:77073|169059|816995701481|090909190004|1|||01 :169037|66341||090909190128|7|||81 :66707|169060|816998076808|090909190240|130|||01 :66332|169058|81690409889688|090909190304|1|||01 :169034|110060|81105|090909190236|9|||03 :66325|2||090909190312|3|||89 :77069|66340||090909190312|3|||89 :66332|169057|81690409889688|090909190404|1|||01 :66382|169058|816997484707|090909190616|34|||01 :77083|169057|816992773745|090909190612|18|||01 :66336|169060|816997735194|090909190604|46|||01 :169006|66058||090909190724|6|||81 :66058|169060|816990765058|090909190724|6|||01 :66763|169059|81690434107456|090909190816|79|||01 :66846|66325||090909191156|59|||89 :66707|169058|816998076808|090909190816|34|||01 :66328|2||090909191016|19|||89 :169047|66341||090909191120|20|||81 :66342|77074||090909191200||||89 :169014|66342||090909191120|5|||81 :169039|66391||090909191140|10|||81 :2|66336||090909191204|1|||89 :169004|66336||090909191256|14|||81 :66332|169060|81690409889688|090909191304|1|||01 :169008|66180||090909191228|7|||81 :2|169060|8169132227|090909191440|10|||02 :66292|169057|816986615350|090909191440|10|||01 :66705|169056|81690407501751|090909191500||||01 :169014|77074||090909191824|51|||81 :66382|169059|8169132660|090909191520|35|||01 :169011|66341||090909191632|8|||81 :66762|169057|81690409201429|090909191844|11|||01 :169019|66938||090909191820|50|||81 :66938|169060|816990765938|090909191820|50|||01 :66412|169059|816987902476|090909191856|44|||01 :169028|2||090909192040|10|||82 :66761|169058|816995965197|090909192136|114|||01 :66412|169060|816995127996|090909192148|27|||01 :77083|169059|816992773745|090909192148|27|||01 :169026|66762||090909192312|18|||81 :66332|169058|81690409889688|090909192304|1|||01 :66495|169057|8169132032|090909192328|37|||01 :66026|169059|816995939983|090909192308|17|||01 :169029|66938||090909192404|31|||81 :66938|169060|816990765938|090909192404|31|||01 :169032|66707||090909192428|7|||81 :66332|169060|81690409889688|090909192604|1|||01 :66707|66741||090909192856|29|||89 :2|169060|816997267758|090909192708|2|||02 :169040|66102||090909192804|1|||81 :66423|66341||090909193216|19|||89 :66495|169059|816997747492|090909193140|115|||01 :66423|66342||090909193232|8|||89 :66705|169058|81690407501751|090909193228|37|||01 :169007|66707||090909193248|12|||81 :2|169060|816997267785|090909193316|94|||02 :66423|66340||090909193540|25|||89 :169016|66382||090909193416|19|||81 :66423|169060|816998772533|090909193820|20|||01 :169041|66309||090909193740|25|||81 :169043|66744||090909193844|11|||81 :66423|66705||090909193940|10|||89 :66137|169060|816995095289|090909193908|17|||01 :66423|66657||090909194152|13|||89 :169042|66249||090909194016|19|||81 :66707|169060|816995095289|090909194112|18|||01 :169046|66707||090909194112|18|||81 :66382|169059|816995896806|090909194228|52|||01 :77072|169058|816995701481|090909194404|1|||01 :66290|169059|816997735194|090909194544|26|||01 :66762|169060|81690404816431|090909194720|5|||01 :169050|66249||090909195416|19|||81 :66619|169060|81690404816431|090909195456|14|||01 :66326|169060|81690404816431|090909195516|4||2025|01 :66253|169059|816995574502|090909195556|14|||01