|020609171008|17|||01 :66432|2||020609171024|6|||89 :169025|66313||020609171556|89|||81 :169016|66705||020609171004|1|||81 :66742|169053|81690417374537|020609171108|2|||01 :77075|169058|816998026701|020609171116|34|||01 :169003|110059|8110|020609171152|13|||03 :169008|66666||020609171152|13|||81 :169041|66744||020609171152|28|||81 :66432|169060|81690404816431|020609171136|24|||01 :66330|169055|81690413135301|020609171140|40|||01 :66342|77073||020609171200||||89 :169048|66342||020609171228|7|||81 :64027|169060|81690419770245|020609171208|2|||01 :169012|66652||020609171312|168|||81 :66026|169057|816952792551|020609171340|40|||01 :77040|169059|816996174397|020609171308|182|||01 :66423|66713||020609171404|16|||89 :77083|169058|816992773745|020609171336|9|||01 :66876|169051|81690422532584|020609171320|65|||01 :66603|66664||020609171448|12|||89 :66330|66387||020609171544|26|||89 :64055|169060|816995570822|020609171416|4|||01 :169048|77073||020609171604|31|||81 :169005|66487||020609171404|1|||81 :66382|2||020609171416|4|||89 :66610|169058|816995231378|020609171428|7|||01 :66177|66350||020609171520|5|||89 :66193|169055|816997353651|020609171508|2|||01 :66855|169056|816995219063|020609171432|188|||01 :66846|169059|81690408549950|020609171516|19|||01 :66617|66173||020609171536|9|||89 :66382|169060|81690448590297|020609171552|13|||01 :77147|8040||020609171716|19|||89 :66273|169060|816997660661|020609171624|6|||01 :169036|66707||020609171556|14|||81 :66432|2||020609171612|3|||89 :169033|66341||020609171620|95|||81 :169040|66387||020609171628|7|||81 :169021|110059|8110|020609171636|9|||03 :169043|110060|81105|020609171656|224|||03 :64035|169054|816997583455|020609171700|225|||01 :66193|169058|81690411425806|020609171656|29|||01 :66617|169056|81690439143601|020609171812|18|||01 :77147|66883||020609171824|6|||89 :77147|8055||020609172012|33|||89 :66432|169060|81690404816431|020609171756|29|||01 :169007|66619||020609171824|6|||81 :66883|8055||020609171804|1|||89 :66398|169059|816995960869|020609171904|46|||01 :77147|66744||020609171932|8|||89 :66423|66713||020609171940|10|||89 :66804|169056|816997953661|020609171920|5|||01 :64101|66330||020609172156|29|||89 :66881|169057|816995683643|020609171928|82|||01 :169046|66395||020609171932|8|||81 :66664|77089||020609172056|14|||89 :169010|66404||020609172000|15|||81 :66724|169059|816995603484|020609172016|19|||01 :66145|169052|816995870516|020609172048|207|||01 :66451|169055|81690409889688|020609172104|1|||01 :66423|66744||020609172228|22|||89 :66341|169060|816997992971|020609172116|34|||01 :66212|169055|816995239936|020609172112|3|||01 :66890|169054|816995230744|020609172132|8|||01 :66212|169054|81690408915335|020609172220|5|||01 :66330|169059|81690413135301|020609172148|27|||01 :66263|169055|816985747153|020609172236|9|||01 :66398|169053|816996905515|020609172224|6|||01 :66193|169057|81690418320422|020609172204|31|||01 :66387|169058|816998278760|020609172232|83|||01 :66713|169052|816995285550|020609172244|11|||01 :169032|66395||020609172236|39|||81 :169029|66336||020609172308|17|||81 :66398|169057|816995346183|020609172328|7|||01 :169044|66195||020609172312|18|||81 :77275|66210||020609172332|8|||89 :77040|169059|816996174397|020609172400|15|||01 :169023|66270||020609172440|10|||81 :77083|169055|816992773745|020609172432|8|||01 :169014|66726||020609172444|26|||81 :66654|169058|816995484148|020609172500|15|||01 :169018|66938||020609172432|8|||81 :66938|169052|816990765938|020609172432|8|||01 :66342|77073||020609172500||||89 :169009|66342||020609172516|4|||81 :66617|2||020609172524|6|||89 :66601|169056|81690403806244|020609172548|72|||01 :66026|169055|816952792453|020609172508|2|||01 :64027|169053|816995239170|020609172508|17|||01 :66183|169057|816995285960|020609172600|30|||01 :66601|77046||020609172604|1|||89 :169001|66744||020609172552|13|||81 :64035|169059|81690418689350|020609172624|36|||01 :66183|169057|816995285960|020609172644|11|||01 :169028|66336||020609172636|9|||81 :169026|66341||020609172716|34|||81 :169019|66010||020609172728|22|||81 :66762|169051|816997692820|020609172648|27|||01 :77648|169059|816996692812|020609172716|4|||01 :66635|169056|816995329349|020609172720|5|||01 :66183|169057|816990765013|020609172732|8|||01 :66871|169058|816993975698|020609172748|42|||01 :169035|66834||020609172740|10|||81 :110002|169054|81690434629147|020609172740|55|||03 :169006|66607||020609172844|11|||81 :64108|2||020609172912|3|||89 :169017|110060|8110|020609173000|75|||03 :169042|110059|81109|020609173052|13|||03 :66617|169052|81690421542526|020609173048|87|||01 :169009|77073||020609173708|92|||81 :66026|169058|816952792483|020609173140|40|||01 :64108|169059|81690404816431|020609173140|40|||01 :169020|66619||020609173148|27|||81 :66619|169059|816998132350|020609173208|2|||01 :169050|66121||020609173304|1|||81 :64035|169059|816995715551|020609173312|3|||01 :66006|66008||020609173516|19|||89 :64107|169059|816995027744|020609173404|1|||01 :169024|64007||020609173424|6|||81 :66205|169060|816998790425|020609173508|197|||01 :66423|66336||020609174240|115|||89 :169034|66139||020609173548|12|||81 :66492|169060|81690419128564|020609173600|15|||01 :169013|66938||020609173640|10|||81 :66938|169056|816990765938|020609173640|10|||01 :66629|169058|816995554346|020609173704|31|||01 :169027|66046||020609173636|9|||81 :66046|169055|816990765046|020609173636|9|||01 :66195|169057|8169131008|020609173720|35|||01 :64107|169059|816995027744|020609173732|38|||01 :66713|169059|816995285960|020609173900||||01 :66263|169057|816995603104|020609173920|5|||01 :66398|169059|816995317292|020609173948|12|||01 :66013|169055|81690409889688|020609174016|4|||01 :66324|2||020609174112|3|||89 :169002|66741||020609174124|6|||81 :66713|169058|816995285550|020609174220|50|||01 :66324|169059|81690412056226|020609174304|31|||01 :169047|64007||020609174404|1|||81 :66393|169057|816995710215|020609174428|22|||01 :64027|169056|81690419770245|020609174452|13|||01 :66713|169058|816995285550|020609174520|35|||01 :169003|64007||020609174624|6|||81 :66261|169058|816995577179|020609174704|1|||01 :66741|169055|816997050959|020609174724|36|||01 :66261|169058|81690401722926|020609174704|1|||01 :66423|66713||020609175100|30|||89 :66336|169057|816995433568|020609174940|10|||01 :66451|169057|81690409889688|020609175008|2|||01 :66393|2||020609175144|11|||89 :2|66100||020609175100||||89 :66393|66100||020609175232|8|||89 :66137|2||020609175220|5|||89 :169041|66395||020609175228|7|||81 :66335|2||020609175412|3|||89 :66684|169056|816995932945|020609175312|18|||01 :66423|66290||020609175808|62|||89 :66335|169057|81690404816431|020609175436|9|||01 :66255|2||020609175524|6|||89 :66601|169056|816995040805|020609175540|25|||01 :66679|169056|81690412928729|020609175728|7|||01 :169012|110060|81105|020609175720|5|||03 :66255|169057|81690447199936|020609175740|40|||01 :64107|2||020609175916|4|||89 :66261|169058|81690401722926|020609175948|177|||01