:169057|66046||070709070100|15|||81 :66046|169060|816990765046|070709070100|15|||01 :66423|169060|81690432974876|070709070204|1|||01 :66617|66255||070709070200||||89 :66423|169060|816995120550|070709070216|4|||01 :66332|169060|81690409889688|070709070208|2|||01 :66423|66705||070709070336|9|||89 :169045|66046||070709070420|5|||81 :66046|169060|816990765046|070709070420|5|||01 :169020|66046||070709070520|5|||81 :66046|169060|816990765046|070709070520|5|||01 :66451|169060|81690409889688|070709070604|1|||01 :66451|169060|81690409889688|070709070728|7|||01 :9|106001|810610162863|070709070804|1|||01 :169010|66002||070709070732|8|||81 :66451|169060|81690409889688|070709070804|1|||01 :169024|66000||070709070836|39|||81 :66000|106002|810610062863|070709070836|39|||01 :66451|169060|81690409889688|070709070908|2|||01 :169026|66341||070709071212|3|||81 :66415|169060|81690427562081|070709071708|2|||01 :169039|66800||070709072312|3|||81 :169046|66322||070709072412|3|||81 :62578|169060|816990762578|070709072640|10|||01 :169048|66261||070709073004|1|||81 :66415|77070||070709073156|14|||89 :169031|66367||070709073208|2|||81 :169004|66261||070709073340|10|||81 :169053|66136||070709073500|45|||81 :66451|169059|81690409889688|070709073604|1|||01 :66218|169060|816957217330|070709073624|126|||01 :169023|66063||070709074156|14|||81 :66063|169060|816990765063|070709074156|14|||01 :169042|110060|81100|070709074148|117|||03 :66249|169060|81690393151023|070709074348|12|||01 :66806|66218||070709074628|7|||89 :66249|169059|81690393151023|070709074624|6|||01 :66806|169059|816995704998|070709074708|2|||01 :66884|169060|816995706828|070709074816|34|||01 :66806|169059|816995704998|070709074800|15|||01 :64036|169058|81690402647915|070709074904|16|||01 :169002|66819||070709075004|1|||81 :66451|169059|81690409889688|070709075504|1|||01 :66451|169059|81690409889688|070709075604|1|||01 :64109|169058|816992289820|070709075924|6|||01