:66255|64035||020709110208|122|||89 :169004|66800||020709110604|181|||81 :66176|66386||020709110324|111|||89 :64066|66314||020709110028|22|||89 :64123|66611||020709110000||||89 :2|66405||020709110024|6|||89 :169033|66002||020709110012|3|||81 :64028|8045||020709110008|2|||89 :169001|66012||020709110000|15|||81 :169017|66260||020709110000|15|||81 :66314|64066||020709110104|16|||89 :169040|66842||020709110016|64|||81 :8619|169054|816997945326|020709110028|337|||01 :66150|169059|816997701340|020709110020|20|||01 :77073|169057|816959711395|020709110012|93|||01 :169030|66352||020709110320|50|||81 :66341|77147||020709110052|13|||89 :169019|66433||020709110024|6|||81 :66840|169060|816995283342|020709110012|3|||01 :169038|66431||020709110056|224|||81 :66763|2||020709110108|2|||89 :66025|169034|816995281298|020709110008|17|||01 :64031|169047|816995095172|020709110100|60|||01 :64028|8045||020709110100||||89 :169029|66666||020709110116|4|||81 :169026|66195||020709110208|17|||81 :169028|64046||020709111932|278|||81 :66721|66322||020709110248|27|||89 :169027|66440||020709110116|19|||81 :66840|169059|816995283342|020709110144|11|||01 :66118|169057|816995786718|020709110200||||01 :169025|66349||020709110148|12|||81 :66248|169054|816995012428|020709110212|3|||01 :66761|169055|8169132265|020709110156|119|||01 :66204|169056|816987813409|020709110156|239|||01 :66451|169044|81690409889688|020709110204|1|||01 :169013|66322||020709110220|5|||81 :66763|169060|816995081222|020709110228|22|||01 :64037|169057|816994992468|020709110220|5|||01 :66727|169058|816959771317|020709110212|108||2025|01 :169007|66322||020709110228|22|||81 :66179|169052|816998246666|020709110228|82|||01 :66680|66660||020709110612|48|||89 :66118|169060|81690430712774|020709110220|5|||01 :66879|169056|81690427028029|020709110228|7|||01 :66255|169053|816995558472|020709110244|41|||01 :66412|169050|816998241770|020709110228|232|||01 :169003|66791||020709110252|13|||81 :66178|66890||020709110320|5|||89 :169004|66342||020709110340|25|||81 :66278|2||020709110312|3|||89 :66322|169054|816995098833|020709110348|12|||01 :169022|66207||020709110320|5|||81 :169010|110058|81105|020709110408|2|||03 :8621|66450||020709110420|5|||89 :169021|66707||020709110324|6|||81 :66118|77190||020709110416|4|||89 :169023|66014||020709110420|5|||81 :66427|169046|8169131314|020709110324|156|||01 :169029|66804||020709110716|49|||81 :66142|169056|81690411149688|020709110436|9|||01 :66278|2||020709110404|1|||89 :169020|66115||020709110400|60|||81 :8614|169056|81690262891555|020709110404|1|||01 :169032|77971||020709110428|37|||81 :66263|169051|816998116806|020709110420|125|||01 :66221|169052|816995924004|020709110428|7|||01 :169014|2||020709110412|3|||82 :66029|66854||020709110420|5|||89 :66363|169050|816997351511|020709110424|6|||01 :66618|169047|816986778808|020709110400||||01 :77810|169048|81690437353315|020709110408|182|||01 :66261|169049|816995377888|020709110456|44|||01 :66707|2||020709110516|4|||89 :66763|169054|816995002288|020709110436|9|||01 :66763|169058|816995081222|020709110456|29|||01 :66342|66727||020709110508|2|||89 :169031|66322||020709110416|4|||81 :66142|169052|816994953247|020709110428|7|||01 :77190|77810||020709110520|5|||89 :169011|66666||020709110452|13|||81 :66316|77790||020709110508|2|||89 :169006|66316||020709110444|11|||81 :169018|66093||020709110436|9|||81 :66093|169046|816990765093|020709110436|9|||01 :66618|169051|81690407700907|020709110512|3|||01 :66427|2||020709110512|3|||89 :66255|169053|816995968966|020709110444|26|||01 :66477|169037|816995572956|020709110452|88|||01 :66278|66100||020709110604|16|||89 :169009|66652||020709110536|69|||81 :169039|66367||020709111724|186|||81 :169033|66204||020709110516|4|||81 :169016|66660||020709110520|20|||81 :169012|66422||020709110500|75|||81 :66427|169051|81690405141701|020709110604|1|||01 :66255|169058|816995962788|020709110512|3|||01 :169035|66218||020709110548|12|||81 :66248|169055|81690407613193|020709110528|52|||01 :66335|169043|816985856200|020709110612|333|||01 :64037|169057|81690423742560|020709110628|52|||01 :66142|169052|816994953247|020709110604|16|||01 :66789|169058|816995329349|020709110620|5|||01 :169036|66938||020709110632|23|||81 :66938|169050|816990765938|020709110632|23|||01 :66255|169055|816995964322|020709110632|8|||01 :66477|169054|81690407974440|020709110636|9|||01 :66428|169059|816995305631|020709110648|72|||01 :66826|169041|8169131047|020709110640|130|||01 :66661|66611||020709110716|4|||89 :66332|169057|81690409889688|020709110628|7|||01 :8211|169045|81691800331719|020709110644|161|||01 :169017|66218||020709110700|15|||81 :169024|110060|8110|020709110620|80|||03 :8167|66102||020709110832|23|||89 :169006|77790||020709110900|30|||81 :169019|66666||020709110712|3|||81 :66142|169053|81690419100863|020709110704|1|||01 :66255|169058|816995994000|020709110744|11|||01 :169015|66840||020709110752|43|||81 :169011|77810||020709111040|40|||81 :66255|169058|816999472000|020709110812|3|||01 :169019|66123||020709110840|10|||81 :66603|169053|816910|020709110808|2|||01 :66179|169060|816995091173|020709110744|71|||01 :8167|169051|816995713287|020709110804|1|||01 :169034|110060|81105|020709110832|8|||03 :66428|169057|816995305631|020709110820|20|||01 :64027|169055|816995631911|020709110820|20|||01 :169022|66232||020709111256|74|||81 :169001|66465||020709110824|6|||81 :66618|66664||020709110940|10|||89 :66255|169058|816995922774|020709110840|10|||01 :66746|169050|816995701268|020709110928|7|||01 :169028|66932||020709110848|12|||81 :66932|169057|816990765932|020709110848|12|||01 :169025|66700||020709110904|1|||81 :66887|169060|816995109575|020709110956|14|||01 :169027|66465||020709110916|4|||81 :77082|66157||020709111048|12|||89 :66346|66435||020709111028|7|||89 :169044|66434||020709110928|7|||81 :64037|169051|816959954122|020709111004|16|||01 :66456|169060|81690431630585|020709111004|1|||01 :66347|169048|816982904020|020709110936|9|||01 :169007|110055|81101|020709110928|7|||03 :66166|169059|816995761901|020709110936|39|||01 :66422|66707||020709111400|60|||89 :66142|169057|816997881536|020709111024|6|||01 :66142|169052|816994198222|020709111028|37|||01 :169023|66314||020709111616|94|||81 :66428|169049|816995722183|020709111024|21|||01 :169013|66380||020709111000|15|||81 :8006|169059|816997415346|020709111000||||01 :66255|169058|816995920722|020709111008|17|||01 :66447|169053|81690448994473|020709111032|23|||01 :169021|66433||020709111016|4|||81 :169029|66600||020709111012|3|||81 :8205|169055|81691300551111|020709111104|31|||01 :66231|169047|816995279422|020709111104|16|||01 :66232|169050|816998226601|020709111028|22|||01 :66477|169060|816985175904|020709111044|11|||01 :66761|66707||020709111108|2|||89 :66617|2||020709111112|3|||89 :66251|169058|816997045311|020709111108|2|||01 :66213|66762||020709111212|18|||89 :66150|169055|81690413079532|020709111112|3|||01 :66290|66804||020709111256|29|||89 :66142|169057|816997847298|020709111156|14|||01 :66644|169059|816998051111|020709111152|13|||01 :66301|169054|816995329900|020709111112|63|||01 :66150|169055|81690413079532|020709111204|1|||01 :64037|169058|816997237944|020709111204|1|||01 :169040|66791||020709111140|85|||81 :66231|169060|81690438553227|020709111136|9|||01 :169026|110058|81103|020709111132|53|||03 :66804|8612||020709111204|1|||89 :169004|110054|8110|020709111224|36|||03 :169020|8005||020709111220|20|||81 :169018|110058|81103|020709111200||||03 :169014|66150||020709111232|8|||81 :64037|169060|816997237944|020709111216|4|||01 :169003|2||020709111228|37|||82 :66341|66253||020709111228|7|||89 :66804|66611||020709111324|6|||89 :66218|66396||020709111856|89|||89 :66322|66336||020709112044|116|||89 :66314|66456||020709111304|1|||89 :66603|66314||020709111312|3|||89 :66161|66854||020709111340|10|||89 :169002|66368||020709111308|212|||81 :2|66611||020709111328|7|||89 :66322|169057|816998772533|020709111332|8|||01 :64071|66144||020709111512|18|||89 :169031|66762||020709111316|19|||81 :66193|66341||020709111452|13|||89 :66347|169051|816998889989|020709111348|57|||01 :66301|169059|81690407237397|020709111356|29|||01 :169033|110060|81105|020709111344|11|||03 :77281|66611||020709111432|8|||89 :66603|66456||020709111504|16|||89 :66707|169054|816995687590|020709111440|10|||01 :169039|66998||020709111412|18|||81 :66998|169055|816990765998|020709111412|18|||01 :169046|66619||020709111436|39|||81 :169016|64036||020709111428|7|||81 :169008|66270||020709111432|293|||81 :169043|66102||020709111524|6|||81 :66232|169060|816995787057|020709111500|45|||01 :66255|169057|816995712000|020709111524|6|||01 :77643|66341||020709111608|17|||89 :169010|66270||020709111532|8|||81 :66635|66854||020709111624|6|||89 :169017|66707||020709111612|3|||81 :66161|66183||020709111700|15|||89 :8165|66804||020709111856|44|||89 :66255|169060|81691300133414|020709111600||||01 :66661|2||020709111608|2|||89 :169024|8009||020709111624|6|||81 :66763|2||020709111708|2|||89 :66422|66335||020709111716|4|||89 :169030|66666||020709111632|8|||81 :66762|66611||020709111720|5|||89 :66183|66854||020709111724|6|||89 :66366|66800||020709111740|10|||89 :169005|66366||020709111640|40|||81 :66255|169060|816998352333|020709111748|12|||01 :8205|169059|816995832937|020709111732|38|||01 :64066|169055|816995635000|020709111712|18|||01 :169037|66150||020709111724|81|||81 :169011|110058|81101|020709111740|10|||03 :77643|66619||020709111800||||89 :66804|169058|81690433955710|020709111744|71|||01 :66661|66260||020709111904|16|||89 :66322|169057|816995872977|020709111800|30|||01 :66707|66611||020709111844|11|||89 :66329|169054|816997017308|020709111732|23|||01 :169006|66155||020709111756|29|||81 :66180|169049|816996457223|020709111748|12|||01 :169035|110060|81105|020709111740|55|||03 :66617|169053|81690409232351|020709111800|105|||01 :66255|169060|816995937200|020709111856|14|||01 :169028|66465||020709111812|3|||81 :169034|66762||020709111808|17|||81 :66325|64084||020709112156|44|||89 :66335|66341||020709111920|5|||89 :169045|110059|81105|020709111856|44|||03 :66248|169057|816986657615|020709111828|7|||01 :77792|77790||020709111904|1|||89 :169025|77792||020709111836|9|||81 :66661|66713||020709111920|5|||89 :169005|66800||020709112048|27|||81 :66617|66222||020709111908|2|||89 :169022|110058|8110|020709111900|15|||03 :66385|169050|816994214888|020709111852|28|||01 :66620|169058|81690405603818|020709111904|16|||01 :77065|66340||020709112008|17|||89 :64071|66289||020709112112|33|||89 :66267|169059|816992034900|020709111948|27|||01 :64066|169056|816998855708|020709111936|9|||01 :66396|66218||020709112112|18|||89 :66255|2||020709112008|2|||89 :66617|66361||020709112024|6|||89 :66660|66800||020709112144|26|||89 :66428|66136||020709112132|23|||89 :66362|169052|8169132461|020709111944|131|||01 :66754|66257||020709112136|24|||89 :66717|66854||020709112024|6|||89 :169029|66707||020709112008|2|||81 :169021|8007||020709112028|7|||81 :66620|66654||020709112056|14|||89 :66811|2||020709112116|4|||89 :169025|77790||020709112252|28|||81 :66255|169060|81690416457250|020709112048|12|||01 :66435|169059|816995329349|020709112048|12|||01 :169001|66342||020709112052|43|||81 :66737|169042|81690738411106|020709112056|419|||01 :66341|2||020709112112|3|||89 :66606|169056|81690405003395|020709112032|8|||01 :169019|110056|81105|020709112100|60|||03 :169012|66127||020709112052|103|||81 :169047|66227||020709112108|17|||81 :66896|169056|816995941414|020709112108|2|||01 :66166|66038||020709112104|1|||89 :66210|66166||020709112232|23|||89 :169026|2||020709112136|9|||82 :169004|66197||020709112140|10|||81 :66257|66800||020709112316|19|||89 :66887|169060|816993277609|020709112144|11|||01 :169020|66248||020709112132|8|||81 :66341|169059|81690402333540|020709112148|12|||01 :169007|66265||020709112152|43|||81 :66210|66038||020709112224|6|||89 :169040|66804||020709112128|22|||81 :169003|66237||020709112220|5|||81 :169013|66174||020709112212|33|||81 :169002|66260||020709112216|4|||81 :66435|66220||020709112228|7|||89 :66811|2||020709112220|5|||89 :66362|169054|816995210060|020709112220|20|||01 :169041|66652||020709112204|106|||81 :66204|8621||020709112352|28|||89 :169033|66287||020709112208|2|||81 :169009|110060|8110|020709112252|13|||03 :64028|169058|81691800007656|020709112228|37|||01 :169031|66465||020709112228|7|||81 :66451|169049|81690409889688|020709112308|2|||01 :169048|66270||020709112224|6|||81 :66255|169056|816985747100|020709112304|16|||01 :169027|66287||020709112244|11|||81 :66159|169054|816996520103|020709112324|6|||01 :169016|66465||020709112324|6|||81 :169036|66221||020709112300||||81 :66352|169056|816990761619|020709112312|3|||01 :66811|169060|81690392882211|020709112336|24|||01 :169024|66342||020709112412|3|||81 :169010|66225||020709112332|8|||81 :66379|169059|816996289911|020709112400|30|||01 :66791|66292||020709112412|3|||89 :8614|8616||020709112408|2|||89 :169030|77971||020709112424|6|||81 :169015|8004||020709112440|115|||81 :2|169047|816993994071|020709112356|14|||02 :169017|110060|81102|020709112448|12|||03 :66661|66611||020709112512|3|||89 :169038|66433||020709112456|14|||81 :66848|169059|816994963148|020709112520|5|||01 :64066|169055|81690419327952|020709112516|64|||01 :169006|66713||020709112512|3|||81 :169046|66287||020709112512|33|||81 :66422|66744||020709112528|7|||89 :66336|77648||020709112552|13|||89 :66363|77647||020709112632|23|||89 :169008|66261||020709112508|32|||81 :66352|169058|81690404023857|020709112508|17|||01 :66791|66391||020709112520|5|||89 :169030|8616||020709112556|14|||81 :66896|169052|816995941496|020709112556|59|||01 :169037|66012||020709112544|26|||81 :66652|66322||020709112704|16|||89 :66804|169060|81690433955710|020709112552|28|||01 :169045|66207||020709112612|3|||81 :66153|169059|816995570811|020709112556|14|||01 :169032|66141||020709112604|16|||81 :66848|169058|816990766046|020709112620|5|||01 :169005|66046||020709112620|5|||81 :66046|169055|816990765046|020709112620|5|||01 :66712|169048|816997031322|020709112612|18|||01 :77643|66619||020709112856|44|||89 :169042|66292||020709112608|2|||81 :66727|169056|816992440444|020709112652|28|||01 :66762|77089||020709112624|6|||89 :66255|169052|816985179517|020709112644|11|||01 :169043|66341||020709112616|49|||81 :77758|66611||020709112632|8|||89 :169039|110059|8110|020709112604|61|||03 :8612|169059|816997881276|020709112700||||01 :169011|77971||020709112656|29|||81 :66763|169051|81690399298666|020709112700|150|||01 :169003|66207||020709112712|3|||81 :64121|169054|81691800193783|020709112628|52|||01 :169020|66341||020709112728|7|||81 :169012|66223||020709112732|8|||81 :169007|64009||020709112732|8|||81 :66727|169056|81690433406031|020709112704|1||2025|01 :66357|2||020709112724|6|||89 :169025|66249||020709112708|17|||81 :169040|66703||020709112732|8|||81 :169035|66800||020709112732|38|||81 :66112|66611||020709112728|7|||89 :77065|2||020709112708|2|||89 :169003|66123||020709112848|12|||81 :66174|169050|816995570811|020709112720|80|||01 :66155|66811||020709113028|37|||89 :66255|169058|81691300133414|020709112804|16|||01 :66763|66800||020709112804|1|||89 :77065|66267||020709112816|4|||89 :66829|169055|816995283770|020709112752|13|||01 :169014|66707||020709112748|42|||81 :169020|66680||020709112924|21|||81 :66619|66631||020709112820|5|||89 :66660|66611||020709112944|11|||89 :169041|66487||020709112828|7|||81 :64085|169052|816985175903|020709112900|15|||01 :169009|110056|8110|020709112908|2|||03 :66804|169046|81690433955710|020709112852|43|||01 :66422|66744||020709113236|54|||89 :66619|77643||020709112936|9|||89 :169013|110060|81106|020709112900|30|||03 :66335|66210||020709112928|7|||89 :66234|169047|816995277249|020709112916|49|||01 :169018|66882||020709112852|118|||81 :66396|66631||020709112948|12|||89 :169033|110058|81100|020709112936|24|||03 :8613|169057|81691800304317|020709112936|129|||01 :169015|66253||020709113016|4|||81 :169016|66314||020709113012|18|||81 :169010|110060|8110|020709113008|2|||03 :169017|66600||020709113016|4|||81 :169028|66618||020709113008|77|||81 :66619|66611||020709113040|10|||89 :66702|169056|81690409525891|020709113048|42|||01 :8616|169046|816995570811|020709113000||||01 :169024|66744||020709113028|7|||81 :66606|66157||020709113756|104|||89 :66365|169058|816957742470|020709113048|27|||01 :66127|169045|81690402125971|020709113020|5|||01 :66800|66631||020709113144|11|||89 :64005|169055|816995096488|020709113112|33|||01 :66177|66854||020709113124|6|||89 :169034|66037||020709113108|2|||81 :66460|169057|816997848572|020709113132|8|||01 :66159|169047|816995420103|020709113216|34|||01 :66332|169056|81690409889688|020709113208|2|||01 :66342|66713||020709113248|12|||89 :169037|66607||020709113128|7|||81 :66422|169042|81690458327454|020709113132|23|||01 :169022|66666||020709113224|6|||81 :66166|169058|81690882961623|020709113144|11|||01 :8621|169049|816995368466|020709113148|132|||01 :66789|66854||020709113228|7|||89 :66665|66210||020709113248|12|||89 :8616|66192||020709113316|19|||89 :66652|66631||020709113256|14|||89 :64035|66314||020709113404|16|||89 :66178|66136||020709113320|5|||89 :169030|66102||020709113244|11|||81 :169027|110054|81108|020709113328|67|||03 :66432|66611||020709113316|4|||89 :169029|110059|81105|020709113332|8|||03 :66107|169052|816995300200|020709113316|64|||01 :77648|66341||020709113504|16|||89 :169006|66261||020709113340|55|||81 :169021|66249||020709113336|9|||81 :169001|66433||020709113404|1|||81 :169032|66391||020709113424|6|||81 :66631|66396||020709113416|4|||89 :169023|66153||020709113416|19|||81 :169026|66002||020709113432|8|||81 :169005|66010||020709113420|5|||81 :8165|66477||020709113424|6|||89 :169039|66804||020709113432|8|||81 :169008|110060|811000|020709113436|39|||03 :66618|66215||020709113800|45|||89 :66422|169058|81690404816308|020709113424|36|||01 :169019|66314||020709113500|15|||81 :66447|169060|816996658623|020709113436|129|||01 :66248|169048|816995719323|020709113444|101|||01 :169007|66249||020709113444|11|||81 :66396|64028||020709113540|10|||89 :66707|169059|81690402333540|020709113452|13|||01 :66157|64005||020709113656|29|||89 :169040|66938||020709113516|4|||81 :66938|169042|816990765938|020709113516|4|||01 :66422|66744||020709113516|4|||89 :169004|66189||020709113512|18|||81 :66257|169046|81691800007656|020709113544|11|||01 :66896|169051|816998948438|020709113524|111|||01 :169035|66923||020709113540|10|||81 :66923|169041|816990765923|020709113540|10|||01 :66255|2||020709113508|2|||89 :169018|110060|81101|020709113524|6|||03 :8616|169055|816996622355|020709113500|30|||01 :66275|169056|816988|020709113544|41|||01 :169025|66773||020709113508|17|||81 :169013|66465||020709113516|4|||81 :66692|169051|816994310242|020709113604|1|||01 :169038|66422||020709113516|4|||81 :169033|66413||020709113520|5|||81 :169016|77971||020709113604|1|||81 :64066|169054|816995929144|020709113628|127|||01 :8616|169056|816998715333|020709113628|7|||01 :169009|66666||020709113644|11|||81 :66174|169045|816995696998|020709113652|28|||01 :169031|77971||020709113608|17|||81 :66741|77147||020709113904|31|||89 :66332|169054|81690409889688|020709113704|1|||01 :66108|66267||020709113720|5|||89 :66398|169052|816985986611|020709113632|38|||01 :169015|66744||020709113656|14|||81 :169017|66804||020709113644|11|||81 :66620|66386||020709113720|5|||89 :66166|169049|816986324310|020709113720|5|||01 :66177|66854||020709113720|5|||89 :66178|66350||020709113740|10|||89 :8205|169047|816995832937|020709113720|35|||01 :66287|169057|816995704681|020709113720|65|||01 :8615|169055|816985856028|020709113724|21|||01 :66422|64107||020709114032|38|||89 :66342|169051|816995274355|020709113716|19|||01 :169036|66773||020709113748|12|||81 :66879|169057|81690408322297|020709113720|5|||01 :169014|66705||020709113748|12|||81 :169024|66220||020709113808|2|||81 :66428|169055|816995008280|020709113820|5|||01 :8619|169060|816995461124|020709113800|45|||01 :66804|66340||020709113832|8|||89 :169031|66314||020709113952|28|||81 :66352|169054|816997053245|020709113828|22|||01 :64014|169053|81690889227206|020709113852|253|||01 :66451|169053|81690409889688|020709113904|1|||01 :66606|169046|816997546583|020709113900|15|||01 :66717|66350||020709113924|6|||89 :66804|66342||020709113948|12|||89 :66204|8621||020709114132|38|||89 :169030|66856||020709113916|4|||81 :66347|169049|816994795972|020709113852|28|||01 :64066|169051|81690419327952|020709113924|21|||01 :169002|66255||020709113904|61|||81 :64084|2||020709114024|6|||89 :66215|169057|816987795601|020709113944|11|||01 :169011|66260||020709113928|22|||81 :64123|66741||020709114012|3|||89 :66255|2||020709114004|1|||89 :169012|66666||020709114016|4|||81 :66791|169052|816994811543|020709113948|42|||01 :169029|66209||020709114036|9|||81 :66261|169055|816994163001|020709114032|23|||01 :66866|169057|816996463551|020709114012|3|||01 :66800|169053|816995716441|020709114028|7|||01 :66192|66744||020709114128|22|||89 :66727|169050|81690433406032|020709114044|191||2025|01 :169001|66197||020709114040|10|||81 :8616|169056|81690411659032|020709114036|69|||01 :66029|66854||020709114116|4|||89 :64084|66603||020709114220|20|||89 :66422|66727||020709114100||||89 :8205|169056|816995282505|020709114108|2|||01 :169032|66610||020709114132|8|||81 :8612|169056|816990766314|020709114100||||01 :169006|77971||020709114124|21|||81 :64019|169047|816998182100|020709114144|56|||01 :66005|169054|816996589542|020709114136|39|||01 :66215|66618||020709114228|7|||89 :8617|169052|81690246332044|020709114136|9|||01 :66157|169059|81690418549937|020709114212|93|||01 :169037|66102||020709114204|46|||81 :169005|66604||020709114212|3|||81 :66251|169049|816986647202|020709114220|5|||01 :66176|169048|816995281222|020709114212|78|||01 :169010|66322||020709114216|94|||81 :169034|66255||020709114204|31|||81 :66221|2||020709114208|2|||89 :8618|169058|816997816725|020709114152|103|||01 :169003|66666||020709114248|12|||81 :169019|66287||020709114232|8|||81 :64114|169051|816996464007|020709114220|20|||01 :169039|66314||020709114308|17|||81 :66422|66342||020709114420|20|||89 :66789|169047|816995329349|020709114316|4|||01 :66253|66218||020709114336|9|||89 :66365|169057|816994163001|020709114320|35|||01 :8165|169049|816995256808|020709114336|9|||01 :169003|66703||020709114352|13|||81 :169040|66223||020709114308|2|||81 :66245|169048|816994907500|020709114300|15|||01 :66763|169052|81690409433859|020709114324|6|||01 :66183|169051|816995329349|020709114324|6|||01 :66763|2||020709114400||||89 :66675|169057|816995243484|020709114348|12|||01 :169042|66800||020709114340|10|||81 :169004|66165||020709114428|7|||81 :66322|66253||020709114436|9|||89 :66332|169057|81690409889688|020709114404|1|||01 :66215|169059|81690439861061|020709114404|31|||01 :66811|66664||020709114504|16|||89 :169035|110058|8110|020709114404|16|||03 :66606|169048|816996878240|020709114448|12|||01 :66618|66198||020709114612|33|||89 :66026|66890||020709114520|5|||89 :77649|66689||020709114536|9|||89 :8619|169060|816995755386|020709114500|90|||01 :66221|66660||020709114716|34|||89 :66035|169047|816993831644|020709114428|7|||01 :169012|77810||020709114948|72|||81 :169009|66726||020709114420|5|||81 :169008|66762||020709114420|35|||81 :77083|169060|816992773745|020709114504|1|||01 :66178|169052|816995783346|020709114532|23|||01 :169041|110057|81101|020709114540|25|||03 :169033|64036||020709114540|10|||81 :169028|110054|81100|020709114544|11|||03 :169036|66648||020709114532|8|||81 :169013|66314||020709114456|14|||81 :169020|66619||020709114504|31|||81 :169022|64036||020709114504|1|||81 :66342|169049|81691300888801|020709114508|32|||01 :66175|169046|816995420103|020709114540|10|||01 :66242|169056|81691223|020709114548|42|||01 :66664|66603||020709114604|1|||89 :169016|66261||020709114600|15|||81 :169045|66209||020709114528|7|||81 :169019|2||020709114916|49|||82 :169027|66631||020709114540|10|||81 :66176|66386||020709115012|63|||89 :66811|169060|81690404816336|020709114640|10|||01 :66661|66611||020709114616|4|||89 :66680|169050|8169132888|020709114612|63|||01 :66316|77790||020709114604|1|||89 :169011|66316||020709114628|7|||81 :66183|169046|816995329349|020709114620|5|||01 :66251|169053|816986647202|020709114632|68|||01 :169029|66712||020709114652|13|||81 :169030|66115||020709114700|15|||81 :169023|77971||020709114656|14|||81 :169024|2||020709114636|24|||82 :169015|77971||020709114636|39|||81 :8616|169042|81690418316172|020709114728|7|||01 :66887|169052|816995761113|020709114708|17|||01 :169001|66776||020709114752|13|||81 :8205|169048|816995847006|020709114740|40|||01 :169026|77434||020709114708|2|||81 :169014|66422||020709114748|42|||81 :169002|110059|8110|020709114756|29|||03 :169032|66269||020709114756|14|||81 :66804|169045|816995283289|020709114804|16|||01 :169018|66744||020709114800|60|||81 :77081|66611||020709114812|3|||89 :66606|169060|81690408072969|020709114752|13|||01 :66166|169053|816985882470|020709114816|4|||01 :169037|66342||020709114828|7|||81 :66239|169047|816996929400|020709114808|47|||01 :66713|169051|81691800244141|020709114820|65|||01 :66741|169054|816995782027|020709114752|88|||01 :66661|2||020709114816|4|||89 :66396|66631||020709114824|6|||89 :66158|169050|816995090539|020709114840|25|||01 :66177|66350||020709114920|5|||89 :64016|169049|81690417055364|020709114828|37|||01 :169010|66666||020709114856|14|||81 :169039|66025||020709114828|7|||81 :66693|2||020709114944|11|||89 :169006|110059|8110|020709114836|9|||03 :169016|66164||020709115220|50|||81 :64019|8015||020709115016|19|||89 :169021|66260||020709114920|50|||81 :64035|169052|816998352333|020709114948|12|||01 :66661|2||020709115008|2|||89 :169011|77790||020709115304|46|||81 :169005|2||020709115004|31|||82 :169004|66341||020709114920|5|||81 :169007|66763||020709114940|85|||81 :8619|169060|816995461124|020709114928|22|||01 :169025|66314||020709114944|86|||81 :66456|169041|816996658127|020709114952|43|||01 :66763|2||020709115008|2|||89 :169038|110058|81103|020709115024|6|||03 :66804|169053|816995797032|020709115000|30|||01 :64031|169049|81691800888333|020709115008|17|||01 :64101|169047|81690414857188|020709115024|6||4144|01 :169034|66800||020709115024|36|||81 :66237|169048|816995690688|020709115008|17|||01 :66142|169058|816959714121|020709115028|112|||01 :66316|77790||020709115004|1|||89 :169035|66316||020709115024|6|||81 :169040|66422||020709115052|28|||81 :8616|66791||020709115212|18|||89 :169031|66762||020709115020|80|||81 :66896|66222||020709115620|80|||89 :169012|66246||020709115028|7|||81 :66804|77810||020709115108|2|||89 :66274|169053|816995271685|020709115028|7|||01 :77170|169043|8169132221|020709115052|313|||01 :66443|64028||020709115140|10|||89 :169036|66773||020709115036|9|||81 :8205|169051|816995095958|020709115112|33|||01 :169009|66744||020709115132|8|||81 :8619|169060|816995937126|020709115056|14|||01 :169003|66166||020709115136|39|||81 :64019|169058|816995874420|020709115116|4|||01 :8618|169057|81690438726876|020709115116|94|||01 :66811|66352||020709115112|3|||89 :66342|66422||020709115304|16|||89 :66661|66267||020709115408|32|||89 :66822|169050|81690422725194|020709115144|41|||01 :169013|110057|8110|020709115140|10|||03 :66763|169046|81690409433859|020709115140|25|||01 :169028|110058|81101|020709115132|23|||03 :66314|66199||020709115204|1|||89 :169020|66314||020709115124|6|||81 :66791|169057|81690437267303|020709115224|6|||01 :66811|66253||020709115232|8|||89 :66804|169048|816997496776|020709115204|1|||01 :169017|66834||020709115240|40|||81 :66290|66251||020709115332|8|||89 :66324|64028||020709115348|12|||89 :169033|66713||020709115244|41|||81 :66142|169053|81690450049463|020709115240|25|||01 :8619|169057|816995937126|020709115232|8|||01 :77069|2||020709115316|4|||89 :66804|169046|816995281132|020709115324|6|||01 :66741|66713||020709115328|7|||89 :66255|77190||020709115312|3|||89 :66391|169048|81691223|020709115400|15|||01 :66332|169057|81690409889688|020709115404|1|||01 :66610|169043|81690412538855|020709115336|9|||01 :66447|169055|816987813409|020709115412|198|||01 :169020|66199||020709115556|29|||81 :169010|77810||020709115900|75|||81 :169024|66012||020709115424|6|||81 :169030|110058|81105|020709115352|13|||03 :169008|66366||020709115400|15|||81 :77758|66611||020709115432|8|||89 :169024|66123||020709115528|7|||81 :8618|169047|816997816725|020709115412|33|||01 :169029|110056|8110|020709115420|20|||03 :169035|77790||020709115912|63|||81 :66255|66174||020709115612|18|||89 :66391|169057|816997028388|020709115504|16|||01 :8619|169048|816995183555|020709115512|18|||01 :169023|66245||020709115428|22|||81 :66332|169040|81690409889688|020709115504|1|||01 :66391|2||020709115512|3|||89 :77083|169047|816992773745|020709115528|7|||01 :8616|169049|816995475995|020709115504|46|||01 :169015|66290||020709115520|20|||81 :66326|169060|816995780888|020709115548|57|||01 :66899|169046|81690419520834|020709115504|16|||01 :169022|66834||020709115528|52|||81 :169002|2||020709115508|2|||82 :64031|169042|816998281262|020709115532|38|||01 :66142|169058|81690450049463|020709115600|60|||01 :169001|66314||020709115540|25|||81 :66239|169057|81690265815711|020709115536|9|||01 :169032|66776||020709115516|4|||81 :8006|169060|816997415828|020709115604|1|||01 :66278|169056|816992|020709115552|148|||01 :66848|169040|816994823820|020709115540|10|||01 :66332|169058|81690409889688|020709115604|1|||01 :169026|66063||020709115528|22|||81 :66063|169043|816990765063|020709115528|22|||01 :66267|66694||020709115952|58|||89 :66324|66386||020709115856|44|||89 :169019|66834||020709115548|57|||81 :66791|169045|81690401498621|020709115604|46|||01 :169044|64047||020709115632|563|||81 :66034|2||020709115608|2|||89 :66336|169051|81691300888801|020709115556|74|||01 :66314|64085||020709115604|1|||89 :169016|66314||020709115620|5|||81 :66606|169052|81690433667685|020709115608|92|||01 :77170|169041|81691300658672|020709115608|17|||01 :169006|110059|81100|020709115628|7|||03 :169037|66287||020709115636|9|||81 :8619|169048|816995620414|020709115636|24|||01 :66314|66037||020709115704|1|||89 :169011|66314||020709115716|4|||81 :169007|66135||020709115724|6|||81 :66727|169049|81690433406032|020709115740|25||2025|01 :169034|66666||020709115708|2|||81 :66848|169052|816998281280|020709115728|7|||01 :169025|66600||020709115704|1|||81 :8615|169051|81691300464663|020709115756|14|||01 :8619|169047|816992392580|020709115728|7|||01 :66384|169053|816996463597|020709115752|58|||01 :66618|169045|816986778808|020709115732|8|||01 :64019|169052|816995251300|020709115716|4|||01 :64031|2||020709115832|8|||89 :66166|169053|816985882470|020709115808|2|||01 :66785|169060|816995109447|020709115736|24|||01 :64083|169055|816995570512|020709115756|59|||01 :66034|169057|81690399298666|020709115756|29|||01 :169005|66341||020709115824|21|||81 :66422|66744||020709115812|3|||89 :77170|169048|81691300658672|020709115812|18|||01 :66618|169052|816995550351|020709115828|7|||01 :64031|2||020709115812|3|||89 :66183|66350||020709115932|8|||89 :66848|169060|816998281280|020709115820|5|||01 :169012|66660||020709115848|12|||81 :66382|169046|816995286708|020709115848|27|||01 :66406|169055|81690430177355|020709115912|3|||01 :66791|66325||020709115928|7|||89 :66606|66727||020709115924|6|||89 :66324|66744||020709115936|9|||89 :66391|169038|81690422721595|020709115900|60|||01 :66005|169060|816997761344|020709115912|3|||01 :66896|169044|816995941496|020709115940|40|||01 :66820|169055|816997021837|020709115932|8|||01