:45010|77074||210613205704|886|||81 :66324|45036|814595282077|210613200404|1|||01 :66063|45035|814590765063|210613200532|8|||01 :66324|45034|814595056881|210613200552|13|||01 :9|110060|8110|210613200748|12|||01 :66619|110060|8110|210613200816|4|||01 :66063|45032|814590765063|210613201148|12|||01 :77040|45031|81450407866248|210613201240|10|||01 :66000|110060|8110|210613201440|10|||01 :66034|66713||210613201600||||89 :66046|45028|814590765046|210613201612|18|||01 :45059|110060|81105|210613202056|29|||03 :66000|110059|8110|210613202124|21|||01 :45028|110060|81100|210613202116|4|||03 :66046|45027|814590765046|210613202220|35|||01 :66761|66423||210613202412|3|||89 :66253|45026|814598240958|210613202528|37|||01 :66761|45025|81451300198028|210613202516|19|||01 :66619|110059|81105|210613202712|3|||01 :9|110060|8110|210613202736|9|||01 :66253|110060|8110|210613202716|4|||01 :66427|66253||210613202944|11|||89 :66423|66619||210613203236|39|||89 :66652|45024|81450466210730|210613203428|97|||01 :66340|45023|814597023533|210613203652|58|||01 :9|45020|8145|210613204000||||01 :66046|45019|814590765046|210613204108|17|||01 :66744|45021|8145000|210613204100|90|||01 :66619|110060|8110|210613204108|2|||01 :66652|45022|81450402158668|210613204156|104|||01 :9|110060|8110|210613204224|6|||01 :66619|110060|8110|210613204212|3|||01 :66332|45018|81450409889688|210613204228|7|||01 :66346|45017|814595282278|210613204232|8|||01 :66000|110059|8110|210613204344|26|||01 :66707|45016|81450404816431|210613204428|7|||01 :45030|66705||210613204624|21|||81 :9|45015|8145|210613204704|1|||01 :9|45014|8145|210613205448|12|||01 :66938|45013|814590765938|210613205920|50|||01