:66706|2||090909180012|3|||89 :66382|77758||090909180108|17|||89 :66346|169057|816995713262|090909180048|57|||01 :66272|169058|816995710303|090909180124|6|||01 :66185|66706||090909180224|6|||89 :169016|66336||090909180120|5|||81 :66346|169057|816995259033|090909180248|12|||01 :169029|66382||090909180244|11|||81 :66223|169059|81690266847728|090909180208|32|||01 :66653|169055|816998666649|090909180220|20|||01 :66707|2||090909180308|2|||89 :169032|66287||090909180320|20|||81 :66116|169060|81690425823633|090909180320|50|||01 :66332|169059|81690409889688|090909180308|2|||01 :169040|110060|81106|090909180412|153|||03 :169041|66336||090909180416|19|||81 :169009|66434||090909180528|172|||81 :169007|66666||090909180536|9|||81 :77068|169060|816992555390|090909180544|11|||01 :66263|169058|816995603104|090909180544|56|||01 :66332|169060|81690409889688|090909180604|1|||01 :77068|2||090909180716|4|||89 :66273|169060|81690448207150|090909180716|4|||01 :169018|66648||090909180748|12|||81 :77068|2||090909180816|4|||89 :169042|66610||090909181008|17|||81 :77068|169060|81690412099515|090909181208|47|||01 :169046|66391||090909181232|23|||81 :66741|66335||090909181536|39|||89 :169049|66366||090909181352|13|||81 :66332|169060|81690409889688|090909181504|1|||01 :169045|66249||090909181620|20|||81 :66737|169056|816995926920|090909181656|419|||01 :169044|66707||090909181624|6|||81 :169050|110060|8110|090909181744|11|||03 :66332|169060|81690409889688|090909181808|2|||01 :169025|66336||090909181836|9|||81 :66737|169060|816998173023|090909181800||||01 :66116|169059|81690415919806|090909181900|30|||01 :66811|169060|81690432359037|090909181900||||01 :66332|169059|81690409889688|090909182232|8|||01 :66393|2||090909182308|2|||89 :77083|169059|816992773745|090909182336|9|||01 :66811|169060|81690432359037|090909182500|75|||01 :169010|110059|8110|090909182516|64|||03 :66707|66335||090909182720|5|||89 :169038|66063||090909182716|4|||81 :66063|169058|816990765063|090909182716|4|||01 :66168|169059|81690364421778|090909182720|50|||01 :66707|169059|81690404816431|090909182800||||01 :66443|169060|816995685504|090909182828|37|||01 :66382|2||090909183024|6|||89 :169053|66207||090909183012|3|||81 :66382|169060|81690404816431|090909183100|15|||01 :66342|77074||090909183100||||89 :169052|66342||090909183044|11|||81 :169020|66395||090909183220|20|||81 :66707|66391||090909183624|6|||89 :66686|169060|816997418382|090909183704|31|||01 :169021|66341||090909183708|17|||81 :169048|110060|81105|090909183712|108|||03 :77083|169060|816992773745|090909183924|21|||01 :66332|169058|81690409889688|090909184004|1|||01 :66382|77434||090909184100||||89 :66382|2||090909184112|3|||89 :66707|169059|816996873590|090909184136|39|||01 :169031|66340||090909184116|34|||81 :66382|169056|81690404816431|090909184212|18|||01 :169030|66287||090909184304|1|||81 :66332|169056|81690409889688|090909184304|1|||01 :66326|169058|816996106166|090909184408|47|||01 :169052|77074||090909185712|198|||81 :66707|169056|816998772533|090909184528|22|||01 :66290|169058|816997735194|090909184532|8|||01 :77147|66336||090909184536|9|||89 :77633|2||090909184616|4|||89 :169015|66435||090909184628|172|||81 :169001|66744||090909184812|3|||81 :66707|169058|816995639140|090909184940|40|||01 :66005|169059|816995873432|090909184948|117|||01 :66005|169059|81690433057854|090909185036|9|||01 :66332|169059|81690409889688|090909185104|1|||01 :66185|169060|816994104072|090909185116|184|||01 :77147|169059|816995684548|090909185120|5|||01 :169017|66619||090909185140|10|||81 :66005|169058|816995806703|090909185308|32|||01 :64123|169059|81690404816431|090909185336|9|||01 :64027|66195||090909185408|2|||89 :8165|169057|81690466428316|090909185520|215|||01 :169033|66249||090909185532|23|||81 :66290|169056|81691300799753|090909185648|147|||01 :77147|169058|816995684548|090909185732|8|||01 :66336|169059|816995327220|090909185904|61|||01