:169038|66253||030909090028|37|||81 :66342|77645||030909090004|16|||89 :66651|66322||030909090144|41|||89 :66342|77648||030909090048|12|||89 :77661|66393||030909090100|15|||89 :169035|66666||030909090012|3|||81 :66270|169060|816995328417|030909090008|17|||01 :64034|169056|81690409971652|030909090040|10|||01 :66865|66260||030909090120|5|||89 :169029|66648||030909090112|3|||81 :169016|66002||030909090032|8|||81 :66183|66350||030909090132|8|||89 :66835|169058|816951503333|030909090108|137|||01 :66161|66019||030909090128|7|||89 :66035|169056|81691300557676|030909090116|4|||01 :169035|66123||030909090212|18|||81 :66488|2||030909090112|3|||89 :66210|169060|81690401371979|030909090136|9|||01 :8125|66341||030909090120|5|||89 :169044|2||030909090148|42|||82 :169007|66443||030909090520|65|||81 :66157|169057|81690405199004|030909090128|97|||01 :66151|2||030909090224|6|||89 :8612|169060|81690418396312|030909090200||||01 :66178|169058|816995101963|030909090148|12|||01 :66744|66427||030909090200||||89 :169040|66744||030909090208|17|||81 :169043|110060|8110|030909090216|64|||03 :169019|66314||030909090204|16|||81 :66336|66253||030909090256|14|||89 :66164|66611||030909090232|8|||89 :66488|66261||030909090236|9|||89 :66264|169056|816995919253|030909090212|3|||01 :169026|66231||030909090224|6|||81 :66768|66777||030909090656|59|||89 :169018|66938||030909090244|11|||81 :66938|169057|816990765938|030909090244|11|||01 :169008|77790||030909090308|47|||81 :169039|66128||030909090300||||81 :66379|169053|81690417514359|030909090232|8|||01 :77069|169054|816995212882|030909090228|7|||01 :66488|66268||030909090420|5|||89 :8612|66439||030909090508|17|||89 :66415|66336||030909090420|5|||89 :66332|169057|81690409889688|030909090416|4|||01 :169031|66834||030909090412|3|||81 :169001|110060|81101|030909090348|12|||03 :66121|169052|816995874902|030909090344|26|||01 :66379|169058|816995277977|030909090352|13|||01 :66195|66611||030909090404|1|||89 :169030|66221||030909090348|12|||81 :66395|2||030909090440|10|||89 :66249|169056|816990762311|030909090444|11|||01 :169033|77790||030909090440|10|||81 :64005|169054|816999288185|030909090500|15|||01 :66100|66820||030909090836|54|||89 :169013|66440||030909090428|22|||81 :66415|169057|816990770720|030909090444|11|||01 :66488|2||030909090512|3|||89 :66246|66726||030909090836|54|||89 :66178|169058|816995101963|030909090452|13|||01 :8007|169052|816992123002|030909090544|11|||01 :169048|66217||030909090524|6|||81 :169023|66666||030909090508|2|||81 :66324|66322||030909090640|10|||89 :66195|66712||030909090616|4|||89 :66007|169056|816998857658|030909090548|12|||01 :169046|110055|8110|030909090604|1|||03 :8125|169053|81690419770095|030909090544|26|||01 :66651|66322||030909090620|5|||89 :66661|66611||030909090728|22|||89 :169023|66123||030909090640|10|||81 :169006|8017||030909090620|5|||81 :8205|169051|816994803555|030909090624|21|||01 :169034|66428||030909090624|6|||81 :169031|66164||030909090812|33|||81 :66429|66619||030909091248|102|||89 :77758|66611||030909090708|2|||89 :169015|66166||030909090620|5|||81 :66706|169059|81691300687746|030909090644|116|||01 :169028|110060|81101|030909090624|36|||03 :66002|169050|816911|030909090704|16|||01 :66211|2||030909090720|5|||89 :66460|169058|81691800800511|030909090724|21|||01 :66773|169054|816995104292|030909090644|26|||01 :66363|169060|81690411096201|030909090652|58|||01 :66488|169057|81690411499093|030909090700|30|||01 :66127|66342||030909090752|13|||89 :169010|66607||030909090732|8|||81 :64027|66652||030909091000|30|||89 :66661|66611||030909090828|7|||89 :66652|66657||030909090932|23|||89 :66002|169059|816995214494|030909090724|6|||01 :64035|66234||030909090920|20|||89 :169022|64086||030909090808|2|||81 :66773|169054|816995947631|030909090820|5|||01 :66012|66007||030909090800||||89 :66127|66012||030909090820|5|||89 :66034|169052|81690411448926|030909090816|34|||01 :169021|66366||030909090812|18|||81 :66100|66611||030909090820|5|||89 :169009|110058|8110|030909090812|93|||03 :66178|169057|816995101963|030909090836|9|||01 :169040|66427||030909091400|90|||81 :66773|169054|816995531291|030909090816|4|||01 :66854|66136||030909090932|8|||89 :66290|66304||030909090952|13|||89 :66648|169059|816995686821|030909090836|9|||01 :169041|66449||030909090848|12|||81 :66488|2||030909090912|3|||89 :66648|77089||030909090904|1|||89 :66273|2||030909090904|1|||89 :169049|66387||030909090848|27|||81 :66488|77190||030909090916|4|||89 :66268|66261||030909091008|17|||89 :66460|169057|81690354345555|030909090856|14|||01 :77281|66211||030909090908|2|||89 :66363|169060|816998974248|030909090904|31|||01 :169042|66804||030909090912|3|||81 :66127|66007||030909091136|24|||89 :66651|169059|81690421454642|030909090928|7|||01 :169012|110060|8110|030909090944|11|||03 :169025|110059|8110|030909090936|9|||03 :77648|66342||030909091120|20|||89 :8125|66744||030909091224|36|||89 :66178|169060|816995212740|030909091040|10|||01 :169024|2||030909091120|20|||82 :169020|66314||030909091100|30|||81 :169032|66744||030909091044|11|||81 :2|66652||030909091108|2|||89 :169002|66666||030909091040|25|||81 :169038|110058|81101|030909091108|2|||03 :66103|169059|81690425757235|030909091132|8|||01 :169011|66174||030909091112|3|||81 :169004|66314||030909091140|10|||81 :169027|66834||030909091132|8|||81 :66791|2||030909091216|4|||89 :169005|66100||030909091140|10|||81 :77069|169059|8169132227|030909091216|4|||01 :169036|66359||030909091152|13|||81 :66603|66820||030909091240|10|||89 :66427|169057|816995258223|030909091212|18|||01 :66169|169055|81691800612105|030909091156|194|||01 :66121|169056|816995874902|030909091200|90|||01 :169016|66666||030909091212|3|||81 :169029|66369||030909091236|9|||81 :66488|66027||030909091556|44|||89 :169005|66619||030909091348|12|||81 :66478|169059|81690409211511|030909091220|5|||01 :64005|2||030909091400|15|||89 :169045|66273||030909091232|53|||81 :66791|169052|81690404816339|030909091300|15|||01 :66007|169053|81690413483322|030909091236|9|||01 :169016|66123||030909091344|11|||81 :66488|169049|81690412810183|030909091312|3|||01 :66707|169051|81690418102639|030909091320|20|||01 :66607|169055|816997702311|030909091344|11|||01 :169044|66164||030909091344|11|||81 :169007|110059|81105|030909091324|6|||03 :66102|169059|816995803675|030909091340|10|||01 :66303|66890||030909091512|18|||89 :66332|169047|81690409889688|030909091316|4|||01 :64101|66270||030909091400||||89 :64003|169053|81690413759502|030909091436|24|||01 :66429|169057|816990117200|030909091436|39|||01 :169019|110060|8110|030909091508|17|||03 :66127|169060|816959|030909091528|67|||01 :169017|110056|81109|030909091500|240|||03 :169008|66666||030909091452|13|||81 :77149|169051|816993541267|030909091540|10|||01 :66257|169045|81690404018177|030909091504|1|||01 :66137|2||030909091608|17|||89 :169046|66666||030909091528|7|||81 :64071|169050|81690393809118|030909091552|13|||01 :169023|66207||030909091516|4|||81 :66336|169047|816993558899|030909091552|13|||01 :66021|8125||030909091820|35|||89 :66332|169051|81690409889688|030909091616|4|||01 :77790|66287||030909091620|5|||89 :66429|169057|81690438393250|030909091540|10|||01 :169043|66648||030909091600|45|||81 :77065|66387||030909091704|16|||89 :64034|169059|81690409971652|030909091636|39|||01 :66652|169055|816992440444|030909091644|41|||01 :169008|66222||030909091708|17|||81 :66363|169050|816995230611|030909091616|4|||01 :66429|8125||030909091616|4|||89 :66178|66890||030909091620|5|||89 :66659|169049|816995787586|030909091700|45|||01 :66617|66660||030909091756|14|||89 :66261|169053|81690364306941|030909091652|28|||01 :169023|66123||030909091808|17|||81 :169041|66726||030909091708|2|||81 :169009|66434||030909091632|8|||81 :66789|169055|816995329349|030909091720|5|||01 :169022|66664||030909091712|18|||81 :169015|66349||030909091648|12|||81 :66002|66675||030909091720|5|||89 :66659|169057|816995009140|030909091732|8|||01 :77069|169052|8169132227|030909091724|66|||01 :169010|66700||030909091736|24|||81 :66363|169055|816995230611|030909091716|4|||01 :66316|77790||030909091804|1|||89 :66103|66316||030909091912|18|||89 :66332|169050|81690409889688|030909091712|3|||01 :169012|66804||030909091732|8|||81 :66379|2||030909091804|1|||89 :66150|169055|816995132285|030909091816|4|||01 :169034|8211||030909091736|39|||81 :8007|66304||030909091908|17|||89 :66236|169057|816998663833|030909091840|10|||01 :77083|169060|816992773745|030909091800|45|||01 :66287|169049|816995927138|030909091848|12|||01 :66350|169059|816995212740|030909091900|30|||01 :169040|66301||030909091908|32|||81 :66845|66005||030909092008|17|||89 :66610|66752||030909092012|18|||89 :77810|169048|816998241823|030909091832|83|||01 :66865|169054|81690411282446|030909091824|141|||01 :64035|169053|81690417330407|030909091844|11|||01 :64101|169050|81690423201987|030909091832|8|||01 :169042|66379||030909091856|14|||81 :66180|169060|816993428615|030909091924|6|||01 :169025|66666||030909091856|29|||81 :169001|110054|8110|030909091928|67|||03 :169039|66270||030909091848|12|||81 :66287|169059|816995090539|030909091936|9|||01 :169026|110058|81100|030909091924|81|||03 :66721|169052|816995330757|030909091924|21|||01 :169002|110059|81101|030909091932|8|||03 :64034|169059|816994277899|030909092004|1|||01 :66183|169053|816995329349|030909091920|5|||01 :66012|169060|81690438708408|030909092012|3|||01 :66192|66762||030909092516|79|||89 :169011|66607||030909091928|7|||81 :169020|66249||030909092016|19|||81 :64066|169058|81690411472370|030909092036|189|||01 :66661|66713||030909092028|7|||89 :66012|64003||030909092012|3|||89 :169005|66140||030909092004|1|||81 :66395|8125||030909092116|19|||89 :66659|169046|816996451260|030909092020|5|||01 :66016|169054|816995969083|030909092012|18|||01 :66260|64097||030909092320|50|||89 :169027|66648||030909092024|6|||81 :169014|8612||030909092012|93|||81 :66651|169050|81690421454642|030909092000|15|||01 :169029|66192||030909092024|6|||81 :66707|8125||030909092108|2|||89 :169025|66123||030909092220|20|||81 :66287|169048|81690419770145|030909092044|11|||01 :169038|66938||030909092016|19|||81 :66938|169049|816990765938|030909092016|19|||01 :169036|66269||030909092048|12|||81 :169044|66322||030909092140|10|||81 :77758|66611||030909092204|1|||89 :66166|169057|816995105198|030909092144|41|||01 :64071|66210||030909092312|18|||89 :169013|110059|8110|030909092204|1|||03 :66440|169045|81690401036024|030909092204|31|||01 :66316|169054|81690414525655|030909092200||||01 :66322|169055|81690404440806|030909092216|4|||01 :66103|77790||030909092636|69|||89 :66161|66389||030909092300|15|||89 :66744|64107||030909092200||||89 :169030|66744||030909092216|4|||81 :66236|66652||030909092540|55|||89 :66145|77089||030909092212|3|||89 :66173|66336||030909092320|20|||89 :66749|66314||030909092336|9|||89 :169007|66428||030909092244|26|||81 :66801|64077||030909092300||||89 :66261|66801||030909092356|14|||89 :66460|169047|816995630221|030909092232|83|||01 :66316|169055|81690400333373|030909092328|7|||01 :66322|66744||030909092312|3|||89 :66236|169052|816995258638|030909092336|9|||01 :66708|169054|816994281066|030909092304|16|||01 :169031|66341||030909092332|8|||81 :66261|64077||030909092440|10|||89 :66316|169054|81690400333373|030909092308|2|||01 :169006|110060|81108|030909092328|22|||03 :66148|66322||030909092412|3|||89 :66316|169054|81690400333373|030909092408|2|||01 :169018|66666||030909092336|39|||81 :66292|169057|81690400830176|030909092356|29||2025|01 :66398|169049|816995966922|030909092416|4|||01 :169019|66652||030909092436|24|||81 :66848|66346||030909093040|100|||89 :169009|66151||030909092436|9|||81 :66769|66314||030909092452|13|||89 :66192|66619||030909092820|50|||89 :66460|66336||030909092624|21|||89 :169012|66258||030909092512|3|||81 :169010|66636||030909092440|10|||81 :66324|66322||030909092508|2|||89 :169028|66804||030909092452|13|||81 :66261|66268||030909092600|15|||89 :169021|66660||030909092524|6|||81 :66136|169050|816995214494|030909092540|40|||01 :66016|169058|816995271628|030909092524|66|||01 :66292|66322||030909092628|7|||89 :66316|77790||030909092604|1|||89 :169001|66316||030909092532|8|||81 :66660|66707||030909093048|72|||89 :169029|66193||030909093128|82|||81 :66316|169046|81690400333373|030909092608|2|||01 :169034|66664||030909092600|15|||81 :64035|169058|81690418140187|030909092616|4|||01 :66618|169047|81690404816339|030909092632|8|||01 :66762|66270||030909092640|10|||89 :169011|2||030909092604|1|||82 :169004|66801||030909092620|5|||81 :169039|66648||030909092636|24|||81 :169027|66165||030909092616|4|||81 :66183|169050|816995329349|030909092700||||01 :64035|169043|81690438641940|030909092628|7|||01 :66023|169055|816995316438|030909092636|54|||01 :66460|169049|816995755355|030909092700|30|||01 :169016|66310||030909092728|7|||81 :66227|169048|816995923021|030909092644|26|||01 :64034|169035|816998177528|030909092704|1|||01 :64034|169046|81690404744593|030909092636|9|||01 :66335|169042|816996463551|030909092724|6|||01 :66192|66253||030909092924|36|||89 :169030|64107||030909093156|74|||81 :169026|66830||030909092656|14|||81 :169015|66652||030909092712|48|||81 :169006|110056|81102|030909092712|3|||03 :169013|66002||030909092732|8|||81 :169005|66341||030909092728|7|||81 :64019|169040|816996908211|030909092748|12|||01 :64086|66832||030909092804|1|||89 :66635|169047|81690395783346|030909092720|20|||01 :66845|2||030909092804|1|||89 :66702|169059|81690414577702|030909092756|119|||01 :66332|169049|81690409889688|030909092820|5|||01 :169023|110058|81101|030909092748|12|||03 :66396|66750||030909092916|19|||89 :66177|169055|816995639985|030909092752|13|||01 :64062|169043|81690400944778|030909092824|6|||01 :66661|66611||030909092820|5|||89 :66103|169053|81691300788855|030909092844|71|||01 :169041|110059|8110|030909092832|68|||03 :66427|2||030909092804|1|||89 :169038|77971||030909092836|24|||81 :2|66427||030909092800||||89 :169018|66938||030909092816|19|||81 :66938|169048|816990765938|030909092816|19|||01 :169025|66845||030909092852|13|||81 :169024|66002||030909092840|10|||81 :66151|66603||030909093116|34|||89 :66387|169055|816996991938|030909092904|1|||01 :169012|66102||030909092840|10|||81 :169007|66427||030909092828|7|||81 :66705|169042|81691300732370|030909092912|18|||01 :66140|66340||030909093040|25|||89 :169029|66237||030909092908|2|||81 :169021|66139||030909092920|5|||81 :169036|66834||030909092904|31|||81 :66387|169055|816996998044|030909092928|7|||01 :66428|169049|816992389699|030909092920|5|||01 :169002|66660||030909092932|8|||81 :66012|169048|81690419770159|030909093004|1|||01 :66261|169058|81690364306941|030909093004|16|||01 :169004|66666||030909093012|3|||81 :66387|2||030909093008|2|||89 :169010|66713||030909092948|27|||81 :66166|66038||030909093008|2|||89 :169027|66166||030909093028|7|||81 :64086|66268||030909093208|32|||89 :64071|169058|816994966868|030909093000||||01 :66292|169039|816995832307|030909093024|51|||01 :169014|66341||030909093016|4|||81 :169001|77790||030909093548|72|||81 :169004|66123||030909093212|18|||81 :64027|169034|816995291059|030909093140|55|||01 :66292|66322||030909093124|6|||89 :169026|66261||030909093136|9|||81 :169015|66102||030909093144|11|||81 :66145|66713||030909093124|6|||89 :8004|66287||030909093116|4|||89 :66192|66336||030909093504|61|||89 :169013|66834||030909093128|7|||81 :66021|8125||030909093256|14|||89 :66316|77790||030909093204|1|||89 :169032|66316||030909093124|21|||81 :169023|66607||030909093228|7|||81 :169047|66938||030909093140|10|||81 :66938|169048|816990765938|030909093140|10|||01 :66848|66653||030909093356|29|||89 :169033|66801||030909093240|10|||81 :66192|66341||030909093216|4|||89 :66652|169050|816992440444|030909093156|74|||01 :66387|169055|81690407866334|030909093204|31|||01 :169022|66776||030909093216|4|||81 :66425|169057|816995711543|030909093212|123|||01 :169043|66744||030909093216|4|||81 :66150|169052|81690407314286|030909093236|129|||01 :66183|169046|816995329349|030909093232|8|||01 :169011|77971||030909093316|34|||81 :66707|66251||030909093336|9|||89 :64071|169058|816994965000|030909093328|37|||01 :169035|66648||030909093316|4|||81 :66102|66425||030909093332|8|||89 :169019|8014||030909093308|17|||81 :169037|66773||030909093320|5|||81 :66003|169057|816996901284|030909093324|6|||01 :64124|169055|816951738506|030909093300||||01 :8004|66226||030909093456|29|||89 :169032|77790||030909093548|27|||81 :66103|169059|816995277451|030909093356|74|||01 :66429|66619||030909093408|2|||89 :66102|66659||030909093424|6|||89 :169008|66102||030909093412|153|||81 :66652|66012||030909093432|8|||89 :169030|110060|8110|030909093332|53|||03 :169012|66139||030909093420|5|||81 :169006|66110||030909093408|47|||81 :66332|169050|81690409889688|030909093416|4|||01 :64034|169053|81690404744593|030909093416|79|||01 :169003|110057|8110|030909093432|293|||03 :66026|169055|8169407|030909093440|10|||01 :169005|66938||030909093444|11|||81 :66938|169057|816990765938|030909093444|11|||01 :66219|169046|81691300773000|030909093416|4|||01 :66705|169059|816998138180|030909093444|11|||01 :169040|8016||030909093412|48|||81 :8125|66707||030909093628|22|||89 :66316|169044|8169133320|030909093412|123|||01 :169027|66038||030909093944|71|||81 :66324|169058|816995575459|030909093432|23|||01 :169029|66607||030909093532|8|||81 :66611|66713||030909093532|8|||89 :66023|169038|81690411787045|030909093504|1|||01 :66155|169057|81690427004731|030909093548|12|||01 :169018|66631||030909093512|33|||81 :169041|66391||030909093556|44|||81 :8007|169043|816992123002|030909093540|10|||01 :169036|66869||030909093544|11|||81 :64034|169055|816994277899|030909093524|21|||01 :77083|169047|816992773745|030909093540|55|||01 :66752|169044|816995239444|030909093612|18|||01 :64121|169040|816998539893|030909093544|11|||01 :66027|66708||030909093828|37|||89 :169013|77810||030909094032|68|||81 :169002|66260||030909093612|18|||81 :169014|66221||030909093628|7|||81 :169020|66619||030909093640|10|||81 :66429|169050|816990117200|030909093556|29|||01 :64124|169039|816951738506|030909093616|19|||01 :66192|66713||030909093632|8|||89 :66219|169038|81691300773000|030909093640|10|||01 :169004|66932||030909093620|5|||81 :66932|169055|816990765932|030909093620|5|||01 :8622|169058|81690488332905|030909093700|15|||01 :66151|66465||030909093744|11|||89 :66287|169046|816997256571|030909093712|33|||01 :66460|66322||030909093828|22|||89 :169023|66165||030909093712|3|||81 :169034|66012||030909093648|12|||81 :66350|169059|816995212740|030909093724|36|||01 :66026|169053|8169407|030909093720|35|||01 :169022|66304||030909093720|5|||81 :66246|66002||030909093736|9|||89 :66432|8125||030909093852|28|||89 :169017|66661||030909093736|9|||81 :66717|66121||030909093836|9|||89 :66675|169046|816995781682|030909093736|9|||01 :169009|66703||030909093736|9|||81 :66016|169045|81690412801313|030909093800|180|||01 :66287|169053|816999288185|030909093836|9|||01 :66465|169050|816998119003|030909093748|12|||01 :66434|66428||030909093832|8|||89 :66236|169054|816999257116|030909093800|210|||01 :169011|66600||030909093800|15|||81 :169024|66260||030909093756|14|||81 :169010|66165||030909093828|7|||81 :66389|66607||030909094012|18|||89 :169021|110057|8110|030909093900|60|||03 :169015|77971||030909093816|4|||81 :169033|66322||030909093844|26|||81 :169035|110059|8110|030909093840|25|||03 :169005|66174||030909093916|4|||81 :66287|77046||030909093920|5|||89 :66151|77145||030909093920|5|||89 :169030|66102||030909093920|20|||81 :66264|169058|816995919250|030909093912|33|||01 :77647|66261||030909094044|26|||89 :77660|169051|81690402081181|030909093940|340|||01 :169015|66123||030909093940|10|||81 :66653|66890||030909093924|6|||89 :66717|66350||030909094028|7|||89 :169012|66648||030909093932|23|||81 :169018|66322||030909093928|7|||81 :64034|169057|816994277899|030909093936|54|||01 :66155|169059|81691300303603|030909093940|40|||01 :66329|66636||030909094116|19|||89 :169043|66102||030909094008|2|||81 :66161|66854||030909094040|10|||89 :169036|66600||030909094020|5|||81 :169029|2||030909094000|15|||82 :169006|66314||030909094000|30|||81 :66335|169057|816996463551|030909094036|9|||01 :66425|169045|816995711543|030909094024|6|||01 :169027|66666||030909094048|27|||81 :66427|169059|816995696031|030909094048|12|||01 :66151|66600||030909094152|13|||89 :66342|66750||030909094128|7|||89 :66137|169044|816997843777|030909094116|4|||01 :66161|66183||030909094140|10|||89 :66619|77648||030909094120|5|||89 :66027|169047|81690415955409|030909094152|73|||01 :66648|169057|816995343598|030909094152|13|||01 :66335|169043|816996463551|030909094200|15|||01 :66158|169044|816986218800|030909094224|6|||01 :64084|66314||030909094220|5|||89 :169001|66744||030909094220|95|||81 :66161|66183||030909094244|11|||89 :66363|169058|816953341255|030909094228|37|||01 :66873|169057|816998265194|030909094204|1|||01 :66253|169046|816998851148|030909094224|51|||01 :66650|169055|816990920818|030909094244|86|||01 :77810|169053|816997111926|030909094212|63|||01 :66103|169052|81691300788855|030909094300|135|||01 :169032|66713||030909094236|69|||81 :169002|66314||030909094304|16|||81 :2|8010||030909094352|13|||89 :169041|77971||030909094312|3|||81 :66192|66396||030909094820|80|||89 :64034|169059|816992877700|030909094236|24|||01 :8019|169051|816993428924|030909094312|48|||01 :66801|169047|816956624485|030909094344|11|||01 :66136|66413||030909094400|15|||89 :66600|66396||030909094424|6|||89 :66440|169037|816996881232|030909094308|122|||01 :77088|169042|816998902343|030909094316|169|||01 :169031|77971||030909094404|1|||81 :8125|66336||030909094412|3|||89 :66603|169047|816985026248|030909094400||||01 :169025|77971||030909094356|89|||81 :169039|66314||030909094400|15|||81 :2|66210||030909094500|15|||89 :66782|169058|81690429495409|030909094420|20|||01 :169014|110057|8110|030909094400|30|||03 :169028|77971||030909094412|3|||81 :66141|169057|816919|030909094432|23|||01 :66155|169044|81691300040506|030909094400|30|||01 :66103|169059|816995277451|030909094416|19|||01 :66886|169055|816996909144|030909094416|19|||01 :64034|169053|81690404744593|030909094420|20|||01 :66261|169047|81690408567451|030909094436|9|||01 :66136|66854||030909094532|8|||89 :169004|66352||030909094500|15|||81 :66873|169051|81690403372513|030909094452|13|||01 :66322|66705||030909094536|9|||89 :169017|66648||030909094432|8|||81 :64027|169048|816995291059|030909094440|190|||01 :169011|66465||030909094516|4|||81 :66603|169059|816985026248|030909094536|9|||01 :169019|66016||030909094524|21|||81 :169013|66148||030909094504|61|||81 :66365|169058|816997890203|030909094552|13|||01 :66342|77074||030909094604|1|||89 :169024|66342||030909094524|6|||81 :77758|66611||030909094620|5|||89 :169010|66801||030909094528|7|||81 :66886|169057|81690409015843|030909094536|9|||01 :8125|169048|81690437178580|030909094536|9|||01 :66121|169050|816995874902|030909094544|101|||01 :64034|169052|816994277899|030909094540|10|||01 :169035|66141||030909094612|3|||81 :66868|169047|816959791934|030909094540|10|||01 :66492|169055|816995785555|030909094612|18|||01 :66257|169053|816995328917|030909094620|20|||01 :77190|77810||030909094616|4|||89 :66155|169051|81691300364534|030909094636|24|||01 :169028|8613||030909094916|34|||81 :169003|2||030909094636|9|||82 :66332|169057|81690409889688|030909094712|3|||01 :169012|64036||030909094644|11|||81 :66876|66603||030909094756|14|||89 :66790|169059|816983252163|030909094632|23|||01 :66192|66382||030909094716|4|||89 :169005|66726||030909094720|20|||81 :66492|169057|816995096355|030909094704|1|||01 :169040|66002||030909094732|8|||81 :169020|110059|81105|030909094744|11|||03 :66878|169045|816995814837|030909094720|95|||01 :66336|77147||030909094816|19|||89 :66415|169054|81691300735363|030909094732|128|||01 :66427|66322||030909094712|3|||89 :66169|169056|81691800612105|030909094704|526|||01 :66346|169051|816997298738|030909094736|9|||01 :66102|169046|816995803675|030909094816|34|||01 :169043|66666||030909094740|10|||81 :8125|66192||030909094836|9|||89 :66868|169053|816959797510|030909094812|18|||01 :66611|66648||030909094848|12|||89 :169029|110058|81105|030909094824|21|||03 :66192|66340||030909094816|4|||89 :169006|66938||030909094824|21|||81 :66938|169052|816990765938|030909094824|21|||01 :66332|169056|81690409889688|030909094816|4|||01 :66365|169055|81690427331594|030909094852|28|||01 :64035|2||030909094904|1|||89 :169023|77971||030909094912|18|||81 :169033|66621||030909094844|41|||81 :64083|169057|816992585076|030909094840|10|||01 :169031|66215||030909094912|18|||81 :169034|66428||030909094908|17|||81 :169026|66140||030909094932|83|||81 :66326|64086||030909095644|116|||89 :169041|66289||030909094856|29|||81 :66192|66342||030909094912|3|||89 :169025|64047||030909094932|8|||81 :169001|110057|8110|030909094932|38|||03 :64078|169059|816995982450|030909094948|27|||01 :66102|169052|816998223242|030909095016|4|||01 :66855|169056|816995635644|030909094944|11|||01 :169007|77971||030909095004|16|||81 :66236|66652||030909095132|23|||89 :169022|66651||030909095052|13|||81 :66183|66435||030909095116|4|||89 :66102|169059|816998223242|030909095036|9|||01 :66255|66427||030909095152|13|||89 :66192|66329||030909095128|7|||89 :169039|66141||030909095024|21|||81 :169004|66166||030909095048|12|||81 :169009|110060|8110|030909095112|93|||03 :66878|169057|81690412272905|030909095048|27|||01 :66245|169056|816995814200|030909095104|16|||01 :66386|66032||030909095432|53|||89 :66007|169049|816995278686|030909095116|304|||01 :66717|169054|816995243484|030909095136|39|||01 :169017|66121||030909095132|8|||81 :169042|110059|81101|030909095148|57|||03 :64077|66349||030909095256|14|||89 :66257|169052|816995711047|030909095128|22|||01 :66603|169053|816995285650|030909095140|40|||01 :66661|66619||030909095220|5|||89 :8622|169059|816995980238|030909095236|9|||01 :169033|66215||030909095524|51|||81 :169015|2||030909095224|81|||82 :66717|66003||030909095216|4|||89 :169027|2||030909095216|79|||82 :66115|169059|816995107915|030909095224|6|||01 :169010|110057|81101|030909095220|5|||03 :77643|66632||030909095420|20|||89 :66867|169055|81690430122172|030909095248|57|||01 :169030|64035||030909095320|65|||81 :66660|66611||030909095336|9|||89 :66415|66340||030909095324|6|||89 :66161|66854||030909095356|14|||89 :169038|77971||030909095316|94|||81 :66661|66313||030909095408|17|||89 :169019|66261||030909095316|34|||81 :169002|66155||030909095324|96|||81 :169013|66314||030909095348|27|||81 :64118|169059|816999032000|030909095332|8|||01 :66005|169051|816998274733|030909095428|52|||01 :64071|169056|816952257418|030909095408|32|||01 :66386|66342||030909095416|4|||89 :66675|169052|816988049429|030909095432|8|||01 :169032|8015||030909095412|108|||81 :66102|169053|816985520555|030909095440|25|||01 :169018|66139||030909095416|4|||81 :66381|169054|81690883260326|030909095440|25|||01 :2|66341||030909095508|2|||89 :66261|77647||030909095552|13|||89 :8620|169056|81690406027198|030909095424|6|||01 :66026|66854||030909095524|6|||89 :66150|169051|816990766140|030909095508|2|||01 :169036|66260||030909095524|6|||81 :169045|66140||030909095508|2|||81 :169028|66322||030909095540|10|||81 :8611|169052|81690403973858|030909095512|3|||01 :169040|77971||030909095508|2|||81 :169005|66139||030909095516|4|||81 :66150|169049|816990766140|030909095500||||01 :169037|66140||030909095504|1|||81 :169012|2||030909095504|1|||82 :8613|8615||030909095524|6|||89 :169006|66165||030909095604|1|||81 :8611|169052|81690403973858|030909095604|1|||01 :64024|169051|81690402212113|030909095600||||01 :64024|169053|816990388097|030909095600|15|||01 :169014|66012||030909095616|4|||81 :169031|66139||030909095628|7|||81 :66314|64020||030909095612|3|||89 :169043|66314||030909095540|10|||81 :169046|66661||030909095600|15|||81 :169008|66700||030909095544|11|||81 :66651|66386||030909095708|17|||89 :8005|66268||030909095632|8|||89 :169026|66346||030909095644|11|||81 :64019|169059|816997738920|030909095612|33|||01 :77790|169057|816995762211|030909095656|74|||01 :169044|77971||030909095704|31|||81 :169014|66123||030909095748|12|||81 :66789|66136||030909095816|19|||89 :64124|2||030909095708|2|||89 :169034|66301||030909095648|12|||81 :66443|169055|81690415602564|030909095712|48|||01 :169022|64028||030909095728|7|||81 :169041|110057|8110|030909095724|21|||03 :66440|66021||030909095748|12|||89 :8611|169040|816995849504|030909095716|19|||01 :169048|110059|81101|030909095712|63|||03 :64024|169042|816990388097|030909095704|1|||01 :64071|169039|81690395782027|030909095724|21|||01 :169023|66636||030909095752|28|||81 :66846|169059|816995838557|030909095740|10|||01 :66365|169053|816995469890|030909095708|2|||01 :169009|66801||030909095720|5|||81 :169001|66439||030909095812|18|||81 :2|66210||030909095808|2|||89 :66150|169049|816995690703|030909095804|31|||01 :66661|66611||030909095828|7|||89 :169011|8007||030909095756|104|||81 :66465|169044|816998688851|030909095804|1|||01 :169025|66480||030909095820|20|||81 :64034|169058|816995706644|030909095820|185|||01 :8611|169051|816995849504|030909095844|11|||01 :169027|66611||030909095836|9|||81 :169047|64124||030909095832|23|||81 :66253|66219||030909095928|7|||89 :66381|169056|816998489050|030909095840|55|||01 :66878|169049|81690419358650|030909095828|7|||01 :66154|169050|81691300360362|030909095904|16|||01 :66448|169048|81690438032504|030909095832|8|||01 :169030|2||030909095904|1|||82 :66635|169059|816997965975|030909095900|15|||01 :169004|66712||030909095936|39|||81 :169007|8210||030909095912|48|||81 :169002|66648||030909095920|5|||81 :169021|77971||030909095924|21|||81 :169019|66465||030909095940|10|||81 :66261|169057|816995611873|030909095952|43|||01