:169026|77072||020709160812|498|||81 :169038|66456||020709160648|207|||81 :66241|77660||020709160928|187|||89 :169011|77065||020709160124|51|||81 :66428|66177||020709160116|19|||89 :169034|66314||020709160004|31|||81 :66713|169042|81691300888801|020709160004|1|||01 :64035|169047|816996676444|020709160016|34|||01 :169016|77971||020709160008|2|||81 :66192|66422||020709160156|29|||89 :66136|66413||020709160044|11|||89 :169006|110059|81105|020709160012|18|||03 :66848|2||020709160000||||89 :66265|169041|816999551384|020709160020|5|||01 :64084|169044|816995725882|020709160056|14|||01 :169009|66340||020709160028|22|||81 :66107|169055|816995098563|020709160112|33|||01 :66232|169051|81690413725025|020709160112|18|||01 :64045|169053|816995349924|020709160056|524|||01 :77083|169040|816992773745|020709160144|11|||01 :64003|169039|81690409146390|020709160104|76|||01 :66848|2||020709160100||||89 :169005|66800||020709160136|9|||81 :66406|169058|81691300123123|020709160108|287|||01 :66265|169041|816999551384|020709160120|5|||01 :66115|169047|816998666649|020709160132|23|||01 :66158|169054|816998190030|020709160136|84|||01 :66845|169040|816998119026|020709160212|3|||01 :66713|169052|81691300888801|020709160140|25|||01 :66650|2||020709160216|4|||89 :66497|66422||020709160308|17|||89 :64115|169055|816995924004|020709160148|12|||01 :169002|66012||020709160200||||81 :66804|169044|816995636322|020709160156|14|||01 :169020|169053|816995962853|020709160136|9|||03 :66037|169057|81690488150192|020709160148|42|||01 :66159|169047|816952784313|020709160204|1|||01 :66007|169050|816992476491|020709160204|46|||01 :66763|169055|816998228805|020709160212|3|||01 :169031|110059|8110|020709160252|13|||03 :8619|169051|816997759351|020709160228|22|||01 :66481|66226||020709160632|53|||89 :66650|169054|81690424157227|020709160300|15|||01 :169032|66932||020709160216|4|||81 :66932|169057|816990765932|020709160216|4|||01 :64003|169058|81690402846774|020709160300|15|||01 :64035|169052|81690408520635|020709160232|8|||01 :169029|110060|81105|020709160244|86|||03 :66143|169058|816997813144|020709160320|5|||01 :169003|66034||020709160256|119|||81 :66159|169054|816997951757|020709160312|3|||01 :66210|66395||020709160524|21|||89 :8017|2||020709160412|3|||89 :66166|169060|81690887534137|020709160340|370|||01 :66428|169042|816995098973|020709160336|54|||01 :66137|66251||020709160432|8|||89 :8017|169054|81690417331868|020709160424|6|||01 :66273|169038|81690458327454|020709160416|49|||01 :66277|66800||020709160512|18|||89 :169014|66341||020709160436|9|||81 :77083|169058|816992773745|020709160500|15|||01 :169015|66366||020709160420|5|||81 :66141|169045|816992123016|020709160456|119|||01 :169010|66270||020709160440|10|||81 :66150|169059|81690415496866|020709160440|85|||01 :169004|66434||020709160504|1|||81 :169008|66404||020709160504|1|||81 :66115|169060|816996991938|020709160504|16|||01 :66379|66301||020709160512|3|||89 :169011|66938||020709160520|5|||81 :66938|169059|816990765938|020709160520|5|||01 :66350|66183||020709160528|7|||89 :64028|169048|816995284245|020709160604|91|||01 :169035|66275||020709160616|4|||81 :66242|169046|816993168800|020709160620|95|||01 :66379|169051|81690404816308|020709160648|12|||01 :66860|169055|816998222069|020709160620|50|||01 :66822|169060|816997692820|020709160700|15|||01 :66150|169050|816995275974|020709160616|4|||01 :169007|66640||020709160644|536|||81 :66166|66670||020709160720|5|||89 :169027|66046||020709160628|7|||81 :66046|169042|816990765046|020709160628|7|||01 :169024|66002||020709160728|7|||81 :64066|169043|81690400231907|020709160716|289|||01 :66811|169052|816995625389|020709160732|53|||01 :169021|66012||020709160736|9|||81 :64038|169057|816997847732|020709160740|55|||01 :66386|66380||020709162108|212|||89 :66269|169055|816997762920|020709160740|10|||01 :66428|66136||020709160840|25|||89 :66838|66439||020709160736|9|||89 :169028|66762||020709160708|107|||81 :66150|169055|816995722361|020709160704|1|||01 :66789|66350||020709160816|4|||89 :169025|66635||020709160736|9|||81 :66142|169060|816995712555|020709160740|10|||01 :64077|66102||020709160812|3|||89 :64032|66617||020709160832|8|||89 :66005|169045|816996905711|020709160816|34|||01 :169001|66776||020709160748|12|||81 :66348|169049|816996453307|020709160844|131|||01 :66263|169059|81690438598831|020709160836|39|||01 :66425|169056|81690411469468|020709160756|134|||01 :169018|66938||020709160824|36|||81 :66938|169044|816990765938|020709160824|36|||01 :64032|169060|816996059500|020709160816|4|||01 :66121|66002||020709160936|9|||89 :66830|169054|81690416214858|020709160812|63|||01 :66248|169057|816995701073|020709160900|15|||01 :66183|169046|816995838647|020709160912|33|||01 :66159|169047|816997162393|020709160908|47|||01 :66289|66341||020709161044|26|||89 :66675|169052|816995243484|020709160848|12|||01 :169036|66366||020709160904|1|||81 :169034|66433||020709160936|9|||81 :64077|66102||020709161140|25|||89 :66741|66314||020709161112|18|||89 :169026|110055|81101|020709161012|3|||03 :169017|110058|811000|020709160940|70|||03 :64062|169041|81690448876007|020709161012|123|||01 :169009|66619||020709161024|6|||81 :169005|66428||020709161024|6|||81 :169019|110056|8110|020709161024|6|||03 :66654|169055|816995610156|020709161044|41|||01 :66159|169046|816995984867|020709161040|10|||01 :66415|169045|81690423374478|020709161036|9|||01 :169037|66603||020709161040|10|||81 :169031|66150||020709161132|8|||81 :169006|110060|81105|020709161100|30|||03 :66654|169046|816995472716|020709161128|7|||01 :66447|64047||020709161536|69|||89 :66611|66661||020709161344|41|||89 :66642|169043|81690414949408|020709161136|9|||01 :66219|169056|816992152400|020709161124|36|||01 :66713|169045|81690403861261|020709161128|7|||01 :66635|169042|816995329349|020709161120|5|||01 :8621|169048|816995285550|020709161124|36|||01 :66379|169041|81690412654020|020709161136|9|||01 :64003|169039|816998775522|020709161216|79|||01 :169002|66314||020709161224|21|||81 :66034|2||020709161208|2|||89 :169030|64019||020709161208|302|||81 :66659|169035|816995966922|020709161224|6|||01 :66854|169038|816995214494|020709161200|15|||01 :66725|66603||020709161220|5|||89 :66380|169057|816993948293|020709161232|53|||01 :66158|169043|81690418330888|020709161208|2|||01 :66140|169045|81690400556659|020709161204|1|||01 :66398|169036|816992096384|020709161256|14|||01 :66611|66705||020709161220|5|||89 :66689|169047|81690439568196|020709161256|44|||01 :64066|169046|816998247566|020709161244|11|||01 :66232|169058|816995793838|020709161300|105|||01 :66221|169048|81690413584002|020709161216|4|||01 :169022|66606||020709161308|317|||81 :66497|169055|816992651000|020709161304|31|||01 :66326|2||020709161320|5|||89 :66242|169059|81690408822048|020709161316|49|||01 :169024|110058|81105|020709161336|9|||03 :169032|66261||020709161304|31|||81 :66845|169053|816998119026|020709161332|143|||01 :64036|169049|816998119021|020709161252|73|||01 :169027|66153||020709161356|14|||81 :66210|169045|816995782027|020709161320|5|||01 :169008|66428||020709161312|18|||81 :66611|66341||020709161448|12|||89 :66314|66455||020709161412|3|||89 :169007|66314||020709161316|19|||81 :169028|110057|81101|020709161332|8|||03 :169013|8211||020709161332|38|||81 :169021|66336||020709161400|15|||81 :66221|169055|816998852909|020709161356|14|||01 :169004|77792||020709161400|30|||81 :169020|66034||020709161412|33|||81 :64123|169059|816995710098|020709161416|19|||01 :66804|77190||020709161516|4|||89 :66379|169043|816995788576|020709161524|6|||01 :66189|169056|81690411266790|020709161520|50|||01 :64084|169040|816995896806|020709161452|193|||01 :169010|110060|8110|020709161504|46|||03 :8615|169057|816988054100|020709161520|35|||01 :64036|169045|816995496365|020709161524|6|||01 :169023|110056|8110|020709161528|52|||03 :66727|169052|816995603104|020709161452|88|||01 :66661|66341||020709161620|20|||89 :169026|66938||020709161532|8|||81 :66938|169059|816990765938|020709161532|8|||01 :8615|169057|816998138180|020709161512|3|||01 :169025|77971||020709161512|33|||81 :66326|169048|81690403789273|020709161544|41|||01 :64005|66800||020709161640|10|||89 :66183|169039|816996969025|020709161620|20|||01 :169016|66314||020709161628|22|||81 :66342|66741||020709162220|80|||89 :77149|169048|8169132221|020709161720|5|||01 :66379|169056|81690403549896|020709161628|7|||01 :8615|169057|816998138180|020709161708|17|||01 :66830|169044|816995716443|020709161644|101|||01 :66713|66660||020709161820|20|||89 :169017|8046||020709161712|33|||81 :66845|169041|81690427807146|020709161720|5|||01 :66232|169045|816995793838|020709161804|16|||01 :169005|66179||020709161752|13|||81 :64036|169043|81690425832910|020709161800|15|||01 :64071|66619||020709161900|15|||89 :66126|169040|816998903882|020709161728|7|||01 :66237|169037|816995574393|020709161820|95|||01 :169006|66012||020709161808|2|||81 :169009|64037||020709161824|21|||81 :8615|169056|81690417348332|020709161744|11|||01 :66712|169055|81690431442682|020709161736|54|||01 :66845|169045|816963487222|020709161808|2|||01 :66707|169053|81690401681335|020709161816|64|||01 :169002|66183||020709161816|4|||81 :169015|105012|81057|020709161812|3|||03 :66253|2||020709161916|4|||89 :66860|169057|8169131450|020709161816|19|||01 :169021|66336||020709162336|69|||81 :66322|169053|816995634338|020709161812|3|||01 :66113|169054|816995953330|020709161828|142|||01 :66702|169038|81690417372191|020709161908|17|||01 :66389|66350||020709162100|30|||89 :169031|66290||020709161924|21|||81 :66707|66804||020709161900||||89 :66848|169041|816998138432|020709161920|5|||01 :66253|169043|81690418574805|020709161952|13|||01 :77083|169046|816992773745|020709161944|86|||01 :169018|66703||020709161940|85|||81 :169035|66603||020709162016|19|||81 :8619|169045|816990766603|020709162016|19|||01 :66398|169058|81690401984380|020709162016|109|||01 :66476|169036|81690403691143|020709162032|38|||01 :77083|169046|816992773745|020709162044|11|||01 :169003|66342||020709162044|41|||81 :169011|2||020709162104|1|||82 :66162|169043|816994162289|020709162040|10|||01 :66670|169057|816995272060|020709162100|30|||01 :77072|2||020709162100||||89 :169030|66153||020709162132|38|||81 :66737|169051|81690738411106|020709162124|216|||01 :169028|66143||020709162116|4|||81 :66341|66619||020709162140|10|||89 :66611|66661||020709162144|11|||89 :64066|169040|816998229822|020709162108|32|||01 :66341|66661||020709162212|3|||89 :8615|169058|816995316966|020709162128|7|||01 :64038|169054|816993892074|020709162152|43|||01 :66136|66413||020709162248|12|||89 :169024|66261||020709162204|31|||81 :169033|110059|8110|020709162128|202|||03 :66423|66335||020709162840|100|||89 :169032|66253||020709162252|28|||81 :64014|169058|816997032900|020709162300|15|||01 :169010|66789||020709162324|6|||81 :169026|66322||020709162316|4|||81 :66619|66342||020709162416|19|||89 :66811|169043|816995625389|020709162320|5|||01 :66158|169047|81690418330888|020709162332|158|||01 :64013|169059|816990762000|020709162332|113|||01 :169022|77971||020709162356|59|||81 :169007|66455||020709163348|147|||81 :66741|66396||020709162424|6|||89 :169008|66762||020709162324|36|||81 :66156|2||020709162408|2|||89 :66811|169041|81690413044229|020709162404|1|||01 :66183|169051|816990765013|020709162324|6|||01 :64115|169053|816995680686|020709162344|71|||01 :66654|169045|816995472716|020709162400|15|||01 :66150|169050|816995714225|020709162332|233|||01 :169017|66275||020709162428|7|||81 :8611|169043|81690438252015|020709162444|11|||01 :169006|66749||020709163144|101|||81 :66451|169058|81690409889688|020709162504|1|||01 :64035|2||020709162508|2|||89 :169037|66404||020709162504|1|||81 :64013|169059|81690409776636|020709162520|5|||01 :169001|66707||020709162452|58|||81 :169013|66156||020709162520|20|||81 :64115|169058|816995924004|020709162504|1|||01 :66232|169055|816995699198|020709162556|104|||01 :66451|169059|81690409889688|020709162504|1|||01 :66884|66222||020709162716|19|||89 :169016|64035||020709162532|8|||81 :77055|66620||020709162700|15|||89 :66664|66395||020709163644|161|||89 :66675|66002||020709162640|10|||89 :8621|169054|816990117300|020709162608|62|||01 :66661|66800||020709162656|14|||89 :169015|66012||020709162608|2|||81 :169009|66938||020709162640|10|||81 :66938|169059|816990765938|020709162640|10|||01 :169038|66314||020709162620|5|||81 :66763|169057|816998228805|020709162620|80|||01 :169002|66341||020709162648|12|||81 :169021|110055|81108|020709162636|9|||03 :66448|169053|81690407687031|020709162640|25|||01 :169015|66123||020709162748|12|||81 :66800|66661||020709162840|10|||89 :77083|169059|816992773745|020709162756|14|||01 :66198|169054|816998877161|020709162808|2|||01 :169039|110059|81104|020709162812|3|||03 :169014|66744||020709162744|11|||81 :66198|169059|816998877161|020709162808|2|||01 :66804|169055|816998840143|020709162740|10|||01 :66159|169042|816995981150|020709162748|237|||01 :66398|169046|816996864900|020709162824|111|||01 :66225|2||020709162800||||89 :66290|66251||020709162844|11|||89 :66727|169056|816997533052|020709162800|150|||01 :169036|110055|8110|020709162804|1|||03 :8614|169055|81690297280290|020709162900||||01 :169012|77971||020709162824|186|||81 :169034|66269||020709162856|209|||81 :8017|169048|816995688009|020709162932|173|||01 :66221|169057|816998194858|020709162932|23|||01 :169011|66494||020709162912|3|||81 :169019|66224||020709162948|87|||81 :169011|66477||020709163012|3|||81 :169003|66314||020709162948|12|||81 :169035|77971||020709162940|25|||81 :66428|66002||020709163020|5|||89 :66642|169059|816995962006|020709163016|4|||01 :169040|66346||020709163040|10|||81 :66664|169050|81691800555079|020709162952|13|||01 :66183|169053|816990765013|020709163028|22|||01 :66140|169049|81690400556659|020709163024|246|||01 :66620|169048|816998575836|020709163104|16|||01 :66631|169051|8169132227|020709163028|22|||01 :169030|66314||020709163048|12|||81 :66867|169050|816996350011|020709163100||||01 :66830|169044|816995523521|020709163036|204|||01 :169010|110059|8110|020709163104|1|||03 :66707|66804||020709163212|18|||89 :169020|66197||020709163140|10|||81 :66205|169053|816993627899|020709163148|12|||01 :66178|66115||020709163224|6|||89 :169032|66063||020709163116|19|||81 :66063|169059|816990765063|020709163116|19|||01 :66737|169056|81691300799378|020709163140|40|||01 :169024|66440||020709163136|9|||81 :66221|169057|81690403172910|020709163200|30|||01 :169033|66800||020709163148|12|||81 :66342|77074||020709163204|1|||89 :169028|66292||020709163220|35|||81 :169005|110057|8110|020709163156|119|||03 :169025|66012||020709163224|6|||81 :66102|169059|816995153723|020709163200||||01 :66255|2||020709163316|4|||89 :66422|2||020709163308|2|||89 :66225|2||020709163304|1|||89 :66246|169050|816997426700|020709163252|28|||01 :66192|169057|81691800304317|020709163312|18|||01 :169018|110056|81109|020709163344|86|||03 :66791|169060|816993981579|020709163352|373|||01 :66737|169059|816993322533|020709163348|12|||01 :66178|66350||020709163416|4|||89 :8614|66449||020709163408|2|||89 :169047|77971||020709163408|32|||81 :66422|2||020709163420|5|||89 :66150|169057|816995577383|020709163416|4|||01 :64035|169058|81690408520635|020709163428|112|||01 :66342|77073||020709163404|1|||89 :169041|66342||020709163420|5|||81 :169023|66433||020709163416|4|||81 :66183|169049|816990188162|020709163420|35|||01 :169001|66102||020709163408|2|||81 :169022|66465||020709163424|21|||81 :66002|169060|816911|020709163436|9|||01 :169037|66744||020709163408|2|||81 :66611|66661||020709163408|2|||89 :66102|169056|816995838784|020709163448|27|||01 :66177|66350||020709163516|4|||89 :169017|110057|81100|020709163440|10|||03 :169027|110058|8110|020709163444|221|||03 :169013|66046||020709163448|12|||81 :66046|169058|816990765046|020709163448|12|||01 :64014|169059|816995712244|020709163512|18|||01 :66195|169050|816995575721|020709163504|31|||01 :64066|169045|816995243373|020709163600|30|||01 :64073|169057|816998054275|020709163604|1|||01 :169025|2||020709163916|49|||82 :169016|66115||020709163552|13|||81 :66867|169051|81691300735363|020709163548|72|||01 :66871|169060|81690433791479|020709163544|11|||01 :2|64028||020709163804|31|||89 :66717|169055|816995329349|020709163616|4|||01 :169029|66346||020709163636|9|||81 :169008|66314||020709163640|40|||81 :66350|169045|8169430|020709163616|4|||01 :64073|169051|816998054275|020709163616|4|||01 :169007|66776||020709163624|51|||81 :169015|66851||020709163628|7|||81 :66831|169057|816998594104|020709163636|9|||01 :64014|169056|816995687190|020709163700|15|||01 :169003|66207||020709163720|5|||81 :169041|77073||020709163944|41|||81 :169030|66600||020709163708|2|||81 :66845|169053|81690419155866|020709163700|75|||01 :169020|66012||020709163708|2|||81 :66102|169058|816995153723|020709163744|26|||01 :169047|66449||020709164028|52|||81 :169003|66123||020709163728|7|||81 :169007|66477||020709163800|15|||81 :66195|169051|81690422436361|020709163728|7|||01 :66412|169057|816982563200|020709163804|16|||01 :66245|66611||020709163856|14|||89 :169010|66336||020709163740|10|||81 :66422|2||020709163820|5|||89 :64035|169050|816985747100|020709163756|29|||01 :66140|169059|816998416249|020709163740|40|||01 :169039|66393||020709163756|14|||81 :66362|66661||020709163816|4|||89 :169020|66123||020709163856|14|||81 :169042|66341||020709163836|9|||81 :66255|169046|81690357969222|020709163816|79|||01 :169023|66776||020709163832|8|||81 :66140|169056|816995701893|020709163840|25|||01 :66422|169057|81690431677507|020709163824|6|||01 :66012|66381||020709163900||||89 :169014|66012||020709163916|4|||81 :169024|66613||020709163912|18|||81 :169019|66380||020709163856|29|||81 :169032|66253||020709163820|20|||81 :66253|66332||020709163904|1|||89 :66263|169054|81690417052356|020709163904|166|||01 :66105|169051|816995124646|020709163944|11|||01 :169023|66123||020709163956|14|||81 :66613|2||020709163908|2|||89 :64123|66210||020709164012|3|||89 :66038|169059|81690408578171|020709163940|10|||01 :66386|66256||020709164012|3|||89 :169037|110060|81101|020709163912|18|||03 :66631|66010||020709164112|18|||89 :64076|2||020709164008|2|||89 :169038|66447||020709163932|68|||81 :169014|66381||020709164108|17|||81 :66613|77270||020709164028|7|||89 :169012|66161||020709164008|32|||81 :64027|169059|816995109189|020709164004|1|||01 :64073|169058|816996909144|020709163948|42|||01 :66253|66423||020709164104|16|||89 :169043|66528||020709164044|41|||81 :66528|169055|816990765528|020709164044|41|||01 :169028|77074||020709164928|127|||81 :8165|169052|816995256808|020709164036|354|||01 :169016|66014||020709164112|3|||81 :66150|169060|816995961989|020709164056|74|||01 :169025|66314||020709164048|12|||81 :169036|66605||020709164108|2|||81 :66605|169060|81690450245563|020709164108|2|||01 :169013|66290||020709164200|45|||81 :169029|66046||020709164148|12|||81 :66046|169054|816990765046|020709164148|12|||01 :66835|169051|816995574149|020709164204|1|||01 :66434|66265||020709164216|4|||89 :66314|66442||020709164204|1|||89 :169035|66314||020709164216|4|||81 :169045|66221||020709164228|7|||81 :66789|169060|816996676410|020709164148|12|||01 :169021|66660||020709164236|39|||81 :8615|169057|816997906404|020709164220|50|||01 :66845|66619||020709164648|57|||89 :169040|66666||020709164312|3|||81 :169044|66093||020709164232|8|||81 :66093|169054|816990765093|020709164232|8|||01 :66166|169059|81691300654666|020709164228|37|||01 :66358|169052|81690402476225|020709164308|17|||01 :169016|66314||020709164504|31|||81 :66428|169060|816995106925|020709164328|7|||01 :169008|66741||020709164340|10|||81 :64071|66341||020709164436|9|||89 :169030|66800||020709164348|12|||81 :169040|66123||020709164500|15|||81 :169027|66270||020709164332|8|||81 :169015|66366||020709164416|4|||81 :66680|66251||020709164556|29|||89 :66772|169056|816998244324|020709164444|71|||01 :169034|66722||020709164412|3|||81 :66314|66373||020709164504|1|||89 :169026|66314||020709164420|5|||81 :169047|110060|8110|020709164416|4|||03 :66707|169053|816993266822|020709164436|99|||01 :169018|64076||020709164456|74|||81 :169011|66800||020709164436|24|||81 :169017|66619||020709164444|26|||81 :169003|66029||020709164532|8|||81 :169006|66465||020709164516|4|||81 :66178|66350||020709164620|5|||89 :66425|66657||020709164708|17|||89 :66245|66253||020709164736|24|||89 :169022|66433||020709164616|4|||81 :77660|169052|816995057222|020709164604|1|||01 :169039|66938||020709164628|7|||81 :66938|169053|816990765938|020709164628|7|||01 :66606|169051|816995570261|020709164624|6|||01 :64027|169049|816995319811|020709164620|5|||01 :169024|66322||020709164636|9|||81 :64108|2||020709164704|1|||89 :169001|77971||020709164716|34|||81 :64036|169051|816998402446|020709164724|6|||01 :169020|66366||020709164732|8|||81 :66443|169052|816994291811|020709164744|11|||01 :66867|66718||020709164900|15|||89 :77190|66862||020709164832|8|||89 :8619|169060|816997985893|020709164800|60|||01 :169032|66938||020709164828|7|||81 :66938|169051|816990765938|020709164828|7|||01 :169041|77792||020709164852|88|||81 :66130|169044|816998138432|020709164836|9|||01 :64036|169043|81690401685574|020709164828|7|||01 :66772|169053|81690417980000|020709164844|26|||01 :66800|169045|816997832002|020709164848|12|||01 :66195|169051|816999261173|020709164812|3|||01 :64044|169060|816994282104|020709164828|7|||01 :66159|169048|816995984401|020709164856|224|||01 :169033|66336||020709164840|40|||81 :66713|77147||020709165028|22|||89 :66118|169041|81690409958458|020709164932|8|||01 :66789|169051|81691300787510|020709164928|7|||01 :66115|169055|816995109189|020709164912|123|||01 :169009|110059|81109|020709164856|14|||03 :169014|110058|8110|020709164912|3|||03 :66857|169050|816995090067|020709164920|50|||01 :66851|169059|81690425737763|020709164916|94|||01 :169012|77971||020709165008|2|||81 :66455|169056|81690883795888|020709165000|75|||01 :66314|66456||020709165024|6|||89 :169023|66314||020709164924|21|||81 :66342|66727||020709165008|2|||89 :66713|66342||020709165028|7|||89 :169025|66722||020709165008|2|||81 :64044|169043|81690409008962|020709165028|22|||01 :77081|2||020709165108|2|||89 :169038|66270||020709165112|3|||81 :66115|169059|816995690279|020709165112|18|||01 :169013|77971||020709165116|4|||81 :169046|2||020709165112|63|||82 :169045|66123||020709165340|40|||81 :66428|169052|816995106925|020709165148|42|||01 :66263|169051|81690417052356|020709165148|12|||01 :169019|77081||020709165140|10|||81 :169036|66126||020709165120|20|||81 :66105|169057|816995687751|020709165216|109|||01 :77810|169055|816995964565|020709165216|34|||01 :66406|169059|81690423389763|020709165224|6|||01 :64036|169053|816954824536|020709165220|50|||01 :66650|2||020709165312|3|||89 :64108|8007||020709165832|83|||89 :66263|169055|816994199386|020709165304|1|||01 :66105|169059|816998223343|020709165224|6|||01 :169021|66666||020709165312|18|||81 :169027|66231||020709165308|2|||81 :66451|169059|81690409889688|020709165304|1|||01 :169034|77971||020709165308|2|||81 :169030|66342||020709165336|9|||81 :66829|169047|816995715293|020709165328|82|||01 :169015|66660||020709165332|8|||81 :169018|66037||020709165328|7|||81 :8619|169057|816997985893|020709165352|28|||01 :64035|169048|816995094695|020709165412|48|||01 :66848|169046|816998109399|020709165416|4|||01 :64022|169052|81690419620073|020709165408|32|||01 :77040|2||020709165428|7|||89 :66336|169059|816990766102|020709165448|12|||01 :169007|66102||020709165448|12|||81 :66221|169050|816995924004|020709165452|58|||01 :66150|169047|816995275974|020709165504|1|||01 :77072|169054|816995580077|020709165500|135|||01 :66713|66727||020709165932|68|||89 :64114|169053|816990766183|020709165436|9|||01 :64027|169059|816995319811|020709165520|5|||01 :169005|66183||020709165436|9|||81 :66137|66386||020709165624|21|||89 :66105|169057|816995252193|020709165540|10|||01 :169006|66619||020709165456|14|||81 :66166|66038||020709165504|1|||89 :169022|66166||020709165524|6|||81 :66356|169056|816954436250|020709165524|81|||01 :66158|169048|816995256200|020709165552|13|||01 :169039|66026||020709165516|4|||81 :169024|64042||020709165504|1|||81 :66829|169052|816995282770|020709165540|10|||01 :66851|169055|816995276853|020709165540|40|||01 :66313|66210||020709165856|44|||89 :169020|66183||020709165616|4|||81 :66177|169059|816990766428|020709165604|16|||01 :169001|66428||020709165604|16|||81 :66248|169051|816995293074|020709165632|38|||01 :66450|169049|81690407948500|020709165612|138|||01 :169031|66404||020709165640|460|||81 :169032|66713||020709165648|12|||81 :169003|77971||020709165652|58|||81 :64026|169055|81690434316817|020709165716|4|||01 :169037|110056|81105|020709165800|15|||03 :66263|169057|816982901333|020709165716|34|||01 :64078|169053|816990969170|020709165820|5|||01 :8165|169058|816995582138|020709165748|252|||01 :66450|8613||020709165824|6|||89 :66195|169044|81690432894344|020709165820|140|||01 :169009|110060|81101|020709165828|7|||03 :169012|66485||020709165904|1|||81 :169041|66263||020709165836|9|||81 :66829|169056|816995440477|020709165912|48|||01 :169014|77792||020709165856|14|||81 :169028|66183||020709165924|6|||81 :66857|169054|816995927474|020709165956|44|||01