:169018|66442||090811161156|314|||81 :66830|66322||090811160020|20|||89 :64042|66804||090811160020|20|||89 :66804|77190||090811160540|85|||89 :169011|66965||090811160004|1|||81 :66965|169058|816990765965|090811160004|1|||01 :169003|66058||090811160012|3|||81 :66058|169049|816990765058|090811160012|3|||01 :66325|169058|816993310536|090811160004|1|||01 :169015|8210||090811160036|24|||81 :169040|66207||090811160000||||81 :64159|169050|81690422415614|090811160004|1|||01 :66332|169049|81690409889688|090811160020|5|||01 :66267|66664||090811160044|11|||89 :169012|66251||090811160036|39|||81 :64064|169045|816997003926|090811160032|8|||01 :45028|169050|816998016551|090811160004|1|||03 :64028|169057|816995968222|090811160008|17|||01 :169004|66465||090811160048|12|||81 :66465|169052|816998827644|090811160048|12|||01 :45030|169059|81691300882233|090811160052|88|||03 :169027|66762||090811160024|156|||81 :169006|66938||090811160028|7|||81 :66938|169042|816990765938|090811160028|7|||01 :169008|8006||090811160020|65|||81 :66274|169054|816995296641|090811160112|93|||01 :169025|64022||090811161904|271|||81 :169028|77971||090811160108|2|||81 :66025|169054|816995281298|090811160108|2|||01 :66451|169059|81690409889688|090811160120|5|||01 :169001|45010|8145|090811160128|202|||03 :169036|66666||090811160056|14|||81 :66256|169055|816995081222|090811160144|131|||01 :66177|66350||090811160220|5|||89 :169031|110060|81101|090811160144|11|||03 :169030|66110||090811160212|93|||81 :169016|66707||090811160148|87|||81 :169029|66465||090811160144|26|||81 :66465|169043|816998827644|090811160144|26|||01 :169038|64036||090811160144|26|||81 :64036|169044|816990766465|090811160144|26|||01 :169021|66012||090811160140|10|||81 :66661|66341||090811160212|3|||89 :64123|169059|816995765468|090811160220|5|||01 :66648|169045|816994271920|090811160204|1|||01 :77149|66804||090811160248|12|||89 :8203|169046|816990139792|090811160228|37|||01 :66769|169047|816995712804|090811160240|40|||01 :169036|66742||090811160412|18|||81 :45028|169057|81690438573756|090811160248|27|||03 :66713|169050|816998575101|090811160252|13|||01 :169039|110060|81102|090811160224|6|||03 :66707|169059|81690414403640|090811160236|9|||01 :169024|8100||090811160236|9|||81 :169017|45001|8145|090811160300|30|||03 :169014|66210||090811160312|33|||81 :66964|169049|816993978373|090811160300|15|||01 :169026|45026|8145|090811160256|14|||03 :169020|45024|8145|090811160316|4|||03 :45027|169055|816998138180|090811160340|25|||03 :66137|77434||090811160408|2|||89 :169013|66207||090811160328|7|||81 :77149|77190||090811160508|17|||89 :169032|66195||090811160348|12|||81 :66435|66002||090811160416|4|||89 :8210|169050|816993372812|090811160408|2|||01 :66234|66718||090811160540|25|||89 :169023|66268||090811160356|14|||81 :45028|169059|816998240595|090811160440|10|||03 :169034|66393||090811160356|14|||81 :66137|66322||090811160428|7|||89 :66177|66854||090811160540|10|||89 :66648|169057|816994271920|090811160436|24|||01 :66412|169050|816997422388|090811160512|3|||01 :66363|66480||090811160556|14|||89 :64026|169044|816996998044|090811160436|39|||01 :45030|169054|81690414403640|090811160524|51|||03 :64022|64112||090811160904|61|||89 :66256|66322||090811160620|20|||89 :66382|169052|816987867724|090811160524|66|||01 :169003|66744||090811160508|17|||81 :169042|66058||090811160512|3|||81 :66058|169046|816990765058|090811160512|3|||01 :66412|169054|816997422388|090811160500||||01 :66804|66896||090811160612|3|||89 :66459|169058|81690412335317|090811160536|84|||01 :66193|169052|816995967896|090811160624|6|||01 :45030|169050|816995937163|090811160556|14|||03 :8612|169057|816985175777|090811160556|14|||01 :169012|66012||090811160616|34|||81 :169031|66193||090811160612|3|||81 :66177|66136||090811160640|10|||89 :77190|66866||090811160608|2|||89 :169021|64028||090811161132|68|||81 :77187|169052|816999257096|090811160608|2|||01 :64057|169044|816995272425|090811160608|17|||01 :66242|169057|81690432681805|090811160640|10|||01 :77190|169059|816997962335|090811160652|28|||01 :66610|169044|816995967331|090811160704|1|||01 :169037|66707||090811160704|16|||81 :66341|169047|81690432095545|090811160716|64|||01 :169041|77971||090811160648|57|||81 :66322|169050|816998772533|090811160652|13|||01 :169030|66744||090811160720|5|||81 :64158|169054|816998160439|090811160748|27|||01 :66395|77434||090811160720|5|||89 :169008|45020|8145|090811160740|10|||03 :77659|169058|81690431367609|090811160740|10|||01 :64028|169040|816995968222|090811160748|12|||01 :169011|45021|8145|090811160808|17|||03 :77187|169057|816999257447|090811160712|3|||01 :169038|110057|81102|090811160728|7|||03 :169001|110058|8110|090811160800|30|||03 :169029|66174||090811160732|8|||81 :66702|169060|816959|090811160724|186|||01 :45027|169049|816995274800|090811160756|59|||03 :169018|66834||090811160812|3|||81 :64026|169045|81690414223095|090811160808|47|||01 :169033|66261||090811160904|16|||81 :169016|45018|8145|090811160848|12|||03 :77083|169052|816992773745|090811160904|31|||01 :169024|66834||090811160832|8|||81 :66225|66019||090811161016|19|||89 :64159|2||090811160904|1|||89 :45030|169049|816998240595|090811160904|1|||03 :169026|66322||090811160916|4|||81 :169020|66322||090811160908|2|||81 :66107|169052|816995634840|090811161004|1|||01 :66322|169050|816998772533|090811160908|32|||01 :66396|2||090811161004|1|||89 :66713|77147||090811161032|8|||89 :169019|66762||090811161004|31|||81 :169017|45017|8145|090811160956|14|||03 :169034|66029||090811161028|7|||81 :169032|110060|81101|090811160956|14|||03 :169007|77971||090811160948|42|||81 :66396|2||090811161020|5|||89 :66268|2||090811161004|1|||89 :169022|64159||090811161004|16|||81 :169039|110056|8110|090811161000|30|||03 :66712|169057|816985747100|090811161032|23|||01 :169024|66844||090811161244|26|||81 :169023|66349||090811161028|7|||81 :169015|110055|81105|090811161048|12|||03 :169027|66428||090811161100|15|||81 :66314|169054|81690424755878|090811161036|24|||01 :169005|66267||090811161040|10|||81 :66895|2||090811161112|3|||89 :45030|169057|816998240595|090811161104|1|||03 :169031|66121||090811161044|11|||81 :64068|169059|816995985816|090811161052|58|||01 :66256|169046|816997003926|090811161116|79|||01 :169012|66713||090811161120|5|||81 :169041|66058||090811161140|10|||81 :66058|169045|816990765058|090811161140|10|||01 :66110|169042|816998930853|090811161132|68|||01 :169028|66115||090811161132|23|||81 :169011|66791||090811161204|1|||81 :77187|169058|816999252718|090811161148|57|||01 :77658|169054|816959432195|090811161140|10|||01 :169003|66195||090811161156|29|||81 :169036|110057|8110|090811161228|52|||03 :66637|169056|8169132221|090811161224|246|||01 :169004|110054|8110|090811161212|33|||03 :169038|66306||090811161148|12|||81 :64013|169060|81690412995150|090811161204|61|||01 :66890|66418||090811161220|5|||89 :66322|169050|81690447394815|090811161148|27|||01 :66423|66335||090811161212|3|||89 :169037|66423||090811161224|21|||81 :169044|66700||090811161240|25|||81 :169016|64060||090811161208|2|||81 :169033|66136||090811161216|4|||81 :169014|77971||090811161252|28|||81 :169037|66335||090811161316|4|||81 :169026|110058|81101|090811161216|4|||03 :169029|64047||090811161232|8|||81 :64007|169044|816995851623|090811161304|1|||01 :169020|110057|81101|090811161304|1|||03 :169017|110058|81101|090811161300||||03 :64057|169040|816985271999|090811161304|31|||01 :66707|169054|816995618114|090811161304|1|||01 :169034|110057|81101|090811161304|1|||03 :169032|110058|81101|090811161300||||03 :169021|66773||090811161320|35|||81 :169007|110057|81101|090811161304|1|||03 :169022|110058|81101|090811161304|1|||03 :169023|110057|81101|090811161300||||03 :169018|8005||090811161300|15|||81 :169024|110058|81101|090811161304|1|||03 :66610|169060|816995967331|090811161332|8|||01 :169015|110057|81101|090811161300||||03 :169005|110058|81101|090811161304|1|||03 :169031|110057|81101|090811161304|1|||03 :64015|169045|81690404412380|090811161324|6|||01 :169008|110058|81101|090811161304|1|||03 :8639|169042|816997692877|090811161332|8|||01 :45028|169040|81690418397388|090811161304|1|||03 :169028|110057|81101|090811161300||||03 :169011|110058|81101|090811161304|1|||03 :66707|169044|81690409418809|090811161320|5|||01 :169003|110058|81101|090811161400||||03 :169004|110057|81101|090811161404|1|||03 :77083|169058|816992773745|090811161340|25|||01 :169016|110058|81101|090811161400||||03 :169009|45023|8145|090811161324|156|||03 :169037|110057|81101|090811161404|1|||03 :169001|66666||090811161352|28|||81 :169026|110058|81101|090811161404|1|||03 :169020|110057|81101|090811161400||||03 :169017|110058|81101|090811161404|1|||03 :169034|110057|81101|090811161404|1|||03 :169014|66123||090811161532|23|||81 :169032|110058|81101|090811161400||||03 :66654|169038|81690421605373|090811161420|20|||01 :169021|110057|81101|090811161404|1|||03 :169035|66221||090811161432|188|||81 :169013|8165||090811162436|159|||81 :169007|110058|81101|090811161404|1|||03 :169022|110057|81101|090811161400||||03 :64071|169047|81690260253985|090811161440|70|||01 :169036|66314||090811161404|1|||81 :8164|169046|816995283420|090811161428|37|||01 :169023|110058|81101|090811161404|1|||03 :169025|110059|8110|090811161452|133|||03 :169018|110058|81101|090811161404|1|||03 :169027|110059|81101|090811161504|1|||03 :169006|66314||090811161432|68|||81 :169031|110058|81101|090811161504|1|||03 :8167|169050|81690488000945|090811161504|31|||01 :169028|110059|81101|090811161500||||03 :66336|169054|816987947198|090811161500|30|||01 :169003|110058|81101|090811161500||||03 :66130|169037|816998138432|090811161452|13|||01 :169004|110059|81101|090811161504|1|||03 :66449|169042|816952231141|090811161516|19|||01 :169016|110058|81101|090811161504|1|||03 :66341|169040|81690425849341|090811161444|11|||01 :169009|110059|81101|090811161504|1|||03 :66640|8019||090811161540|10|||89 :169008|66012||090811161516|4|||81 :169001|110058|81101|090811161504|1|||03 :169002|66306||090811161456|419|||81 :66623|169056|816997095555|090811161456|44|||01 :169015|66207||090811161536|9|||81 :45028|169045|81690403135332|090811161456|14|||03 :66707|169058|816997861392|090811161528|22|||01 :66195|169060|816998895275|090811161552|28|||01 :169011|66666||090811161528|7|||81 :66136|66428||090811161540|10|||89 :66844|169047|81690412394939|090811161536|9|||01 :169019|77065||090811162144|86|||81 :66718|169054|816992654207|090811161520|5|||01 :77187|169046|8169131881|090811161552|13|||01 :169020|64046||090811161600||||81 :66804|64112||090811161908|47|||89 :66332|169042|81690409889688|090811161528|7|||01 :66130|169058|816985205255|090811161524|6|||01 :66217|66314||090811161616|4|||89 :169005|66834||090811161544|11|||81 :66227|169038|816995755333|090811161616|19|||01 :169030|77971||090811161644|26|||81 :169017|66046||090811161640|10|||81 :66046|169060|816990765046|090811161640|10|||01 :66864|169058|816997815783|090811161608|2|||01 :66326|169050|816995431966|090811161624|21|||01 :169026|66342||090811161604|16|||81 :77187|169056|81691300760421|090811161620|5|||01 :66891|66804||090811161732|8|||89 :66846|66396||090811162024|51|||89 :66864|169058|816997815783|090811161700||||01 :169014|66844||090811161704|1|||81 :45030|169041|81691300847466|090811161748|72|||03 :64007|169045|816995851623|090811161704|1|||01 :8007|169047|8169132221|090811161720|5|||01 :66848|169050|816959432183|090811161724|6|||01 :45028|169060|816995920675|090811161824|21|||03 :169021|66046||090811161744|11|||81 :66046|169046|816990765046|090811161744|11|||01 :66894|64156||090811161936|24|||89 :169015|66119||090811162104|46|||81 :66313|169058|816990117200|090811161812|18|||01 :169013|66341||090811161828|7|||81 :169007|66336||090811161928|7|||81 :66895|169039|81690419592300|090811161852|118|||01 :64159|77065||090811161900||||89 :66363|169056|81690418593861|090811161924|36|||01 :66619|66713||090811161948|12|||89 :169022|66161||090811161948|12|||81 :64009|169058|816990766161|090811161852|13|||01 :66750|66762||090811162012|18|||89 :66234|2||090811162008|2|||89 :66872|169050|81691800224277|090811162004|16|||01 :66363|2||090811162008|2|||89 :169010|66652||090811162008|257|||81 :169023|66352||090811162044|11|||81 :66435|66002||090811162024|6|||89 :45027|169041|816995786721|090811161956|14|||03 :169018|66666||090811162024|6|||81 :66439|169039|81690281143572|090811162032|8|||01 :64160|66251||090811162028|7|||89 :66713|66830||090811162224|21|||89 :64028|169038|816995311805|090811162012|3|||01 :66314|66205||090811162104|1|||89 :169027|66314||090811162024|6|||81 :110001|169037|81690418728261|090811162024|6|||03 :169025|66449||090811162120|20|||81 :169034|45011|8145|090811162124|66|||03 :169011|8165||090811162632|83|||81 :66274|169052|816985522222|090811162120|170|||01 :66348|169034|81690426827955|090811162104|1|||01 :64009|169041|816990766161|090811162140|10|||01 :169028|66161||090811162140|10|||81 :66895|169058|816995920222|090811162048|27|||01 :169024|66713||090811162112|18|||81 :66864|169038|816995296730|090811162116|4|||01 :169016|66666||090811162108|2|||81 :8125|66707||090811162148|12|||89 :169003|64070||090811162132|8|||81 :66100|66761||090811162216|4|||89 :45030|169046|816996993220|090811162204|46|||03 :64028|169037|81690419547529|090811162116|4|||01 :66435|66002||090811162216|4|||89 :169019|66616||090811162208|2|||81 :64009|169046|8169907666161|090811162208|2|||01 :169032|45010|814571|090811162228|52|||03 :66349|169050|81690425834896|090811162156|29|||01 :64048|169056|816995309397|090811162236|39|||01 :66332|169041|81690409889688|090811162216|4|||01 :169020|66046||090811162208|2|||81 :66046|169030|816990765046|090811162208|2|||01 :169036|66063||090811162232|53|||81 :66063|169045|816990765063|090811162232|53|||01 :169009|66249||090811162248|12|||81 :66619|66830||090811162328|22|||89 :66342|77074||090811162300||||89 :169002|66342||090811162232|8|||81 :66864|169058|816995296730|090811162244|11|||01 :45028|169060|81690400411448|090811162240|70|||03 :66964|169038|816997649898|090811162252|13|||01 :66705|169047|81690414493438|090811162256|74|||01 :169005|110057|81104|090811162332|8|||03 :45029|169048|81690260412711|090811162340|400|||03 :169021|45004|8145|090811162312|3|||03 :64086|169044|816988481222|090811162316|139|||01 :169031|66341||090811162308|47|||81 :64069|169055|816997934451|090811162348|297|||01 :8167|66314||090811162456|14|||89 :66232|169052|816995324804|090811162336|24|||01 :66332|169048|81690409889688|090811162416|4|||01 :64028|169037|81690419557834|090811162348|27|||01 :66274|169058|816997943066|090811162424|6|||01 :169015|66261||090811162336|9|||81 :169026|77971||090811162432|23|||81 :77083|169055|816992773745|090811162404|1|||01 :169006|2||090811162356|59|||82 :66340|66266||090811162556|29|||89 :66499|8100||090811162408|2|||89 :169004|110059|81103|090811162428|52|||03 :66637|169058|816995255355|090811162504|1|||01 :169012|2||090811162428|7|||82 :77663|66349||090811162652|28|||89 :64159|169042|816993909550|090811162512|93|||01 :169023|66169||090811162516|4|||81 :66256|66664||090811162544|11|||89 :66332|169048|81690409889688|090811162516|4|||01 :66459|169040|81690407330902|090811162516|154|||01 :45028|169060|816952267111|090811162540|40|||03 :66349|66268||090811162628|7|||89 :66860|169055|816987878222|090811162612|18|||01 :66451|169052|81690409889688|090811162548|12|||01 :66348|169056|816995319811|090811162628|52|||01 :169016|8165||090811163040|70|||81 :66499|8167||090811162740|25|||89 :66332|169047|81690409889688|090811162628|7|||01 :66332|169052|81690409889688|090811162620|5|||01 :66038|169057|816995749122|090811162636|219|||01 :66635|169045|816995329349|090811162620|5|||01 :169033|64026||090811162644|191|||81 :169025|110060|81102|090811162644|11|||03 :66652|169050|81690413177631|090811162716|49|||01 :64035|169059|81690409520685|090811162732|233|||01 :66002|66435||090811162720|5|||89 :66860|169060|816997523455|090811162708|17|||01 :66672|169056|816994113555|090811162708|17|||01 :169008|66384||090811163912|183|||81 :169019|66428||090811162736|9|||81 :66349|169044|81690417352700|090811162720|20|||01 :66292|169058|816986615350|090811162748|42|||01 :66637|169057|816995367780|090811162804|16|||01 :169013|77971||090811162740|55|||81 :169041|66616||090811162808|2|||81 :66752|169043|816959989444|090811162752|388|||01 :64009|169058|816990766616|090811162808|2|||01 :66860|169059|81691300082273|090811162832|8|||01 :45029|169047|816995981360|090811162756|29|||03 :45030|169034|816998242012|090811162812|93|||03 :169030|66666||090811162812|3|||81 :64026|169052|816996363010|090811162828|7|||01 :169028|66718||090811162908|32|||81 :66856|169059|816994175820|090811162928|7|||01 :66267|169058|81690412474691|090811162932|8|||01 :66166|169060|816993114103|090811162844|26|||01 :66727|66161||090811162904|1|||89 :169032|66340||090811162956|14|||81 :169030|66123||090811163104|16|||81 :8164|169055|816995281597|090811162932|53|||01 :66306|169057|816993141022|090811162948|27|||01 :45030|169050|81691800657055|090811163032|23|||03 :66830|8125||090811163132|23|||89 :66762|66822||090811163040|10|||89 :169036|66762||090811163012|18|||81 :66804|169054|816951262132|090811163004|196|||01 :64048|169057|816992123000|090811163008|2|||01 :66851|169058|816997881397|090811163048|12|||01 :169003|45003|8145|090811163032|53|||03 :169022|77971||090811163056|89|||81 :66362|66619||090811163256|29|||89 :169007|110057|81105|090811163032|23|||03 :66266|169050|81690413135301|090811163024|6|||01 :169021|66435||090811163104|16|||81 :64066|169049|816997281741|090811163108|317|||01 :169031|66938||090811163052|13|||81 :66938|169055|816990765938|090811163052|13|||01 :169026|66322||090811163104|1|||81 :64009|169052|816990766161|090811163048|12|||01 :169014|66161||090811163048|12|||81 :64048|169058|816992123008|090811163128|7|||01 :169005|66261||090811163144|11|||81 :169037|169054|81690400551050|090811163128|7|||03 :169002|77074||090811164108|137|||81 :169036|66822||090811163336|24|||81 :64035|66234||090811163236|9|||89 :169023|77434||090811163204|1|||81 :66332|169054|81690409889688|090811163220|5|||01 :169038|77971||090811163240|40|||81 :169042|66938||090811163240|10|||81 :66938|169055|816990765938|090811163240|10|||01 :66707|169056|816990762000|090811163228|67|||01 :66348|169046|81690417137844|090811163208|92|||01 :64139|169060|816995570341|090811163244|41|||01 :64026|169059|81690413695140|090811163304|46|||01 :64114|169054|816990766002|090811163220|5|||01 :169011|66002||090811163220|5|||81 :169016|66744||090811163236|9|||81 :66856|2||090811163308|2|||89 :169004|66829||090811163236|24|||81 :169015|45027|8145|090811163252|28|||03 :66038|169052|816993151640|090811163256|14|||01 :66314|66348||090811163308|2|||89 :169017|66314||090811163328|157|||81 :169045|169056|81690404816431|090811163320|5|||03 :169040|77971||090811163340|25|||81 :64052|169055|816995788906|090811163336|9|||01 :169009|110059|8110|090811163320|65|||03 :64123|66251||090811163704|46|||89 :169018|66616||090811163408|2|||81 :64009|169054|816990766616|090811163412|3|||01 :45030|169060|816995327603|090811163344|11|||03 :66439|169035|81690293473600|090811163412|198|||01 :66266|169058|816985179525|090811163456|44|||01 :169019|2||090811163424|6|||82 :169024|66666||090811163424|6|||81 :45028|169056|81691300308184|090811163436|9|||03 :169033|66261||090811163512|18|||81 :169008|45025|8145|090811163448|12|||03 :66177|66854||090811163536|9|||89 :66804|64022||090811163508|2|||89 :66648|66804||090811163604|16|||89 :66707|169059|81690429944443|090811163536|24|||01 :45030|169060|81690403820315|090811163508|2|||03 :66340|169048|816995311987|090811163552|148|||01 :77190|66844||090811163608|2|||89 :66451|169055|81690409889688|090811163552|28|||01 :45030|169060|81690428569549|090811163604|1|||03 :8614|169058|81690431219097|090811163636|9|||01 :66856|66713||090811163912|48|||89 :66648|64022||090811163832|23|||89 :169041|66210||090811163720|20|||81 :66648|169055|816994271920|090811163700||||01 :45029|169060|816995314952|090811163652|13|||03 :169034|66093||090811163728|7|||81 :66093|169058|816990765093|090811163728|7|||01 :8125|66727||090811163904|16|||89 :169020|66340||090811163708|2|||81 :66680|2||090811163816|4|||89 :66648|169060|81690416206145|090811163804|1|||01 :66340|169060|81691194|090811163800||||01 :169013|45022|8145|090811163748|27|||03 :8639|169039|81690437357842|090811163832|263|||01 :169028|66888||090811163804|16|||81 :66350|169060|8169430|090811163816|4|||01 :64158|77065||090811163900||||89 :66680|66660||090811163944|11|||89 :169030|66340||090811163812|3|||81 :169032|66938||090811163844|11|||81 :66938|169055|816990765938|090811163844|11|||01 :66789|66350||090811163916|4|||89 :8164|66336||090811163928|7|||89 :66804|169057|816951342687|090811163928|127|||01 :64158|169058|816993909550|090811163932|23|||01 :66396|66423||090811164036|24|||89 :66789|66435||090811164020|5|||89 :66620|169057|816997826113|090811163936|9|||01 :66680|2||090811164008|2|||89 :66412|169045|816997422388|090811164008|2|||01 :169031|66610||090811163952|13|||81 :66266|169052|816990763043|090811164052|28|||01 :8614|169060|816996909144|090811164056|29|||01 :77083|169056|816992773745|090811164028|52|||01 :169014|45018|8145|090811164032|8|||03 :66315|169059|816995795871|090811164100|75|||01 :66744|66762||090811164100||||89 :169026|66744||090811164052|13|||81 :169017|66348||090811164820|110|||81 :169006|66884||090811164020|5|||81 :66623|169054|816997095555|090811164032|53|||01 :169003|64036||090811164056|29|||81 :64036|169050|816990766465|090811164056|29|||01 :169022|66465||090811164056|29|||81 :66465|169049|816998827644|090811164056|29|||01 :66789|169057|816995329349|090811164048|12|||01 :66266|66340||090811164132|8|||89 :66348|169060|81690426827955|090811164104|1|||01 :169021|110059|81106|090811164112|33|||03 :66648|169057|81691300550030|090811164120|5|||01 :169001|66866||090811164148|297|||81 :45029|169059|81690408866888|090811164204|1|||03 :169037|66717||090811164120|5|||81 :66451|169043|81690409889688|090811164152|28|||01 :45030|169055|816995274355|090811164212|48|||03 :64028|169052|816992568388|090811164208|17|||01 :64139|169056|816998706443|090811164200|15|||01 :169002|66336||090811164220|5|||81 :169029|66263||090811164232|428|||81 :66619|169042|81691300338776|090811164232|38|||01 :8639|169048|816997068933|090811164232|53|||01 :77645|77068||090811164428|22|||89 :66332|169056|81690409889688|090811164316|4|||01 :66822|2||090811164312|3|||89 :66648|169059|81691300550036|090811164312|18|||01 :66324|169058|816995782027|090811164324|51|||01 :169023|66447||090811164328|7|||81 :66193|169054|816995967896|090811164300|30|||01 :64028|169055|816995097252|090811164248|12|||01 :66860|169060|816998222562|090811164304|31|||01 :66822|169050|81690404816431|090811164336|9|||01 :169005|66713||090811164408|47|||81 :66618|169059|816986623920|090811164400||||01 :66412|169057|816997422388|090811164408|32|||01 :66846|169047|81690401639995|090811164424|66|||01 :66866|169052|816998138180|090811164432|23|||01 :169038|66336||090811164440|25|||81 :66712|169055|816995237601|090811164428|7|||01 :169012|66610||090811164516|199|||81 :169011|110060|8110|090811164424|21|||03 :66348|169056|816994266666|090811164444|11|||01 :66396|2||090811164516|4|||89 :66635|66435||090811164524|6|||89 :66118|169060|816995686050|090811164548|27|||01 :66324|169058|816992843400|090811164544|26|||01 :169040|66636||090811164604|1|||81 :66727|169059|816995792077|090811164632|23|||01 :169035|66012||090811164608|2|||81 :66443|169055|816998240595|090811164620|20|||01 :66762|66396||090811164720|5|||89 :45030|169060|816998999567|090811164636|9|||03 :66804|169046|816951262132|090811164700|105|||01 :66332|169057|81690409889688|090811164656|29|||01 :66880|169058|816995963722|090811164708|17|||01 :169018|66938||090811164648|12|||81 :66938|169052|816990765938|090811164648|12|||01 :169015|66107||090811164708|32|||81 :66253|2||090811164720|5|||89 :66660|66763||090811164836|24|||89 :169035|66123||090811164804|16|||81 :169019|66063||090811164728|7|||81 :66063|169060|816990765063|090811164728|7|||01 :169024|66269||090811164816|4|||81 :169044|45020|8145|090811164832|158|||03 :169009|66718||090811164820|35|||81 :66332|169055|81690409889688|090811164832|8|||01 :66618|66459||090811165136|54|||89 :169033|66680||090811164852|13|||81 :169020|66834||090811164804|1|||81 :66755|64035||090811165148|42|||89 :169016|64046||090811164900||||81 :66675|169060|816998138432|090811164836|9|||01 :45029|169057|81690403604516|090811164908|17|||03 :45030|169058|816995782585|090811164844|26|||03 :66661|66253||090811164940|10|||89 :169039|66789||090811164928|7|||81 :169034|66350||090811164848|12|||81 :169008|66340||090811164908|17|||81 :66232|169057|816998043991|090811164928|7|||01 :66324|66266||090811165120|20|||89 :169013|66063||090811164952|13|||81 :66063|169054|816990765063|090811164952|13|||01 :169030|66350||090811164928|7|||81 :66341|66253||090811165112|18|||89 :66256|169041|816997351459|090811165004|151|||01 :64070|169060|816995840934|090811165036|24|||01 :66618|66459||090811165136|9|||89 :66118|169057|81690414016700|090811165108|17|||01 :45030|169054|816995769311|090811165120|20|||03 :169032|45016|8145|090811165204|16|||03 :169031|64088||090811165128|7|||81 :66348|169056|816995919200|090811165156|104|||01 :66610|169059|81690447540726|090811165232|83|||01 :169028|169058|81690412862837|090811165216|34|||03 :169007|66340||090811165208|17|||81 :66324|169060|816990762656|090811165220|20|||01 :66166|169050|81691800635331|090811165208|2|||01 :45030|169057|816995963136|090811165244|11|||03 :66804|169060|81690411774511|090811165304|1|||01 :66675|169059|816997881269|090811165240|10|||01 :169017|66177||090811165324|6|||81 :169045|66712||090811165312|18|||81 :66118|169056|816995782049|090811165256|14|||01 :8612|169049|816992392580|090811165300||||01 :169006|77971||090811165332|8|||81 :8203|169057|81690415637174|090811165300||||01 :66664|169055|81691300338776|090811165316|79|||01 :64035|66396||090811165924|81|||89 :8639|169056|81690413936366|090811165436|9|||01 :66443|169050|81690428300380|090811165428|22|||01 :64026|169057|816995097252|090811165456|14|||01 :66707|2||090811165544|11|||89 :66329|169054|816997418382|090811165516|49|||01 :66140|169057|81690421839936|090811165504|1|||01 :169022|2||090811165524|6|||82 :66183|64040||090811165516|4|||89 :64026|169050|816992568388|090811165524|6|||01 :66348|169058|81690433326395|090811165500|45|||01 :64139|169056|81690408007802|090811165612|18|||01 :66325|169060|816994907530|090811165556|44|||01 :66177|66350||090811165732|8|||89 :169003|45015|8145|090811165644|11|||03 :77639|66768||090811165744|11|||89 :45030|169057|816995024320|090811165636|9|||03 :66205|169058|816995681234|090811165700|15|||01 :66707|169048|81690395251300|090811165712|33|||01 :169043|66718||090811165744|11|||81 :66804|169058|81690401514072|090811165736|9|||01 :169001|66762||090811165720|20|||81 :169036|66341||090811165820|5|||81 :66219|169056|81691300773000|090811165808|17|||01 :66039|169052|81690433232533|090811165804|91|||01 :66314|169055|81690424755878|090811165744|56|||01 :169029|66063||090811165812|3|||81 :66063|169056|816990765063|090811165812|3|||01 :169010|66666||090811165848|12|||81 :64048|169060|81690755007800|090811165852|28|||01 :45030|169057|816996198778|090811165844|26|||03 :169042|66675||090811165828|7|||81 :169023|66314||090811165908|2|||81 :66804|169058|81690411774511|090811165932|23|||01 :45030|169057|816995045225|090811165956|14|||03