:66346|66854||020908090036|24|||89 :169023|66600||020908090004|1|||81 :169002|66227||020908090056|14|||81 :66189|169060|816997843777|020908090028|7|||01 :169045|66012||020908090032|8|||81 :66844|169057|8169131512|020908090012|3|||01 :169037|66002||020908090036|9|||81 :169033|66289||020908090204|16|||81 :77190|66118||020908090104|1|||89 :66012|77145||020908090104|1|||89 :66429|66032||020908090128|7|||89 :66801|169055|816998293959|020908090152|13|||01 :66677|169060|816996350000|020908090208|17|||01 :66324|77147||020908090220|5|||89 :66414|66336||020908090312|18|||89 :66192|66341||020908090808|92|||89 :66429|169050|816995833325|020908090236|9|||01 :169046|66666||020908090208|2|||81 :169033|66867||020908090252|28|||81 :66136|66854||020908090332|8|||89 :66809|169052|816997596555|020908090232|23|||01 :77081|66741||020908090344|11|||89 :66192|66396||020908090312|3|||89 :169046|66804||020908090328|7|||81 :66342|77069||020908090304|1|||89 :66842|169047|81690421682442|020908090312|3|||01 :64086|169052|81690404042418|020908090300||||01 :8166|169050|816997945670|020908090300|15|||01 :66137|169057|816995962779|020908090336|39|||01 :66677|169060|816996350000|020908090324|21|||01 :66801|169049|816986846972|020908090344|11|||01 :66100|66418||020908090404|1|||89 :66382|169054|816995286708|020908090400||||01 :66231|169059|816995572668|020908090332|53|||01 :66717|66350||020908090420|5|||89 :64064|169054|816994356621|020908090504|1|||01 :77065|77143||020908090504|1|||89 :66035|169057|81691300557676|020908090436|9|||01 :66322|169050|816995518158|020908090516|4|||01 :169017|66478||020908090456|14|||81 :66312|66349||020908090528|7|||89 :169025|66166||020908090512|3|||81 :66178|169054|816995329349|020908090520|5|||01 :66434|169049|816995910215|020908090528|7|||01 :66801|169052|816995847008|020908090536|9|||01 :169014|66025||020908090512|93|||81 :66429|169047|816996646278|020908090544|11|||01 :169020|110060|81103|020908090500||||03 :66314|66199||020908090612|3|||89 :169039|66314||020908090504|31|||81 :66117|169055|816995282929|020908090512|48|||01 :169030|66800||020908090524|6|||81 :77065|77143||020908090604|1|||89 :66183|66161||020908090652|13|||89 :66153|169050|816985205206|020908090604|1|||01 :169016|77971||020908090608|77|||81 :66366|169052|816992766800|020908090624|6|||01 :169040|66801||020908090624|6|||81 :169013|66857||020908090556|14|||81 :169027|2||020908090632|8|||82 :66390|169060|816994833833|020908090628|37|||01 :169008|66666||020908090616|4|||81 :64065|66297||020908090808|17|||89 :66499|169057|816995969520|020908090640|25|||01 :169036|66712||020908090608|2|||81 :66703|169052|816998678522|020908090708|2|||01 :169043|66744||020908090700|60|||81 :169039|66199||020908090812|18|||81 :66025|169055|81690414813124|020908090656|14|||01 :66183|66161||020908090736|9|||89 :169042|66259||020908090636|9|||81 :169019|66336||020908090724|21|||81 :66689|66272||020908091004|46|||89 :66750|169047|816951444020|020908090708|2|||01 :169021|66447||020908090720|5|||81 :66137|66251||020908090716|4|||89 :66314|66373||020908090728|7|||89 :169001|77971||020908090712|33|||81 :66475|66314||020908090804|16|||89 :66789|169049|816995968490|020908090732|23|||01 :64052|169060|816995348014|020908090716|19|||01 :66183|169052|816995961772|020908090724|6|||01 :169035|66666||020908090720|5|||81 :66654|169055|816998901018|020908090816|4|||01 :8611|169057|81690423125047|020908090748|12|||01 :169009|66012||020908090816|4|||81 :66619|66721||020908090812|3|||89 :66611|2||020908090800||||89 :66102|66659||020908090804|1|||89 :169003|66102||020908090820|5|||81 :64101|64073||020908090844|11|||89 :66136|66428||020908090852|13|||89 :66881|169054|816995238095|020908090756|44|||01 :66638|66744||020908090956|14|||89 :169012|66610||020908090832|8|||81 :66499|169057|816995311954|020908090808|2|||01 :66857|169046|816995090067|020908090844|56|||01 :169004|66611||020908090836|9|||81 :66801|169055|81690400575427|020908090836|9|||01 :169003|66659||020908090948|12|||81 :169034|66153||020908090832|38|||81 :66192|66382||020908091220|50|||89 :66100|64086||020908091344|71|||89 :64071|66341||020908090928|7|||89 :66648|169049|81690412195834|020908090900||||01 :169011|77971||020908090900|30|||81 :169006|110056|8110|020908090924|6|||03 :66842|2||020908090904|1|||89 :66192|66657||020908090916|4|||89 :66638|66611||020908091036|9|||89 :66876|169056|816996676788|020908090924|216|||01 :8611|169047|816997966311|020908091000|15|||01 :169018|66314||020908090956|14|||81 :169008|66871||020908091324|51|||81 :169010|110060|81101|020908091032|38|||03 :66117|169050|816995698084|020908090952|43|||01 :169028|66666||020908091020|20|||81 :169002|66856||020908091036|9|||81 :66648|169054|816995765014|020908091040|10|||01 :66410|169058|81690430039866|020908091100|210|||01 :169023|66607||020908091100|15|||81 :66136|66161||020908091248|27|||89 :66332|169058|81690409889688|020908091104|1|||01 :169037|66642||020908091124|6|||81 :169032|66270||020908091124|21|||81 :77083|169054|816992773745|020908091104|1|||01 :169045|66478||020908091100|15|||81 :169024|66261||020908091112|108|||81 :66130|169056|816993545006|020908091120|20|||01 :169007|66666||020908091128|37|||81 :66197|169054|816995279547|020908091212|3|||01 :66831|2||020908091204|1|||89 :169014|66119||020908091152|13|||81 :169040|64036||020908091236|9|||81 :66762|66713||020908091336|9|||89 :169013|66666||020908091244|11|||81 :66336|77147||020908091328|7|||89 :66702|169058|81690417372191|020908091228|22|||01 :169016|66666||020908091248|12|||81 :77190|66751||020908091304|1|||89 :77758|66713||020908091304|1|||89 :169036|110055|81101|020908091236|9|||03 :66830|66349||020908091412|18|||89 :169020|66831||020908091316|19|||81 :169043|66744||020908091332|8|||81 :169015|66314||020908091316|34|||81 :169025|77971||020908091336|39|||81 :66390|66357||020908091420|5|||89 :66011|2||020908091428|7|||89 :66876|169045|816908822554734|020908091404|1|||01 :66178|66130||020908091440|10|||89 :169031|66842||020908091356|74|||81 :169001|66352||020908091408|2|||81 :8165|66857||020908092036|84|||89 :169042|66267||020908091444|11|||81 :169039|66261||020908091420|20|||81 :66210|169054|816995790197|020908091424|36|||01 :8019|8012||020908091628|22|||89 :169038|66429||020908091428|82|||81 :169028|66499||020908091932|68|||81 :169019|66100||020908091436|9|||81 :66702|169058|81690400059492|020908091452|28|||01 :66842|2||020908091512|3|||89 :169009|66834||020908091520|5|||81 :66871|169046|816995722175|020908091532|8|||01 :66128|169044|816986139755|020908091536|9|||01 :169029|110059|81105|020908091520|140|||03 :169012|110058|81101|020908091528|7|||03 :66197|169058|816995279547|020908091512|3|||01 :169022|77971||020908091548|12|||81 :169003|66718||020908091624|6|||81 :169032|66744||020908092104|76|||81 :66842|66261||020908091616|4|||89 :77790|169044|816995809832|020908091604|1|||01 :66284|77089||020908091604|1|||89 :64101|64073||020908091636|9|||89 :169011|66478||020908091608|2|||81 :169034|110060|8110|020908091636|9|||03 :66352|169050|816995989334|020908091604|76|||01 :66288|169054|816995831630|020908091652|13|||01 :169009|77810||020908091828|22|||81 :66003|169039|8169029|020908091636|9|||01 :77790|169040|81690425738940|020908091720|5|||01 :8615|169055|816997881369|020908091712|93|||01 :66365|169043|81690434270411|020908091644|11|||01 :66314|66199||020908091724|6|||89 :169006|66314||020908091704|16|||81 :66288|2||020908091712|3|||89 :8619|169042|816998091432|020908091744|11|||01 :169033|66012||020908091712|3|||81 :66382|66322||020908091832|8|||89 :8166|169058|8169132221|020908091732|23|||01 :169008|66888||020908091712|18|||81 :169002|66801||020908091800|15|||81 :169006|66199||020908091832|8|||81 :77790|169055|816995809832|020908091720|5|||01 :66260|169046|816995636581|020908091808|32|||01 :66288|169043|81690404807518|020908091740|10|||01 :169033|64013||020908091848|12|||81 :66703|169044|816998678522|020908091812|18|||01 :66261|169058|81690434270411|020908091824|6|||01 :169030|66619||020908091900|105|||81 :66178|66130||020908091940|10|||89 :169005|66801||020908091836|9|||81 :169037|77971||020908091912|3|||81 :66390|64027||020908092352|73|||89 :66141|169057|8169132849|020908091852|148|||01 :66332|169058|81690409889688|020908091904|1|||01 :169014|66666||020908091916|4|||81 :66448|169059|816994793930|020908091916|229|||01 :66830|66322||020908091920|5|||89 :66407|2||020908091908|2|||89 :66332|169054|81690409889688|020908091940|25|||01 :8612|169050|81690401815300|020908091944|41|||01 :169023|77971||020908091940|40|||81 :66197|169059|816995279547|020908091912|3|||01 :169041|66631||020908091936|204|||81 :169014|66880||020908092052|13|||81 :169016|66712||020908092012|3|||81 :169007|110060|8110|020908091956|14|||03 :66407|169058|81690402095086|020908091940|10|||01 :66650|2||020908092008|2|||89 :66427|169052|816995695853|020908091948|177|||01 :66841|2||020908092104|1|||89 :66659|169059|816995814236|020908092044|11|||01 :169015|2||020908092104|1|||82 :169020|66314||020908092032|8|||81 :66661|66611||020908092132|8|||89 :169036|110059|8110|020908092100|15|||03 :66880|169050|81690419589019|020908092120|5|||01 :66407|2||020908092108|2|||89 :66117|169049|816996461983|020908092132|128|||01 :66216|66218||020908092132|8|||89 :66195|169059|81691300360929|020908092112|3|||01 :66650|169054|81690425707945|020908092104|16|||01 :169021|66666||020908092120|5|||81 :8009|2||020908092212|3|||89 :66842|66367||020908092248|12|||89 :66330|169054|81690413135301|020908092200||||01 :66450|169046|816985744700|020908092204|16|||01 :66407|2||020908092208|2|||89 :66336|169049|81691300888801|020908092132|8|||01 :66261|169058|81690413324000|020908092228|22|||01 :66844|169045|8169131512|020908092148|117|||01 :66316|77790||020908092204|1|||89 :169001|66316||020908092240|10|||81 :8009|169050|81690423169329|020908092224|6|||01 :66162|2||020908092220|5|||89 :66773|169055|816998203242|020908092224|36|||01 :169031|66179||020908092252|13|||81 :169037|8613||020908092644|56|||81 :8009|2||020908092316|4|||89 :66619|66422||020908092328|7|||89 :66330|169054|81690413135301|020908092244|11|||01 :66659|66314||020908092420|20|||89 :66630|169059|816998187791|020908092224|21|||01 :66288|66648||020908092448|27|||89 :169038|66801||020908092320|20|||81 :169004|110058|8110|020908092236|9|||03 :169019|110059|81103|020908092340|10|||03 :8009|2||020908092308|2|||89 :66407|169046|81690438938710|020908092308|17|||01 :66450|169055|816997678778|020908092340|10|||01 :169001|77790||020908092404|16|||81 :66113|77190||020908092320|5|||89 :66330|77089||020908092324|6|||89 :66324|169050|816995785555|020908092348|12|||01 :66610|169054|816996350276|020908092408|2|||01 :66713|66712||020908092440|10|||89 :169029|66801||020908092352|13|||81 :66322|66762||020908092420|5|||89 :8009|169044|81690423169329|020908092348|12|||01 :66427|169045|816995230630|020908092400|15|||01 :8005|8007||020908092400||||89 :169022|8005||020908092412|3|||81 :169012|66314||020908092444|11|||81 :66035|169054|81691300557676|020908092416|4|||01 :66450|169050|816992096753|020908092432|8|||01 :66811|66478||020908093124|96|||89 :64073|169055|816997727222|020908092440|10|||01 :169025|110053|81106|020908092436|54|||03 :66322|66830||020908092528|7|||89 :66840|169060|816996909144|020908092504|256|||01 :66619|66422||020908092636|24|||89 :169010|66267||020908092524|6|||81 :66357|169057|816995101963|020908092536|84|||01 :169011|66260||020908092532|8|||81 :66450|169050|816987922358|020908092508|2|||01 :66195|169054|81691300366313|020908092540|10|||01 :169022|8007||020908092600|15|||81 :66427|169045|816995633534|020908092552|13|||01 :66153|169056|816985205206|020908092540|205|||01 :66843|169049|816995767138|020908092544|41|||01 :169021|77810||020908093008|62|||81 :66882|169047|816985321634|020908092608|182|||01 :66178|66161||020908092628|7|||89 :66450|169056|816987922358|020908092604|1|||01 :66476|169046|816990117374|020908092608|32|||01 :66260|66611||020908092608|2|||89 :66189|169048|816995718115|020908092604|346|||01 :169040|66058||020908092644|11|||81 :66058|169057|816990765058|020908092644|11|||01 :66329|169058|816995283661|020908092656|44|||01 :169006|2||020908092616|4|||82 :66881|169042|816997692877|020908092644|131|||01 :169009|66366||020908092624|21|||81 :66382|169060|816996039511|020908092644|11|||01 :169028|77971||020908092704|76|||81 :169039|110060|8110|020908092624|21|||03 :77643|169054|816996909144|020908092652|13|||01 :66703|169050|816998025942|020908092724|6|||01 :169033|66254||020908092736|9|||81 :66161|66854||020908092748|12|||89 :66348|169060|81690413732804|020908092700||||01 :66450|169058|816997716108|020908092736|9|||01 :2|66314||020908092712|3|||89 :169013|66321||020908092756|14|||81 :169026|66433||020908092736|9|||81 :169034|66776||020908092756|29|||81 :169041|66666||020908092720|5|||81 :66476|66314||020908092916|19|||89 :66830|169060|816995984594|020908092812|3|||01 :169027|66841||020908092808|107|||81 :66396|77648||020908093032|38|||89 :66661|66611||020908092828|7|||89 :66324|169058|816995782027|020908092816|4|||01 :66166|169059|816998538823|020908092736|69|||01 :66382|169057|816996039534|020908092756|14|||01 :66660|66705||020908092848|12|||89 :169023|66801||020908092756|14|||81 :169041|77810||020908092836|9|||81 :66476|169060|81690417594148|020908092820|5|||01 :66450|169048|816995641000|020908092840|10|||01 :169002|66636||020908092828|37|||81 :169008|66422||020908092844|41|||81 :169032|66270||020908092848|57|||81 :169020|66744||020908092920|5|||81 :66661|2||020908092912|3|||89 :77069|66652||020908093012|18|||89 :77190|66237||020908092916|4|||89 :169014|66314||020908092908|17|||81 :66369|169050|816998133172|020908092928|22|||01 :66348|169059|816994279186|020908092856|14|||01 :66475|66314||020908092924|6|||89 :66332|169050|81690409889688|020908093004|1|||01 :66422|66707||020908093032|8|||89 :169018|8167||020908094952|298|||81 :66856|169060|816992585914|020908092948|12|||01 :169015|66804||020908092932|23|||81 :66801|169057|816995690587|020908093028|22|||01 :8615|169052|816959822567|020908092936|144|||01 :66192|169043|816995261988|020908093012|78|||01 :66183|66161||020908093100|15|||89 :66661|66267||020908093120|20|||89 :66390|66393||020908093600|90|||89 :169036|66844||020908093056|29|||81 :66272|66263||020908093128|7|||89 :66225|169056|816985870275|020908093024|51|||01 :66137|66313||020908093300|30|||89 :169011|110053|81104|020908093104|1|||03 :66679|66422||020908093152|13|||89 :169003|110060|8110|020908093104|1|||03 :169010|66260||020908093136|9|||81 :169001|66607||020908093124|21|||81 :66763|2||020908093204|1|||89 :66638|66744||020908093908|107|||89 :64026|169052|816990761000|020908093212|3|||01 :66603|66259||020908093220|5|||89 :169046|66153||020908093224|6|||81 :169045|66314||020908093224|6|||81 :2|66741||020908093200||||89 :64024|169058|816995920222|020908093144|56|||01 :169019|66619||020908093144|26|||81 :66744|66611||020908093220|5|||89 :66882|169049|816983440814|020908093148|87|||01 :66121|66002||020908093212|3|||89 :66804|169057|816995962411|020908093200|15|||01 :64005|169050|816995318140|020908093232|8|||01 :169006|66664||020908093216|4|||81 :169031|66336||020908093224|51|||81 :66176|2||020908093208|2|||89 :169040|66607||020908093256|14|||81 :66213|66341||020908093336|9|||89 :169028|66744||020908093224|6|||81 :66335|2||020908093304|1|||89 :169009|66801||020908093236|9|||81 :66450|169059|816995994711|020908093248|57|||01 :64026|169058|816995724614|020908093248|12|||01 :66176|169057|81690423328932|020908093344|11|||01 :66407|2||020908093308|2|||89 :169005|66776||020908093320|5|||81 :77040|66313||020908093520|20|||89 :169037|169048|816992585010|020908093316|64|||03 :66002|169049|8169013|020908093340|10|||01 :66675|169060|816995773300|020908093336|39|||01 :169005|66804||020908093424|6|||81 :66261|169052|8169132227|020908093416|19|||01 :66661|66611||020908093412|3|||89 :66152|169057|816998620000|020908093340|10|||01 :66443|169047|816995962853|020908093404|16|||01 :169039|66834||020908093432|23|||81 :66348|169050|816995765057|020908093440|25|||01 :169033|110059|81101|020908093436|24|||03 :66407|169046|81690409018373|020908093456|14|||01 :169034|110060|8110|020908093500||||03 :169021|66153||020908093432|53|||81 :64036|169058|81690423845428|020908093432|8|||01 :66152|66255||020908093520|5|||89 :66707|66422||020908093644|26|||89 :169022|66741||020908093512|48|||81 :77190|66107||020908093512|3|||89 :169013|66773||020908093456|14|||81 :66826|66192||020908093552|13|||89 :66407|169057|816995639546|020908093508|2|||01 :169026|66607||020908093556|14|||81 :169025|66763||020908093552|58|||81 :66422|66762||020908093632|8|||89 :66638|169059|816997694155|020908093552|43|||01 :64013|169052|81690419499904|020908093604|16|||01 :169027|66314||020908093540|10|||81 :66113|169050|816995964808|020908093608|2|||01 :66811|169055|81691300687746|020908093616|169|||01 :66268|66261||020908093648|12|||89 :66274|169058|816995239750|020908093652|13|||01 :169007|66012||020908093612|3|||81 :66121|66002||020908093812|18|||89 :64005|169056|81690407342334|020908093652|58|||01 :66348|169057|816995275265|020908093636|9|||01 :8614|169059|81690403757936|020908093700||||01 :66332|169048|81690409889688|020908093704|1|||01 :169030|110055|8110596|020908093644|116|||03 :8621|169044|816995096166|020908093632|188|||01 :169023|66801||020908093640|10|||81 :169041|110060|8110|020908093628|7|||03 :66680|66605||020908093740|10|||89 :66382|169060|816995329900|020908093728|52|||01 :66705|77434||020908093728|7|||89 :66611|66341||020908093828|7|||89 :8614|169057|81690403570936|020908093708|2|||01 :64005|66270||020908093840|10|||89 :169032|110057|8110|020908093804|1|||03 :66638|169056|81691223|020908093724|6|||01 :66611|66341||020908093812|3|||89 :66811|2||020908093808|2|||89 :66357|169059|816995101963|020908093756|14|||01 :66270|66474||020908093820|5|||89 :169016|66270||020908093832|38|||81 :66451|169055|81690409889688|020908093836|24|||01 :8614|169056|81690403570936|020908093820|5|||01 :169036|66465||020908093828|7|||81 :66680|66871||020908093912|3|||89 :169012|66341||020908093840|10|||81 :169003|66012||020908093912|3|||81 :169015|66864||020908093848|12|||81 :66659|64085||020908095504|241|||89 :77070|169060|816997597778|020908093924|21|||01 :8614|169059|81690403750936|020908093904|1|||01 :169012|66325||020908093912|3|||81 :169004|66859||020908093924|141|||81 :169003|66123||020908093916|4|||81 :169014|66102||020908093852|13|||81 :66713|169058|81691800245169|020908093928|37|||01 :66610|169059|816996350276|020908093904|1|||01 :66026|66350||020908093944|11|||89 :169002|66607||020908093940|40|||81 :169018|77971||020908093916|4|||81 :66611|66619||020908093948|12|||89 :169029|66222||020908093912|18|||81 :66487|169049|816998551435|020908093924|51|||01 :66225|66209||020908094112|18|||89 :169045|66261||020908093940|10|||81 :66341|66611||020908094008|2|||89 :66712|66762||020908094036|9|||89 :66449|169059|816995841052|020908094008|2|||01 :66314|64024||020908094000||||89 :169031|66314||020908094012|3|||81 :169001|66648||020908093936|9|||81 :169007|64076||020908094336|54|||81 :169038|66800||020908094008|32|||81 :66450|169056|816998452700|020908094036|24|||01 :77082|66218||020908094048|12|||89 :66882|66341||020908094112|3|||89 :66026|169056|816997298738|020908094020|5|||01 :169018|66123||020908094220|20|||81 :169035|66632||020908094056|269|||81 :169024|66752||020908094032|338|||81 :169011|66346||020908094036|39|||81 :66363|169058|816995345136|020908094108|17|||01 :169034|66481||020908094104|1|||81 :66270|169046|816998504007|020908094120|5|||01 :169037|110058|81100|020908094140|10|||03 :66161|66854||020908094124|6|||89 :66721|169045|81690438201193|020908094100||||01 :66450|169050|816997055200|020908094148|12|||01 :169006|66834||020908094116|34|||81 :66189|169054|816995555377|020908094204|211|||01 :66661|66801||020908094236|9|||89 :169031|64024||020908094348|27|||81 :66382|169058|816995329900|020908094136|9|||01 :66882|169054|816983440814|020908094200||||01 :169010|64086||020908094224|51|||81 :66689|169057|81690417372191|020908094208|62|||01 :66721|66762||020908094224|6|||89 :66218|169048|81690433970052|020908094232|23|||01 :66314|64024||020908094204|1|||89 :169005|66314||020908094156|29|||81 :169013|110058|8110|020908094228|7|||03 :66617|66415||020908094320|5|||89 :64085|169055|816995340981|020908094204|46|||01 :64055|169058|816995281529|020908094220|5|||01 :169047|66267||020908094312|33|||81 :66707|66422||020908094308|2|||89 :169009|66117||020908094220|35|||81 :169025|66666||020908094220|5|||81 :66240|169056|816995711757|020908094256|29|||01 :66422|66253||020908094448|27|||89 :64064|169058|816994356621|020908094312|3|||01 :169006|77810||020908094600|30|||81 :66189|169057|816997843777|020908094356|14|||01 :66332|169048|81690409889688|020908094404|1|||01 :169027|66336||020908094320|5|||81 :169022|66102||020908094404|16|||81 :169026|66712||020908094412|18|||81 :66449|169059|81690400142601|020908094428|52|||01 :169025|66123||020908094516|19|||81 :169023|66439||020908094408|2|||81 :66443|169055|81690412598023|020908094448|12|||01 :66448|66301||020908094504|16|||89 :66218|169047|81690425803452|020908094440|10|||01 :169028|64060||020908094424|66|||81 :66391|77147||020908094916|64|||89 :169041|66166||020908094448|12|||81 :169008|110060|8110|020908094508|107|||03 :169044|66166||020908094504|16|||81 :169015|66012||020908094508|2|||81 :66263|2||020908094512|3|||89 :66332|169045|81690409889688|020908094516|4|||01 :169020|66707||020908094448|12|||81 :169016|66474||020908095144|101|||81 :66872|66415||020908094516|4|||89 :66263|169047|81690413135301|020908094520|5|||01 :66680|169054|816995968005|020908094508|32|||01 :169015|66241||020908094544|11|||81 :66450|169043|816987922209|020908094556|14|||01 :169030|66666||020908094600|30|||81 :66152|169050|81690414405167|020908094512|33|||01 :169004|66648||020908094620|5|||81 :66012|77145||020908094600||||89 :64101|169055|81690448370711|020908094616|19|||01 :66007|169047|816995091650|020908094644|11|||01 :66661|66380||020908094604|1|||89 :169033|66314||020908094616|79|||81 :66263|2||020908094708|2|||89 :169042|66679||020908094640|220|||81 :66153|66811||020908095428|112|||89 :66263|66603||020908094720|5|||89 :64005|169049|816995346911|020908094716|94|||01 :66166|169050|816994395805|020908094736|9|||01 :66659|169057|816995739400|020908094724|51|||01 :169002|66153||020908094748|12|||81 :169021|66482||020908094716|79|||81 :66325|66611||020908094740|10|||89 :169001|66314||020908094720|5|||81 :169014|77971||020908094728|22|||81 :169032|66237||020908094740|55|||81 :66881|169046|816995104667|020908094732|98|||01 :66365|169050|816997560127|020908094816|4|||01 :66749|66396||020908094852|13|||89 :66324|169048|816995785555|020908094800|60|||01 :66448|169049|816995704010|020908094812|3|||01 :169005|64024||020908095356|89|||81 :66653|66890||020908094820|5|||89 :66661|66611||020908094832|8|||89 :169007|66607||020908094844|11|||81 :66322|66342||020908094932|23|||89 :66390|169054|81690402064279|020908094900|30|||01 :64013|169055|816995308564|020908094824|21|||01 :66363|66611||020908094924|6|||89 :66261|169057|816951738777|020908094844|26|||01 :169040|66762||020908094856|29|||81 :66284|169059|816995254231|020908094852|73|||01 :66149|169047|816995920722|020908094932|23|||01 :169018|66136||020908094856|14|||81 :64028|169050|81690414253976|020908094952|13|||01 :8166|169060|816997945670|020908094924|156|||01 :66325|66611||020908095028|7|||89 :66255|66629||020908095124|21|||89 :66274|169048|816995555377|020908094956|14|||01 :66322|66705||020908095024|6|||89 :169035|66865||020908095008|17|||81 :8165|66254||020908095052|13|||89 :169019|66158||020908094932|143|||81 :169034|66357||020908095004|1|||81 :169024|66604||020908094936|9|||81 :169037|66231||020908095008|2|||81 :66638|169052|8169131314|020908095008|182|||01 :66879|66218||020908095236|39|||89 :64028|77145||020908095048|12|||89 :77069|77147||020908095112|3|||89 :66241|169046|816995272178|020908095028|37|||01 :66141|169050|816993871000|020908095108|2|||01 :66870|169054|81691300505050|020908095052|28|||01 :66183|66350||020908095120|5|||89 :169009|66349||020908095044|11|||81 :169026|66562||020908095044|11|||81 :66562|169052|816990765013|020908095044|11|||01 :169028|66180||020908095056|14|||81 :169011|66433||020908095128|37|||81 :66193|66422||020908095224|21|||89 :169008|66789||020908095156|14|||81 :169023|66434||020908095156|14|||81 :169041|66435||020908095156|14|||81 :169022|66063||020908095116|19|||81 :66063|169057|816990765063|020908095116|19|||01 :66832|169043|816982903204|020908095144|56|||01 :66021|169058|81690411115025|020908095212|123|||01 :66872|66415||020908095320|20|||89 :66218|169060|816995965222|020908095128|22|||01 :66141|169054|816995093744|020908095148|12|||01 :169012|66834||020908095228|22|||81 :66254|169052|816995329719|020908095228|7|||01 :66777|2||020908095200||||89 :169025|110060|8110|020908095144|26|||03 :66660|66380||020908095204|1|||89 :66789|169058|816995329349|020908095220|5|||01 :169029|66315||020908095216|4|||81 :77791|77790||020908095204|1|||89 :169001|77791||020908095244|11|||81 :169032|66359||020908095224|6|||81 :77758|66362||020908095236|9|||89 :66332|169060|81690409889688|020908095204|1|||01 :169030|66340||020908095248|27|||81 :66433|169050|816998119004|020908095244|11|||01 :66675|66002||020908095348|12|||89 :66195|169057|816999261173|020908095244|11|||01 :169035|66888||020908095304|1|||81 :66254|169044|816995784676|020908095324|6|||01 :64074|66222||020908095328|7|||89 :169031|66801||020908095324|51|||81 :66290|169048|816996461700|020908095304|31|||01 :169002|66703||020908095312|33|||81 :66661|66391||020908095400|15|||89 :66012|77145||020908095340|10|||89 :169007|66333||020908095404|16|||81 :66333|169052|81690447305760|020908095404|16|||01 :169006|66938||020908095404|1|||81 :66938|169044|816990765938|020908095404|1|||01 :169015|66253||020908095316|4|||81 :169001|77790||020908095516|19|||81 :169019|66245||020908095332|8|||81 :169003|66270||020908095324|36|||81 :169037|66150||020908095416|4|||81 :66811|169058|81690431628348|020908095420|20|||01 :66443|169052|81690438277207|020908095404|1|||01 :66254|169050|816995342398|020908095416|4|||01 :169024|2||020908095348|12|||82 :66338|169055|81690419109892|020908095348|72|||01 :66107|169054|816995719489|020908095352|28|||01 :66332|169058|81690409889688|020908095404|1|||01 :66859|169057|81690400069426|020908095404|16|||01 :169010|77971||020908095436|24|||81 :169034|66270||020908095444|11|||81 :169037|66139||020908095544|11|||81 :8611|169056|81690408549954|020908095420|170|||01 :169013|66210||020908095448|12|||81 :66117|66752||020908095516|4|||89 :66842|169060|816995925036|020908095520|35|||01 :66332|169050|81690409889688|020908095508|2|||01 :66026|169056|816997298738|020908095520|5|||01 :66036|169044|81690448370711|020908095520|20|||01 :66450|169052|81691800812670|020908095524|6|||01 :169039|66352||020908095536|219|||81 :66659|169035|816996039526|020908095504|1|||01 :66806|169054|816985520555|020908095524|6|||01 :169028|66801||020908095544|11|||81 :66261|169043|8169131150|020908095456|29|||01 :8166|169060|816997945670|020908095520|5|||01 :66619|66210||020908095628|7|||89 :169033|66166||020908095544|71|||81 :66176|66270||020908095628|7|||89 :66340|169055|816995782027|020908095520|20|||01 :66254|169058|816998240098|020908095608|17|||01 :66652|169054|816996500147|020908095600||||01 :66830|66349||020908095616|4|||89 :169011|66195||020908095616|19|||81 :66363|66289||020908095704|16|||89 :169042|66448||020908095536|54|||81 :66631|66117||020908095632|8|||89 :66253|66611||020908095612|3|||89 :66610|169059|816996350276|020908095640|100|||01 :2|64086||020908095624|6|||89 :66801|169054|81690400575427|020908095604|1|||01 :169008|66341||020908095640|10|||81 :66447|169055|816954547727|020908095600||||01 :169027|110060|81109|020908095628|7|||03 :66270|169060|81690413135301|020908095628|7|||01 :66253|66164||020908095716|4|||89 :66141|169041|816959862012|020908095640|10|||01 :169029|66888||020908095704|1|||81 :66137|66744||020908095820|20|||89 :66482|66336||020908095728|7|||89 :64005|169058|816996997752|020908095656|14|||01 :169025|66666||020908095728|7|||81 :169021|77971||020908095724|81|||81 :66777|169046|816994997086|020908095644|71|||01 :66164|66611||020908095728|7|||89 :66811|169037|81690431628348|020908095708|32|||01 :169012|169055|81690404816327|020908095704|1|||03 :66301|64086||020908095744|11|||89 :66801|169060|816995847008|020908095736|9|||01 :66234|169058|816999125430|020908095716|4|||01 :66107|169057|816995722345|020908095752|43|||01 :169005|66161||020908095800|15|||81 :169040|66888||020908095812|78|||81 :66840|169045|816997558100|020908095728|187|||01 :169038|66713||020908095752|118|||81 :169023|66322||020908095812|33|||81 :64071|2||020908095804|1|||89 :66137|169055|816995345957|020908095832|8|||01 :169014|66314||020908095800|15|||81 :66826|66012||020908095908|17|||89 :66741|66176||020908095920|20|||89 :169031|66494||020908095820|5|||81 :66448|169046|81690404816308|020908095836|9|||01 :66117|169060|816995282450|020908095836|9|||01 :66478|169049|816985088422|020908095808|152|||01 :66631|169060|816996909144|020908095900||||01 :77281|66611||020908095920|5|||89 :66801|66104||020908095924|6|||89 :66675|169057|816995787395|020908095836|9|||01 :169030|66314||020908095900|30|||81 :169004|110059|81102|020908095920|80|||03 :169002|66166||020908095908|17|||81 :169017|110056|8110|020908095948|732|||03 :66738|169046|816998245979|020908095912|3|||01 :169001|66648||020908095928|7|||81 :66382|169049|816995346183|020908095952|13|||01 :169019|66016||020908095936|9|||81 :169015|66314||020908095948|12|||81 :169024|66607||020908095940|10|||81 :66777|169054|816992092287|020908095952|43|||01 :64065|169059|816990960504|020908095952|58|||01