:66275|66349||090709160100|135|||89 :8620|66204||090709160044|41|||89 :169014|66287||090709160252|43|||81 :8615|169047|81690404816329|090709160020|50|||01 :66130|169048|816985205255|090709160028|7|||01 :169025|66166||090709160012|18|||81 :66619|77643||090709160112|18|||89 :169015|66382||090709160000||||81 :169003|66136||090709160028|22|||81 :66209|169046|816998811102|090709160008|32|||01 :169006|66744||090709160028|7|||81 :64026|169042|816995298191|090709160036|9|||01 :64066|169057|816995092271|090709160036|174|||01 :66760|169045|816997524113|090709160036|54|||01 :66631|66762||090709160252|28|||89 :66878|169043|816997881378|090709160104|1|||01 :64101|66330||090709160516|64|||89 :66005|169038|816995712555|090709160100|15|||01 :66717|169047|816990762402|090709160132|8|||01 :169019|66635||090709160048|12|||81 :66451|169045|81690409889688|090709160104|1|||01 :66777|66281||090709160112|3|||89 :66680|66210||090709160216|19|||89 :169034|66938||090709160128|7|||81 :66938|169046|816990765938|090709160128|7|||01 :66741|66229||090709160128|7|||89 :66871|169041|816995284626|090709160156|44|||01 :66330|169046|81690413135301|090709160116|4|||01 :66153|169040|816985205209|090709160156|29|||01 :64101|66281||090709160208|2|||89 :66661|66705||090709160236|9|||89 :66204|169048|816992132111|090709160140|25|||01 :169030|66653||090709160140|10|||81 :8613|169044|81690428516636|090709160148|72|||01 :169028|66350||090709160236|9|||81 :169024|64038||090709160232|8|||81 :66717|169043|816990762402|090709160236|9|||01 :66219|169055|81690432067370|090709160252|58|||01 :169016|66744||090709160232|8|||81 :66844|169050|816985989411|090709160236|69|||01 :66789|169045|816998527117|090709160240|25|||01 :66777|66336||090709160444|26|||89 :66341|169041|81691300888801|090709160312|18|||01 :66741|169046|816995718413|090709160344|11|||01 :66629|169048|81690403148160|090709160344|11|||01 :169029|66342||090709160312|3|||81 :66223|8007||090709160628|52|||89 :66744|64107||090709160300||||89 :66661|66744||090709160328|7|||89 :66348|169042|816996909144|090709160352|28|||01 :66610|66752||090709161456|164|||89 :64108|2||090709160412|3|||89 :169022|77791||090709160316|19|||81 :66263|169059|81690419748567|090709160328|457|||01 :64035|66492||090709160540|25|||89 :66878|169047|816997881338|090709160332|38|||01 :66395|2||090709160408|2|||89 :169031|66342||090709160416|4|||81 :169008|66102||090709160408|2|||81 :66136|66413||090709160444|11|||89 :66038|169056|81690415388139|090709160400|90|||01 :66888|169053|816995331983|090709160424|111|||01 :77792|169038|816998011500|090709160428|37|||01 :169001|66010||090709160412|18|||81 :66433|169059|816998119008|090709160428|7|||01 :66234|169050|816985856037|090709160444|11|||01 :66166|169044|816995761901|090709160500|30|||01 :66272|169057|81690418526240|090709160448|57|||01 :66661|64107||090709160632|23|||89 :169005|110060|81102|090709160516|19|||03 :66183|66428||090709160544|11|||89 :66195|169054|816995702763|090709160456|89|||01 :169002|66207||090709160540|10|||81 :66137|169058|81691300687746|090709160500|135|||01 :169026|77971||090709160540|40|||81 :66038|169056|81690431997009|090709160528|7|||01 :66708|66223||090709160500||||89 :169035|66204||090709160540|10|||81 :66178|66890||090709160744|26|||89 :169010|64007||090709160612|3|||81 :169002|66123||090709160648|12|||81 :66705|169054|81690430043706|090709160632|8|||01 :66179|169049|816995682086|090709160544|101|||01 :66194|169056|816995368450|090709160628|7|||01 :169004|110060|8110|090709160612|3|||03 :66269|169048|816998281222|090709160604|31|||01 :66342|77074||090709160600||||89 :169020|66342||090709160652|28|||81 :169012|66395||090709160620|35|||81 :66136|66854||090709160732|8|||89 :66664|64101||090709160952|43|||89 :169033|66834||090709160624|96|||81 :66324|169053|816990760358|090709160700|30|||01 :66338|66707||090709160740|10|||89 :66232|169047|816998261989|090709160656|14|||01 :169037|66660||090709160712|18|||81 :66476|169060|81690418170871|090709160644|131|||01 :66272|169058|81690407305184|090709160736|24|||01 :66194|169049|81690412204162|090709160708|2|||01 :66395|2||090709160728|7|||89 :77792|169056|816995292844|090709160728|7|||01 :169014|66263||090709160708|2|||81 :66272|66664||090709160808|2|||89 :66350|66635||090709160856|14|||89 :77792|169058|816995548238|090709160820|5|||01 :169032|77971||090709160756|104|||81 :64120|169051|8169132490|090709160748|597|||01 :169003|66791||090709160832|8|||81 :64101|66664||090709160808|2|||89 :66789|169046|816995253382|090709160836|39|||01 :66267|66603||090709162124|186|||89 :66727|169052|81690417035254|090709160836|234||2025|01 :66194|169051|81690412204162|090709160816|4|||01 :169034|66804||090709160828|7|||81 :169013|2||090709160828|22|||82 :64057|169049|816990961412|090709160912|3|||01 :66330|66694||090709161452|88|||89 :169006|66012||090709160836|9|||81 :66348|169052|81690428520491|090709160908|2|||01 :66130|169056|816995786978|090709160900|15|||01 :66338|169053|81690423201987|090709160920|20|||01 :77792|169058|816997097142|090709160912|18|||01 :66832|169059|816995272033|090709160932|68|||01 :66137|169048|816995705064|090709160944|11|||01 :169021|66391||090709160944|161|||81 :66707|2||090709161008|2|||89 :169040|64073||090709160944|11|||81 :66871|77791||090709161304|46|||89 :64108|169055|81690434629147|090709160956|89|||01 :169017|66314||090709160940|55|||81 :66183|169051|816997066350|090709161016|4|||01 :2|66325||090709161000||||89 :66694|66330||090709161048|12|||89 :66348|169058|81690428520491|090709160948|12|||01 :66350|169055|8169430|090709161016|4|||01 :169028|66012||090709161008|2|||81 :66130|169059|816985205255|090709161048|12|||01 :66895|169051|816995924110|090709161000||||01 :169019|66341||090709161020|35|||81 :169030|66776||090709161016|19|||81 :77792|169049|816990117251|090709161036|9|||01 :169006|66007||090709161252|28|||81 :169007|66063||090709161032|23|||81 :66063|169056|816990765063|090709161032|23|||01 :66350|169055|816995876612|090709161116|4|||01 :169009|66325||090709161100|15|||81 :8006|2||090709161120|5|||89 :169045|66610||090709161044|11|||81 :169016|66705||090709161112|3|||81 :66183|169058|816997066350|090709161116|4|||01 :64038|77089||090709161124|6|||89 :169031|110059|8110|090709161116|4|||03 :169022|64051||090709161104|1|||81 :66292|77046||090709161112|3|||89 :66428|66002||090709161120|5|||89 :66664|169059|81690448370711|090709161200|15|||01 :66476|169052|816982901333|090709161204|31|||01 :169038|66239||090709161124|6|||81 :66126|169051|816995282278|090709161208|17|||01 :66871|169056|81690400223068|090709161140|10|||01 :169008|66425||090709162012|123|||81 :77647|66314||090709161252|13|||89 :66292|66733||090709161216|4|||89 :66263|169052|81690425793571|090709161212|3|||01 :66872|66617||090709161252|13|||89 :64101|66330||090709161300|15|||89 :66433|169058|81690433025666|090709161220|5|||01 :66210|66335||090709161356|14|||89 :66034|169050|81691800224277|090709161320|110|||01 :66617|66144||090709161316|4|||89 :8614|169051|816998006800|090709161300||||01 :169001|77971||090709161320|20|||81 :169041|66840||090709161304|46|||81 :66707|66800||090709161420|5|||89 :169044|8007||090709161340|25|||81 :66234|169050|816985175677|090709161404|1|||01 :66843|66497||090709161924|81|||89 :66210|169050|816995782027|090709161408|2|||01 :169005|77791||090709161428|22|||81 :169026|110058|81105|090709161416|34|||03 :66610|169049|816997935599|090709161516|19|||01 :66210|169044|816995782027|090709161524|6|||01 :64011|66285||090709161916|64|||89 :169018|66168||090709161532|8|||81 :66629|169045|816995680829|090709161540|10|||01 :66183|169038|816997066350|090709161508|2|||01 :66166|169057|816998780843|090709161516|154|||01 :66433|169048|816997070423|090709161544|11|||01 :169043|8046||090709161520|80|||81 :169012|66800||090709161516|4|||81 :66694|66039||090709161704|16|||89 :169033|77645||090709161544|11|||81 :169025|110060|8110|090709161612|3|||03 :66153|66239||090709161908|47|||89 :66261|169051|816997828390|090709161604|16|||01 :66650|169047|816999044482|090709161636|9|||01 :169020|77074||090709162708|152|||81 :169014|8046||090709161700|15|||81 :66183|169051|816997066350|090709161708|2|||01 :66773|169044|816995785500|090709161620|5|||01 :169035|66102||090709161652|58|||81 :169003|66834||090709161708|2|||81 :169032|66726||090709161636|9|||81 :64028|169048|816995107888|090709161652|13|||01 :66234|169056|816985175999|090709161636|39|||01 :169021|110060|8110|090709161704|1|||03 :66223|66708||090709162144|71|||89 :66166|66356||090709161712|3|||89 :77792|169059|816997558100|090709161708|77|||01 :66840|77791||090709161728|7|||89 :66199|169059|816990951254|090709161704|1|||01 :66263|169049|816995789799|090709161648|27|||01 :169015|66038||090709161728|142|||81 :66761|2||090709161720|5|||89 :77066|77068||090709161808|2|||89 :8006|169055|81690412542728|090709161728|97|||01 :169006|66700||090709161732|8|||81 :8620|169043|81691300726291|090709161732|23|||01 :66195|169040|816992759300|090709161720|35|||01 :66487|169041|816995692610|090709161804|16|||01 :169007|66314||090709161808|2|||81 :64011|77648||090709161948|27|||89 :169023|110058|81101|090709161756|14|||03 :66183|66854||090709161820|5|||89 :169019|66287||090709161756|14|||81 :66398|169045|816995317292|090709161840|25|||01 :77190|66737||090709161800||||89 :169028|66834||090709161808|17|||81 :66242|169042|816995091371|090709161816|49|||01 :66476|169050|81690418170871|090709161828|52|||01 :169036|66702||090709161840|175|||81 :169029|66864||090709161820|5|||81 :169016|66209||090709161828|7|||81 :66661|66744||090709162120|35|||89 :169034|66800||090709161908|2|||81 :169037|66761||090709161908|17|||81 :66727|169053|81690419880111|090709161912|138||2025|01 :64101|169052|816998070022|090709161912|93||4144|01 :169031|64078||090709161828|7|||81 :66395|169060|81690425861761|090709161832|173|||01 :66642|169058|816990766108|090709161836|84|||01 :169010|66108||090709161836|84|||81 :66398|169051|816996039570|090709161836|9|||01 :66263|169059|816995533138|090709161844|11|||01 :66183|169050|816995329349|090709161920|5|||01 :169008|66700||090709161932|8|||81 :66433|169057|816999192936|090709161936|54|||01 :169002|66209||090709161932|8|||81 :169028|66737||090709162012|18|||81 :66629|169056|81690411121557|090709161908|32|||01 :169011|66063||090709161944|11|||81 :66063|169049|816990765063|090709161944|11|||01 :169030|8165||090709162908|137|||81 :66180|2||090709162004|1|||89 :169013|66721||090709161952|43|||81 :66251|169055|8169132290|090709161932|23|||01 :66629|2||090709162008|2|||89 :66183|169057|816995329349|090709162024|6|||01 :66832|66342||090709162400|60|||89 :66679|66341||090709162440|70|||89 :66239|169058|816951471046|090709162004|16|||01 :169004|66166||090709162024|21|||81 :77660|169056|816995712244|090709162036|9|||01 :169005|66209||090709162032|8|||81 :169022|66707||090709162000|15|||81 :66819|169055|816985499999|090709162020|5|||01 :8007|169046|81691300735363|090709162056|89|||01 :66251|169058|816995862892|090709162108|2|||01 :66287|66253||090709162132|8|||89 :77071|2||090709162120|5|||89 :8167|169053|816995803399|090709162044|11|||01 :66679|2||090709162112|3|||89 :169033|77149||090709162612|78|||81 :66285|66761||090709162136|9|||89 :66476|169051|81690404816386|090709162140|10|||01 :169026|110059|8110|090709162128|22|||03 :66255|169039|816995924816|090709162140|325|||01 :169009|66629||090709162128|22|||81 :77792|169056|816994907666|090709162212|18|||01 :66204|169054|816998109300|090709162216|229|||01 :66251|169051|816995862892|090709162216|4|||01 :64121|169049|81690417557893|090709162208|2|||01 :77071|169058|81690412438726|090709162208|17|||01 :66183|169050|816997066350|090709162144|11|||01 :169038|66210||090709162216|4|||81 :66325|169055|816993427000|090709162228|22|||01 :66234|2||090709162208|2|||89 :66476|169056|816992489602|090709162228|7|||01 :66679|66342||090709162316|19|||89 :169018|66341||090709162216|19|||81 :64005|169057|81690432444950|090709162208|32|||01 :169025|66010||090709162308|2|||81 :66398|169052|816995255478|090709162224|36|||01 :66180|169051|816997813512|090709162236|9|||01 :66679|66336||090709162312|3|||89 :169047|77792||090709162308|17|||81 :66180|2||090709162304|1|||89 :66274|8613||090709162432|23|||89 :66451|169055|81690409889688|090709162304|1|||01 :66840|169054|816995304552|090709162324|21|||01 :66183|169056|816997066350|090709162316|4|||01 :66136|169051|816986147599|090709162320|5|||01 :66263|169059|81690416031200|090709162324|66|||01 :77040|169058|816995535670|090709162424|21|||01 :66183|2||090709162404|1|||89 :169014|8620||090709162444|11|||81 :66199|169056|816990951254|090709162432|8|||01 :169044|66261||090709162456|14|||81 :66425|169053|81691300654525|090709162428|52|||01 :169020|110059|8110|090709162428|37|||03 :8125|169052|816995639140|090709162444|26|||01 :66476|169058|816992651279|090709162452|13|||01 :66873|169059|81690422372610|090709162536|9|||01 :169035|77971||090709162540|25|||81 :64121|169057|81690421053730|090709162552|43|||01 :66161|66854||090709162656|14|||89 :169040|66314||090709162536|9|||81 :169043|66606||090709162544|11|||81 :169019|66789||090709162620|5|||81 :169023|66350||090709162636|9|||81 :66336|169053|8169132326|090709162604|1|||01 :66269|169056|81690415522570|090709162648|12|||01 :66180|2||090709162712|3|||89 :169048|66707||090709162624|36|||81 :169007|110060|8110|090709162632|23|||03 :169012|66239||090709162656|74|||81 :169045|66635||090709162720|5|||81 :8125|66192||090709162824|21|||89 :169042|66938||090709162724|6|||81 :66938|169052|816990765938|090709162724|6|||01 :169024|66866||090709162740|265|||81 :66718|169056|816995211496|090709162724|6|||01 :66650|2||090709162820|5|||89 :64027|169052|816995238695|090709162808|2|||01 :66183|169054|81691300657265|090709162744|26|||01 :169016|66026||090709162816|4|||81 :66199|169051|816985870222|090709162744|11|||01 :169034|66635||090709162820|5|||81 :169001|66234||090709162828|82|||81 :66654|169054|816995440607|090709162816|4|||01 :66888|169049|816985179500|090709162824|6|||01 :169031|66776||090709162820|5|||81 :8125|2||090709162912|3|||89 :66232|169059|816995282077|090709162840|40|||01 :169037|66102||090709162832|8|||81 :66234|169045|816995712555|090709162824|6|||01 :66717|66350||090709162920|5|||89 :169010|66635||090709162816|4|||81 :66857|169057|81690418383940|090709162840|40|||01 :66675|66002||090709163040|25|||89 :66650|169056|81690401928424|090709162828|7|||01 :169028|66791||090709162908|2|||81 :66369|169048|816996350011|090709162900|15|||01 :169041|77971||090709162900|60|||81 :66183|169046|816997066350|090709162916|4|||01 :169036|66261||090709162856|29|||81 :169030|66635||090709162920|5|||81 :169027|110057|81104|090709162916|709|||03 :66269|169059|816998281222|090709162936|9|||01 :169031|66010||090709163124|21|||81 :169002|66297||090709163004|16|||81 :66251|66705||090709163012|3|||89 :169005|66717||090709162944|11|||81 :66234|169048|816985870100|090709163028|7|||01 :66629|169054|816996999440|090709163052|28|||01 :66253|66660||090709163120|5|||89 :66183|169059|816997066350|090709163016|4|||01 :66314|66443||090709163100||||89 :169033|66314||090709163112|3|||81 :66034|169053|816995924816|090709163112|63|||01 :64047|169051|81690438515433|090709163040|40|||01 :169039|66619||090709163120|5|||81 :66670|169055|816997767025|090709163108|77|||01 :66102|169048|816995831129|090709163104|1|||01 :66183|2||090709163104|1|||89 :66888|77190||090709163228|7|||89 :66742|66804||090709163300|15|||89 :66830|169048|81690288738689|090709163208|2|||01 :66717|66854||090709163220|5|||89 :169025|66938||090709163228|7|||81 :66938|169055|816990765938|090709163228|7|||01 :169008|110060|8110|090709163236|54|||03 :66314|66348||090709163200||||89 :169003|66314||090709163216|4|||81 :66396|169041|816996873653|090709163200||||01 :66670|169043|816995607006|090709163208|2|||01 :66476|66314||090709163208|2|||89 :66178|169048|816995345134|090709163228|7|||01 :66121|169051|816992129385|090709163256|14|||01 :66194|169056|81690402045430|090709163256|44|||01 :66830|169042|81690288738689|090709163228|7|||01 :66234|169059|816996589564|090709163256|29|||01 :8125|66707||090709163332|8|||89 :66254|169048|81690412252568|090709163300||||01 :66670|169056|816995707435|090709163300||||01 :66274|169046|816995570811|090709163240|40|||01 :66857|169049|81690400119901|090709163340|55|||01 :169038|66707||090709163348|12|||81 :66396|169043|816995345558|090709163400|15|||01 :66199|169047|81690419515665|090709163340|55|||01 :169020|66428||090709163432|8|||81 :66888|169051|816986116800|090709163436|24|||01 :169026|110059|8110|090709163504|61|||03 :66274|169047|816995707720|090709163508|2|||01 :169032|66840||090709163500|30|||81 :169023|64007||090709163520|5|||81 :66313|169055|816995348084|090709163524|36|||01 :169007|66193||090709163524|6|||81 :169006|77971||090709163524|21|||81 :169019|66237||090709163456|14|||81 :169029|66350||090709163520|5|||81 :169021|66314||090709163508|32|||81 :169015|66063||090709163548|27|||81 :66063|169049|816990765063|090709163548|27|||01 :169024|66800||090709163516|4|||81 :66026|66435||090709163620|5|||89 :64027|169057|816995238695|090709163528|97|||01 :66152|169056|816997416305|090709163604|31|||01 :8611|169051|816995788618|090709163544|11|||01 :169012|66012||090709163544|11|||81 :66274|169055|81690417317569|090709163540|10|||01 :66660|66707||090709163644|11|||89 :8017|169045|816995271685|090709163552|73|||01 :66717|66350||090709163616|4|||89 :169034|66428||090709163624|6|||81 :77083|169057|816992773745|090709163640|10|||01 :64035|169053|81690417330407|090709163640|70|||01 :66113|169044|81690418550167|090709163648|57|||01 :66336|169054|8169132629|090709163656|89|||01 :66038|169055|816995235364|090709163708|2|||01 :66223|66272||090709163744|11|||89 :66497|169052|816994896131|090709163652|133|||01 :66848|169057|81691300732744|090709163716|4|||01 :169035|77971||090709163644|26|||81 :66143|66428||090709163752|13|||89 :66174|169048|816995230630|090709163652|43|||01 :66263|169058|81690417760899|090709163744|176|||01 :169037|66610||090709163732|8|||81 :169014|66166||090709163756|59|||81 :64081|2||090709163856|14|||89 :66234|169054|816994201357|090709163808|2|||01 :169004|66832||090709163812|123|||81 :8620|169050|816993889998|090709163748|162|||01 :169030|64073||090709163820|5|||81 :8615|169059|816997966311|090709163844|71|||01 :169033|66443||090709164652|118|||81 :8613|169059|816998811875|090709163900||||01 :169028|77971||090709163836|9|||81 :66693|64081||090709163936|9|||89 :169001|66707||090709163856|29|||81 :66750|66611||090709163944|11|||89 :66398|169047|816996864900|090709163852|58|||01 :66314|66199||090709163904|1|||89 :169002|66314||090709163824|6|||81 :169013|66002||090709163832|8|||81 :66336|169058|816985524444|090709163920|20|||01 :66166|169053|81690402427157|090709163836|9|||01 :66694|169057|81690409194505|090709163904|31|||01 :169031|66251||090709163904|16|||81 :66846|8125||090709164132|23|||89 :66332|169058|81690409889688|090709164004|1|||01 :66737|169055|81690738411106|090709163952|28|||01 :169011|66146||090709163936|9|||81 :66210|169056|816995682982|090709164012|63|||01 :169005|66776||090709163936|9|||81 :66872|66325||090709164348|57|||89 :169022|110060|8110|090709163940|25|||03 :66675|169054|816997881269|090709164020|35|||01 :169009|66938||090709163948|12|||81 :66938|169053|816990765938|090709163948|12|||01 :169018|66314||090709164016|4|||81 :8620|169057|816959415454|090709164048|12|||01 :8611|169055|816997068933|090709164132|8|||01 :66497|169058|816995787194|090709164128|22|||01 :169036|66428||090709164156|59|||81 :66497|169049|816995787194|090709164200||||01 :66476|169054|81690415575891|090709164124|6|||01 :66150|169058|816995132285|090709164212|3|||01 :169039|110060|8110|090709164220|5|||03 :77075|169051|816998076892|090709164152|13|||01 :77190|169048|81691300698726|090709164232|8|||01 :66610|169059|816953333008|090709164152|28|||01 :66313|169053|816995348084|090709164212|18|||01 :8620|169050|816959415454|090709164208|17|||01 :8615|169052|816959401694|090709164244|56|||01 :66198|169059|816983204534|090709164316|4|||01 :66778|2||090709164404|16|||89 :66145|169055|81690438340534|090709164336|24|||01 :66183|2||090709164300||||89 :169038|77971||090709164344|26|||81 :169025|66314||090709164400|45|||81 :169026|66260||090709164412|18|||81 :169019|66058||090709164328|7|||81 :66058|169047|816990765058|090709164328|7|||01 :8615|169052|816997966311|090709164348|12|||01 :66194|169059|816995368450|090709164348|12|||01 :169020|66289||090709164340|25|||81 :66778|169048|8169972544682934|090709164332|8|||01 :169002|66199||090709164916|79|||81 :66029|169056|816995572020|090709164408|47|||01 :169023|66884||090709164352|28|||81 :66314|169049|816995260246|090709164444|11|||01 :169041|66166||090709164416|49|||81 :66239|169044|816995785218|090709164444|11|||01 :66274|169045|816998157854|090709164412|18|||01 :169021|66666||090709164428|7|||81 :169007|66938||090709164428|37|||81 :66938|169054|816990765938|090709164428|37|||01 :169003|66348||090709165740|190|||81 :66767|169051|81691800689622|090709164500|30|||01 :66880|169060|816992489626|090709164440|385|||01 :169006|66395||090709164456|29|||81 :169040|66447||090709164532|38|||81 :66150|169058|81690409145319|090709164500|45|||01 :66398|169057|816996039570|090709164516|64|||01 :169029|110058|8110|090709164548|27|||03 :66610|169050|816953358106|090709164536|39|||01 :169034|110060|8110|090709164608|2|||03 :169015|110057|81100|090709164640|25|||03 :66708|66603||090709165612|153|||89 :66778|2||090709164808|17|||89 :169032|66189||090709164636|24|||81 :169046|8610||090709164624|51|||81 :66871|169055|816985856200|090709164716|34|||01 :66613|169058|816995718413|090709164644|11|||01 :64027|169056|816985744900|090709164636|39|||01 :169035|66207||090709164652|13|||81 :8620|169053|816995966830|090709164724|66|||01 :66274|169052|81690408520554|090709164720|35|||01 :66341|66289||090709164708|2|||89 :66617|2||090709164852|13|||89 :169037|66046||090709164720|20|||81 :66046|169051|816990765046|090709164720|20|||01 :66325|66253||090709164844|11|||89 :77070|169058|816993089096|090709164808|2|||01 :169035|77810||090709164856|14|||81 :8612|8615||090709164804|1|||89 :169014|77971||090709164740|10|||81 :169027|66666||090709164812|3|||81 :169014|8615||090709164812|3|||81 :66804|77810||090709164812|3|||89 :169016|66232||090709164832|203|||81 :169027|2||090709164924|6|||82 :66629|66314||090709165032|23|||89 :64066|169057|816995548344|090709164844|41|||01 :66675|169059|816990766428|090709164900|60|||01 :169024|66428||090709164904|61|||81 :66659|66314||090709164904|1|||89 :66348|169052|81690411000321|090709164928|7|||01 :169033|66100||090709164936|9|||81 :66880|169060|816995687949|090709164952|58|||01 :66878|169056|816997881338|090709164944|11|||01 :169030|66267||090709164904|16|||81 :169031|64036||090709165008|2|||81 :8007|2||090709165024|6|||89 :8615|169053|816998281222|090709165016|19|||01 :169013|66938||090709164956|14|||81 :66938|169057|816990765938|090709164956|14|||01 :66248|8165||090709165108|17|||89 :66234|169060|81690434224003|090709165024|6|||01 :66384|169058|816995688208|090709165020|35|||01 :66610|169049|816987813400|090709165028|22|||01 :169001|66707||090709165028|7|||81 :66878|169056|816959791878|090709165128|22|||01 :169018|66046||090709165132|8|||81 :66046|169049|816990765046|090709165132|8|||01 :169043|66606||090709165112|3|||81 :169042|110059|81101|090709165124|6|||03 :66804|8167||090709165536|54|||89 :8615|169058|81691300737942|090709165220|20|||01 :66680|66664||090709165356|29|||89 :66330|66447||090709165448|42|||89 :8007|169052|81690432479137|090709165212|33|||01 :66872|66617||090709165432|38|||89 :169004|66210||090709165240|70|||81 :169038|66059||090709165232|8|||81 :66059|169056|816990765059|090709165232|8|||01 :66642|66108||090709165444|41|||89 :66143|169047|816987922351|090709165220|20|||01 :66432|169053|816995853565|090709165304|31|||01 :2|77068||090709165316|4|||89 :169017|110060|8110|090709165224|21|||03 :77075|169052|816995782027|090709165324|6|||01 :169020|66667||090709165312|3|||81 :64098|169058|81690407866947|090709165324|6|||01 :8611|169048|81691300464663|090709165316|34|||01 :169019|110059|81102|090709165316|4|||03 :169023|66666||090709165404|1|||81 :66447|169053|81690402203948|090709165344|11|||01 :8611|169052|816997759316|090709165408|2|||01 :169036|66340||090709165424|21|||81 :66425|169048|816995787309|090709165416|4|||01 :169026|66121||090709165448|27|||81 :66251|169051|816995965530|090709165432|83|||01 :66419|169054|81690292304589|090709165452|133|||01 :8612|66888||090709165508|2|||89 :169002|77971||090709165436|24|||81 :66447|169053|81690407853019|090709165516|19|||01 :169045|66707||090709165544|11|||81 :66322|169052|816997595444|090709165604|16|||01 :66680|2||090709165624|6|||89 :8613|8615||090709165720|20|||89 :169006|2||090709165616|4|||82 :66721|169058|816997984420|090709165640|40|||01 :169003|66773||090709165632|8|||81 :66126|169054|816990766773|090709165632|8|||01 :66680|169053|81690412540285|090709165632|8|||01 :169040|66046||090709165632|8|||81 :66046|169052|816990765046|090709165632|8|||01 :66275|169051|81690355603130|090709165628|7|||01 :66713|169048|816995705064|090709165656|29|||01 :169044|66367||090709165732|23|||81 :169029|66435||090709165716|4|||81 :66290|2||090709165724|6|||89 :169041|110059|8110|090709165736|54|||03 :169015|66707||090709165820|5|||81 :66451|169054|81690409889688|090709165804|1|||01 :66290|169058|81690400043979|090709165820|5|||01 :66822|169046|816998208738|090709165736|99|||01 :169034|66800||090709165824|6|||81 :66194|169054|816994198222|090709165904|1|||01 :66278|169059|816995559072|090709165836|144|||01 :169010|64042||090709165836|9|||81 :66705|169058|81690407363969|090709165840|10|||01 :169037|66712||090709165920|5|||81 :169007|110058|8110|090709165928|52|||03 :169035|66762||090709165916|4|||81 :66778|169050|81690011972544682934|090709165948|192|||01 :169032|66341||090709165944|26|||81