:66137|66210||090908170028|7|||89 :169038|66270||090908170008|2|||81 :169036|66391||090908171144|176|||81 :66251|66762||090908170056|14|||89 :169029|66151||090908170004|16|||81 :169003|66884||090908170020|20|||81 :66675|169057|816988049426|090908170036|69|||01 :66804|169050|816995238991|090908170036|9|||01 :169014|66027||090908170028|7|||81 :66263|2||090908170116|4|||89 :66166|66171||090908170200|15|||89 :169005|66166||090908170044|26|||81 :66829|169058|816995328920|090908170128|7|||01 :169042|66938||090908170140|10|||81 :66938|169052|816990765938|090908170140|10|||01 :66263|2||090908170112|3|||89 :66336|66199||090908170744|86|||89 :66117|169055|816995284752|090908170224|36|||01 :66239|169060|81690418170871|090908170200|75|||01 :66727|66657||090908170320|20|||89 :169037|64088||090908170220|5|||81 :169015|66102||090908170240|295|||81 :66804|169052|816995282419|090908170316|19|||01 :66224|169059|816996589658|090908170316|64|||01 :66603|169051|816998033195|090908170332|68|||01 :66865|169049|816995237798|090908170252|13|||01 :66804|169059|816998852426|090908170300||||01 :66610|169054|81690419770077|090908170412|108|||01 :66675|169057|816995836543|090908170340|40|||01 :66804|169051|816995095979|090908170424|6|||01 :66253|66325||090908170732|53|||89 :66855|169052|816995219063|090908170404|16|||01 :66336|169057|816995788913|090908170420|5|||01 :169023|77971||090908170436|9|||81 :169006|66672||090908170428|142|||81 :66804|169051|816998852426|090908170508|2|||01 :64011|169054|816995987474|090908170424|6|||01 :66185|2||090908170520|5|||89 :66237|169050|816995685896|090908170440|55|||01 :64013|169047|816995782838|090908170508|32|||01 :169005|66171||090908170908|62|||81 :169024|66335||090908170452|73|||81 :66332|169049|81690409889688|090908170512|3|||01 :66870|169057|816985179888|090908170528|7|||01 :66855|169054|816992585000|090908170520|5|||01 :66149|66472||090908170608|2|||89 :66804|169054|816995697576|090908170604|1|||01 :66686|169053|816990122200|090908170524|126|||01 :169027|77971||090908170544|11|||81 :66183|66435||090908170616|4|||89 :66155|169046|816994795662|090908170548|12|||01 :66843|169059|816995786378|090908170608|32|||01 :169043|66938||090908170608|17|||81 :66938|169045|816990765938|090908170608|17|||01 :66804|169054|816995699003|090908170604|1|||01 :66329|169051|816995572062|090908170612|3|||01 :66366|66285||090908170812|18|||89 :64005|169047|81690411749693|090908170616|4|||01 :66251|169048|816987957825|090908170648|57|||01 :66442|169056|81690407560515|090908170700|120|||01 :66804|169050|816995695135|090908170704|1|||01 :66843|169046|816995926086|090908170708|2|||01 :66029|169043|816995259033|090908170716|4|||01 :66658|66341||090908170700||||89 :169011|66612||090908170704|31|||81 :66727|66725||090908171140|70|||89 :66855|169059|81690431768124|090908170720|5|||01 :66443|169045|816995953471|090908170732|8|||01 :66426|169055|816995097540|090908170744|71|||01 :66851|169060|816995925090|090908170752|73|||01 :66274|169053|816993573615|090908170736|24|||01 :66442|169051|816995257225|090908170816|4|||01 :66263|169058|81690408895177|090908170820|95|||01 :169004|66364||090908170836|39|||81 :66658|66341||090908170840|10|||89 :66804|169060|816998222300|090908170840|10|||01 :66804|169054|816995329213|090908170840|25|||01 :66870|169059|816995091893|090908170856|14|||01 :64086|169058|81690414795735|090908170904|1|||01 :169021|66364||090908170908|2|||81 :169034|66791||090908171004|1|||81 :169032|66619||090908171008|17|||81 :66713|169055|81690438336942|090908171008|32|||01 :169009|66804||090908171016|19|||81 :66713|169055|81690438336942|090908171008|2|||01 :66612|169053|816997881434|090908171024|6|||01 :169040|66423||090908171108|2|||81 :64027|169059|816995719933|090908171112|18|||01 :169033|66938||090908171016|4|||81 :66938|169055|816990765938|090908171016|4|||01 :66843|169056|816998247445|090908171040|55|||01 :66253|169054|8169235|090908171044|11|||01 :169008|64086||090908171100|15|||81 :66804|169059|816995714258|090908171104|1|||01 :2|169055|81690755891100|090908171136|9|||02 :169039|66183||090908171116|4|||81 :66804|169056|816995769687|090908171136|9|||01 :169016|77074||090908172456|194|||81 :169020|66391||090908171200|15|||81 :66443|169053|816995965271|090908171156|14|||01 :169010|169056|81690404816431|090908171224|6|||03 :169018|66179||090908171212|78|||81 :66118|169059|816995329650|090908171244|11|||01 :66635|169048|816995329349|090908171224|6|||01 :66341|66253||090908171320|5|||89 :66843|169055|816995926086|090908171240|10|||01 :66478|169050|81690410417105|090908171300|15|||01 :66620|169053|816995472741|090908171300|15|||01 :169019|66314||090908171324|6|||81 :66635|66121||090908171436|9|||89 :66248|169051|81690407996336|090908171424|51|||01 :66380|169052|816995205200|090908171348|147|||01 :66139|169056|816995986815|090908171352|13|||01 :66100|169052|81690755891100|090908171432|8|||01 :64013|169057|8169132629|090908171452|148|||01 :169038|77971||090908171544|26|||81 :64005|169058|816990122200|090908171552|103|||01 :66881|169049|816998222562|090908171616|64|||01 :169003|66253||090908171616|19|||81 :66686|169044|81690433579842|090908171548|147|||01 :66620|169053|816995790064|090908171628|37|||01 :169014|66938||090908171640|10|||81 :66938|169057|816990765938|090908171640|10|||01 :64027|169054|816995101353|090908171636|84|||01 :66263|169056|816998083416|090908171632|8|||01 :8613|8617||090908171724|6|||89 :169036|77971||090908171732|23|||81 :66234|169059|81690427653755|090908171832|68|||01 :66139|169053|816995986815|090908171752|13|||01 :169015|66789||090908171816|4|||81 :169037|66938||090908171828|7|||81 :66938|169059|816990765938|090908171828|7|||01 :66292|169052|816995692183|090908171832|8|||01 :64076|169054|816995368450|090908171840|25|||01 :66648|169057|816996998085|090908171912|33|||01 :66155|169055|816997729271|090908171936|84|||01 :169005|66026||090908171916|4|||81 :169028|66938||090908171928|7|||81 :66938|169059|816990765938|090908171928|7|||01 :8613|169059|816992392580|090908172000||||01 :169023|77971||090908172004|16|||81 :169026|66340||090908172024|36|||81 :66686|169058|81690413739911|090908172032|53|||01 :169027|66183||090908172032|8|||81 :66881|169057|816995698136|090908172104|16|||01 :66855|169054|81690401145046|090908172120|5|||01 :66335|169053|816995329900|090908172120|5|||01 :66139|169057|816995986815|090908172152|13|||01 :66713|169050|81690415373981|090908172200|120|||01 :66155|169058|816993540400|090908172312|33|||01 :169011|66789||090908172324|6|||81 :77083|169057|816992773745|090908172300||||01 :169046|66193||090908172408|32|||81 :169045|66177||090908172416|4|||81 :77083|169057|816992773745|090908172340|10|||01 :2|66741||090908172400||||89 :169004|66428||090908172408|2|||81 :66654|169056|816995027817|090908172424|111|||01 :66398|169051|816995574702|090908172504|151|||01 :169025|66178||090908172416|4|||81 :66881|169054|816995343709|090908172428|52|||01 :169031|66741||090908172504|16|||81 :66313|169055|816996694782|090908172504|76|||01 :64066|169057|81690438571505|090908172528|7|||01 :66155|169058|816997729271|090908172520|35|||01 :66742|169056|81690417374537|090908172528|7|||01 :66013|169054|81690409889688|090908172524|6|||01 :169002|66183||090908172600|15|||81 :66155|169058|816993540400|090908172620|5|||01 :66428|169059|816992258172|090908172728|7|||01 :8618|169058|81690404816316|090908172652|13|||01 :169021|66938||090908172716|4|||81 :66938|169059|816990765938|090908172716|4|||01 :66706|2||090908172808|2|||89 :169034|66314||090908172820|5|||81 :66313|169055|816996694782|090908172756|44|||01 :64066|169058|816995555460|090908172804|1|||01 :169032|66314||090908172908|2|||81 :66741|2||090908172912|3|||89 :66395|2||090908172904|1|||89 :66034|2||090908172900||||89 :169040|77971||090908172908|2|||81 :66495|169056|8169132032|090908172952|13|||01 :169008|66012||090908173004|1|||81 :169040|8618||090908173028|7|||81 :66855|169057|81690431768124|090908172924|36|||01 :66660|66342||090908173020|5|||89 :169047|66619||090908173020|125|||81 :66179|169058|816998060977|090908173044|26|||01 :169009|66336||090908173048|12|||81 :169022|66428||090908173108|32|||81 :169020|66718||090908173204|1|||81 :66706|2||090908173240|10|||89 :66034|169055|816997487375|090908173236|39|||01 :66706|169058|81690403265709|090908173308|2|||01 :66495|169056|8169132032|090908173304|46|||01 :169007|66623||090908173328|67|||81 :66329|169058|816995572062|090908173304|1|||01 :66881|169059|816995992928|090908173316|79|||01 :66706|2||090908173428|7|||89 :66357|2||090908173412|3|||89 :64066|169057|81690407113516|090908173432|68|||01 :169001|110059|81105|090908173516|34|||03 :66183|66854||090908173624|6|||89 :66442|169060|816995252725|090908173612|408|||01 :66713|2||090908173820|35|||89 :66741|169058|81691800007368|090908173648|27|||01 :66762|2||090908173712|3|||89 :169048|66829||090908173652|73|||81 :66380|169060|81690413386048|090908173724|6|||01 :64071|66706||090908173928|37|||89 :66357|169059|81690417330002|090908173728|52|||01 :169019|66249||090908173744|11|||81 :169038|66139||090908173720|5|||81 :66706|2||090908173812|3|||89 :169003|66139||090908173820|5|||81 :169029|66369||090908173900|15|||81 :169044|66773||090908173840|10|||81 :169017|66391||090908173924|6|||81 :169036|66139||090908173924|6|||81 :66829|169058|816998483518|090908173948|12|||01 :66313|169059|816996694782|090908174004|16|||01 :169042|66029||090908174024|6|||81 :169013|66102||090908174024|51|||81 :64027|169057|816995230928|090908174016|19|||01 :66253|169060|816994824513|090908174012|33|||01 :66332|169059|81690409889688|090908174108|2|||01 :169015|66664||090908174044|11|||81 :66855|169056|816995219063|090908174132|23|||01 :66029|169059|816995783346|090908174148|12|||01 :169037|66012||090908174204|1|||81 :66856|169058|816995315376|090908174156|29|||01 :66789|66854||090908174216|4|||89 :169005|2||090908174216|4|||82 :66253|169059|816998772533|090908174240|10|||01 :169006|66346||090908174244|11|||81 :169012|66670||090908174244|446|||81 :66185|66706||090908174524|36|||89 :169026|66012||090908174308|2|||81 :66185|66762||090908174420|5|||89 :169053|66481||090908174408|2|||81 :66382|169058|816990772191|090908174440|25|||01 :77083|169056|816992773745|090908174440|10|||01 :66391|169060|816995714010|090908174456|59|||01 :66451|169060|81690409889688|090908174612|3|||01 :169049|110060|811000|090908174632|128|||03 :66332|169060|81690409889688|090908174608|2|||01 :169043|66383||090908174712|3|||81 :66029|169058|816995783346|090908174656|14|||01 :66130|169057|816995786978|090908174632|53|||01 :169050|66387||090908174728|22|||81 :66153|169056|81690419319175|090908174736|9|||01 :169028|66619||090908174824|81|||81 :169011|66607||090908174808|17|||81 :169046|110060|81105|090908174812|3|||03 :169045|66457||090908174904|1|||81 :66332|169057|81690409889688|090908174908|2|||01 :66481|169060|81690423027800|090908174916|4|||01 :66442|169058|816998676621|090908175000|15|||01 :169014|66713||090908175112|183|||81 :169054|66342||090908175144|26|||81 :66811|66741||090908175252|13|||89 :66741|2||090908175216|4|||89 :169030|66707||090908175228|7|||81 :66451|169058|81690409889688|090908175208|2|||01 :169023|66012||090908175308|17|||81 :66442|169060|816954705661|090908175256|44|||01 :169002|66707||090908175340|10|||81 :169051|110060|81109|090908175316|64|||03 :66225|169058|816997870701|090908175348|12|||01 :66332|169058|81690409889688|090908175408|2|||01 :169031|110059|8110|090908175420|20|||03 :66183|169057|816995702379|090908175448|12|||01 :66155|169059|816994795660|090908175548|192|||01 :169034|66620||090908175632|8|||81 :66285|2||090908175716|4|||89 :66342|77072||090908175800||||89 :169033|66342||090908175740|10|||81 :169040|169056|81690404816431|090908175900|15|||03