:66602|66380||020908120248|72|||89 :66890|66002||020908120016|4|||89 :66899|169056|816998222487|020908120000|135|||01 :66183|66350||020908120020|5|||89 :66661|66611||020908120012|3|||89 :169011|2||020908120004|1|||82 :66451|169059|81690409889688|020908120004|1|||01 :66137|66210||020908120044|11|||89 :66767|169057|81690419607229|020908120040|10|||01 :66363|66611||020908120012|3|||89 :66722|169059|81690425865617|020908120012|3|||01 :169007|66063||020908120048|12|||81 :66063|169054|816990765063|020908120048|12|||01 :169033|66435||020908120040|10|||81 :169022|66263||020908120104|61|||81 :66664|66603||020908120308|32|||89 :169030|66660||020908120056|44|||81 :77149|169057|8169132221|020908120024|6|||01 :169035|77790||020908120240|25|||81 :66325|66210||020908120112|3|||89 :66857|169042|81690400119901|020908120032|173|||01 :77040|169060|816997628533|020908120100|15|||01 :169014|2||020908120100||||82 :66680|66267||020908120216|19|||89 :66330|66021||020908120156|14|||89 :66316|77790||020908120104|1|||89 :169043|66316||020908120044|26|||81 :66322|66391||020908120128|7|||89 :169027|66349||020908120132|8|||81 :66767|169059|81690437979869|020908120140|10|||01 :66713|66660||020908120232|8|||89 :169001|66117||020908120120|50|||81 :66322|66396||020908120220|5|||89 :66177|169060|816995329349|020908120148|12|||01 :169031|66316||020908120224|21|||81 :66871|169050|81690408052172|020908120152|13|||01 :66762|77065||020908120200||||89 :169021|66762||020908120232|8|||81 :66332|169056|81690409889688|020908120204|1|||01 :66741|66229||020908120224|6|||89 :66336|66341||020908120224|6|||89 :77152|66761||020908120316|4|||89 :66413|169047|816992462404|020908120256|14|||01 :66449|169054|816997578000|020908120236|24|||01 :169010|66636||020908120328|82|||81 :169041|66263||020908120236|24|||81 :169024|66391||020908120304|1|||81 :66389|66350||020908120340|10|||89 :77082|66640||020908120652|58|||89 :66234|169058|816995238607|020908120308|77|||01 :77083|169060|816992773745|020908120336|9|||01 :66332|169050|81690409889688|020908120304|1|||01 :77147|66713||020908120316|4|||89 :64066|169057|816995002225|020908120320|35|||01 :77661|169056|816995009860|020908120328|7|||01 :66322|66619||020908120344|11|||89 :169032|66435||020908120340|10|||81 :66330|169050|81690413135301|020908120304|1|||01 :169008|66433||020908120340|85|||81 :169021|77065||020908120532|23|||81 :8011|169055|81691300722227|020908120356|134|||01 :66363|66335||020908120436|9|||89 :66322|66762||020908120412|3|||89 :169039|66763||020908120840|70|||81 :66783|169046|816995791613|020908120344|86|||01 :66365|169058|81690433678972|020908120440|10|||01 :66219|169057|816993909628|020908120440|10|||01 :77167|169060|816998228593|020908120440|10|||01 :66387|66251||020908120440|10|||89 :8167|169048|81699530093|020908120424|96|||01 :169002|66261||020908120420|5|||81 :8614|169046|816919|020908120500||||01 :169018|77971||020908120512|78|||81 :66389|66890||020908120540|10|||89 :66846|169047|816995281910|020908120508|17|||01 :66707|77147||020908120612|18|||89 :66139|169050|816998091971|020908120532|8|||01 :66263|2||020908120508|2|||89 :66178|66890||020908120520|5|||89 :169006|66744||020908120524|66|||81 :66689|169059|81690410560226|020908120536|54|||01 :169005|66607||020908120548|12|||81 :66661|66611||020908120608|2|||89 :66713|169047|816995756500|020908120532|8|||01 :66261|169042|816995631070|020908120540|10|||01 :66274|169041|816992096530|020908120540|10|||01 :64071|169042|816985321442|020908120608|2|||01 :66253|66341||020908120608|2|||89 :66332|169059|81690409889688|020908120608|2|||01 :169015|66705||020908120600|45|||81 :169017|66435||020908120648|12|||81 :169026|64046||020908120648|27|||81 :66263|169040|81690403148160|020908120700|15|||01 :169016|66260||020908120652|13|||81 :64073|169047|81690407802752|020908120640|10|||01 :66356|169044|816995980444|020908120624|66|||01 :66840|169039|816995844200|020908120616|4|||01 :66456|169057|816996903183|020908120636|24|||01 :169019|66465||020908120652|13|||81 :66677|169045|81691300735363|020908120644|71|||01 :66613|169054|816995340635|020908120716|64|||01 :66762|169037|816995968555|020908120744|11|||01 :64066|66314||020908120700||||89 :66451|169054|81690409889688|020908120704|1|||01 :66100|66602||020908120904|16|||89 :64062|169045|8169125102|020908120712|3|||01 :66366|66801||020908120944|26|||89 :169028|66707||020908120740|40|||81 :64071|169038|81690885321442|020908120748|12|||01 :77065|77054||020908120800||||89 :8165|169052|816998895394|020908120740|160|||01 :77999|169044|81690287783190|020908120736|9|||01 :169033|66274||020908120744|11|||81 :169043|77790||020908121516|109|||81 :66767|169052|816995316424|020908120816|4|||01 :66183|169040|816995756525|020908120824|6|||01 :77065|66801||020908120924|6|||89 :66452|169056|816998047655|020908120900|75|||01 :66162|1||020908120904|1|||89 :64058|1||020908120912|3|||89 :66680|66253||020908120920|5|||89 :66840|169057|816995814200|020908120912|33|||01 :66661|66713||020908120924|6|||89 :169020|66117||020908120932|38|||81 :66680|66335||020908120920|5|||89 :66686|169050|816998901049|020908120912|63|||01 :77065|66712||020908120936|9|||89 :169049|66866||020908120912|393|||81 :66330|66655||020908121436|69|||89 :66871|169048|816995687285|020908120944|71|||01 :66153|169058|816995965186|020908121008|77|||01 :66332|169057|81690409889688|020908121004|1|||01 :66638|66713||020908121036|9|||89 :66661|66341||020908121028|7|||89 :66390|169059|816994833833|020908121028|52|||01 :66638|66611||020908121016|4|||89 :66330|66253||020908121040|10|||89 :77889|169054|816990761249|020908121036|39|||01 :66456|169047|816996903206|020908121004|1|||01 :64058|169052|816995328981|020908121036|9|||01 :169024|66245||020908121016|4|||81 :169001|66314||020908121100|15|||81 :169027|110056|81102|020908121116|19|||03 :169029|66901||020908121028|7|||81 :66901|169048|816990765901|020908121028|7|||01 :169012|66263||020908121048|57|||81 :66653|66854||020908121112|3|||89 :66744|66284||020908121104|1|||89 :169009|66744||020908121048|12|||81 :66804|169052|816995132067|020908121112|3|||01 :66789|66890||020908121116|4|||89 :66603|66259||020908121124|6|||89 :66219|169041|816995540495|020908121056|74|||01 :169008|66207||020908121124|6|||81 :169006|66666||020908121108|2|||81 :66613|169056|816994266381|020908121148|27|||01 :77790|169039|816996819666|020908121128|37|||01 :66332|169041|81690409889688|020908121104|1|||01 :169022|66162||020908121140|40|||81 :66804|169059|816995132067|020908121124|6|||01 :169023|66349||020908121112|3|||81 :66256|169038|816994172578|020908121132|38|||01 :169021|66776||020908121148|12|||81 :66330|66422||020908121320|20|||89 :66763|169049|8169211|020908121208|32|||01 :66183|66161||020908121240|10|||89 :66153|169056|816985205255|020908121204|1|||01 :64066|169057|816995368466|020908121200|30|||01 :169015|66245||020908121236|9|||81 :169008|66123||020908121312|18|||81 :66718|169052|816995103573|020908121216|19|||01 :169017|110058|8110|020908121244|11|||03 :66705|169047|81690401660898|020908121212|18|||01 :169026|66938||020908121232|8|||81 :66938|169041|816990765938|020908121232|8|||01 :66635|169038|816995329349|020908121320|5|||01 :66330|169056|81690418560710|020908121228|7|||01 :66261|169040|816953583889|020908121248|57|||01 :64071|1||020908121304|1|||89 :66256|169037|816984151551|020908121304|1|||01 :66183|66161||020908121340|10|||89 :169036|66314||020908121332|38|||81 :169034|110060|8110|020908121332|143|||03 :77190|66871||020908121312|3|||89 :169009|66284||020908121524|36|||81 :66677|169052|81691300735363|020908121344|11|||01 :66325|66289||020908121500|15|||89 :66130|169043|816998746992|020908121336|24|||01 :66456|169054|816996903183|020908121316|34|||01 :169006|66804||020908121612|33|||81 :66403|169045|816998028863|020908121348|87|||01 :66326|169044|816995274355|020908121316|79|||01 :66260|169058|81691300550455|020908121404|61|||01 :66332|169054|81690409889688|020908121404|1|||01 :169033|66726||020908121420|5|||81 :66801|169058|816995106924|020908121408|2|||01 :169020|66703||020908121416|4|||81 :66326|1||020908121412|3|||89 :66718|169056|81690413586639|020908121400|15|||01 :169021|8167||020908121632|38|||81 :66384|169050|816998186703|020908121444|71|||01 :66604|169056|816992759344|020908121400||||01 :66857|66281||020908121528|22|||89 :77083|169047|816992773745|020908121444|26|||01 :66857|1||020908121504|1|||89 :169007|66218||020908121504|16|||81 :66263|1||020908121508|2|||89 :77149|66762||020908121524|6|||89 :66604|169056|816992759333|020908121516|4|||01 :169025|66856||020908121428|292|||81 :169003|110060|8110|020908121520|5|||03 :66422|169049|81690419770095|020908121452|43|||01 :169024|66477||020908121536|9|||81 :169032|66744||020908121456|14|||81 :66332|169052|81690409889688|020908121508|2|||01 :169016|64071||020908121516|34|||81 :169030|66314||020908121500|15|||81 :169014|66800||020908121504|16|||81 :66857|66660||020908121648|12|||89 :66346|66854||020908121644|11|||89 :66620|77147||020908121632|8|||89 :66873|66804||020908121732|23|||89 :169027|110058|8110|020908121520|5|||03 :169011|66274||020908121540|130|||81 :169028|66289||020908121616|34|||81 :169004|66237||020908121612|93|||81 :66224|169059|81690400084478|020908121628|67|||01 :66422|66192||020908121700|15|||89 :66314|169052|81690404816418|020908121636|9|||01 :66218|169050|816993577699|020908121608|17|||01 :169023|66856||020908121604|1|||81 :169005|66703||020908121612|3|||81 :169022|110060|81101|020908121612|3|||03 :66811|169045|81690412329311|020908121624|6|||01 :169012|66651||020908121620|5|||81 :66620|169049|81690430236999|020908121640|10|||01 :66326|169058|81690411224873|020908121716|34|||01 :66324|66259||020908121736|9|||89 :169010|66002||020908121636|9|||81 :169013|110057|81102|020908121704|181|||03 :66447|169060|81690434467127|020908121724|186|||01 :66329|169044|816995285243|020908121656|14|||01 :66127|66395||020908121736|9|||89 :66718|66867||020908121836|24|||89 :169029|77971||020908121724|21|||81 :66139|169049|816985522233|020908121736|9|||01 :66240|77270||020908121808|2|||89 :66451|169040|81690409889688|020908121804|1|||01 :66384|169043|816995711785|020908121740|25|||01 :66032|169048|81691800066204|020908121804|106|||01 :66192|77149||020908121812|3|||89 :66856|169058|81690433630264|020908121808|17|||01 :66025|169052|816995961184|020908121816|19|||01 :66744|66322||020908121948|27|||89 :66713|169041|81691300888801|020908121748|27|||01 :66653|169060|816995690310|020908121836|9|||01 :66211|66605||020908122004|16|||89 :66689|66349||020908121952|13|||89 :77790|169044|816995277923|020908121856|14|||01 :66263|1||020908121912|3|||89 :66467|169049|81690416082017|020908121852|13|||01 :66620|77147||020908122108|32|||89 :66234|169060|816992846485|020908121916|4|||01 :66879|169048|81690404042517|020908121916|4|||01 :66330|169059|816993284884|020908121940|40|||01 :66754|169039|81691800033397|020908121908|107|||01 :66706|66298||020908122420|65|||89 :169002|66260||020908121932|23|||81 :169017|66322||020908122028|7|||81 :66329|169049|816995282077|020908121944|11|||01 :66189|169055|81690419398862|020908121948|237|||01 :66153|169057|816985205200|020908121948|117|||01 :66149|169054|816995968966|020908122024|51|||01 :77065|66712||020908122032|8|||89 :66118|66804||020908122128|22|||89 :169026|66938||020908122020|5|||81 :66938|169043|816990765938|020908122020|5|||01 :66631|169050|816995329900|020908122036|24|||01 :169031|66342||020908122048|162|||81 :66689|1||020908122120|5|||89 :169019|66336||020908122020|5|||81 :66121|66002||020908122136|9|||89 :169034|66314||020908122120|5|||81 :66811|66338||020908122200|15|||89 :66234|169044|81691300550458|020908122048|27|||01 :169036|66477||020908122132|8|||81 :169033|66465||020908122104|1|||81 :66363|66611||020908122116|4|||89 :66713|169060|8169122345|020908122128|7|||01 :169035|110059|81108|020908122128|187|||03 :66240|77270||020908122208|2|||89 :169021|66600||020908122108|2|||81 :66322|169055|81691800304317|020908122128|7|||01 :169006|66260||020908122144|11|||81 :169025|66002||020908122120|5|||81 :169007|64036||020908122220|5|||81 :66871|169045|816995722175|020908122224|66|||01 :66253|169054|816997528933|020908122200||||01 :66240|77270||020908122204|1|||89 :66403|169046|816998027727|020908122228|52|||01 :66604|169056|81690408370928|020908122244|116|||01 :66029|169043|816995096177|020908122228|7|||01 :169009|66801||020908122308|32|||81 :66773|169045|816995304016|020908122328|7|||01 :66881|169050|816995319811|020908122316|19|||01 :66130|169052|816998746992|020908122324|66|||01 :169020|110060|8110|020908122304|31|||03 :169034|66467||020908122528|37|||81 :66240|77270||020908122304|1|||89 :66335|169044|816995329900|020908122312|18|||01 :64035|169042|81690418592790|020908122320|260|||01 :169011|66604||020908122408|2|||81 :169003|66314||020908122340|25|||81 :66253|1||020908122404|1|||89 :66298|169059|81690408502003|020908122408|62|||01 :66744|169056|816995696792|020908122408|2|||01 :66617|1||020908122408|2|||89 :169008|66253||020908122420|5|||81 :169027|66428||020908122408|17|||81 :66332|169050|81690409889688|020908122504|1|||01 :169004|66660||020908122412|3|||81 :169023|66635||020908122424|6|||81 :66604|169045|816998614055|020908122500||||01 :66225|169058|816995683739|020908122452|58|||01 :66722|169052|81690425865617|020908122428|7|||01 :169022|66433||020908122504|1|||81 :66234|169041|816995920722|020908122524|36|||01 :66675|169059|816985175744|020908122448|12|||01 :8167|169044|81699815141|020908122516|4|||01 :66419|66611||020908122552|13|||89 :66362|169057|81691300558062|020908122528|67|||01 :169014|66008||020908122504|31|||81 :169013|66063||020908122516|4|||81 :66063|169052|816990765063|020908122516|4|||01 :169030|66619||020908122500|30|||81 :66617|169056|816995962853|020908122556|14|||01 :66857|169060|816995282077|020908122556|59|||01 :66481|169046|81690882045955|020908122548|42|||01 :66032|169049|81691300130664|020908122556|59|||01 :66316|77790||020908122604|1|||89 :66419|66316||020908122620|5|||89 :66705|66707||020908122652|13|||89 :66706|66298||020908122724|21|||89 :169029|66600||020908122556|14|||81 :169006|66227||020908123036|69|||81 :64024|169048|816998668360|020908122620|110|||01 :66203|1||020908122712|3|||89 :169038|66183||020908122636|9|||81 :66002|169060|816992651751|020908122704|16|||01 :66269|66349||020908122832|23|||89 :169012|66102||020908122712|33|||81 :66610|66752||020908122736|9|||89 :8167|169059|816998151411|020908122732|23|||01 :66648|66314||020908122716|4|||89 :66694|66267||020908122732|8|||89 :169040|110059|81109|020908122712|3|||03 :77069|66652||020908122724|6|||89 :66298|169056|81690419301597|020908122720|5|||01 :66117|169057|816996412972|020908122728|7|||01 :169037|66744||020908122728|7|||81 :169026|110059|81105|020908122832|8|||03 :66804|169060|816995986611|020908122804|16|||01 :66762|66342||020908122844|11|||89 :77149|169059|8169132227|020908122824|21|||01 :169019|66938||020908122836|9|||81 :66938|169045|816990765938|020908122836|9|||01 :66642|169048|816995947660|020908122848|27|||01 :169016|66153||020908122908|92|||81 :66149|1||020908122912|3|||89 :169017|66652||020908122848|27|||81 :66734|169046|816996905216|020908122908|17|||01 :66804|169056|816995237192|020908122904|1|||01 :64071|1||020908122908|2|||89 :64098|169054|816995783600|020908123000|105|||01 :169025|110060|81109|020908123008|2|||03 :169021|66938||020908122916|4|||81 :66938|169043|816990765938|020908122916|4|||01 :169009|66391||020908123004|1|||81 :64066|169049|81690438587807|020908122944|41|||01 :66234|169058|81690417380281|020908123008|62|||01 :66121|169059|816995256170|020908123012|18|||01 :66332|169049|81690409889688|020908123008|2|||01 :66419|77790||020908123420|65|||89 :64071|169056|81690353203739|020908123044|11|||01 :66413|169054|816986158554|020908123112|18|||01 :66700|169050|81690411841965|020908123104|91|||01 :169007|110059|81105|020908123028|22|||03 :169020|64026||020908123036|9|||81 :66240|77270||020908123104|1|||89 :66611|1||020908123116|4|||89 :66447|169060|81690409444092|020908123052|43|||01 :66762|77643||020908123120|5|||89 :169042|66063||020908123148|12|||81 :66063|169049|816990765063|020908123148|12|||01 :66456|66648||020908123528|52|||89 :169008|66648||020908123132|8|||81 :66141|169059|816998047655|020908123200|15|||01 :66322|169050|816995791464|020908123128|7|||01 :66162|169047|816951738383|020908123204|241|||01 :169034|66032||020908123144|26|||81 :66635|66161||020908123300|15|||89 :169027|66248||020908123232|8|||81 :169004|110059|8110|020908123240|10|||03 :66777|169056|816998202760|020908123244|26|||01 :66234|169054|81690408502003|020908123232|23|||01 :169022|66322||020908123312|3|||81 :66117|66749||020908123300||||89 :169010|66012||020908123316|4|||81 :66846|1||020908123304|1|||89 :66388|169058|816995286929|020908123256|14|||01 :169015|66270||020908123252|13|||81 :66189|169056|81691800450346|020908123308|2|||01 :169014|110060|8110|020908123356|14|||03 :66713|169055|81691300653356|020908123356|179|||01 :169041|64065||020908123432|23|||81 :169010|66749||020908123536|24|||81 :66604|169057|816998614055|020908123432|98|||01 :169038|66314||020908123440|10|||81 :66722|169057|81690402250686|020908123512|3|||01 :66289|169055|816994174440|020908123504|1|||01 :169031|66456||020908123508|47|||81 :169039|110060|8110|020908123520|5|||03 :66804|169060|816995094488|020908123528|52|||01 :169012|66391||020908123504|1|||81 :169029|66058||020908123452|28|||81 :66058|169058|816990765058|020908123452|28|||01 :169018|66713||020908123500|15|||81 :66322|66391||020908123612|3|||89 :66189|169056|81691800224004|020908123540|25|||01 :66865|169049|816959982237|020908123556|59|||01 :66155|169044|816993482828|020908123528|112|||01 :66619|169050|81690412302029|020908123608|2|||01 :66240|77270||020908123604|1|||89 :66289|169058|816994174440|020908123608|2|||01 :66733|169054|816995517026|020908123600|15|||01 :66382|66322||020908123612|3|||89 :66495|169042|816998453800|020908123636|9|||01 :66157|169056|816995262351|020908123616|4|||01 :66183|169055|816998247440|020908123620|20|||01 :66298|66325||020908123712|3|||89 :66804|169047|81690419587894|020908123640|10|||01 :66032|169059|816992047171|020908123632|53|||01 :169033|66166||020908123624|126|||81 :169040|77971||020908123636|9|||81 :66290|66608||020908123844|26|||89 :169002|66012||020908123712|18|||81 :66680|169056|816996879210|020908123720|5|||01 :1|66791||020908123844|11|||89 :8007|1||020908123812|3|||89 :66842|169048|816992846870|020908123820|125|||01 :66422|169059|816995953424|020908123808|17|||01 :66804|66611||020908123836|9|||89 :66450|169056|81690422025103|020908123804|1|||01 :66332|169047|81690409889688|020908123804|1|||01 :66298|169054|81690412827079|020908123832|8|||01 :66303|169049|816995781630|020908123836|9|||01 :66783|66222||020908124000|15|||89 :169019|66207||020908123908|2|||81 :66104|169046|816985510144|020908123900|105|||01 :66449|169043|816995257629|020908123916|49|||01 :169037|66139||020908123840|10|||81 :66713|77643||020908124112|33|||89 :66189|169058|81691800033103|020908123856|44|||01 :169036|66287||020908123916|4|||81 :66240|77270||020908123904|1|||89 :66363|169058|81690407174445|020908123908|2|||01 :77190|169055|816995109447|020908123924|36|||01 :169016|66666||020908123912|3|||81 :66395|169056|816995715606|020908123944|11|||01 :169019|66123||020908124104|16|||81 :66303|169056|816995259033|020908124028|7|||01 :169026|77971||020908123952|43|||81 :169032|66207||020908124024|6|||81 :169035|110059|81109|020908124012|3|||03 :66835|169048|816985870270|020908124008|2|||01 :66183|169055|816998247440|020908124036|9|||01 :77152|1||020908124108|2|||89 :66149|169045|81690431428623|020908124108|167|||01 :66222|64074||020908124144|11|||89 :66227|77810||020908124228|22|||89 :66336|66322||020908124112|3|||89 :66363|169058|816994174440|020908124056|14|||01 :66713|169056|816998224880|020908124032|8|||01 :66255|1||020908124116|4|||89 :169017|66610||020908124116|19|||81 :169001|66335||020908124104|1|||81 :64098|66652||020908124128|7|||89 :169009|66207||020908124128|7|||81 :169025|77152||020908124140|10|||81 :8007|169044|81690416640864|020908124136|54|||01 :66332|169056|81690409889688|020908124212|3|||01 :66332|169055|81690409889688|020908124152|13|||01 :66183|169058|816998247440|020908124152|13|||01 :169007|77971||020908124228|7|||81 :169011|77149||020908124244|11|||81 :77070|169045|816997022198|020908124228|7|||01 :169024|66209||020908124300|15|||81 :77643|66713||020908124348|12|||89 :169028|1||020908124324|6|||82 :66476|169055|81690408007802|020908124316|4|||01 :169020|66314||020908124312|18|||81 :66365|169047|816995027020|020908124328|22|||01 :66804|169048|816995698222|020908124340|25|||01 :169008|66207||020908124332|8|||81 :66653|66139||020908124420|5|||89 :66722|1||020908124408|2|||89 :169034|66143||020908124328|7|||81 :66141|169060|816959865255|020908124404|121|||01 :66751|169059|81690409797346|020908124356|74|||01 :66648|169056|816995238462|020908124328|22|||01 :66253|66335||020908124400||||89 :66842|66253||020908124448|12|||89 :64074|1||020908124412|3|||89 :8613|169059|816993728811|020908124416|4|||01 :66765|66290||020908124412|3|||89 :169027|66433||020908124416|4|||81 :64074|169060|81690419770145|020908124412|3|||01 :169016|66871||020908124852|73|||81 :66332|169056|81690409889688|020908124404|1|||01 :169023|66866||020908124520|20|||81 :66603|169060|816998160631|020908124528|7|||01 :66189|169054|81691800033103|020908124512|78|||01 :66249|169059|816995216861|020908124456|14|||01 :66363|169058|81690430180223|020908124508|47|||01 :64086|66176||020908124632|8|||89 :66456|169050|816995787309|020908124524|141|||01 :66804|169048|816995237192|020908124540|10|||01 :169015|66003||020908124624|6|||81 :8616|169057|816995088409|020908124616|169|||01 :169004|66260||020908124608|32|||81 :66762|66210||020908124700|15|||89 :66161|169060|816995961026|020908124652|13|||01 :8612|169057|816990766141|020908124704|1|||01 :169022|77971||020908124656|14|||81 :66386|169056|81690418179288|020908124628|22|||01 :66835|169046|816992846870|020908124644|56|||01 :66130|169054|816985205255|020908124640|10|||01 :66476|169055|816992526360|020908124632|53|||01 :66826|169060|81690433490473|020908124704|1|||01 :66382|169059|816994965000|020908124652|13|||01 :66298|66330||020908125004|46|||89 :169030|64017||020908124656|14|||81 :66451|169047|81690409889688|020908124708|2|||01 :66872|1||020908124756|14|||89 :66284|66762||020908124724|6|||89 :64064|169058|816995318642|020908124744|26|||01 :169005|110057|81108|020908124724|36|||03 :66203|169052|81690383456666|020908124756|314|||01 :66820|1||020908124828|7|||89 :77082|8017||020908124836|9|||89 :66032|169054|816992047171|020908124800|15|||01 :169010|66932||020908124752|13|||81 :66932|169059|816990765932|020908124752|13|||01 :169038|66260||020908124836|9|||81 :64065|66297||020908124816|4|||89 :66835|169060|816985870270|020908124804|16|||01 :66804|169055|816995789067|020908124840|10|||01 :169029|66722||020908124832|8|||81 :169014|66155||020908124808|32|||81 :77082|66640||020908124952|13|||89 :66428|66183||020908124936|9|||89 :64007|169048|816990968406|020908124916|34|||01 :169008|66123||020908125420|80|||81 :169042|66744||020908124844|11|||81 :66767|169059|81690423055299|020908124924|6|||01 :169013|66141||020908124932|38|||81 :64059|169046|8169132221|020908124848|27|||01 :66465|169048|816998119004|020908124900||||01 :169033|66618||020908124924|6|||81 :66618|169055|81690404816339|020908124924|6|||01 :66842|66335||020908125548|87|||89 :169003|66287||020908125008|2|||81 :66774|66721||020908125248|42|||89 :66428|66002||020908125020|5|||89 :66332|169052|81690409889688|020908124940|25|||01 :66356|169060|816998149999|020908124936|24|||01 :66635|66161||020908125104|16|||89 :64064|169056|816994356621|020908125008|47|||01 :66034|169058|816996039500|020908125024|36|||01 :66183|169057|816995960126|020908125024|6|||01 :66826|66341||020908125140|10|||89 :66118|66804||020908125232|23|||89 :64064|169060|816995318642|020908125112|3|||01 :66707|66744||020908125100||||89 :169041|66707||020908125024|21|||81 :66021|77434||020908125112|3|||89 :66638|66611||020908125108|2|||89 :169036|66666||020908125116|4|||81 :66166|169049|816998197870|020908125140|175|||01 :66183|169060|816995960126|020908125120|5|||01 :64059|169054|8169132221|020908125136|39|||01 :66938|169057|816990765938|020908125128|7|||01 :66034|169058|816996039589|020908125148|12|||01 :169043|66834||020908125148|27|||81 :169002|66121||020908125200|45|||81 :169019|66287||020908125212|3|||81 :66717|66854||020908125224|6|||89 :66178|169058|816995329349|020908125224|6|||01 :1|66705||020908125220|5|||89 :66330|169058|81690413135301|020908125300||||01 :66034|169052|816996039589|020908125224|6|||01 :169035|66428||020908125228|7|||81 :66330|66340||020908125304|1|||89 :77083|169057|816992773745|020908125320|20|||01 :169021|66680||020908125312|183|||81 :66423|66872||020908125440|25|||89 :169026|66025||020908125324|21|||81 :169017|110059|8110|020908125352|13|||03 :66021|77434||020908125404|1|||89 :66213|66707||020908125436|9|||89 :169007|66433||020908125404|1|||81 :66267|66603||020908125940|85|||89 :64007|169052|816995579444|020908125328|7|||01 :64064|66481||020908125636|39|||89 :66861|66806||020908125456|14|||89 :66034|169057|816994125317|020908125348|12|||01 :169024|66717||020908125420|5|||81 :169032|66433||020908125400|30|||81 :66348|169049|816995578368|020908125404|1|||01 :169044|1||020908125356|14|||82 :64098|66718||020908125620|35|||89 :66635|169052|816990766350|020908125420|5|||01 :169028|66350||020908125420|5|||81 :169001|66652||020908125420|20|||81 :66861|169057|81690404042517|020908125412|3|||01 :169020|66139||020908125428|7|||81 :66661|66611||020908125528|7|||89 :64028|66600||020908125520|5|||89 :169025|66218||020908125456|29|||81 :66153|169060|816985205200|020908125512|48|||01 :66467|66744||020908125808|47|||89 :66335|66341||020908125556|14|||89 :66297|64065||020908125516|4|||89 :169034|66183||020908125524|6|||81 :66314|66348||020908125504|1|||89 :66826|66314||020908125524|6|||89 :66832|169060|816982903204|020908125520|5|||01 :66113|169057|816995964808|020908125520|5|||01 :66826|66348||020908125616|4|||89 :66104|169054|816995610222|020908125528|37|||01 :169027|66801||020908125624|6|||81 :66806|169060|816995792077|020908125636|9|||01 :169023|66801||020908125608|2|||81 :64098|77648||020908125804|16|||89 :169016|66880||020908125644|11|||81 :66791|169056|816993144919|020908125656|89|||01 :66329|1||020908125704|1|||89 :66661|66611||020908125712|3|||89 :66192|169054|8169132290|020908125720|20|||01 :66841|169052|816995276945|020908125744|11|||01 :66032|169055|81691300654329|020908125720|95|||01 :66619|66361||020908125800||||89 :66619|66192||020908125808|2|||89 :66456|169058|816995099172|020908125816|79|||01 :66332|169048|81690409889688|020908125812|3|||01 :66329|169056|816995286615|020908125828|7|||01 :169037|66203||020908125744|116|||81 :66664|169054|8169132227|020908125852|13|||01 :169011|110059|81101|020908125844|71|||03 :66199|169057|816995565200|020908125836|39|||01 :169004|66012||020908125856|14|||81 :66032|169052|81691800066204|020908125848|12|||01 :66161|169055|816995961026|020908125852|13|||01 :66257|169058|816997059586|020908125828|7|||01 :169031|66325||020908125824|6|||81 :77083|169048|816992773745|020908125844|11|||01 :66442|169047|816992651750|020908125856|14|||01 :66298|66349||020908125932|8|||89 :169005|66610||020908125936|9|||81 :66330|66340||020908125936|9|||89 :169045|66314||020908125936|24|||81 :169039|66220||020908125916|4|||81 :8616|169059|816997846954|020908125928|157|||01 :66722|169049|81690402250686|020908125948|42|||01