:66012|64086||030809120008|62|||89 :66448|66874||030809121704|316|||89 :169027|66742||030809120000|15|||81 :66467|66725||030809121052|178|||89 :66166|66147||030809120028|7|||89 :66779|169058|816995090998|030809120008|77|||01 :169025|66801||030809120012|3|||81 :66221|169059|816996929400|030809120008|107|||01 :169004|77971||030809120012|48|||81 :66779|169052|81690410511917|030809120008|2|||01 :8125|77434||030809120000||||89 :66292|66386||030809120300|45|||89 :169044|66938||030809120028|7|||81 :66938|169045|816990765938|030809120028|7|||01 :169009|66666||030809120020|20|||81 :66620|169054|816995275525|030809120000|15|||01 :66126|169059|81691800773577|030809120044|11|||01 :169019|8622||030809120520|65|||81 :66267|66761||030809120120|5|||89 :77142|169053|81690417025011|030809120132|68|||01 :169039|66459||030809120108|47|||81 :66726|169044|816992651479|030809120116|4|||01 :66789|66350||030809120132|8|||89 :169015|66141||030809120148|87|||81 :66366|66218||030809120248|12|||89 :66336|66801||030809120236|9|||89 :64032|169049|8169567213333|030809120152|28|||01 :77889|66245||030809120228|7|||89 :66679|169059|816998940030|030809120144|11|||01 :64032|169054|816956741207|030809120224|21|||01 :169057|66123||030809120852|103|||81 :64117|169052|816995676211|030809120212|18|||01 :66661|66611||030809120208|2|||89 :64066|169055|81690406420247|030809120248|237|||01 :169007|66314||030809120224|21|||81 :169041|66648||030809120228|7|||81 :66428|66136||030809120452|28|||89 :169033|66666||030809120224|6|||81 :66156|169050|816957220132|030809120316|64|||01 :169043|66648||030809120324|6|||81 :169031|66938||030809120320|5|||81 :66938|169055|816990765938|030809120320|5|||01 :66147|169052|816998701118|030809120304|1|||01 :169037|66773||030809120344|11|||81 :66029|169053|816995783346|030809120344|11|||01 :169036|66834||030809120328|7|||81 :66289|169055|816980609085|030809120404|1|||01 :66804|169059|816995682599|030809120336|24|||01 :169016|66427||030809120844|71|||81 :66145|169057|816998857803|030809120428|22|||01 :66713|66034||030809120400||||89 :169011|66713||030809120400|15|||81 :66804|66806||030809120412|3|||89 :169033|77810||030809120536|24|||81 :64123|66713||030809120524|6|||89 :66396|2||030809120516|4|||89 :66029|169059|816997298738|030809120448|12|||01 :169003|66776||030809120452|13|||81 :169030|66341||030809120544|11|||81 :169022|66183||030809120528|7|||81 :169008|66349||030809120544|26|||81 :66396|169053|81690400140349|030809120600||||01 :169035|66012||030809120552|13|||81 :66102|169057|816995685599|030809120612|18|||01 :66835|169055|816999288515|030809120544|11|||01 :169010|66195||030809120540|25|||81 :77083|169059|816992773745|030809120544|11|||01 :169008|66123||030809120624|6|||81 :169023|66161||030809120552|28|||81 :66455|169054|8169133312|030809120620|35|||01 :66694|169046|81691300735363|030809120640|100|||01 :8165|169042|81690420948424|030809120608|257|||01 :169021|66139||030809120648|12|||81 :66313|169059|816998954962|030809120600||||01 :66484|169058|816959898402|030809120636|99|||01 :169002|66661||030809120604|16|||81 :66147|169052|816998707524|030809120652|43|||01 :77791|169057|816994194824|030809120620|5|||01 :77649|77190||030809120736|9|||89 :66804|169059|816995330031|030809120708|2|||01 :169012|66661||030809120700|15|||81 :66215|169058|816996532647|030809120708|2|||01 :66255|66164||030809121124|66|||89 :169026|66713||030809120732|8|||81 :66183|66350||030809120716|4|||89 :169029|66636||030809120652|13|||81 :66156|169055|81690417329209|030809120736|9|||01 :66102|66103||030809120704|1|||89 :169017|66102||030809120724|6|||81 :169020|66304||030809120756|14|||81 :66261|66611||030809120808|2|||89 :169017|66103||030809120840|10|||81 :66347|169051|81691300300204|030809120752|43|||01 :64039|64036||030809120948|27|||89 :66790|169057|816983252163|030809120848|12|||01 :66241|169051|816998266627|030809120804|1|||01 :66002|169055|816911|030809120836|9|||01 :169040|66366||030809120852|13|||81 :169018|8619||030809120804|301|||81 :169038|66177||030809120820|5|||81 :1|169059|81690409232955|030809120828|7|||02 :66342|169048|816998663833|030809120816|4|||01 :66804|169052|816998402200|030809120852|13|||01 :66661|66611||030809120948|12|||89 :66147|169054|816998765331|030809120920|20|||01 :66848|169059|816998281280|030809120924|6|||01 :169039|66026||030809120916|4|||81 :66398|169055|816998010855|030809120912|3|||01 :66660|66395||030809121020|5|||89 :169005|66046||030809120956|59|||81 :66046|169053|816990765046|030809120956|59|||01 :66241|169057|816998273314|030809121008|17|||01 :64073|169050|816995966159|030809121008|62|||01 :169001|66801||030809120948|27|||81 :169014|77971||030809120948|57|||81 :169013|110058|81105|030809121004|31|||03 :169044|66607||030809121028|7|||81 :66741|1||030809121012|3|||89 :169027|77971||030809121008|2|||81 :66444|169054|81691800551702|030809121000||||01 :64073|169057|81690414816367|030809121004|1|||01 :77791|169058|816995942378|030809121016|49|||01 :169015|66744||030809121020|5|||81 :169032|66002||030809121032|8|||81 :66444|169058|81691800551702|030809121100||||01 :66804|169052|816995713518|030809121008|2|||01 :169045|66183||030809121056|14|||81 :169006|66270||030809121100|30|||81 :66741|169055|81690437075633|030809121112|3|||01 :66255|66664||030809121116|4|||89 :66342|64098||030809121228|22|||89 :77190|77648||030809121112|3|||89 :66029|169050|816997298738|030809121120|5|||01 :66804|169052|816995092375|030809121124|6|||01 :169040|66801||030809121512|48|||81 :169037|66177||030809121120|5|||81 :169024|66389||030809121128|7|||81 :66717|66350||030809121220|5|||89 :169011|66034||030809121932|113|||81 :77083|169055|816992773745|030809121200|15|||01 :169043|66661||030809121224|21|||81 :64066|169053|816995096488|030809121140|25|||01 :8167|66761||030809121228|7|||89 :77040|1||030809121208|2|||89 :169041|66121||030809121212|33|||81 :66636|169048|816995530969|030809121304|16|||01 :66448|169060|816998789127|030809121228|217|||01 :77792|77790||030809121304|1|||89 :169016|77792||030809121228|7|||81 :169028|66876||030809121300|195|||81 :169019|66223||030809121312|63|||81 :66289|169046|816997848100|030809121320|20|||01 :66741|169050|816995237066|030809121336|9|||01 :66177|169045|816995329349|030809121320|5|||01 :66147|169054|816997253499|030809121344|41|||01 :66180|169060|81691800236787|030809121320|5|||01 :169030|66380||030809121308|2|||81 :169009|66270||030809121308|17|||81 :66451|169054|81690409889688|030809121412|3|||01 :66289|169045|816983872109|030809121404|1|||01 :169023|66380||030809121404|1|||81 :77190|169046|81690404856700|030809121420|5|||01 :66177|169060|816995329349|030809121424|6|||01 :66157|169052|81690407314286|030809121424|36|||01 :66476|169049|816982901333|030809121432|128|||01 :66289|169060|816983872175|030809121412|3|||01 :66311|8125||030809121416|4|||89 :169035|66499||030809121444|11|||81 :66652|169050|81690418336218|030809121452|13|||01 :169003|66607||030809121428|22|||81 :66789|66854||030809121420|5|||89 :169034|66274||030809121412|183|||81 :169031|66406||030809121452|58|||81 :169026|66380||030809121404|1|||81 :169021|66653||030809121428|7|||81 :66185|169051|816985867600|030809121508|62|||01 :169012|66029||030809121420|5|||81 :66177|66487||030809121520|5|||89 :169042|66180||030809121444|11|||81 :66385|1||030809121508|2|||89 :77791|1||030809121500||||89 :66804|169052|816995716617|030809121508|2|||01 :169029|66801||030809121524|6|||81 :169025|66380||030809121504|1|||81 :169008|66314||030809121516|19|||81 :66835|169060|81690439027542|030809121532|8|||01 :66147|169049|816998415600|030809121512|3|||01 :66804|169046|81690428629801|030809121516|4|||01 :66156|1||030809121604|1|||89 :77648|64098||030809121620|5|||89 :66224|169051|81690417944417|030809121528|7|||01 :66165|169054|81690409799133|030809121552|13|||01 :66234|64035||030809121708|17|||89 :66777|169052|816995253232|030809121540|10|||01 :66451|169049|81690409889688|030809121616|4|||01 :66664|66127||030809121700|15|||89 :66728|1||030809121608|2|||89 :169007|66169||030809121612|93|||81 :66428|169051|816995092634|030809121632|8|||01 :66147|169046|81690413922071|030809121600||||01 :169027|8613||030809122212|93|||81 :66866|169050|81690402333540|030809121624|21|||01 :169020|66322||030809121644|26|||81 :66180|66115||030809121720|5|||89 :169017|66800||030809121628|7|||81 :169001|66380||030809121704|1|||81 :66636|169048|816995788417|030809121704|61|||01 :66241|169052|816995936601|030809121644|11|||01 :169018|66653||030809121728|7|||81 :66444|169034|81691800551702|030809121708|2|||01 :66451|169036|81690409889688|030809121708|2|||01 :169038|66207||030809121724|6|||81 :66728|169049|81690412445497|030809121652|13|||01 :169033|110059|81105|030809121740|70|||03 :77791|169060|816985063600|030809121752|28|||01 :66177|66136||030809121740|10|||89 :77649|77190||030809121856|14|||89 :64113|169053|81690408133448|030809121724|81|||01 :64014|169041|816992237516|030809121728|37|||01 :169005|66180||030809121756|14|||81 :64073|169044|81690414816367|030809121756|59|||01 :66245|169039|816994893900|030809121800|15|||01 :169002|66156||030809121824|36|||81 :169038|66123||030809121844|11|||81 :66171|169047|816987867152|030809121832|278|||01 :64125|169048|816995101079|030809121812|3|||01 :169004|110060|81105|030809121800|150|||03 :8017|1||030809121812|3|||89 :66804|169042|816995093543|030809121804|46|||01 :64121|169046|81691800193783|030809121832|23|||01 :66029|169053|816995783346|030809121840|10|||01 :66429|169059|816992651000|030809121824|126|||01 :66303|169049|816995282278|030809121856|14|||01 :8017|169047|81690351564281|030809121820|5|||01 :66241|169060|816998273314|030809121916|19|||01 :66185|169051|8169132554|030809121828|37|||01 :8614|8610||030809121920|5|||89 :169014|77971||030809121832|23|||81 :169032|66744||030809121908|17|||81 :77649|77190||030809121916|4|||89 :64086|169045|81691300139555|030809121908|77|||01 :77142|169052|816995259972|030809121936|24|||01 :169013|66801||030809121920|20|||81 :66165|169037|816995639631|030809121924|36|||01 :66126|66002||030809121920|5|||89 :169024|66249||030809121908|17|||81 :64014|169048|816995095767|030809121948|12|||01 :64035|66270||030809122032|8|||89 :66029|66854||030809122016|4|||89 :169022|66380||030809122004|1|||81 :169019|66600||030809122012|3|||81 :169028|66653||030809121952|13|||81 :64066|169055|816995096488|030809122008|122|||01 :66373|169058|816992846205|030809122028|142|||01 :66897|169035|8169131360|030809122028|52|||01 :169011|66102||030809122016|19|||81 :66303|169052|816995282278|030809122104|16|||01 :169023|77971||030809122120|5|||81 :77190|77649||030809122156|14|||89 :8615|169057|816959958723|030809122136|159|||01 :169009|66121||030809122136|9|||81 :66717|169058|816990766121|030809122140|10|||01 :66136|66413||030809122148|12|||89 :66373|169052|81690438985384|030809122116|4|||01 :64071|169053|816998875453|030809122148|27|||01 :66147|169050|816998443879|030809122144|71|||01 :66229|66619||030809122332|23|||89 :169010|66938||030809122140|10|||81 :66938|169045|816990765938|030809122140|10|||01 :77791|169059|816999288111|030809122220|20|||01 :66475|66240||030809125244|461|||89 :66717|169053|816997298738|030809122220|5|||01 :64107|169049|81690419565623|030809122228|22|||01 :66141|169048|81691800012175|030809122224|21|||01 :169021|66773||030809122220|5|||81 :8007|1||030809122312|3|||89 :66373|169057|816998528441|030809122240|10|||01 :169029|66380||030809122304|1|||81 :66358|169060|81690402476225|030809122332|53|||01 :66373|169057|816995613610|030809122312|3|||01 :8620|169043|816995341519|030809122328|157|||01 :8007|169050|81690432742046|030809122308|2|||01 :169012|66666||030809122340|10|||81 :66185|169051|81690417036965|030809122320|50|||01 :66261|169044|816996578888|030809122332|83|||01 :66147|169060|816997416644|030809122404|1|||01 :169025|66804||030809122404|16|||81 :66224|169053|816995755333|030809122412|18|||01 :169012|66804||030809122440|10|||81 :8613|169050|81690431269409|030809122400||||01 :169015|110060|81105|030809122400|15|||03 :66665|169051|816997731175|030809122408|2|||01 :66147|169060|81690408336990|030809122404|1|||01 :66835|169058|81690407314286|030809122432|38|||01 :169026|66938||030809122400|30|||81 :66938|169059|816990765938|030809122400|30|||01 :8622|169052|81690407614301|030809122344|26|||01 :8618|169049|816995962227|030809122440|10|||01 :66448|169042|816995285686|030809122404|46|||01 :66618|169048|816995965222|030809122448|12|||01 :66769|66102||030809122616|19|||89 :169020|66776||030809122436|9|||81 :169007|66012||030809122508|17|||81 :169017|169059|81690419770254|030809122520|5|||03 :64047|169056|816992123002|030809122456|419|||01 :169016|77790||030809123728|187|||81 :169018|110060|8110|030809122524|6|||03 :8615|169051|816959979666|030809122516|4|||01 :8613|169060|816993183169|030809122532|8|||01 :66166|66356||030809122832|38|||89 :169031|66166||030809122548|57|||81 :8622|169056|81690413526255|030809122608|2|||01 :66325|66164||030809122648|12|||89 :66450|169054|81691300729994|030809122620|155|||01 :66290|1||030809122604|1|||89 :66126|169049|81691800773577|030809122600|15|||01 :66119|169059|816962227845|030809122608|17|||01 :66147|169051|816997022492|030809122604|1|||01 :8615|169056|816992123003|030809122604|1|||01 :169020|77190||030809122840|25|||81 :169033|66165||030809122628|7|||81 :66005|66738||030809122800|15|||89 :8618|169058|816995578322|030809122712|33|||01 :66255|169055|816995676611|030809122724|96|||01 :66636|169046|81690424054737|030809122652|88|||01 :66119|169054|816962227146|030809122736|9|||01 :64066|169051|816995962776|030809122728|7|||01 :66876|66791||030809122836|9|||89 :66240|169045|816994195300|030809122748|57|||01 :66156|169049|81690419553833|030809122744|11|||01 :66387|169047|816997973900|030809122752|103|||01 :66893|169060|816995964560|030809122800|30|||01 :66180|169059|81691800627560|030809122820|5|||01 :8613|169052|816998665931|030809122808|32|||01 :169034|66290||030809122752|28|||81 :169041|66314||030809122840|25|||81 :169002|66223||030809122824|6|||81 :169006|66153||030809122824|6|||81 :66246|169051|816988049412|030809122840|10|||01 :66126|66002||030809122920|5|||89 :66445|169050|816995945656|030809122832|53|||01 :169031|66356||030809123200|45|||81 :66165|169057|816992462833|030809122832|83|||01 :64081|66312||030809122908|2|||89 :66476|169044|81690418582234|030809122920|80|||01 :169022|66717||030809122920|5|||81 :66694|66268||030809123056|29|||89 :66180|169059|81691800627560|030809122944|11|||01 :169019|66143||030809122932|8|||81 :169024|66648||030809122932|8|||81 :66332|169059|81690409889688|030809123008|2|||01 :169030|66263||030809122928|7|||81 :169013|110060|8110|030809123016|19|||03 :66224|169053|816995553545|030809122932|83|||01 :66406|169054|81690412446560|030809122956|29|||01 :66382|169049|816995447051|030809123024|6|||01 :77283|66389||030809123008|2|||89 :169023|66143||030809123032|8|||81 :169032|66607||030809123004|31|||81 :64126|169058|81690294253707|030809123036|54|||01 :169010|66713||030809123016|4|||81 :169021|66253||030809123012|3|||81 :64084|64086||030809123140|10|||89 :66166|169047|816998244240|030809123132|8|||01 :169009|66012||030809123056|14|||81 :77791|169055|816995946666|030809123136|39|||01 :169029|66261||030809123108|2|||81 :169008|110059|81105|030809123124|6|||03 :66387|169052|816995255111|030809123156|44|||01 :66617|169046|816995987069|030809123212|18|||01 :169012|110059|8110|030809123224|6|||03 :8615|169051|816997674747|030809123232|53|||01 :169038|77971||030809123200|60|||81 :66147|169056|816997929293|030809123232|83|||01 :169003|66603||030809123232|158|||81 :169043|8125||030809123224|21|||81 :64011|77647||030809123252|13|||89 :66166|169055|816995092774|030809123228|7|||01 :169014|66254||030809123204|1|||81 :77791|169058|816995783389|030809123248|12|||01 :66445|169047|81690403111538|030809123240|10|||01 :169037|77971||030809123236|9|||81 :169017|110059|81101|030809123304|1|||03 :8618|169048|816997870709|030809123300|90|||01 :66102|169060|816995961320|030809123256|74|||01 :66176|66259||030809123440|25|||89 :169026|66341||030809123324|6|||81 :169027|66391||030809123332|143|||81 :66147|169058|816997533334|030809123304|1|||01 :66450|169045|81691300660616|030809123320|20|||01 :169007|66648||030809123332|8|||81 :66451|169060|81690409889688|030809123316|4|||01 :8125|66322||030809123444|11|||89 :66330|169047|81690414407186|030809123408|2|||01 :169001|66636||030809123340|10|||81 :169016|66722||030809123420|5|||81 :66706|169052|816993871000|030809123404|16|||01 :66165|169057|816993086828|030809123428|82|||01 :169015|66117||030809123420|35|||81 :66147|169058|81690411698324|030809123448|12|||01 :66330|66336||030809123524|6|||89 :64035|169060|81691300650172|030809123504|16|||01 :66457|169040|816998713301|030809123432|293|||01 :66620|169055|816994597877|030809123504|31|||01 :66358|169056|81690433855900|030809123436|9|||01 :169041|66350||030809123520|5|||81 :169011|66272||030809123508|32|||81 :66194|169046|81690412610657|030809123440|10|||01 :66476|169053|816998047851|030809123448|72|||01 :66620|66304||030809123500||||89 :169042|110060|8110|030809123540|40|||03 :66272|66263||030809123504|1|||89 :169020|66166||030809123520|20|||81 :66255|169058|816986990115|030809123508|2|||01 :66789|66002||030809123616|4|||89 :66460|1||030809123604|1|||89 :169019|66666||030809123612|3|||81 :66475|169050|816986829704|030809123532|83|||01 :169024|110060|81101|030809123600||||03 :64014|169044|816995243228|030809123540|25|||01 :66147|169057|81690411698324|030809123600|15|||01 :169013|66666||030809123612|3|||81 :169031|66316||030809123628|7|||81 :169032|66380||030809123604|1|||81 :66195|66203||030809123604|1|||89 :169022|66195||030809123624|6|||81 :66157|169048|816995262351|030809123700|45|||01 :66694|169054|8169132678|030809123636|99|||01 :169023|66666||030809123712|3|||81 :169035|110059|81101|030809123728|7|||03 :169013|66123||030809123752|13|||81 :66804|169045|816995328531|030809123648|42|||01 :66166|169057|816998227474|030809123744|11|||01 :66272|66342||030809124000|30|||89 :169010|66866||030809123744|11|||81 :66620|66707||030809123900|15|||89 :66176|66340||030809123816|4|||89 :169006|66762||030809123752|43|||81 :8615|169057|816959958723|030809123840|10|||01 :66703|169059|816998031150|030809123824|126|||01 :66445|169043|816995945656|030809123848|57|||01 :169017|110056|8110|030809123816|4|||03 :169025|66666||030809123820|5|||81 :66195|169050|816990761421|030809123852|13|||01 :169012|66046||030809123840|10|||81 :66046|169048|816990765046|030809123840|10|||01 :169029|110059|81101|030809123824|21|||03 :169008|66002||030809123844|11|||81 :169009|110060|81102|030809123836|24|||03 :169021|110058|8110|030809123848|12|||03 :169038|66063||030809123844|11|||81 :66063|169046|816990765063|030809123844|11|||01 :66126|169056|816998895747|030809123820|35|||01 :64014|169055|81690419875488|030809123848|12|||01 :169037|110057|8110|030809123840|10|||03 :66801|66102||030809123904|1|||89 :169014|66801||030809123844|11|||81 :169003|66499||030809123848|12|||81 :169028|77971||030809123840|85|||81 :66176|66342||030809123956|14|||89 :66451|169056|81690409889688|030809123916|4|||01 :169004|66003||030809123924|6|||81 :66694|169054|816995686344|030809123912|33|||01 :169014|66102||030809124044|11|||81 :169002|66093||030809124008|2|||81 :66093|169056|816990765093|030809124008|2|||01 :169016|110060|8110|030809124012|3|||03 :77083|169045|816992773745|030809124008|17|||01 :169024|66603||030809124008|2|||81 :169015|66225||030809124016|4|||81 :169020|66435||030809124012|3|||81 :169026|66346||030809124012|3|||81 :64014|169055|816998168800|030809123932|8|||01 :169040|66139||030809124012|3|||81 :169041|66280||030809124016|4|||81 :169027|77790||030809123928|22|||81 :169010|8015||030809124004|1|||81 :8125|169054|816995953424|030809124004|1|||01 :169018|66209||030809124032|8|||81 :169032|66413||030809124024|6|||81 :169013|66302||030809124024|6|||81 :169024|66321||030809124024|6|||81 :66166|169043|816995093762|030809124028|7|||01 :169011|66369||030809124044|11|||81 :169042|66321||030809124044|11|||81 :66278|169048|816995962466|030809124044|11|||01 :66804|77190||030809124032|8|||89 :169036|66246||030809124044|11|||81 :169044|66607||030809124044|11|||81 :66717|169056|816995329349|030809124020|5|||01 :169023|66428||030809124044|11|||81 :66147|169059|816995034343|030809124052|28|||01 :169035|66434||030809124040|10|||81 :169022|66203||030809124508|62|||81 :169031|66675||030809124052|13|||81 :169019|66075||030809124052|13|||81 :66075|169046|816990765075|030809124052|13|||01 :169001|66648||030809124020|5|||81 :66406|66492||030809124120|5|||89 :66728|169049|81691800673317|030809124012|153|||01 :66330|66127||030809124620|80|||89 :169012|66352||030809124108|2|||81 :66034|169058|81690411695210|030809124108|77|||01 :169039|66854||030809124056|14|||81 :66290|169053|816995760440|030809124128|52|||01 :169030|66640||030809124112|78|||81 :169005|66340||030809124104|31|||81 :66180|66280||030809124124|6|||89 :66278|169058|816995962466|030809124136|9|||01 :66620|169055|81691800777440|030809124120|20|||01 :169029|66102||030809124208|17|||81 :66878|169056|816997881378|030809124140|10|||01 :64035|169060|816997678777|030809124148|102|||01 :66272|66263||030809124220|5|||89 :169009|66648||030809124232|8|||81 :169006|66270||030809124228|37|||81 :66192|169059|81690424373763|030809124220|20|||01 :169033|66460||030809124244|101|||81 :66166|64120||030809124308|2|||89 :64086|169051|81691300139555|030809124244|146|||01 :169008|66801||030809124312|18|||81 :169034|66274||030809124232|53|||81 :66171|169060|81690418361374|030809124240|10|||01 :169021|66428||030809124252|13|||81 :66460|66270||030809124312|3|||89 :66102|66779||030809124336|9|||89 :66330|66256||030809124500|30|||89 :66620|169058|816994962223|030809124308|17|||01 :66350|169059|816995983165|030809124336|9|||01 :77190|66603||030809124316|4|||89 :66878|169060|816995479724|030809124400||||01 :66165|169050|81690409799133|030809124416|64|||01 :169038|66640||030809124400|30|||81 :169028|64037||030809124344|11|||81 :66603|66611||030809124424|6|||89 :66751|169054|816995722174|030809124408|2|||01 :66192|169059|816995237856|030809124448|12|||01 :66102|77149||030809124440|10|||89 :66804|169058|816995882222|030809124428|7|||01 :66032|169060|8169132032|030809124448|12|||01 :169037|110060|8110|030809124500|30|||03 :169016|66342||030809124508|2|||81 :64086|169056|816995572984|030809124456|29|||01 :66635|66370||030809124532|8|||89 :66171|169053|816998786801|030809124532|8|||01 :66304|66218||030809125156|104|||89 :66878|169055|81690419442273|030809124512|18|||01 :66183|66854||030809124520|5|||89 :169045|66341||030809124516|4|||81 :66218|169056|81690419770254|030809124628|7|||01 :169003|110059|81105|030809124604|46|||03 :66620|169060|81690411089162|030809124604|16|||01 :77649|66804||030809124616|4|||89 :77170|169052|816994161600|030809124628|172|||01 :66707|66218||030809124728|7|||89 :66760|1||030809124700||||89 :66429|169056|816995840770|030809124704|1|||01 :66165|169051|816995724250|030809124712|33|||01 :66210|66713||030809124828|7|||89 :66032|169058|81691300105343|030809124724|36|||01 :66657|66218||030809124900|15|||89 :66763|169050|816995966377|030809124820|5|||01 :169011|66762||030809124824|6|||81 :169026|66314||030809124804|31|||81 :66804|169053|816995920744|030809124824|21|||01 :169043|66801||030809124836|9|||81 :169014|66166||030809124848|72|||81 :8611|169047|816995344525|030809124820|215|||01 :66451|169042|81690409889688|030809124812|3|||01 :66218|66217||030809124924|6|||89 :66460|169058|816995760440|030809124852|13|||01 :66838|169047|816993413390|030809124908|2|||01 :169048|66102||030809124836|9|||81 :169032|110057|81105|030809124828|22|||03 :169010|66046||030809124920|35|||81 :66046|169052|816990765046|030809124920|35|||01 :66804|169053|81690412757606|030809124928|7|||01 :66272|66263||030809124904|1|||89 :64031|169055|816997870456|030809124944|56|||01 :66617|169051|816995551000|030809124928|37|||01 :66499|169046|81691300739947|030809124912|18|||01 :169036|66002||030809124916|19|||81 :169013|110059|81105|030809124928|37|||03 :169035|66648||030809124928|7|||81 :66185|169054|816995547300|030809125028|82|||01 :64031|169050|816992568322|030809124956|29|||01 :64031|1||030809125112|3|||89 :64121|169057|816998897778|030809125112|183|||01 :169012|66465||030809125040|10|||81 :66024|169055|816999030168|030809125108|17|||01 :169019|66619||030809125036|9|||81 :66635|66003||030809125120|5|||89 :66177|169050|816995329349|030809125120|5|||01 :169007|110060|8110|030809125116|64|||03 :66032|169048|8169132032|030809125116|34|||01 :169005|66878||030809125124|6|||81 :169009|66660||030809125204|1|||81 :66147|169059|816995804383|030809125116|79|||01 :169031|66664||030809125144|26|||81 :66341|66738||030809125316|19|||89 :66165|169054|816996624820|030809125208|17|||01 :77170|169060|81690733459942|030809125156|74|||01 :169001|66366||030809125156|29|||81 :66654|169057|816997632591|030809125132|8|||01 :66171|169049|816997991420|030809125132|68|||01 :66391|1||030809125212|3|||89 :66761|66459||030809125256|14|||89 :169006|66369||030809125252|13|||81 :8610|77089||030809125400|15|||89 :169008|110059|81103|030809125236|9|||03 :66176|66340||030809125312|3|||89 :66117|169053|816995985665|030809125320|50|||01 :66451|169060|81690409889688|030809125312|3|||01 :169029|66166||030809125232|23|||81 :66025|169044|816995281298|030809125324|21|||01 :66032|169050|81691300131699|030809125252|28|||01 :169030|66644||030809125332|38|||81 :66110|169051|81691800424827|030809125316|49|||01 :66219|169048|816997045311|030809125304|31|||01 :66415|66713||030809125736|54|||89 :169034|66115||030809125332|8|||81 :64120|66670||030809125404|1|||89 :66147|64120||030809125416|4|||89 :77999|169059|81690287783190|030809125352|13|||01 :66147|66670||030809125404|1|||89 :66183|169060|816995329349|030809125420|5|||01 :169021|66619||030809125344|11|||81 :169038|66391||030809125404|1|||81 :66661|66705||030809125432|8|||89 :169016|66391||030809125504|1|||81 :64031|169046|81690407681331|030809125448|57|||01 :66185|169055|81691300368893|030809125432|53|||01 :66183|169060|816995329349|030809125420|5|||01 :66131|169057|816998247376|030809125500|15|||01 :169037|66938||030809125428|7|||81 :66938|169059|816990765938|030809125428|7|||01 :8125|66707||030809125556|14|||89 :64120|66147||030809125508|2|||89 :169028|66166||030809125444|11|||81 :66640|8003||030809125512|3|||89 :169041|66660||030809125504|1|||81 :169027|110059|81103|030809125608|2|||03 :169015|110060|8110|030809125544|11|||03 :169020|66060||030809125536|9|||81 :66060|169059|816990765060|030809125536|9|||01 :64031|169053|816992568322|030809125544|11|||01 :169025|66102||030809125600||||81 :169022|66834||030809125604|91|||81 :169029|66171||030809125900|45|||81 :66451|169059|81690409889688|030809125616|4|||01 :66189|169054|816985522222|030809125632|23|||01 :169040|66136||030809125652|13|||81 :66274|169049|816985522222|030809125608|2|||01 :66034|169052|81691800224277|030809125632|98|||01 :169003|77971||030809125648|27|||81 :66717|66487||030809125720|5|||89 :169026|66117||030809125700|15|||81 :169043|66274||030809125656|14|||81 :169013|66932||030809125708|2|||81 :66932|169052|816990765932|030809125708|2|||01 :169036|66901||030809125712|3|||81 :169035|66246||030809125712|3|||81 :66760|169056|816998873504|030809125728|157|||01 :169014|110057|81105|030809125744|11|||03 :169033|77971||030809125712|78|||81 :169007|66139||030809125712|3|||81 :169012|66722||030809125708|2|||81 :66225|169050|816996624557|030809125732|23|||01 :169019|110056|8110|030809125736|9|||03 :66762|77270||030809125804|1|||89 :66312|169051|81690428558945|030809125744|26|||01 :66315|169059|81690419394736|030809125756|14|||01 :66445|169058|816985640180|030809125804|136|||01 :169010|64060||030809125752|13|||81 :64031|169048|816995992403|030809125752|28|||01 :169004|66661||030809125816|64|||81 :169039|1||030809125832|113|||82 :66028|169059|816995219585|030809125820|5|||01 :169018|64003||030809125856|44|||81 :66811|169057|81690397945455|030809125924|51|||01 :66136|66161||030809125928|7|||89 :64031|2||030809125920|5|||89 :66603|77145||030809125900||||89 :169002|66269||030809125944|221|||81 :66274|169054|816985522222|030809125916|34|||01 :66100|169058|816997867912|030809125900|15|||01 :169023|66465||030809125908|2|||81 :66762|2||030809125916|4|||89 :169001|66218||030809125920|5|||81 :169006|66675||030809125904|1|||81 :66272|169060|816985175600|030809125932|68|||01 :169045|66093||030809125940|10|||81 :66093|169057|816990765093|030809125940|10|||01 :169008|66389||030809125940|10|||81 :169011|110059|8110|030809125952|58|||03 :66762|169058|81690413135301|030809125940|10|||01