:66890|66183||060912190020|5|||89 :66093|45032|814590765093|060912190032|8|||01 :66890|66854||060912190140|10|||89 :66705|2||060912190112|3|||89 :66423|77068||060912190256|14|||89 :66705|45031|81450404816431|060912190228|7|||01 :66328|66342||060912190216|4|||89 :66713|2||060912190312|3|||89 :66332|45030|81450409889688|060912190332|8|||01 :64082|45037|814595746115|060912190432|173|||01 :66325|45027|814597992971|060912190732|23|||01 :66183|66854||060912191336|9|||89 :66177|45026|814596135807|060912191456|14|||01 :66169|45025|814598663566|060912191556|14|||01 :66326|45022|814595027350|060912191828|7|||01 :66423|66341||060912192232|8|||89 :66329|45021|814599427152|060912192412|18|||01 :77073|45020|814596461306|060912192412|3|||01 :77073|45019|814596461306|060912192408|2|||01 :66342|45018|814595701481|060912192504|1|||01 :66342|45014|814595701481|060912192604|1|||01 :66329|45013|814590766000|060912192648|12|||01 :45060|45012|81450404816431|060912192616|4|||03 :66342|45011|814595701481|060912192628|7|||01 :66423|45010|814598772533|060912192832|8|||01 :66332|45008|81450409889688|060912193032|8|||01 :66324|45009|814592440444|060912193032|38|||01 :45003|45006|81450404816431|060912193220|5|||03 :66332|45005|81450409889688|060912193232|8|||01 :66326|45007|814596106166|060912193340|55|||01 :77073|45015|814596461306|060912193352|133|||01 :77073|45003|81451800033349|060912193436|9|||01 :77073|45060|81451800035666|060912193508|2|||01 :64158|45004|81450418134892|060912193552|28|||01 :66423|66335||060912193952|13|||89 :77073|45059|814596461306|060912193944|56|||01 :77073|45056|814596461306|060912194012|3|||01 :2|8091||060912194808|2|||89 :77073|45055|814596461306|060912194848|42|||01 :77073|45053|814596461306|060912195032|8|||01 :66741|45054|814599430599|060912195036|24|||01 :2|45029|814592555693|060912195340|745|||02 :66830|66423||060912195428|7|||89 :66744|66427||060912195604|1|||89 :45058|45051|81450404816431|060912195932|8|||03