:64123|77040||050809170140|70|||89 :169001|64066||050809171548|252|||81 :66396|66210||050809170116|19|||89 :66387|169060|816998274674|050809170020|20|||01 :169004|66336||050809170024|6|||81 :66604|169054|816992050651|050809170044|11|||01 :66617|66660||050809170016|4|||89 :64072|169058|81690430789798|050809170008|2|||01 :66755|169056|816995550600|050809170004|16|||01 :66195|66210||050809170144|11|||89 :169007|66234||050809170120|5|||81 :169039|110060|81106|050809170120|5|||03 :169036|66391||050809170052|58|||81 :66136|66854||050809170124|6|||89 :66727|169057|81690412659247|050809170100|60||2025|01 :66804|169052|816995710561|050809170116|19|||01 :8125|66192||050809170344|26|||89 :77075|169055|816995787049|050809170248|42|||01 :169018|8615||050809170756|74|||81 :64066|169060|816995814200|050809170252|28|||01 :169023|110058|81102|050809170256|29|||03 :66629|169050|81690438900097|050809170328|82|||01 :66804|169057|816995034273|050809170316|19|||01 :8125|169056|81690419150163|050809170336|9|||01 :169014|66762||050809170312|18|||81 :66451|169055|81690409889688|050809170312|3|||01 :169025|66253||050809170328|7|||81 :169034|66776||050809170348|117|||81 :66222|169060|816995785004|050809170328|7|||01 :169019|66183||050809170420|5|||81 :66664|66395||050809170512|18|||89 :66707|66210||050809170436|9|||89 :169010|66776||050809170440|10|||81 :169038|66762||050809170440|10|||81 :66727|169058|816997586999|050809170456|44|||01 :66185|8125||050809170512|3|||89 :66019|169060|81691800335315|050809170520|5|||01 :169006|66136||050809170532|23|||81 :169021|66249||050809170544|11|||81 :8125|2||050809170636|9|||89 :66727|169058|81690412659247|050809170556|14||2025|01 :66225|169060|816988049412|050809170548|12|||01 :8125|169058|816995639140|050809170716|4|||01 :169031|66938||050809170716|4|||81 :66938|169055|816990765938|050809170716|4|||01 :66183|66350||050809170720|5|||89 :66767|169060|816997131945|050809170740|10|||01 :169012|66762||050809170748|27|||81 :66026|169056|8169393|050809170808|17|||01 :77040|169057|81690415376238|050809170728|37|||01 :66019|169058|81691800350281|050809170824|6|||01 :66604|169057|81690414306463|050809170804|1|||01 :66448|66874||050809172908|317|||89 :66604|169057|81690414306463|050809170904|1|||01 :66762|169056|816992869105|050809170844|11|||01 :169044|66619||050809170932|8|||81 :64077|169060|81690412151343|050809170928|22|||01 :66707|66251||050809171120|35|||89 :169008|66702||050809170904|1|||81 :66706|2||050809170916|4|||89 :66336|77147||050809171004|16|||89 :66673|169054|81690292565423|050809170944|41|||01 :66387|169059|816998852575|050809171016|124|||01 :169016|64078||050809171000|15|||81 :169022|66046||050809171020|5|||81 :66046|169054|816990765046|050809171020|5|||01 :66026|169057|8169393|050809171056|14|||01 :66865|169058|81690411405073|050809171036|24|||01 :169032|66341||050809171028|7|||81 :66332|169059|81690409889688|050809171108|2|||01 :66026|169059|8169393|050809171140|10|||01 :169024|66675||050809171144|11|||81 :169043|66834||050809171208|2|||81 :66429|169057|816995853329|050809171232|8|||01 :66398|169058|816996467475|050809171228|22|||01 :66706|169060|81690404816411|050809171240|40|||01 :66423|66713||050809171432|38|||89 :66251|66713||050809171312|3|||89 :66272|66263||050809171524|36|||89 :66761|66705||050809171436|9|||89 :66423|66741||050809171440|10|||89 :66177|66143||050809171416|4|||89 :66263|66272||050809171420|5|||89 :64066|169055|816995048332|050809171432|83|||01 :169011|110060|8110|050809171440|10|||03 :169013|66261||050809171408|2|||81 :66427|169060|81690432283583|050809171424|6|||01 :66177|66143||050809171528|7|||89 :169009|66773||050809171512|18|||81 :66328|169058|816995785555|050809171452|13|||01 :169026|66744||050809171520|5|||81 :8019|169057|816997003259|050809171520|5|||01 :169027|66063||050809171544|11|||81 :66063|169060|816990765063|050809171544|11|||01 :66177|66143||050809171528|7|||89 :169002|66340||050809171600|75|||81 :66380|169060|816995536383|050809171632|8|||01 :66253|66341||050809171720|20|||89 :169047|66456||050809174048|357|||81 :169049|66800||050809171724|6|||81 :66177|66136||050809171812|18|||89 :66423|66705||050809171948|42|||89 :169017|64060||050809171732|8|||81 :64072|169060|81690430789798|050809171804|16|||01 :66246|169060|816992462400|050809171848|12|||01 :169001|64036||050809171844|11|||81 :2|66253||050809171900||||89 :64077|169060|816995724610|050809171916|4|||01 :169051|110058|81105|050809171952|13|||03 :169029|66364||050809171916|79|||81 :169042|66336||050809171948|147|||81 :66712|2||050809172024|6|||89 :169045|66619||050809172040|25|||81 :66712|2||050809172100||||89 :66246|169060|816992462400|050809172100|15|||01 :66136|169058|816995106924|050809172128|22|||01 :169003|66335||050809172132|38|||81 :169048|66938||050809172124|6|||81 :66938|169060|816990765938|050809172124|6|||01 :66173|169055|81690433671813|050809172216|19|||01 :66253|2||050809172336|9|||89 :66193|169057|816998445048|050809172256|59|||01 :66423|66741||050809172332|8|||89 :66846|66335||050809172604|46|||89 :169020|66253||050809172356|14|||81 :8615|169058|81690437660219|050809172440|10|||01 :169030|66727||050809172516|154|||81 :66423|66741||050809172520|5|||89 :66492|169058|816995788576|050809172528|7|||01 :66380|169053|816995536383|050809172516|4|||01 :169057|66619||050809172836|39|||81 :64066|169055|816995792077|050809172540|25|||01 :64088|169051|816990762458|050809172528|7|||01 :66036|169054|8169133697|050809172616|214|||01 :64082|169059|8169132265|050809172624|216|||01 :66380|169058|816995536383|050809172620|5|||01 :66330|169056|816994288528|050809172708|257|||01 :64098|169052|816995783600|050809172728|22|||01 :66177|66854||050809172744|11|||89 :66330|169059|816995765468|050809172740|10|||01 :66640|169058|816998425119|050809172808|17|||01 :169023|66938||050809172828|7|||81 :66938|169059|816990765938|050809172828|7|||01 :169018|66703||050809172844|11|||81 :169050|110060|81105|050809172916|19|||03 :66342|169060|816997871313|050809172944|101|||01 :66173|66664||050809173048|12|||89 :169010|66938||050809173028|7|||81 :66938|169059|816990765938|050809173028|7|||01 :66263|169060|81690411670926|050809173140|10|||01 :169015|66012||050809173136|84|||81 :169038|66341||050809173128|7|||81 :169034|66121||050809173156|44|||81 :66763|169059|81690432359037|050809173144|11|||01 :169019|110060|81102|050809173300|45|||03 :66341|169059|816995255766|050809173236|9|||01 :169004|66102||050809173304|1|||81 :66423|66325||050809173532|38|||89 :169035|66100||050809173348|192|||81 :66763|169058|816985552705|050809173328|22|||01 :66380|169060|816995536383|050809173420|35|||01 :66672|169058|816954837658|050809173408|2|||01 :66263|169056|816994199386|050809173404|1|||01 :169037|110060|81101|050809173412|3|||03 :169006|66938||050809173508|17|||81 :66938|169059|816990765938|050809173508|17|||01 :77649|66193||050809173728|37|||89 :66325|169060|816983386871|050809173504|16|||01 :169046|66249||050809173544|11|||81 :66263|169058|816998083416|050809173552|13|||01 :66451|169060|81690409889688|050809173608|2|||01 :169031|66121||050809173608|17|||81 :66395|77147||050809173800|30|||89 :66744|169060|81690431480927|050809173704|1|||01 :169016|66393||050809173704|1|||81 :169022|66393||050809173704|1|||81 :169012|66342||050809173708|17|||81 :66332|169054|81690409889688|050809173812|3|||01 :66727|169057|81690408321633|050809173740|55||2025|01 :169040|66707||050809173820|5|||81 :66712|66341||050809173844|11|||89 :169008|66938||050809173904|31|||81 :66938|169059|816990765938|050809173904|31|||01 :66155|169056|816995045225|050809173920|20|||01 :66773|2||050809173904|1|||89 :66324|169058|816995785555|050809173916|34|||01 :66712|66335||050809173928|7|||89 :66370|169059|81690288583698|050809173928|7|||01 :66763|169055|81690421753746|050809173916|79|||01 :66029|169058|816995783346|050809174056|14|||01 :66325|2||050809174112|3|||89 :169024|66713||050809174124|21|||81 :66325|169058|81690434817453|050809174220|5|||01 :169025|66938||050809174152|13|||81 :66938|169054|816990765938|050809174152|13|||01 :66773|169053|816995722112|050809174236|9|||01 :64117|169060|81691300397334|050809174236|84|||01 :66253|66193||050809174536|39|||89 :66130|169055|816995786978|050809174312|33|||01 :66707|169058|816995838557|050809174344|26|||01 :169005|66121||050809174412|48|||81 :66391|169060|816995701737|050809174428|7|||01 :66741|169056|816995639848|050809174452|58|||01 :169043|2||050809174508|17|||82 :169011|66528||050809174536|9|||81 :66528|169054|816990765528|050809174536|9|||01 :66423|66341||050809174532|8|||89 :66707|169058|81690405469353|050809174520|20|||01 :66773|2||050809174600||||89 :169041|77147||050809174628|7|||81 :169013|66341||050809174616|4|||81 :66763|169059|81690401422506|050809174632|98|||01 :169044|169058|81690404816431|050809174656|14|||03 :169039|66340||050809174644|296|||81 :169009|66744||050809174708|17|||81 :66723|169055|816995782027|050809174720|35|||01 :66763|169059|81690432359037|050809174720|5|||01 :66118|169059|816995786718|050809174936|24|||01 :169047|66713||050809175020|20|||81 :169017|66341||050809175024|6|||81 :66195|169060|816990787159|050809175024|96|||01 :169002|169056|81690407913502|050809175136|39|||03 :66391|169059|816995746115|050809175140|25|||01 :64026|169057|816995298191|050809175216|169||2025|01 :66329|66341||050809175216|4|||89 :66773|2||050809175300||||89 :66426|169060|816998825225|050809175224|6|||01 :66332|169057|81690409889688|050809175312|3|||01 :64026|169059|816995782838|050809175328|22|||01 :66329|169058|816995153752|050809175432|23|||01 :66456|169059|81690407532601|050809175540|10|||01 :66427|169058|81690432283583|050809175528|7|||01 :66328|169057|816995239621|050809175604|16|||01 :66329|66657||050809175632|8|||89 :169045|66722||050809175612|3|||81 :2|66387||050809175600||||89 :66313|169056|816995554346|050809175556|14|||01 :66389|66854||050809175740|10|||89 :66884|169060|81690411983079|050809175812|78|||01 :66654|169059|816998268019|050809175836|9|||01 :169029|66387||050809175856|44|||81