:66263|169057|816994199386|090609190012|33|||01 :66713|66137||090609190000||||89 :66332|169056|81690409889688|090609190020|5|||01 :66707|66340||090609190044|11|||89 :66178|169055|816996969025|090609190036|9|||01 :66253|169058|816983900478|090609190108|62|||01 :66620|169060|816997005735|090609190048|12|||01 :66451|169057|81690409889688|090609190112|3|||01 :66195|169056|81690425666398|090609190144|11|||01 :66198|169059|816993699091|090609190108|17|||01 :66253|169060|816995574502|090609190208|17|||01 :66451|169059|81690409889688|090609190316|4|||01 :66620|169060|81690411530113|090609190336|9|||01 :66707|169059|81690404558908|090609190328|7|||01 :169036|66115||090609190412|18|||81 :169001|66707||090609190412|3|||81 :66253|2||090609190512|3|||89 :66620|169058|81690423815072|090609190432|8|||01 :66341|169060|816995328862|090609190436|9|||01 :77070|169059|816997022198|090609190540|10|||01 :66341|2||090609190516|4|||89 :66253|169057|81690433208158|090609190536|9|||01 :169006|110060|811000|090609190516|64|||03 :66707|169058|81690421358002|090609190636|9|||01 :66341|169059|81690401407052|090609190616|4|||01 :66451|169060|81690409889688|090609190612|3|||01 :66707|66253||090609190708|2|||89 :66341|2||090609190716|4|||89 :169007|66395||090609190644|11|||81 :66620|169057|81690409609759|090609190804|16|||01 :66341|169060|81690430311639|090609190816|4|||01 :66325|169059|816997991734|090609190844|11|||01 :169038|66183||090609190820|5|||81 :169033|66387||090609190944|11|||81 :66325|2||090609191120|5|||89 :169048|64056||090609191052|13|||81 :169003|66126||090609191128|22|||81 :2|169059|816913100801300555555|090609191544|26|||02 :66713|169060|816996873590|090609191656|89|||01 :66713|169060|816998772533|090609191904|16|||01 :66292|169058|816986615350|090609191916|4|||01 :66396|169059|816997984110|090609191952|13|||01 :169008|66652||090609192148|12|||81 :169030|66063||090609192236|9|||81 :66063|169059|816990765063|090609192236|9|||01 :169026|169060|81690404816431|090609192232|8|||03 :169044|66744||090609192336|9|||81 :66451|169060|81690409889688|090609192424|6|||01 :77083|169059|816992773745|090609192440|10|||01 :66451|169060|81690409889688|090609192512|3|||01 :66332|169060|81690409889688|090609192612|3|||01 :66325|169060|816998075569|090609192912|3|||01 :169021|66762||090609193048|102|||81 :169010|110060|81108|090609193044|26|||03 :66292|169060|816986615350|090609193224|6|||01 :169023|66336||090609193216|34|||81 :169047|110060|81108|090609193332|23|||03 :169042|2||090609193432|23|||82 :66178|66350||090609193636|9|||89 :169050|66326||090609193616|4|||81 :66657|169060|816987511639|090609193604|31|||01 :169050|77073||090609193800|15|||81 :77083|169060|816992773745|090609193656|14|||01 :77648|66253||090609193804|1|||89 :169012|169060|81690404816431|090609194020|20|||03 :77040|169059|816995794065|090609194044|86|||01 :169051|110060|8110|090609194052|13|||03 :77648|66705||090609194148|12|||89 :77068|169060|816995980116|090609194408|17|||01 :66325|169060|816997992971|090609194648|12|||01 :169024|66800||090609194616|4|||81 :2|169060|8169132227|090609194744|11|||02 :66707|2||090609194920|5|||89 :66382|2||090609195116|4|||89 :169039|66619||090609195120|20|||81 :66707|169060|81690429776057|090609195124|36|||01 :66382|169059|81690448326833|090609195200|15|||01 :66679|169060|816997052723|090609195208|2|||01 :66253|66846||090609195448|27|||89 :66332|169059|81690409889688|090609195312|3|||01 :66253|2||090609195520|20|||89 :169027|66707||090609195448|12|||81 :66679|169060|816997057236|090609195540|40|||01 :66341|2||090609195640|10|||89 :169041|66046||090609195820|5|||81 :66046|169059|816990765046|090609195820|5|||01 :66324|169059|816995618788|090609195928|7|||01 :66654|169060|81690411731721|090609195948|42|||01