:66879|66237||090909140452|133|||89 :66223|66708||090909140016|4|||89 :169022|66293||090909140016|64|||81 :66680|1||090909140012|3|||89 :66251|169055|8169132290|090909140000||||01 :66304|66340||090909140008|2|||89 :64133|77660||090909140028|7|||89 :66451|169053|81690409889688|090909140024|6|||01 :169017|66648||090909140000|15|||81 :66324|66322||090909140016|4|||89 :66640|169049|816995412622|090909140008|92|||01 :66879|66664||090909140016|4|||89 :66026|66435||090909140120|5|||89 :66396|66148||090909140116|4|||89 :64028|66396||090909140152|13|||89 :66811|169044|816995937200|090909140056|14|||01 :169002|66495||090909140100||||81 :64073|66289||090909140344|41|||89 :110003|169050|81690419770095|090909140112|18|||03 :77810|66856||090909140216|19|||89 :66381|66395||090909140156|14|||89 :66811|169055|816995937200|090909140140|10|||01 :66303|169058|816993024004|090909140108|32|||01 :66253|66363||090909140252|13|||89 :169033|66245||090909140200|15|||81 :169016|66367||090909140200||||81 :64066|169052|816994705980|090909140128|97|||01 :8018|169050|81691300654329|090909140136|9|||01 :64086|169052|81690419770254|090909140208|2|||01 :66329|64086||090909140232|8|||89 :66193|169043|81690434662860|090909140204|1|||01 :169024|66322||090909140216|4|||81 :77068|169056|816998221547|090909140156|59|||01 :66381|66635||090909140204|1|||89 :64073|169054|816983309501|090909140144|11|||01 :66253|66164||090909140228|7|||89 :66737|169040|81691300650225|090909140152|73|||01 :66322|66336||090909140208|2|||89 :66193|169050|816990905924|090909140220|5|||01 :66811|169044|816995937200|090909140200|15|||01 :66938|169055|816990765938|090909140256|14|||01 :64118|169048|816990763300|090909140308|62|||01 :66173|66865||090909140412|18|||89 :169025|110058|81102|090909140304|61|||03 :169007|110055|8110|090909140308|17|||03 :169014|66314||090909140320|35|||81 :66322|66253||090909140332|8|||89 :66173|66366||090909140304|1|||89 :169029|77073||090909140932|98|||81 :66618|169056|81690412233432|090909140332|8|||01 :64020|169059|81691800020103|090909140236|39|||01 :77040|66800||090909140444|26|||89 :66226|66005||090909140328|7|||89 :1|66664||090909140352|13|||89 :64014|169049|816998168800|090909140312|33|||01 :66006|64064||090909140316|4|||89 :66811|169055|816995937200|090909140356|14|||01 :66322|66340||090909140428|7|||89 :66465|169046|8169132644|090909140348|72|||01 :66854|169048|816995214494|090909140352|13|||01 :66007|169041|81690422288435|090909140332|8|||01 :66146|169042|816995557084|090909140344|11|||01 :1|77027||090909140400||||89 :66783|66884||090909140552|28|||89 :66448|169040|81690438032504|090909140336|9|||01 :169005|66938||090909140424|21|||81 :66938|169050|816990765938|090909140424|21|||01 :169034|66248||090909140440|10|||81 :66381|66631||090909140612|33|||89 :169032|66884||090909140440|10|||81 :64028|66148||090909140904|61|||89 :169028|66707||090909140424|6|||81 :66811|169056|816995937200|090909140508|17|||01 :8615|169059|816997664077|090909140452|13|||01 :66865|169043|81690409559089|090909140500|30|||01 :66761|169051|816995790373|090909140452|133|||01 :169035|110059|81109|090909140500|15|||03 :169019|66938||090909140528|7|||81 :66938|169050|816990765938|090909140528|7|||01 :66153|169052|816995782389|090909140532|8|||01 :64073|169054|816995107536|090909140548|42|||01 :169027|66880||090909140532|8|||81 :66754|169048|81690433620275|090909140504|1|||01 :66332|169049|81690409889688|090909140512|3|||01 :169008|66744||090909140520|5|||81 :169001|66261||090909140544|11|||81 :66811|169056|816995937203|090909140532|8|||01 :169020|66168||090909140628|7|||81 :66680|169047|816993427000|090909140616|94|||01 :8617|169055|816995097142|090909140608|32|||01 :66455|66301||090909140704|16|||89 :169009|66002||090909140632|8|||81 :66153|169046|816995782389|090909140616|4|||01 :66335|66883||090909140740|10|||89 :66761|1||090909140744|11|||89 :64086|169055|81690419770254|090909140700||||01 :66292|64086||090909140728|7|||89 :66322|169056|81690413468082|090909140632|8|||01 :66475|169053|81690413189585|090909140616|79|||01 :66843|169050|816995893087|090909140644|11|||01 :8618|169048|816997966311|090909140656|14|||01 :66754|169051|81690433620275|090909140744|26|||01 :169004|66110||090909140800|75|||81 :169037|66707||090909140736|24|||81 :169006|66316||090909140800|105|||81 :66741|66210||090909140836|9|||89 :66648|169059|816990139794|090909140748|42|||01 :169003|1||090909140816|19|||82 :66769|169060|81690409397943|090909140812|258|||01 :66804|169052|81690402377793|090909140828|37|||01 :8017|169058|8169137228|090909140828|97|||01 :169038|66834||090909140816|34|||81 :66631|77190||090909140820|5|||89 :66341|66650||090909140828|7|||89 :66380|169050|816959950728|090909140800|15|||01 :66290|66289||090909140808|2|||89 :66023|169053|816995316438|090909140828|22|||01 :66314|66373||090909140904|1|||89 :66769|66314||090909140924|6|||89 :169031|66800||090909140848|12|||81 :169021|66800||090909140936|9|||81 :66332|169053|81690409889688|090909140912|3|||01 :66183|66177||090909140932|8|||89 :66341|66611||090909140912|3|||89 :66255|66253||090909141128|22|||89 :169039|66834||090909140956|14|||81 :77149|77190||090909141020|5|||89 :66619|66234||090909141136|24|||89 :169017|66314||090909140932|8|||81 :169002|66002||090909141036|9|||81 :66192|66336||090909141036|9|||89 :66846|169050|816998907362|090909141032|8|||01 :66332|169047|81690409889688|090909141016|4|||01 :8018|169054|81691300654329|090909141024|81|||01 :169016|66607||090909141052|13|||81 :64082|169048|81691800022002|090909141048|12|||01 :66659|169053|816995688135|090909141052|13|||01 :66023|169052|816980607766|090909141100||||01 :169030|66166||090909141100|15|||81 :64066|169055|816995682033|090909141116|34|||01 :66631|66381||090909141128|7|||89 :66023|169054|81690402843901|090909141104|1|||01 :66769|66373||090909141344|41|||89 :66272|169046|81690404082916|090909141128|7|||01 :8614|169054|816992123006|090909141100||||01 :169022|77971||090909141128|37|||81 :66183|66161||090909141212|18|||89 :169011|110057|81108|090909141144|56|||03 :169036|66287||090909141120|5|||81 :66314|66455||090909141200||||89 :66790|66314||090909141220|5|||89 :169012|110059|81108|090909141212|78|||03 :66158|169056|816995276278|090909141144|71|||01 :169024|66346||090909141208|17|||81 :66192|66102||090909141244|11|||89 :66227|169050|816995091815|090909141156|14|||01 :66314|66442||090909141204|1|||89 :169025|66314||090909141224|6|||81 :169018|66783||090909141156|14|||81 :8125|66336||090909141216|4|||89 :66603|1||090909141224|6|||89 :169023|66938||090909141232|53|||81 :66938|169060|816990765938|090909141232|53|||01 :66427|169052|81690414472736|090909141244|11|||01 :66102|169053|816995093974|090909141208|2|||01 :169007|77971||090909141312|18|||81 :77055|66620||090909141424|21|||89 :66023|1||090909141304|1|||89 :66465|169058|816998119004|090909141308|62|||01 :66211|1||090909141304|1|||89 :66806|169053|81690402841391|090909141324|6|||01 :169044|66428||090909141340|10|||81 :66449|66439||090909141312|3|||89 :64118|169059|816990763351|090909141312|78|||01 :66234|66619||090909141524|21|||89 :169029|66387||090909141344|26|||81 :66661|66611||090909141428|7|||89 :110001|169050|81690488342950|090909141340|10|||03 :66234|66629||090909141408|2|||89 :169041|66640||090909141336|9|||81 :66800|169052|81690409522344|090909141344|11|||01 :66146|169051|81690409958715|090909141400|90|||01 :66783|169059|816990766783|090909141408|2|||01 :169040|66783||090909141412|3|||81 :8617|169058|816995929144|090909141344|11|||01 :66608|169057|816998275338|090909141352|373|||01 :66166|169051|8169132888|090909141416|4|||01 :66389|66854||090909141436|9|||89 :8125|66432||090909141600|30|||89 :169005|66666||090909141420|5|||81 :66303|169053|816995212740|090909141440|10|||01 :169042|66428||090909141356|14|||81 :66234|66867||090909141544|11|||89 :66804|169048|816995630285|090909141456|14|||01 :66832|169060|816994791924|090909141456|29|||01 :169035|66666||090909141528|7|||81 :8614|8618||090909141508|2|||89 :169043|77971||090909141512|18|||81 :77758|66611||090909141616|4|||89 :66342|77073||090909141600||||89 :169013|66342||090909141544|26|||81 :169036|66157||090909142008|62|||81 :66281|66485||090909141612|3|||89 :66316|169054|816995767885|090909141556|44|||01 :169010|64077||090909141544|131|||81 :66192|66391||090909141736|24|||89 :169019|66666||090909141528|7|||81 :169005|66886||090909141740|25|||81 :66227|169060|816995300976|090909141544|11|||01 :66608|66341||090909141752|28|||89 :169020|66666||090909141624|6|||81 :64123|169059|816997881441|090909141548|27|||01 :64086|169042|81690419770254|090909141604|1|||01 :66326|64086||090909141620|5|||89 :66102|169052|816995092974|090909141620|35|||01 :66846|169058|816995550612|090909141648|27|||01 :169015|66648||090909141624|6|||81 :169027|8620||090909141640|10|||81 :169034|66166||090909141616|34|||81 :66332|169060|81690409889688|090909141612|3|||01 :66177|169047|816995329349|090909141620|5|||01 :66664|169055|816995274355|090909141608|77|||01 :66158|169048|816990764700|090909141620|5|||01 :169037|66143||090909141628|7|||81 :169001|1||090909141700|15|||82 :169004|66938||090909141636|9|||81 :66938|169046|816990765938|090909141636|9|||01 :169014|66023||090909141648|57|||81 :66356|169053|816995106856|090909141716|19|||01 :66197|169044|81690297254164|090909141648|12|||01 :66166|64121||090909141708|2|||89 :8018|2||090909141712|3|||89 :66717|169048|816995984474|090909141720|5|||01 :66336|66259||090909141716|4|||89 :169019|66123||090909141820|20|||81 :66303|169052|816995212740|090909141740|10|||01 :169006|66648||090909141748|12|||81 :77190|169047|81690422256878|090909141732|8|||01 :169033|66648||090909141744|116|||81 :66227|169052|816998223105|090909141804|1|||01 :64066|169039|816995097052|090909141744|11|||01 :169035|77810||090909142044|41|||81 :8615|169054|816997869438|090909141804|31|||01 :66139|169037|816997990379|090909141828|7|||01 :169031|66666||090909141824|6|||81 :66830|169041|816995523521|090909141752|28|||01 :66322|66705||090909141856|14|||89 :66166|169048|8169132888|090909141804|16|||01 :64082|169038|81690412269051|090909141812|18|||01 :66389|66115||090909142020|35|||89 :66261|66611||090909141804|1|||89 :66158|169046|816995276278|090909141828|22|||01 :169016|66666||090909141820|5|||81 :66215|169052|81690418395605|090909141840|10|||01 :64073|169042|816995088777|090909141832|23|||01 :169021|66648||090909141848|12|||81 :66221|169059|816993413333|090909141840|40|||01 :66741|8125||090909142348|72|||89 :66010|169044|816995329900|090909141852|28|||01 :169011|66177||090909141932|8|||81 :169024|66806||090909141936|9|||81 :66322|66336||090909141928|7|||89 :66342|66304||090909142116|34|||89 :169022|66115||090909141916|4|||81 :169012|110060|8110|090909141940|10|||03 :8205|169041|816990766997|090909141940|10|||01 :169018|66938||090909141932|8|||81 :66938|169054|816990765938|090909141932|8|||01 :169030|66726||090909141908|17|||81 :66223|169040|816997097142|090909141908|47|||01 :66355|169057|816982901177|090909141900|60|||01 :169017|64117||090909141940|25|||81 :66648|66012||090909142020|5|||89 :66811|169049|81690438866504|090909141924|201|||01 :66332|169038|81690409889688|090909142016|4|||01 :66336|66259||090909142016|4|||89 :64014|169051|816995238668|090909142000|60|||01 :8125|169041|81690413735267|090909142012|3|||01 :169023|66834||090909141956|14|||81 :66865|169056|816999044240|090909141952|118|||01 :64066|169046|816995555377|090909142008|17|||01 :66322|66253||090909142028|7|||89 :66620|169055|816996879322|090909142000|45|||01 :2|169052|816993994071|090909142012|18|||02 :66855|169039|81690431324576|090909142016|19|||01 :66221|169054|816993413390|090909141948|12|||01 :66806|169044|816994175338|090909141948|12|||01 :66706|2||090909142008|2|||89 :169005|66168||090909142012|3|||81 :169010|66450||090909142028|7|||81 :169036|66245||090909142036|9|||81 :66880|169047|81690417117328|090909142028|37|||01 :66137|169058|816999472000|090909142104|61|||01 :66205|169045|81690414405167|090909142052|313|||01 :169032|66856||090909142032|98|||81 :66325|66251||090909142104|1|||89 :169020|66804||090909142040|10|||81 :169009|110059|81100|090909142052|73|||03 :66166|66038||090909142152|13|||89 :66253|66611||090909142136|9|||89 :66289|66164||090909142240|25|||89 :66026|66854||090909142124|6|||89 :169015|66261||090909142136|9|||81 :64098|169059|81690411628233|090909142052|28|||01 :169013|77073||090909142644|86|||81 :64071|2||090909142100||||89 :66804|66342||090909142224|21|||89 :169001|66666||090909142112|3|||81 :169029|66166||090909142104|31|||81 :8611|169058|816995072062|090909142120|5|||01 :77810|169048|816995767376|090909142100|45|||01 :66444|169049|81691800551702|090909142108|2|||01 :66130|169042|816995789118|090909142132|38|||01 :66435|169056|816993879925|090909142156|14|||01 :64066|169057|81690418108928|090909142148|12|||01 :66115|169047|816986147599|090909142120|5|||01 :66938|169051|816990765938|090909142136|9|||01 :66661|66611||090909142208|2|||89 :169043|8618||090909142852|103|||81 :66195|66619||090909142208|2|||89 :169004|110059|81100|090909142208|17|||03 :66790|66455||090909143248|162|||89 :66227|169058|816998279376|090909142240|10|||01 :66680|66335||090909142316|4|||89 :66706|66326||090909142512|33|||89 :66482|169057|816994791808|090909142236|9|||01 :169052|66362||090909142548|42|||81 :169026|66450||090909142228|7|||81 :66475|169060|816995937126|090909142316|94|||01 :66660|66341||090909142356|14|||89 :169019|66528||090909142248|12|||81 :66528|169051|816990765528|090909142248|12|||01 :169014|77971||090909142256|14|||81 :8610|169059|816997916290|090909142332|23|||01 :66765|169054|81690423042224|090909142240|25|||01 :66253|66322||090909142404|16|||89 :66130|169045|816985205255|090909142308|17|||01 :8125|66619||090909142324|6|||89 :66868|169050|816997881378|090909142324|111|||01 :66325|66102||090909142404|16|||89 :66137|169055|816994158795|090909142312|33|||01 :169002|66666||090909142336|9|||81 :169028|1||090909142324|141|||82 :66800|66611||090909142504|16|||89 :169033|66316||090909142356|14|||81 :8018|169053|81690408175493|090909142324|96|||01 :169034|77971||090909142340|40|||81 :66804|169060|816997623526|090909142332|8|||01 :66680|66335||090909142408|2|||89 :8125|66707||090909142404|1|||89 :66336|66259||090909142420|5|||89 :66763|169058|81690432359037|090909142432|23|||01 :66765|66800||090909142424|6|||89 :169002|66404||090909142448|12|||81 :66811|169049|816995259972|090909142432|38|||01 :66352|169059|816995718489|090909142436|9|||01 :169035|77971||090909142436|24|||81 :169016|66166||090909142432|23|||81 :66648|64028||090909143004|76|||89 :66038|169054|816998793290|090909142500|15|||01 :66255|2||090909142532|8|||89 :66161|66178||090909142612|18|||89 :169024|66249||090909142448|12|||81 :66193|169058|81690434662860|090909142504|1|||01 :169011|66301||090909142504|16|||81 :169025|66442||090909143812|198|||81 :66620|64086||090909142704|31|||89 :66205|169056|81690414405167|090909142548|57|||01 :66199|169060|816995814200|090909142540|10|||01 :66651|66604||090909142848|42|||89 :66193|169058|816990905924|090909142520|5|||01 :66661|66611||090909142608|2|||89 :169003|66744||090909142536|129|||81 :66227|169057|816995239385|090909142620|35|||01 :64098|169044|81690419158771|090909142640|55|||01 :169012|66450||090909142644|11|||81 :169040|66800||090909142624|6|||81 :66726|169056|816994113500|090909142628|7|||01 :66330|169054|81690413135301|090909142704|1|||01 :169011|66341||090909142844|26|||81 :66026|66854||090909142728|7|||89 :8125|66707||090909142812|18|||89 :64035|2||090909142700||||89 :66428|66136||090909142836|24|||89 :66724|169048|816993455663|090909142708|77|||01 :169017|66620||090909142720|5|||81 :169039|2||090909142716|4|||82 :66240|169058|816994173121|090909142732|23|||01 :66227|169051|81690408081443|090909142804|1|||01 :77758|66611||090909142808|2|||89 :169021|110058|8110|090909142816|64|||03 :66272|66769||090909144416|244|||89 :169038|66838||090909142804|16|||81 :66784|169056|816985318046|090909142732|8|||01 :66261|169052|816997861556|090909142728|7|||01 :66255|169059|8169132461|090909142756|44|||01 :66475|66314||090909142924|21|||89 :64028|169055|81690419997900|090909142808|17|||01 :66389|66350||090909142840|10|||89 :66178|169058|816995329349|090909142820|5|||01 :8614|169054|816992123000|090909142816|19|||01 :66232|169046|816998856607|090909142852|103|||01 :66332|169059|81690409889688|090909142812|3|||01 :66718|66713||090909143152|43|||89 :66227|169053|816995271074|090909142916|4|||01 :66325|2||090909142916|4|||89 :66255|169056|816995095289|090909142912|3|||01 :169036|66703||090909142844|11|||81 :169027|66450||090909142944|11|||81 :169005|64038||090909142924|21|||81 :66741|66153||090909143552|103|||89 :64014|169047|816995789009|090909142916|109|||01 :169015|110059|8110|090909142940|10|||03 :66332|169056|81690409889688|090909142916|4|||01 :169009|64036||090909143000|15|||81 :66335|8125||090909143128|22|||89 :169022|64035||090909142940|40|||81 :66312|169056|816997647129|090909143004|1|||01 :64098|169057|8169132290|090909143028|52|||01 :66325|169059|81690404816427|090909142956|14|||01 :64014|169049|816995238668|090909143004|1|||01 :66034|66314||090909143216|34|||89 :66395|169054|816994581666|090909143056|29|||01 :64028|169051|81690409997900|090909143032|8|||01 :66227|169053|81690417519533|090909143124|21|||01 :8210|64077||090909143232|23|||89 :169004|66861||090909143108|2|||81 :169010|64118||090909143052|43|||81 :64124|169048|81690400571330|090909143100|15|||01 :169029|64060||090909143100|15|||81 :66034|66037||090909143148|12|||89 :169031|8165||090909144244|176|||81 :66272|66330||090909143116|4|||89 :169006|66261||090909143148|12|||81 :169026|66314||090909143124|6|||81 :169042|66139||090909143120|20|||81 :169019|66342||090909143136|9|||81 :169013|66856||090909143148|42|||81 :169014|66733||090909143208|2|||81 :8205|169046|816995782744|090909143148|27|||01 :169033|66428||090909143208|2|||81 :66257|66800||090909143228|7|||89 :169032|66362||090909143216|49|||81 :66804|169055|816995946666|090909143140|55|||01 :169034|77971||090909143212|3|||81 :66707|8125||090909143240|10|||89 :66744|169058|81691300888801|090909143212|48|||01 :66699|169051|816990766833|090909143212|3|||01 :66325|169056|816995893210|090909143248|12|||01 :66365|169054|81690430454151|090909143228|7|||01 :169002|66314||090909143228|7|||81 :8622|169052|816995627555|090909143304|46|||01 :66395|169059|816992095974|090909143244|26|||01 :169035|66605||090909143232|8|||81 :77281|66611||090909143332|8|||89 :169008|66854||090909143240|10|||81 :77791|77790||090909143308|2|||89 :169023|77791||090909143300|15|||81 :169037|8610||090909143252|28|||81 :66038|169056|816998505269|090909143336|9|||01 :169024|66366||090909143324|6|||81 :64116|169055|816999034841|090909143332|23|||01 :169030|110058|81102|090909143424|6|||03 :169003|66404||090909143352|13|||81 :169028|66776||090909143424|36|||81 :66617|169053|81690413031867|090909143424|36|||01 :66166|169051|816998793290|090909143440|10|||01 :169016|110059|81105|090909143456|29|||03 :66382|169042|816995282077|090909143424|6|||01 :66210|169049|8169132290|090909143432|38|||01 :8205|169052|81690407314441|090909143436|9|||01 :66724|169050|816992866362|090909143452|103|||01 :66487|169056|816990765226|090909143500|15|||01 :169044|66063||090909143420|20|||81 :66063|169059|816990765063|090909143420|20|||01 :64066|169043|816995686342|090909143456|179|||01 :66356|169046|816995285310|090909143456|14|||01 :169018|66648||090909143456|14|||81 :66661|2||090909143512|3|||89 :169023|77790||090909143652|28|||81 :66442|169055|81690404023807|090909143440|10|||01 :66395|169041|816995434100|090909143448|12|||01 :66012|169052|816995027984|090909143520|5|||01 :66177|66854||090909143520|5|||89 :169012|110057|81105|090909143536|24|||03 :66804|169048|816995687723|090909143508|47|||01 :66272|169059|81690403423423|090909143504|1|||01 :66153|169047|816985205206|090909143544|86|||01 :66312|169058|816997647130|090909143520|50|||01 :8125|66301||090909143728|22|||89 :66451|169050|81690409889688|090909143612|3|||01 :66171|169055|81690419253703|090909143520|5|||01 :66171|169054|816959443527|090909143612|33|||01 :66811|66166||090909143612|3|||89 :66428|66002||090909143620|5|||89 :66661|169056|81690419150163|090909143532|8|||01 :64014|169053|816995979914|090909143628|22|||01 :66350|169051|81690294408541|090909143620|5|||01 :169007|64071||090909143544|221|||81 :169036|2||090909143636|9|||82 :77083|169050|816992773745|090909143632|8|||01 :169005|66666||090909143612|3|||81 :64098|66396||090909143636|9|||89 :169039|66012||090909143616|19|||81 :169021|66856||090909143624|21|||81 :169027|110058|81105|090909143640|10|||03 :77190|77810||090909143852|28|||89 :66332|169054|81690409889688|090909143712|3|||01 :169009|66012||090909143720|5|||81 :66350|169053|81690294408541|090909143716|4|||01 :66029|169055|816995259033|090909143724|6|||01 :8614|169045|81690262691080|090909143728|52|||01 :169005|66123||090909143752|13|||81 :66811|66619||090909143736|9|||89 :64077|169052|81690438218861|090909143648|27|||01 :8165|169056|816995090427|090909143720|20|||01 :169022|64060||090909143732|8|||81 :66680|66289||090909143836|9|||89 :169002|77190||090909144308|77|||81 :169011|66322||090909143736|54|||81 :66178|66890||090909143824|6|||89 :8612|66315||090909143804|1|||89 :169004|77971||090909143800|15|||81 :8622|169058|816992389600|090909143900|45|||01 :66273|169054|81690448207150|090909143832|23|||01 :169031|66938||090909143836|9|||81 :66938|169048|816990765938|090909143836|9|||01 :66428|169055|816995792220|090909143856|14|||01 :66775|169051|81690419537037|090909143836|24|||01 :8205|169056|816995274355|090909143832|23|||01 :66037|169059|816994492464|090909143924|51|||01 :169039|64028||090909144140|40|||81 :8610|66449||090909144140|40|||89 :64085|169047|816995814200|090909143856|14|||01 :66038|169050|81690419263692|090909143908|17|||01 :66183|169046|816986100168|090909143900|15|||01 :66012|64028||090909144020|5|||89 :8125|66790||090909144404|61|||89 :169032|66382||090909143932|8|||81 :66761|2||090909144012|3|||89 :66038|169059|816997260213|090909144004|1|||01 :169026|66176||090909143944|11|||81 :66800|77149||090909144036|9|||89 :66153|169049|81690429180365|090909144020|65|||01 :169025|64038||090909144004|1|||81 :77275|66611||090909144024|6|||89 :169015|66287||090909144016|19|||81 :66332|169054|81690409889688|090909144012|3|||01 :66395|169053|8169131095|090909144040|40|||01 :66387|169052|816994158795|090909144012|33|||01 :66746|8125||090909144148|12|||89 :77190|77810||090909144136|9|||89 :66705|2||090909144128|7|||89 :169035|66938||090909144040|10|||81 :66938|169059|816990765938|090909144040|10|||01 :66038|169054|816997285870|090909144104|1|||01 :66335|169055|816999495800|090909144112|18|||01 :169020|110059|8110|090909144124|81|||03 :169001|66434||090909144128|172|||81 :66789|169053|816997298738|090909144120|5|||01 :169037|66369||090909144056|14|||81 :169015|66261||090909144156|14|||81 :64035|169057|816996676788|090909144152|148|||01 :66314|64085||090909144208|2|||89 :77190|66314||090909144232|8|||89 :64028|169051|81690409997900|090909144132|23|||01 :2|66395||090909144216|4|||89 :64017|169050|816988432000|090909144236|24|||01 :169014|64125||090909144156|44|||81 :169008|110060|81101|090909144216|34|||03 :66038|169055|816997260213|090909144232|8|||01 :66804|169057|816986839311|090909144236|9|||01 :66332|169053|81690409889688|090909144212|3|||01 :169033|8614||090909144216|49|||81 :66791|169052|816996873590|090909144308|2|||01 :66293|169059|81690266281274|090909144312|18|||01 :66659|169058|816995571751|090909144248|57|||01 :64028|66648||090909144400|15|||89 :66804|169055|81690414800664|090909144300||||01 :169030|66619||090909144324|6|||81 :169028|66433||090909144304|1|||81 :66038|169057|816997285870|090909144316|4|||01 :66763|169052|81690419501001|090909144308|2|||01 :66741|169049|81691300334455|090909144300|45|||01 :66365|169051|816959715049|090909144304|1|||01 :66345|66744||090909144424|6|||89 :66737|169056|81690407524335|090909144336|54|||01 :66475|66467||090909145944|236|||89 :66791|169053|81690408328378|090909144416|4|||01 :66707|169059|816995717391|090909144332|8|||01 :169003|110060|8110|090909144356|14|||03 :66365|169056|816959715049|090909144404|1|||01 :169042|66433||090909144432|8|||81 :66769|169057|816995789812|090909144444|11|||01 :169044|110057|81105|090909144400|15|||03 :169012|66998||090909144504|1|||81 :66998|169056|816990765998|090909144504|1|||01 :169038|66666||090909144520|5|||81 :8614|169048|816987813403|090909144500||||01 :169007|77971||090909144524|6|||81 :66763|169050|81690419501001|090909144512|3|||01 :66763|169052|816959821462|090909144520|5|||01 :66791|169051|816996873590|090909144516|4|||01 :169041|110054|81108|090909144552|13|||03 :66038|169057|81690408058385|090909144552|13|||01 :66880|2||090909144512|3|||89 :66800|169054|816995090003|090909144524|51|||01 :66365|169053|81690882347955|090909144504|16|||01 :169017|66261||090909144556|14|||81 :8005|2||090909144612|3|||89 :169018|77971||090909144548|27|||81 :169016|66619||090909144604|31|||81 :169023|66938||090909144528|22|||81 :66938|169059|816990765938|090909144528|22|||01 :64086|169056|81690418388246|090909144608|17|||01 :169027|66012||090909144612|3|||81 :169036|110057|81107|090909144632|23|||03 :77190|64085||090909145204|76|||89 :66038|169051|816998781386|090909144636|9|||01 :8617|169060|816995699637|090909144652|313|||01 :66804|169055|816995681108|090909144720|50|||01 :8005|169053|81690410570247|090909144708|17|||01 :66316|169058|816997881261|090909144644|56|||01 :64077|169060|816995724610|090909144716|4|||01 :169043|66660||090909144724|51|||81 :66377|66396||090909145032|38|||89 :169029|64036||090909144808|2|||81 :66165|169059|816995787939|090909144804|16|||01 :66304|2||090909144808|2|||89 :66389|169056|816986100168|090909144828|22|||01 :8614|8615||090909144812|3|||89 :169022|77971||090909144800|15|||81 :169013|66804||090909144812|3|||81 :169031|66314||090909144816|4|||81 :66822|8125||090909145252|58|||89 :66661|66619||090909144940|10|||89 :64086|169054|81690419440254|090909144936|24|||01 :169047|66635||090909144916|4|||81 :66037|169057|816995721034|090909144940|55|||01 :66721|8125||090909145100|15|||89 :66848|169054|816995570822|090909144916|4|||01 :64035|169049|81690419501001|090909144912|3|||01 :66867|169045|81690421795420|090909145000|165|||01 :66395|169055|816992095974|090909145004|31|||01 :66268|169050|81690401775387|090909145024|6|||01 :66380|169056|816995536383|090909145016|19|||01 :66380|169058|81690439381275|090909145000|30|||01 :64024|169052|816985870200|090909145020|5|||01 :169019|66261||090909145020|5|||81 :66661|66611||090909145012|3|||89 :66603|66820||090909145032|8|||89 :169009|64086||090909145024|51|||81 :169026|66465||090909145012|3|||81 :66804|169052|81690420778240|090909145100||||01 :66303|169055|816995713604|090909145028|7|||01 :66395|169058|8169131095|090909145104|1|||01 :169011|66342||090909145116|49|||81 :66253|66210||090909145136|9|||89 :169025|64036||090909145108|2|||81 :66661|66611||090909145116|4|||89 :66332|169056|81690409889688|090909145112|3|||01 :77190|66804||090909145156|14|||89 :66763|169058|81690413044229|090909145128|7|||01 :169020|66322||090909145120|5|||81 :66611|66705||090909145228|7|||89 :8618|169050|816990763026|090909145212|18|||01 :169024|66261||090909145144|11|||81 :64035|169052|81690419501001|090909145140|10|||01 :66804|169058|816995572268|090909145204|1|||01 :64024|169055|816985870200|090909145200|15|||01 :169002|66102||090909145136|69|||81 :169015|66861||090909145204|1|||81 :66395|169056|8169131095|090909145244|11|||01 :66880|169050|81690417545925|090909145204|1|||01 :169027|64028||090909145804|91|||81 :77810|169053|816995783781|090909145208|17|||01 :169001|66744||090909145240|10|||81 :169014|66789||090909145220|5|||81 :66635|66350||090909145320|5|||89 :66721|66619||090909145504|31|||89 :169005|66707||090909145224|81|||81 :66721|66800||090909145320|5|||89 :66680|66289||090909145400|15|||89 :169033|66938||090909145324|6|||81 :66938|169055|816990765938|090909145324|6|||01 :77190|77810||090909145340|10|||89 :64037|169054|816998352300|090909145340|55|||01 :77790|169049|816997999077|090909145320|35|||01 :169044|66127||090909145404|1|||81 :66721|66257||090909145436|9|||89 :169028|66366||090909145356|14|||81 :169030|110060|81101|090909145352|13|||03 :66314|64066||090909145408|2|||89 :66804|169052|816995960773|090909145352|28|||01 :66880|169056|81690407347267|090909145408|17|||01 :169008|66707||090909145412|3|||81 :169023|66800||090909145404|1|||81 :169003|66314||090909145404|16|||81 :66350|169055|816986100168|090909145400|15|||01 :66721|8125||090909145428|7|||89 :66705|66322||090909145520|5|||89 :77790|169049|816995324842|090909145428|7|||01 :169006|66608||090909145428|247|||81 :66255|169051|816995308481|090909145440|85|||01 :66848|169047|816985522233|090909145432|8|||01 :66332|169044|81690409889688|090909145512|3|||01 :169021|66269||090909145440|10|||81 :8617|169058|81690409576211|090909145444|41|||01 :169017|66938||090909145440|10|||81 :66938|169046|816990765938|090909145440|10|||01 :77190|169056|816995762425|090909145532|8|||01 :8611|169043|816995072062|090909145528|7|||01 :8125|66021||090909145540|10|||89 :169007|66002||090909145532|8|||81 :77190|169053|816995259570|090909145508|32|||01 :66153|169056|816992096592|090909145504|1|||01 :66769|66741||090909145904|46|||89 :169029|66177||090909145536|9|||81 :77790|169058|816998273600|090909145528|7|||01 :66222|77190||090909145616|4|||89 :169035|8018||090909145548|72|||81 :169042|66261||090909145616|19|||81 :169009|66046||090909145608|2|||81 :66046|169054|816990765046|090909145608|2|||01 :66304|169059|816992791599|090909145616|124|||01 :66769|66253||090909145624|6|||89 :169019|66002||090909145636|9|||81 :66492|2||090909145712|3|||89 :169016|66314||090909145636|9|||81 :64038|169050|81690410555991|090909145644|56|||01 :64014|169048|81690404211764|090909145700|45|||01 :66705|8125||090909145856|29|||89 :169020|66800||090909145708|2|||81 :77790|169058|816985587500|090909145728|22|||01 :8617|169059|81690407314286|090909145736|9|||01 :66804|169053|816995960773|090909145728|22|||01 :66251|66713||090909145812|3|||89 :169025|66938||090909145744|11|||81 :66938|169051|816990765938|090909145744|11|||01 :66635|66350||090909145820|5|||89 :169002|66012||090909145812|3|||81 :64098|169056|8169132230|090909145824|36|||01 :77790|169058|816995942270|090909145828|7|||01 :169020|66661||090909145852|13|||81 :169013|66366||090909145852|43|||81 :66880|169059|81690404775634|090909145828|7|||01 :66846|169057|81690413031867|090909145816|124|||01 :169036|110058|8110|090909145832|53|||03 :66744|169049|816997729555|090909145852|28|||01 :169033|66938||090909145900||||81 :77790|169058|816993871233|090909145848|12|||01 :169026|66834||090909145908|47|||81 :66804|66289||090909145940|10|||89 :169005|66346||090909145928|7|||81 :169041|110059|8110|090909145940|85|||03 :169034|66314||090909145940|25|||81 :169004|66938||090909145928|7|||81 :66938|169057|816990765938|090909145928|7|||01 :169039|110060|8110|090909145912|48|||03 :66754|169055|816997522140|090909145932|68|||01 :169012|66139||090909145928|7|||81