:169018|66314||020909090136|159|||81 :66477|66164||020909090048|87|||89 :66497|66314||020909090332|68|||89 :66661|66611||020909090036|9|||89 :66680|169060|816985911100|020909090004|1|||01 :66136|66002||020909090020|5|||89 :66273|2||020909090016|4|||89 :169005|66140||020909090012|93|||81 :66680|2||020909090012|3|||89 :66618|66314||020909090036|9|||89 :64086|66761||020909090144|26|||89 :169013|66261||020909090024|6|||81 :66166|169058|8169132888|020909090008|32|||01 :66025|169059|816995281298|020909090024|21|||01 :66721|66322||020909090344|41|||89 :66603|66664||020909090120|5|||89 :77643|66260||020909090136|9|||89 :66332|169059|81690409889688|020909090108|2|||01 :169046|66923||020909090132|23|||81 :66923|169056|816990765923|020909090132|23|||01 :66127|66679||020909090232|23|||89 :66826|66659||020909090620|80|||89 :169018|66832||020909090108|2|||81 :66338|169052|81690408175728|020909090108|2|||01 :64073|169055|816992651766|020909090152|13|||01 :169035|66102||020909090204|1|||81 :169038|66287||020909090120|5|||81 :169039|2||020909090200|15|||82 :169017|66834||020909090204|16|||81 :66161|66854||020909090316|19|||89 :169006|110060|81101|020909090220|35|||03 :169011|66648||020909090204|1|||81 :64020|169057|816996902950|020909090216|49|||01 :169049|66325||020909090144|41|||81 :169008|66261||020909090240|25|||81 :66789|169055|816995329349|020909090220|5|||01 :66602|66725||020909090408|17|||89 :66322|169052|816995536118|020909090204|1|||01 :66442|169058|816995081222|020909090252|28|||01 :66854|66136||020909090332|8|||89 :169034|66433||020909090344|56|||81 :169026|66012||020909090308|62|||81 :66867|66027||020909090408|2|||89 :169048|66801||020909090316|34|||81 :169042|110060|81102|020909090312|18|||03 :66322|169058|81690438266778|020909090340|10|||01 :66603|169057|816995768839|020909090344|11|||01 :66325|64071||020909090432|8|||89 :66183|66350||020909090416|4|||89 :66221|66777||020909090444|11|||89 :66746|169059|81690401499957|020909090436|39|||01 :169016|66873||020909090444|86|||81 :169050|66832||020909090504|1|||81 :66619|66721||020909090504|1|||89 :169036|66619||020909090416|4|||81 :66447|66752||020909090528|7|||89 :169024|66260||020909090512|18|||81 :64020|66642||020909090540|10|||89 :66177|66350||020909090516|4|||89 :169047|110055|81101|020909090448|12|||03 :64098|169055|8169132230|020909090516|4|||01 :66255|169052|816998896650|020909090504|1|||01 :169038|66123||020909090828|52|||81 :169019|66666||020909090520|5|||81 :66705|77089||020909090504|1|||89 :66661|66611||020909090548|12|||89 :66113|66631||020909090536|9|||89 :169044|66860||020909090556|44|||81 :66846|169058|816995838557|020909090528|7|||01 :64006|169057|81691223|020909090556|14|||01 :169036|66721||020909090656|14|||81 :66258|66395||020909090648|12|||89 :66338|169056|81690408175728|020909090552|58|||01 :66255|169050|816998138047|020909090604|1|||01 :66224|169052|816995285257|020909090520|5|||01 :66304|66620||020909090616|4|||89 :66285|66253||020909090644|11|||89 :64078|169051|816995982450|020909090552|13|||01 :66183|66350||020909090632|8|||89 :66221|169053|81691300654822|020909090612|18|||01 :169009|66166||020909090628|37|||81 :169031|110057|81101|020909090708|77|||03 :66350|169050|816995876612|020909090716|4|||01 :66224|169049|816995285257|020909090632|8|||01 :169037|66666||020909090724|6|||81 :66304|66340||020909090712|3|||89 :64071|66210||020909090732|8|||89 :169014|66270||020909090708|2|||81 :66389|169048|816995329349|020909090740|10|||01 :169032|66772||020909092744|296|||81 :66806|66826||020909090816|4|||89 :169029|66619||020909090724|6|||81 :66314|66442||020909090804|1|||89 :169001|66314||020909090824|6|||81 :8610|169048|816995475995|020909090816|4|||01 :169030|66269||020909090820|305|||81 :169012|66063||020909090816|4|||81 :66063|169047|816990765063|020909090816|4|||01 :66240|169049|816998224976|020909090836|9|||01 :66261|169057|816997917368|020909090812|33|||01 :66102|169054|81690289771361|020909090816|184|||01 :66315|169058|816995681945|020909090824|36|||01 :66362|66806||020909090920|5|||89 :169010|66938||020909090844|11|||81 :66938|169048|816990765938|020909090844|11|||01 :64073|169050|81690407802752|020909090844|26|||01 :66661|66619||020909090948|12|||89 :66325|64128||020909090936|9|||89 :66289|66611||020909090948|12|||89 :66680|169060|81690417571243|020909090940|130|||01 :169045|66801||020909090916|34|||81 :66887|169046|816997678725|020909090948|12|||01 :169005|66261||020909090904|16|||81 :66804|169049|81690415393312|020909090920|5|||01 :64098|8125||020909091032|8|||89 :64020|169057|816990117374|020909090944|11|||01 :66721|169058|816998415700|020909091000|15|||01 :169018|66636||020909090956|14|||81 :169028|77971||020909090952|28|||81 :169013|66166||020909091032|23|||81 :169011|66648||020909091004|1|||81 :2|66260||020909091056|14|||89 :66721|169058|816997050959|020909091012|3|||01 :66661|66611||020909091020|5|||89 :66287|66261||020909091036|9|||89 :66389|169048|816997984110|020909091052|13|||01 :66869|169054|816995551544|020909091048|27|||01 :169017|66938||020909091020|20|||81 :66938|169050|816990765938|020909091020|20|||01 :66192|169051|8169132230|020909091020|65|||01 :169027|66832||020909091112|3|||81 :66485|169053|816995313742|020909091052|43|||01 :169008|66742||020909091032|8|||81 :64005|169052|816994158795|020909091052|73|||01 :66303|66890||020909091212|18|||89 :169040|110054|81105|020909091136|99|||03 :66221|169056|81691300654822|020909091112|78|||01 :66403|169057|816998304625|020909091152|13|||01 :66240|169060|816995239119|020909091200|30|||01 :66369|169058|81691800997799|020909091212|18|||01 :169039|66102||020909091148|42|||81 :66104|169054|816996879322|020909091204|16|||01 :169022|66648||020909091212|3|||81 :169003|66192||020909091220|20|||81 :66365|66287||020909091244|11|||89 :66199|169049|816990761000|020909091232|38|||01 :66161|66019||020909091324|6|||89 :169006|66819||020909091212|33|||81 :169016|66938||020909091236|9|||81 :66938|169051|816990765938|020909091236|9|||01 :66389|66126||020909091332|8|||89 :169007|66314||020909091308|32|||81 :66481|169057|816998535900|020909091244|11|||01 :64033|169052|81690413304162|020909091252|13|||01 :64033|169053|816995962402|020909091316|19|||01 :66684|66312||020909091356|14|||89 :169041|66207||020909091328|7|||81 :169038|66336||020909091316|4|||81 :64033|169057|816995962402|020909091320|5|||01 :66603|2||020909091408|2|||89 :77065|2||020909091400||||89 :169043|66718||020909091400|15|||81 :169026|66314||020909091420|50|||81 :169023|110055|81101|020909091356|14|||03 :169004|66338||020909091404|91|||81 :66210|169054|81690409937857|020909091356|14|||01 :66451|169057|81690409889688|020909091408|2|||01 :66648|66205||020909091652|43|||89 :66603|66631||020909091540|10|||89 :169020|66776||020909091512|3|||81 :66456|169060|816995717144|020909091456|44|||01 :169034|77971||020909091428|67|||81 :66653|169053|816995783346|020909091432|23|||01 :169015|66369||020909091440|10|||81 :169038|66679||020909091632|23|||81 :66754|169052|816995261988|020909091436|9|||01 :66811|169057|816994994823|020909091528|7|||01 :169031|64060||020909091516|4|||81 :169009|66487||020909091524|6|||81 :169036|66314||020909091544|11|||81 :66183|169060|816990766487|020909091524|6|||01 :169035|66174||020909091552|103|||81 :66648|77089||020909091604|1|||89 :66155|169056|816983872333|020909091628|67|||01 :64045|169054|816996901076|020909091548|12|||01 :66602|8125||020909091700|15|||89 :66964|169052|816993888931|020909091624|6|||01 :169047|66221||020909091628|7|||81 :169030|66832||020909091648|12|||81 :169025|66314||020909091616|124|||81 :66754|169054|816990100512|020909091628|7|||01 :169032|66834||020909091620|20|||81 :66879|66611||020909091728|7|||89 :66398|169049|816996261105|020909091708|2|||01 :66497|169058|81691300785786|020909091708|77|||01 :169012|66854||020909091644|11|||81 :169019|66261||020909091644|41|||81 :169042|110057|8110|020909091720|95|||03 :169044|66010||020909091716|19|||81 :66680|169050|816985911100|020909091708|77|||01 :64005|66210||020909091912|18|||89 :169024|77065||020909091736|54|||81 :66362|66664||020909092028|37|||89 :66672|169059|81691300550731|020909091804|196|||01 :169010|66631||020909091824|21|||81 :66734|169049|816995097566|020909091736|9|||01 :8205|169056|81690407314441|020909091828|22|||01 :64055|169047|816997068830|020909091820|5|||01 :66661|66611||020909091824|6|||89 :64098|66032||020909091824|6|||89 :169005|66366||020909091740|10|||81 :66471|169048|81690413047564|020909091800||||01 :66035|169050|81690296309268|020909091832|8|||01 :66174|169057|816995570811|020909091816|34|||01 :169018|66261||020909091844|11|||81 :8611|169060|816959414791|020909091824|36|||01 :66749|169058|81690402273908|020909091800|15|||01 :169021|77971||020909091840|55|||81 :169010|66314||020909091936|9|||81 :66465|169059|81690417015588|020909091836|9|||01 :169028|66341||020909091828|7|||81 :66661|66611||020909091920|5|||89 :64012|66253||020909092840|145|||89 :169039|110056|8110|020909091900||||03 :66964|169056|816996534453|020909091928|7|||01 :77190|66804||020909091936|9|||89 :66362|66721||020909091936|9|||89 :169046|66648||020909091916|34|||81 :169011|2||020909091948|12|||82 :169022|66648||020909091916|4|||81 :66811|2||020909092008|2|||89 :66707|66660||020909092028|7|||89 :169040|66207||020909091920|5|||81 :169001|66442||020909093136|174|||81 :66365|169050|81690296309206|020909091912|3|||01 :66454|169051|816998277398|020909092016|49|||01 :66362|66336||020909092028|7|||89 :64082|169049|81690417546100|020909092012|3|||01 :66725|8125||020909092104|16|||89 :66026|66350||020909092016|4|||89 :169014|66607||020909091952|73|||81 :66155|169052|816996589658|020909091956|44|||01 :66192|66619||020909092608|92|||89 :169017|110060|81105|020909092036|24|||03 :66113|169058|816995966922|020909092052|28|||01 :66341|66229||020909092036|9|||89 :66804|77190||020909092012|3|||89 :77281|66611||020909092132|8|||89 :66684|169056|816995048227|020909092004|16|||01 :169041|66012||020909092048|12|||81 :169004|66322||020909092008|2|||81 :66451|169058|81690409889688|020909092104|1|||01 :66185|66260||020909092140|10|||89 :169006|66777||020909092040|25|||81 :66478|169054|8169132032|020909092100|60|||01 :66122|66341||020909092128|7|||89 :66477|66650||020909092308|32|||89 :66010|2||020909092108|2|||89 :66659|169052|816995577494|020909092044|11|||01 :169038|66776||020909092116|4|||81 :169020|66938||020909092040|10|||81 :66938|169049|816990765938|020909092040|10|||01 :169015|66667||020909092128|7|||81 :169023|66800||020909092100|15|||81 :66725|66158||020909092140|10|||89 :66289|2||020909092112|3|||89 :66442|169051|816995199778|020909092100|15|||01 :66010|169059|81690408257457|020909092112|3|||01 :169043|8125||020909092204|16|||81 :169037|66880||020909093644|221|||81 :66192|66713||020909092220|5|||89 :169031|66260||020909092220|5|||81 :66762|77089||020909092220|5|||89 :66192|66744||020909092328|7|||89 :66165|169060|816995966983|020909092308|62|||01 :169030|66648||020909092312|3|||81 :2|66664||020909092304|1|||89 :66658|66777||020909092356|14|||89 :169025|66192||020909092324|6|||81 :66362|66253||020909092556|44|||89 :169012|8125||020909092320|5|||81 :66846|169056|816994283640|020909092320|35|||01 :66192|66762||020909092324|6|||89 :66178|66350||020909092316|4|||89 :66249|169060|816998706371|020909092332|8|||01 :66451|169046|81690409889688|020909092308|2|||01 :66221|169053|816996578888|020909092328|127|||01 :66737|169047|816997743398|020909092348|12|||01 :66289|169058|81690412307859|020909092356|29|||01 :169042|66126||020909092332|8|||81 :66659|169054|816950273686|020909092340|25|||01 :66387|169051|816996411327|020909092420|20|||01 :66035|169060|81690296309268|020909092428|7|||01 :66192|66253||020909092412|3|||89 :66631|66611||020909092504|16|||89 :169019|66636||020909092348|12|||81 :169005|66032||020909092412|3|||81 :169032|110060|81101|020909092424|21|||03 :66195|169044|816995256933|020909092408|17|||01 :169009|66648||020909092420|20|||81 :66336|169050|81691300888801|020909092352|58|||01 :64073|66366||020909092632|38|||89 :66192|66341||020909092412|3|||89 :66465|169053|816998119003|020909092428|7|||01 :169024|66102||020909092408|17|||81 :66705|77147||020909092548|12|||89 :66497|169043|81691300785786|020909092428|22|||01 :66338|169054|816998853624|020909092428|7|||01 :66225|169058|816996589542|020909092456|14|||01 :64026|169052|816996998044|020909092428|37|||01 :66631|66268||020909092524|6|||89 :169039|66718||020909092524|6|||81 :169018|66027||020909092512|18|||81 :169027|66648||020909092452|13|||81 :66684|2||020909092520|5|||89 :169011|66166||020909092548|12|||81 :77810|169058|81690402241099|020909092528|7|||01 :66861|66884||020909092620|5|||89 :66737|169056|81690406305541|020909092604|31|||01 :169003|66773||020909092536|9|||81 :66631|2||020909092608|2|||89 :169010|66314||020909092616|19|||81 :66661|66713||020909092732|23|||89 :66192|66336||020909092744|26|||89 :66221|169054|816993971277|020909092600|15|||01 :169029|66010||020909092632|23|||81 :66016|66772||020909092828|22|||89 :169036|66700||020909092700|75|||81 :169040|77971||020909092616|4|||81 :66631|66322||020909092724|6|||89 :66458|8125||020909092716|4|||89 :66684|66718||020909092812|18|||89 :66865|77190||020909092712|3|||89 :66142|169052|816990763300|020909092716|19|||01 :64020|169056|816992651526|020909092648|12|||01 :169016|66153||020909092732|8|||81 :169004|66027||020909092708|2|||81 :66035|169037|816998983113|020909092720|5|||01 :169034|66832||020909092720|5|||81 :169005|77270||020909093000|45|||81 :169021|169046|816992585000|020909092736|39|||03 :66713|66660||020909092724|6|||89 :66027|66867||020909092740|10|||89 :66804|77190||020909092904|16|||89 :169001|64073||020909092712|18|||81 :66865|66221||020909092832|8|||89 :66631|66611||020909092824|6|||89 :66619|66721||020909092804|1|||89 :66322|66619||020909092832|8|||89 :169006|66314||020909092720|5|||81 :169020|66002||020909092720|5|||81 :169014|66636||020909092800|15|||81 :66287|169043|816995090539|020909092832|8|||01 :64011|169056|81690411439301|020909092832|8|||01 :66178|169053|816995890522|020909092836|39|||01 :66651|169046|816996331711|020909092844|11|||01 :66225|169052|816996589542|020909092756|14|||01 :169058|66804||020909093036|39|||81 :169013|66205||020909092808|2|||81 :169015|66707||020909092756|14|||81 :64086|169060|816988481222|020909092804|61|||01 :66136|169054|816995106925|020909092856|29|||01 :64026|169038|81690357443811|020909092840|25|||01 :66208|66377||020909093156|44|||89 :169035|66776||020909092848|12|||81 :66153|169036|816995937126|020909092852|13|||01 :66819|66718||020909093052|28|||89 :66257|66801||020909092940|10|||89 :169030|66207||020909092848|12|||81 :66287|169056|81690419770145|020909092924|6|||01 :169018|66713||020909092912|3|||81 :169022|66161||020909092932|8|||81 :66221|169060|816996891622|020909092932|8|||01 :66322|66721||020909093028|22|||89 :169011|66207||020909092912|3|||81 :169007|66744||020909092940|55|||81 :66878|169032|816995814837|020909092904|16|||01 :66289|66648||020909093200|30|||89 :66393|169056|816995928985|020909092916|4|||01 :77190|66107||020909093020|5|||89 :169009|66207||020909093004|16|||81 :169026|66287||020909093004|1|||81 :169027|66192||020909092952|13|||81 :66659|169051|81690407681485|020909092936|84|||01 :66744|66746||020909093008|2|||89 :66287|169052|816995927138|020909093000||||01 :66336|77147||020909093008|2|||89 :66867|2||020909093012|3|||89 :66618|169039|816993541254|020909093016|49|||01 :66325|66377||020909093040|10|||89 :169023|66245||020909093020|5|||81 :169011|66123||020909093056|14|||81 :66964|169052|816958570243|020909093008|2|||01 :169010|66666||020909092952|13|||81 :169005|66648||020909093024|6|||81 :169017|110060|81101|020909093024|51|||03 :64071|169039|81691800050004|020909093004|1|||01 :169024|66239||020909093056|29|||81 :169003|110058|81107|020909093048|12|||03 :66137|169049|816995553264|020909093056|119|||01 :169029|66340||020909093100|15|||81 :169009|66107||020909093148|12|||81 :169006|2||020909093012|3|||82 :169001|66012||020909093008|2|||81 :64124|169051|816995274614|020909093028|7|||01 :169010|66123||020909093124|6|||81 :8614|169052|816992123000|020909093108|2|||01 :66878|169056|816995479724|020909093056|14|||01 :169004|66672||020909093100|15|||81 :66433|169053|816987955777|020909093044|11|||01 :8614|169053|816992123000|020909093100||||01 :169021|77971||020909093100|15|||81 :66199|169044|816985870219|020909093048|72|||01 :66192|66396||020909093544|71|||89 :66248|169054|816996462019|020909093140|25|||01 :66290|66734||020909093352|43|||89 :64124|169052|816998138180|020909093104|1|||01 :169035|66366||020909093116|4|||81 :169040|66269||020909093544|71|||81 :66832|169043|816982903204|020909093124|21|||01 :169016|66713||020909093148|27|||81 :66762|66145||020909093112|3|||89 :66148|66322||020909093220|5|||89 :169030|66744||020909093120|5|||81 :64078|169060|816995982450|020909093108|32|||01 :66177|66890||020909093220|5|||89 :66964|169044|816958570243|020909093112|3|||01 :66432|8125||020909093348|27|||89 :169045|169057|81690429180365|020909093200|195|||03 :66867|169046|81690404816336|020909093148|27|||01 :66225|169052|816996589542|020909093156|14|||01 :66648|66366||020909093212|3|||89 :66389|66854||020909093240|10|||89 :66035|169045|816994199682|020909093228|7|||01 :169005|66648||020909093220|5|||81 :66887|169050|816995027679|020909093248|117|||01 :169015|8016||020909093204|16|||81 :64011|169060|816998274733|020909093236|9|||01 :169022|66261||020909093308|17|||81 :169027|66607||020909093240|10|||81 :64071|169044|81691800224277|020909093240|10|||01 :169002|66352||020909093216|154|||81 :66648|169052|816995238752|020909093312|3|||01 :169017|66726||020909093220|5|||81 :169008|66481||020909093228|202|||81 :169038|66287||020909093256|29|||81 :66478|169056|816998132755|020909093252|28|||01 :66617|66660||020909093356|14|||89 :66636|169039|816993505685|020909093228|22|||01 :66136|169058|816995106925|020909093244|56|||01 :169024|110057|81101|020909093228|7|||03 :169023|66192||020909093300|15|||81 :66448|169049|816995690703|020909093320|35|||01 :66177|66854||020909093324|6|||89 :77758|66611||020909093320|5|||89 :66433|169040|816987955777|020909093320|20|||01 :169032|66314||020909093324|21|||81 :66171|169043|816992440444|020909093340|25|||01 :66741|169060|816995099962|020909093328|7|||01 :64108|169047|81691300123123|020909093348|132|||01 :66199|169058|816995577446|020909093340|10|||01 :169014|66121||020909093352|13|||81 :66659|169041|816950273686|020909093356|59|||01 :8622|169049|816959858813|020909093348|12|||01 :169016|64046||020909093408|2|||81 :66741|169060|816995780364|020909093420|5|||01 :66208|66377||020909093440|10|||89 :66705|169052|81690417639777|020909093412|18|||01 :66183|169047|816995329349|020909093420|5|||01 :66221|169035|81690409212267|020909093356|29|||01 :66604|169055|81691800500726|020909093356|434|||01 :66454|169048|816996294700|020909093352|208|||01 :64011|169056|81690411439301|020909093408|17|||01 :169010|66249||020909093444|11|||81 :66331|169058|816995318631|020909093420|5|||01 :66442|169059|816996929400|020909093440|190|||01 :66707|66660||020909093436|9|||89 :66192|66396||020909093432|8|||89 :66432|169050|816954711468|020909093500|15|||01 :169006|110056|8110|020909093408|17|||03 :66155|66744||020909093516|4|||89 :169013|66722||020909093440|10|||81 :66448|169036|816995690703|020909093456|59|||01 :169030|110054|8110|020909093452|13|||03 :66635|169049|816990766070|020909093452|13|||01 :169012|110059|8110|020909093452|103|||03 :169026|66314||020909093500|45|||81 :66183|169059|816995329349|020909093532|8|||01 :66712|169058|816947|020909093540|10|||01 :66661|66611||020909093544|11|||89 :66741|169060|816995780364|020909093536|9|||01 :66113|169034|816998226368|020909093520|110|||01 :66205|169057|81690414405167|020909093528|52|||01 :64020|169037|816995093346|020909093532|113|||01 :66878|77190||020909093640|10|||89 :169007|110058|8110|020909093500|60|||03 :169038|66102||020909093848|42|||81 :66192|66396||020909093620|5|||89 :66658|66208||020909093648|12|||89 :66648|169055|81690411705600|020909093636|9|||01 :169004|110057|81101|020909093620|35|||03 :169003|110056|8110|020909093544|11|||03 :77149|66713||020909093712|18|||89 :66192|66382||020909093616|4|||89 :169011|66253||020909093604|16|||81 :66335|169052|81691800888333|020909093624|21|||01 :66338|169060|81690415234279|020909093640|10|||01 :66661|66611||020909093800|15|||89 :66618|169044|81690418580396|020909093628|52|||01 :66192|66340||020909093720|5|||89 :169022|66834||020909093632|23|||81 :66865|66255||020909093700||||89 :8615|169042|816959734203|020909093724|156|||01 :66608|169054|816996469599|020909093628|82|||01 :169021|77971||020909093636|39|||81 :64011|66287||020909093800|15|||89 :66110|169060|81690458387989|020909093724|6|||01 :77190|66027||020909093708|2|||89 :169027|66834||020909093748|12|||81 :169029|66270||020909093740|10|||81 :66741|8125||020909093940|25|||89 :66342|169056|81690434342217|020909093744|11||2025|01 :169019|66010||020909093724|96|||81 :169002|66667||020909093724|6|||81 :66660|66707||020909093844|11|||89 :66433|169055|816985641800|020909093804|16|||01 :66158|169059|816985088413|020909093816|34|||01 :64011|169050|81690411439301|020909093832|8|||01 :77149|66193||020909093920|20|||89 :66192|66657||020909093900|15|||89 :169020|66010||020909093816|4|||81 :66811|169055|816997981561|020909093808|2|||01 :169024|64046||020909093840|10|||81 :66183|66026||020909093920|5|||89 :169025|66314||020909093852|118|||81 :169009|66666||020909093828|7|||81 :169017|110060|81109|020909093820|20|||03 :66102|66744||020909093916|4|||89 :66102|169057|81690411439301|020909093832|38|||01 :66865|66255||020909093928|7|||89 :66442|169060|81690412477230|020909093852|13|||01 :66465|169047|816998169055|020909093916|19|||01 :66260|77149||020909093928|7|||89 :169025|64020||020909093952|13|||81 :169009|66123||020909094048|12|||81 :169041|66776||020909093912|3|||81 :8622|169052|81690417142232|020909093940|10|||01 :169014|110057|8110|020909093916|4|||03 :66136|66854||020909094032|8|||89 :169001|66314||020909093956|89|||81 :77149|77145||020909094020|5|||89 :66433|169059|816987686100|020909094004|16|||01 :66442|169044|816988237976|020909094004|1|||01 :66341|66611||020909094124|21|||89 :169010|66887||020909094008|2|||81 :66811|169055|816997981561|020909093952|13|||01 :64124|169053|816995725982|020909093952|118|||01 :169035|66776||020909094032|8|||81 :66165|169050|816995034959|020909094004|16|||01 :66620|169042|816997634520|020909094048|12|||01 :66673|169038|816995719271|020909094040|10|||01 :66154|66377||020909094032|8|||89 :77866|66459||020909094028|7|||89 :66661|66762||020909094148|12|||89 :169013|66648||020909094016|4|||81 :66741|169060|81691223|020909094028|22|||01 :169057|66744||020909094248|27|||81 :169006|66887||020909094036|9|||81 :66684|66705||020909094228|22|||89 :66240|169056|816998224976|020909094056|44|||01 :169043|66804||020909094028|22|||81 :66608|169047|81690418120586|020909094104|16|||01 :66253|66153||020909094300|30|||89 :66002|169052|816911|020909094132|8|||01 :169039|66838||020909094100|30|||81 :66433|169059|816997912777|020909094100|15|||01 :8615|169049|81691300464663|020909094144|56|||01 :66804|77190||020909094108|2|||89 :169027|66027||020909094508|62|||81 :66741|169060|816994975710|020909094132|8|||01 :169028|66648||020909094136|24|||81 :169043|66123||020909094252|13|||81 :66600|77149||020909094240|10|||89 :8611|169044|816959967650|020909094144|11|||01 :66433|169059|816995484545|020909094212|3|||01 :169016|66174||020909094216|34|||81 :169036|66434||020909094212|18|||81 :66611|66713||020909094324|21|||89 :66811|169060|816995793298|020909094220|5|||01 :66964|169046|816990960290|020909094200|150|||01 :169015|110060|81101|020909094140|10|||03 :64124|169055|816998138180|020909094140|25|||01 :169030|66700||020909094232|23|||81 :66448|169048|81690419530250|020909094224|66|||01 :66332|169059|81690409889688|020909094204|1|||01 :66256|169057|816983450013|020909094228|7|||01 :66192|66342||020909094316|19|||89 :66432|169058|816954711555|020909094220|95|||01 :169034|66804||020909094232|8|||81 :66358|169060|816995945399|020909094216|4|||01 :169023|66135||020909094240|10|||81 :169011|110058|8110|020909094232|8|||03 :169007|66434||020909094240|10|||81 :66107|169053|816998226278|020909094308|32|||01 :169004|66139||020909094240|10|||81 :66684|2||020909094312|3|||89 :169022|66932||020909094248|12|||81 :66932|169052|816990765932|020909094248|12|||01 :64124|169055|816995725982|020909094244|11|||01 :169019|66879||020909094324|6|||81 :169021|66801||020909094244|11|||81 :169031|66261||020909094312|63|||81 :8615|169059|816959760844|020909094336|9|||01 :66741|169056|81691223|020909094324|21|||01 :66887|169054|81691300131079|020909094300|90|||01 :8125|66619||020909094448|12|||89 :66661|66611||020909094448|12|||89 :169012|110059|8110|020909094352|43|||03 :169017|66352||020909094416|4|||81 :66433|169060|816995484545|020909094356|14|||01 :66007|169055|81690413483322|020909094336|9|||01 :169008|66102||020909094352|13|||81 :66110|169037|816996869572|020909094408|62|||01 :66648|169054|816995788657|020909094336|9|||01 :66122|169050|816992585000|020909094352|28|||01 :77190|66804||020909094648|42|||89 :169003|66366||020909094424|36|||81 :8614|8615||020909094404|1|||89 :169025|77971||020909094420|5|||81 :169009|66391||020909094408|2|||81 :66608|66611||020909094532|8|||89 :169002|66322||020909094444|26|||81 :169025|8615||020909094512|3|||81 :66433|169047|816985641800|020909094428|7|||01 :64078|169053|816995982450|020909094428|22|||01 :8611|169060|816987900401|020909094440|10|||01 :66137|169049|816985744900|020909094528|22|||01 :8622|169048|81690418822974|020909094448|12|||01 :66349|66604||020909094500||||89 :169041|66610||020909094532|8|||81 :169014|66428||020909094544|11|||81 :169001|66369||020909094532|8|||81 :66636|169040|8169131450|020909094504|181|||01 :169035|110059|8110|020909094512|3|||03 :77643|169052|816996909144|020909094508|32|||01 :66336|169047|81691300888801|020909094520|5|||01 :66269|169060|81691300651743|020909094536|9|||01 :66349|66604||020909094608|2|||89 :66175|169046|816995311847|020909094524|6|||01 :66256|169054|816994201357|020909094608|17|||01 :66741|169059|816995597111|020909094516|34|||01 :66335|66210||020909094628|7|||89 :169013|66222||020909094532|8|||81 :169010|64073||020909094556|14|||81 :66342|77072||020909094604|1|||89 :169005|66342||020909094548|12|||81 :77190|169049|816995551544|020909094552|13|||01 :8615|169050|816959734203|020909094556|14|||01 :77065|2||020909094604|1|||89 :2|66395||020909094700||||89 :66102|66316||020909094752|13|||89 :66707|66801||020909094736|9|||89 :169039|66434||020909094716|4|||81 :169026|66666||020909094640|10|||81 :169038|66865||020909094716|19|||81 :169020|66395||020909094740|10|||81 :169043|110058|81100|020909094720|5|||03 :66256|169054|816983450013|020909094724|21|||01 :66495|169041|81690403320491|020909094712|3|||01 :64026|169051|816992031453|020909094748|252|||01 :66471|169053|81690413047564|020909094732|38|||01 :66478|169056|816995365222|020909094716|64|||01 :77190|169060|816996977650|020909094800|30|||01 :66603|66477||020909095024|36|||89 :66661|66611||020909094828|7|||89 :169026|66804||020909094848|12|||81 :169032|66261||020909094824|51|||81 :169005|77072||020909095008|32|||81 :66341|169048|816995921918|020909094752|43|||01 :66819|169041|816995557084|020909094804|1|||01 :66189|169043|81691300792958|020909094752|13|||01 :169016|110057|8110|020909094848|12|||03 :66432|8125||020909095000|15|||89 :66122|169054|81690404882490|020909094844|11|||01 :169028|110060|81105|020909094848|27|||03 :66684|169058|81690414386729|020909094832|83|||01 :66848|169053|816992123030|020909094856|14|||01 :8205|169048|816995715608|020909094820|5|||01 :66176|169040|816985209200|020909094832|8|||01 :66465|169051|816998119004|020909094852|13|||01 :169015|66336||020909094928|7|||81 :64014|169057|816998850164|020909094904|91|||01 :66684|2||020909094916|4|||89 :169006|110059|81101|020909094940|55|||03 :77643|169058|816990769888|020909094948|12|||01 :66878|169052|81690411242865|020909094912|48|||01 :169036|66619||020909095000|15|||81 :66137|169054|816997843777|020909094924|6|||01 :169023|110055|81104|020909094932|8|||03 :169030|110057|81102|020909094948|12|||03 :169011|66261||020909094932|8|||81 :66256|169056|816983872333|020909095008|32|||01 :66110|169049|816998575061|020909094948|57|||01 :77190|66804||020909095028|7|||89 :169004|66773||020909095020|5|||81 :8610|169053|816997990209|020909095004|16|||01 :66332|169056|81690409889688|020909095012|3|||01 :66442|169060|816995081446|020909095032|38|||01 :169027|66260||020909095100|60|||81 :8620|169052|816995075043|020909095024|6|||01 :66432|169057|816954711468|020909095104|16|||01 :66005|66684||020909095152|13|||89 :169034|110056|81101|020909095032|23|||03 :66338|66248||020909095348|42|||89 :66717|169048|816985205255|020909095028|7|||01 :66205|169050|816996929400|020909095044|71|||01 :66460|169049|81691300272273|020909095044|11|||01 :169019|66314||020909095048|12|||81 :77866|66459||020909095108|2|||89 :66349|169045|81691800337068|020909095156|284|||01 :169012|66804||020909095116|4|||81 :66713|169054|81690439039893|020909095120|20|||01 :169029|66618||020909095136|9|||81 :8620|169041|816995555940|020909095120|5|||01 :66173|66611||020909095412|33|||89 :64071|66341||020909095300|15|||89 :66335|169048|816995041521|020909095156|14|||01 :66661|66660||020909095208|2|||89 :169024|66253||020909095220|5|||81 :66448|169053|81690412692409|020909095232|23|||01 :66448|169051|816995324163|020909095240|40|||01 :66175|169047|816995575254|020909095244|86|||01 :169017|66126||020909095236|9|||81 :64086|169046|81690434606877|020909095252|88|||01 :66887|169059|816997678725|020909095232|98|||01 :169021|66804||020909095232|8|||81 :77281|66260||020909095312|3|||89 :66749|169050|816996907837|020909095232|23|||01 :77190|169052|81690432430555|020909095232|23|||01 :66176|66386||020909095348|12|||89 :169037|66314||020909095252|13|||81 :66661|66611||020909095328|7|||89 :66338|77190||020909095400|15|||89 :169025|110056|81109|020909095256|14|||03 :64011|169044|81690411439301|020909095336|99|||01 :169014|66002||020909095332|8|||81 :169009|77971||020909095308|17|||81 :66329|66636||020909095524|36|||89 :66166|169059|816998072040|020909095336|9|||01 :66717|66350||020909095424|6|||89 :66285|169058|816995236282|020909095332|53|||01 :169039|66623||020909095412|3|||81 :66832|169050|816990766623|020909095412|3|||01 :66177|169051|816995329349|020909095420|5|||01 :66173|66342||020909095436|9|||89 :169008|110059|81100|020909095424|36|||03 :66288|169056|816997963399|020909095420|50|||01 :169003|66776||020909095404|31|||81 :169020|66700||020909095412|3|||81 :66707|66618||020909095448|12|||89 :66366|66605||020909095444|11|||89 :169042|77065||020909095412|123|||81 :64073|169059|81690434525445|020909095408|2|||01 :169007|110060|8110|020909095452|73|||03 :66002|169048|816990769855|020909095428|7|||01 :66428|169050|816998271044|020909095440|10|||01 :169032|66158||020909095508|2|||81 :169031|66267||020909095504|61|||81 :77065|66831||020909095520|5|||89 :66329|169048|816999257116|020909095516|4|||01 :66273|169049|81690488497826|020909095456|59|||01 :169013|8018||020909095548|27|||81 :169010|66459||020909095552|13|||81 :169035|66174||020909095556|29|||81 :169005|66314||020909095540|10|||81 :66127|169060|81691800331719|020909095548|72|||01 :66636|169058|816998281222|020909095528|22|||01 :8620|169054|816997757896|020909095532|38|||01 :66261|77647||020909095648|12|||89 :66183|169042|816995329349|020909095520|5|||01 :77810|169059|816995557953|020909095544|11|||01 :66110|169050|81690434651788|020909095528|7|||01 :66110|169056|816995196810|020909095600|15|||01 :66166|169045|816998865851|020909095524|6|||01 :66964|169052|816993888931|020909095624|36|||01 :169016|66465||020909095612|18|||81 :66844|169046|816985989411|020909095620|20|||01 :169015|110059|8110|020909095636|9|||03 :66746|169054|816995199700|020909095600||||01 :169040|110060|8110|020909095604|16|||03 :169028|66700||020909095624|21|||81 :66261|66750||020909095640|10|||89 :169026|66349||020909095652|28|||81 :8620|169058|816959741960|020909095616|4|||01 :169030|66434||020909095640|10|||81 :66209|169049|816992762920|020909095616|19|||01 :66273|66744||020909095732|8|||89 :66448|169051|816994624339|020909095640|40|||01 :169002|77971||020909095708|62|||81 :66465|169054|816998119008|020909095720|5|||01 :66754|169055|816993662455|020909095704|196|||01 :169038|77971||020909095724|51|||81 :169034|66215||020909095704|1|||81 :66324|169056|816996878240|020909095740|10|||01 :64071|169047|81690393809118|020909095708|47|||01 :8620|169058|816995741960|020909095744|11|||01 :169027|66607||020909095740|10|||81 :169033|64046||020909095736|864|||81 :66255|2||020909095804|1|||89 :66497|169049|816996969308|020909095732|8|||01 :169029|66207||020909095812|3|||81 :169041|66102||020909095808|2|||81 :77065|66741||020909095944|26|||89 :66336|66718||020909095924|21|||89 :66329|169059|81690403178638|020909095824|36|||01 :169017|66666||020909095824|6|||81 :169037|8125||020909095832|8|||81 :66183|66350||020909095928|7|||89 :66380|169051|816995536383|020909095936|24|||01 :66137|169057|816997843777|020909095844|101|||01 :64114|169046|816995570822|020909095916|4|||01 :77065|66831||020909095924|6|||89 :66679|169044|81690427274376|020909095856|59|||01 :66773|169056|816990766428|020909095900|15|||01 :169021|66428||020909095900|15|||81 :66448|169055|816998895566|020909095912|33|||01 :66328|169059|816995962790|020909095928|7|||01 :66636|169049|816995740401|020909095956|14|||01 :66746|169050|816995199700|020909095924|21|||01 :64014|169053|81690422274027|020909095924|96|||01 :169001|66636||020909095952|13|||81