:2|169060|8169132227|090809170036|9|||02 :66707|169059|816997999295|090809170104|1|||01 :77147|66619||090809170120|5|||89 :66340|169059|816998854243|090809170224|21|||01 :66362|66253||090809170536|39|||89 :66707|169060|816995235257|090809170328|37|||01 :169049|66340||090809170736|24|||81 :66829|169057|816995785800|090809170916|4|||01 :66657|169060|816997912285|090809170932|53|||01 :66705|66342||090809171144|11|||89 :2|169059|816998013575|090809171112|63|||02 :66332|169060|81690409889688|090809171132|8|||01 :66657|169056|816997912285|090809171216|19|||01 :77083|169057|816992773745|090809171224|36|||01 :66332|169060|81690409889688|090809171204|1|||01 :169045|66713||090809171348|12|||81 :64005|169058|816998225617|090809171456|179|||01 :169051|66707||090809171520|20|||81 :66705|66340||090809171644|11|||89 :66846|169060|816995963418|090809171628|37|||01 :66705|66342||090809171700||||89 :66741|169058|816998225617|090809171736|9|||01 :2|169059|81690400551050|090809171732|38|||02 :169013|66707||090809171840|10|||81 :66705|66342||090809172000|15|||89 :66332|169060|81690409889688|090809171904|1|||01 :66705|169060|81690413932660|090809172216|4|||01 :66234|169060|816998873504|090809172304|1|||01 :66619|66705||090809172616|4|||89 :169026|66713||090809172728|52|||81 :66329|169060|816994295677|090809172804|16|||01 :66342|66340||090809173324|6|||89 :169037|66342||090809173736|24|||81 :169048|66341||090809174228|7|||81 :66341|2||090809174432|8|||89 :66341|169058|81691800063829|090809174552|13|||01 :169053|169059|81690404816431|090809174652|28|||03 :169039|2||090809174752|163|||82 :169001|110060|81103|090809174840|25|||03 :77075|2||090809174812|3|||89 :66705|169060|816995696792|090809174952|103|||01 :77075|169059|81690416275156|090809174856|14|||01 :66707|2||090809175116|4|||89 :169034|66387||090809175616|4|||81 :66707|66396||090809175928|7|||89