:169005|77065||041009180352|58|||81 :66326|169058|816995092568|041009180336|9|||01 :66686|169059|81690433698825|041009180340|115|||01 :66185|66741||041009180700|30|||89 :66707|169060|816995705064|041009180552|58|||01 :66415|169059|816994800679|041009180612|18|||01 :169038|66387||041009181132|83|||81 :169050|66707||041009181056|59|||81 :169026|66652||041009181236|24|||81 :169030|66652||041009181452|13|||81 :169006|66340||041009181540|25|||81 :169023|110060|81100|041009181716|4|||03 :66325|169060|816995981160|041009182424|36|||01 :77072|169059|816995555526|041009182720|5|||01 :66654|169059|816995511841|041009183016|19|||01 :169035|66652||041009183104|211|||81 :66391|169058|816995639918|041009183100|15|||01 :66707|169060|816995781322|041009183344|101|||01 :169032|66341||041009183512|18|||81 :66705|2||041009183912|3|||89 :66391|169058|816997050826|041009183908|2|||01 :169051|2||041009183956|134|||82 :66686|169059|81690413739911|041009183956|44|||01 :66872|66705||041009184044|11|||89 :66654|169060|816985114574|041009184004|61|||01 :66391|2||041009184124|6|||89 :66391|169059|81690402812232|041009184112|3|||01 :169008|66707||041009184036|54|||81 :66654|169060|816995472716|041009184120|5|||01 :66391|169060|816997050826|041009184232|8|||01 :66761|169060|816997953661|041009184428|22|||01 :169055|66791||041009184516|19|||81 :169016|66340||041009184532|38|||81 :66326|169059|816995577560|041009184848|87|||01 :169017|66336||041009185044|26|||81 :66629|169060|816998225617|041009185104|61|||01 :66336|66335||041009185232|8|||89 :66391|169058|816995570009|041009185208|62|||01 :66253|66336||041009185408|2|||89 :77083|169059|816992773745|041009185444|11|||01 :66332|169058|81690409889688|041009185508|2|||01 :2|169060|816996460938|041009185516|34|||02 :169056|66058||041009185704|1|||81 :66058|169060|816990765058|041009185704|1|||01 :169049|66058||041009185920|5|||81 :66058|169060|816990765058|041009185920|5|||01