:66423|66342||120808200124|6|||89 :66391|169060|816995461973|120808200116|19|||01 :77083|169060|816992773745|120808200308|17|||01 :66714|169058|81691800222149|120808200328|7|||01 :66391|169059|816997929912|120808200340|10|||01 :66756|169057|81691800031015|120808200348|12|||01 :66756|169060|81691800031015|120808200508|2|||01 :66423|66713||120808200628|7|||89 :66756|169060|81691800031015|120808200608|2|||01 :169048|66619||120808200800|15|||81 :66448|169060|816995285686|120808201104|1|||01 :9|106053|810610662863|120808201328|7|||01 :66137|169059|816995962786|120808201304|31|||01 :66183|66854||120808201644|11|||89 :169030|66249||120808201644|11|||81 :66183|66854||120808201824|6|||89 :66255|169059|816995696792|120808201904|31|||01 :66451|169058|81690409889688|120808201908|2|||01 :77083|169059|816992773745|120808201956|14|||01 :66707|169060|816995962786|120808202112|108|||01 :169036|66335||120808202340|10|||81 :169003|66619||120808202340|10|||81 :66789|66126||120808203416|4|||89 :66756|169060|81691800031015|120808203516|4|||01 :66329|77046||120808203744|11|||89 :169038|66249||120808203732|23|||81 :169035|66336||120808203912|3|||81 :66423|66336||120808204132|8|||89 :66613|169060|816990122200|120808204100|30|||01 :66423|169059|816995098833|120808204144|11|||01 :66423|169060|816994599999|120808204436|24|||01 :169032|66340||120808204508|32|||81 :66423|169060|816994817222|120808204552|13|||01 :66423|169060|816998987000|120808204616|4|||01 :66423|169060|816995012822|120808204616|4|||01 :169016|66762||120808204712|18|||81 :66423|169060|81691300184825|120808204756|14|||01 :169041|66000||120808205540|85|||81 :66000|106051|810610062863|120808205540|85|||01 :169013|66423||120808205520|35|||81 :66741|169060|816990122200|120808205612|93|||01 :169019|66423||120808205624|6|||81 :9|106049|810610662863|120808205704|1|||01 :169022|66000||120808205736|24|||81 :66000|106050|810610062863|120808205736|24|||01 :66756|169060|81691800031015|120808205912|3|||01 :169025|66000||120808205948|27|||81 :66000|106048|810610062863|120808205948|27|||01