:66694|66603||091009130208|77|||89 :66387|66391||091009130112|33|||89 :66706|169060|81690401363863|091009130012|48|||01 :66451|169059|81690409889688|091009130016|4|||01 :169021|66287||091009130008|2|||81 :169034|169056|81690413490195|091009130028|22|||03 :169009|66245||091009130004|1|||81 :169030|66666||091009130108|2|||81 :66427|66660||091009130120|5|||89 :66193|169058|816995783600|091009130048|27|||01 :64076|169053|816990769888|091009130116|214|||01 :66342|169058|816997738434|091009130104|1|||01 :66342|169058|816997738434|091009130100||||01 :66658|169055|816996905711|091009130100|75|||01 :64036|169056|816998119003|091009130116|4|||01 :169008|66938||091009130052|13|||81 :66938|169049|816990765938|091009130052|13|||01 :64035|77434||091009130204|1|||89 :66130|169054|816995786978|091009130120|35|||01 :66326|66255||091009130428|37|||89 :66620|66261||091009130256|14|||89 :62578|169053|816990762578|091009130204|16|||01 :66451|169058|81690409889688|091009130248|12|||01 :66882|66253||091009130420|35|||89 :77866|66746||091009130452|28|||89 :66346|169056|816995783346|091009130240|10|||01 :66841|169050|816995513155|091009130312|48|||01 :66801|64033||091009130316|4|||89 :66130|169055|816985205255|091009130244|11|||01 :169004|66340||091009130252|13|||81 :169006|8046||091009130336|69|||81 :169045|66260||091009130252|28|||81 :66137|169059|81691300687746|091009130320|50|||01 :169032|110056|8110|091009130324|6|||03 :169016|110059|81100|091009130324|81|||03 :66451|169055|81690409889688|091009130320|5|||01 :66169|169052|816992424888|091009130316|154|||01 :77073|2||091009130448|12|||89 :66130|169059|816995362748|091009130328|7|||01 :169038|110057|81105|091009130404|16|||03 :8017|169049|816995688009|091009130432|8|||01 :66177|169055|816995329349|091009130420|5|||01 :169010|66733||091009130412|3|||81 :66253|77434||091009130504|1|||89 :169031|66800||091009130412|3|||81 :66451|169047|81690409889688|091009130416|4|||01 :64036|169059|816998119021|091009130416|4|||01 :2|66326||091009130516|4|||89 :169018|110059|81105|091009130504|1|||03 :169035|66102||091009130508|2|||81 :169012|64060||091009130420|5|||81 :64071|2||091009130512|3|||89 :169026|66340||091009130452|13|||81 :66387|169056|816990762000|091009130512|33|||01 :169020|66336||091009130516|64|||81 :169048|110060|81101|091009130536|69|||03 :169013|66422||091009130536|9|||81 :66253|66251||091009130512|3|||89 :169019|77971||091009130544|11|||81 :169011|64071||091009130528|7|||81 :64036|169055|816990762335|091009130552|13|||01 :169017|110060|81107|091009130604|1|||03 :66166|169058|816998848499|091009130544|41|||01 :66430|169059|81690409971652|091009130612|18|||01 :169005|8210||091009130644|11|||81 :77069|77068||091009130604|1|||89 :169024|66340||091009130644|26|||81 :66018|2||091009130704|1|||89 :169030|77190||091009131304|91|||81 :66223|66289||091009130720|5|||89 :77071|169049|816987742733|091009130708|17|||01 :66475|169060|81690403312999|091009130652|103|||01 :66223|66287||091009130708|2|||89 :66658|66811||091009130720|5|||89 :169041|66322||091009130708|2|||81 :66773|169056|816997705306|091009130640|25|||01 :66648|169058|81690419387646|091009130740|10|||01 :169029|66063||091009130748|27|||81 :66063|169048|816990765063|091009130748|27|||01 :66304|66340||091009130820|5|||89 :66629|66255||091009131004|31|||89 :66791|169053|81690266811017|091009130736|69|||01 :66130|169059|816995538448|091009130824|21|||01 :66288|169058|816995097239|091009130812|3|||01 :66804|169060|816990772627|091009130832|8|||01 :169028|66342||091009130820|95|||81 :77649|77190||091009130816|4|||89 :66336|66660||091009131212|48|||89 :66707|8125||091009130916|4|||89 :169023|64046||091009130852|13|||81 :66177|169056|816995329349|091009130820|5|||01 :169040|110059|81100|091009130836|54|||03 :66343|169051|8169136150|091009130912|258|||01 :77040|169055|81691300147147|091009130912|33|||01 :169043|66964||091009130924|6|||81 :66762|77434||091009131004|1|||89 :66343|169059|81690418574939|091009130932|8|||01 :66227|2||091009131100|15|||89 :66290|66777||091009131028|7|||89 :66343|169057|816985641853|091009131000||||01 :66603|169058|81690448301052|091009131100|15|||01 :169024|77068||091009131516|64|||81 :169003|66439||091009131020|5|||81 :66332|169057|81690409889688|091009131120|5|||01 :169039|66834||091009131124|66|||81 :66115|169058|816995212740|091009131124|6|||01 :169042|8004||091009131104|16|||81 :66166|169056|816997266363|091009131140|10|||01 :169021|66322||091009131152|13|||81 :169002|66316||091009131108|2|||81 :169014|66886||091009131108|2|||81 :169001|66938||091009131128|22|||81 :66938|169059|816990765938|091009131128|22|||01 :8620|169058|81690406027198|091009131208|2|||01 :66694|66388||091009132656|224|||89 :8617|169053|816997742711|091009131144|11|||01 :169036|66834||091009131244|11|||81 :169009|66776||091009131208|2|||81 :66721|66830||091009131756|89|||89 :77866|2||091009131304|16|||89 :169008|66316||091009131244|11|||81 :169037|66139||091009131228|7|||81 :169022|66867||091009131252|13|||81 :66255|169060|816995276945|091009131240|55|||01 :66801|169058|81690414774135|091009131324|6|||01 :77281|66227||091009131332|8|||89 :64078|169053|816990761252|091009131328|7|||01 :66707|8125||091009131416|4|||89 :2|66281||091009131408|2|||89 :64037|169055|81690439516727|091009131340|40|||01 :169044|77971||091009131340|55|||81 :169004|66207||091009131348|12|||81 :66193|169057|816996039500|091009131356|44|||01 :169015|77971||091009131436|69|||81 :8620|169048|81690406027198|091009131404|1|||01 :66700|169058|816990122200|091009131416|19|||01 :66253|77434||091009131504|1|||89 :169004|2||091009131556|14|||82 :64037|169051|81690402353867|091009131440|10|||01 :64022|169049|81690417396251|091009131540|10|||01 :66749|169056|81691800007656|091009131544|41|||01 :169032|66316||091009131504|1|||81 :64028|169060|816985747100|091009131520|35|||01 :64029|169050|816995198877|091009131604|181|||01 :66415|169058|816995097242|091009131616|4|||01 :169038|66800||091009131604|1|||81 :169045|110060|81105|091009131624|21|||03 :8620|169060|816995340635|091009131616|4|||01 :66636|169054|81690418326160|091009131556|194|||01 :66024|66801||091009131956|44|||89 :169016|66790||091009131604|16|||81 :2|8091||091009131720|5|||89 :66169|169052|8169131463|091009131644|191|||01 :66260|77649||091009131752|13|||89 :66012|169058|81690400050680|091009131712|3|||01 :66253|77434||091009131704|1|||89 :77073|169053|816995274004|091009131752|58|||01 :169025|66326||091009131748|102|||81 :64037|169056|816993913118|091009131716|4|||01 :8612|66150||091009131808|2|||89 :66430|66619||091009131812|3|||89 :66157|64101||091009132248|72|||89 :169018|66314||091009131844|11|||81 :66340|169054|816995445989|091009131804|1|||01 :66210|66137||091009131940|10|||89 :8007|2||091009131936|9|||89 :66603|66664||091009132028|22|||89 :169016|2||091009132140|40|||82 :66435|169054|816995785500|091009131936|9|||01 :77083|169060|816992773745|091009131928|37|||01 :64028|169057|816985175625|091009132000|30|||01 :64066|169054|816996248277|091009132016|4|||01 :64020|169055|816995981682|091009132004|31|||01 :169013|8004||091009132000|15|||81 :169020|64038||091009132004|16|||81 :66261|169049|816997768833|091009132000|15|||01 :8617|169052|816985522222|091009132044|26|||01 :77075|169060|81690412053291|091009132016|4||2025|01 :64101|66744||091009132144|11|||89 :169019|66210||091009132112|3|||81 :8017|2||091009132108|2|||89 :169027|77149||091009132056|14|||81 :66435|169057|816992813813|091009132052|13|||01 :66723|169048|816995782027|091009132144|26|||01 :66442|169059|816995097633|091009132120|140|||01 :169012|66012||091009132208|47|||81 :64101|169049|81690407338946|091009132140|10|||01 :66343|66765||091009132340|25|||89 :66442|169059|81690458346388|091009132220|5|||01 :169028|8007||091009132212|3|||81 :169005|66938||091009132220|20|||81 :66938|169045|816990765938|091009132220|20|||01 :66340|169053|816995445989|091009132244|56|||01 :66183|169046|816990766938|091009132220|20|||01 :66865|2||091009132304|1|||89 :169029|110058|8110|091009132232|8|||03 :64071|77434||091009132308|2|||89 :169033|66102||091009132248|12|||81 :77643|169054|816990117341|091009132248|27|||01 :66473|169058|816995328707|091009132224|81|||01 :66341|66336||091009132324|6|||89 :169043|66012||091009132312|3|||81 :66603|66791||091009132656|59|||89 :66166|169059|816998414721|091009132340|10|||01 :8004|66151||091009132340|10|||89 :169041|110059|81102|091009132312|18|||03 :169043|66123||091009132428|7|||81 :66026|169058|816995329349|091009132320|5|||01 :169023|110057|81105|091009132320|20|||03 :8613|169054|816992123015|091009132308|2|||01 :66144|169057|81690407818487|091009132344|26|||01 :169034|66211||091009132408|182|||81 :169003|66002||091009132408|2|||81 :66340|169053|816986351000|091009132400|15|||01 :66336|66611||091009132412|3|||89 :169024|66744||091009132348|12|||81 :169035|77971||091009132500|90|||81 :169042|110059|81102|091009132408|2|||03 :169017|66261||091009132500|45|||81 :169040|8004||091009132420|20|||81 :66144|169059|81690410476103|091009132520|5|||01 :169031|66671||091009132440|130|||81 :64108|169060|81690262023333|091009132520|50|||01 :66336|66712||091009132516|4|||89 :66332|169054|81690409889688|091009132516|4|||01 :169021|110059|8110|091009132532|8|||03 :169039|66314||091009132520|20|||81 :66791|169057|816993981579|091009132532|8|||01 :64066|169055|816996298277|091009132520|80|||01 :169002|64055||091009132536|9|||81 :169030|66865||091009132620|50|||81 :66746|64101||091009132800|30|||89 :64028|66395||091009132912|48|||89 :66289|77149||091009132732|8|||89 :169014|66003||091009132620|5|||81 :66801|169058|816995316449|091009132640|25|||01 :77075|169052|816987742829|091009132636|84|||01 :66151|169053|81690419770145|091009132652|13|||01 :169024|9||091009132932|38|||81 :66648|169055|816997727639|091009132700||||01 :66387|169046|816995685300|091009132624|6|||01 :169009|66603||091009132704|1|||81 :64108|169059|8169131495|091009132728|22|||01 :8125|66619||091009132800|15|||89 :169022|66003||091009132716|4|||81 :2|66744||091009132752|13|||89 :77073|169050|816995274004|091009132652|118|||01 :66340|169060|816986351000|091009132652|28|||01 :169007|66012||091009132756|14|||81 :66717|66854||091009132816|4|||89 :8613|169059|816980607747|091009132732|8|||01 :169036|2||091009132728|7|||82 :169044|66603||091009132740|10|||81 :64037|169045|816994191901|091009132720|20|||01 :169015|66938||091009132732|8|||81 :66938|169055|816990765938|091009132732|8|||01 :66738|66255||091009133052|43|||89 :66289|77647||091009132908|17|||89 :66161|66183||091009133008|32|||89 :66451|169060|81690409889688|091009132812|3|||01 :169032|66003||091009132812|3|||81 :169038|66834||091009132828|7|||81 :66332|169055|81690409889688|091009132904|1|||01 :66419|169059|816992784957|091009132824|6|||01 :66442|169048|81690458346388|091009132816|94|||01 :169025|66003||091009132924|6|||81 :66332|169059|81690409889688|091009132912|3|||01 :66712|169052|816995962553|091009132928|7|||01 :169018|66938||091009132932|8|||81 :66938|169055|816990765938|091009132932|8|||01 :66166|169057|816997585238|091009132916|49|||01 :169038|77088||091009132948|12|||81 :66826|66749||091009133544|86|||89 :169007|64028||091009133208|32|||81 :66842|169048|816995841644|091009132932|8|||01 :66802|169047|816986104300|091009132928|232|||01 :66712|169055|816995235886|091009133016|4|||01 :169010|66776||091009133016|19|||81 :169037|66366||091009132944|11|||81 :66342|2||091009133012|3|||89 :8125|66336||091009133028|7|||89 :66713|169058|816995966377|091009133004|46|||01 :64036|169059|816953204025|091009133004|16|||01 :66322|66253||091009133016|4|||89 :66147|169057|816994190424|091009133040|10|||01 :64037|169053|816957990713|091009133016|34|||01 :66369|66002||091009133156|14|||89 :66141|169055|816985870310|091009133032|8|||01 :66444|169057|81691800551702|091009133112|3|||01 :169029|66666||091009133108|2|||81 :66144|169059|81690420686867|091009133112|3|||01 :8125|66707||091009133148|12|||89 :66842|169057|81690417243500|091009133116|4|||01 :169020|2||091009133052|13|||82 :66600|66012||091009133252|28|||89 :8614|169057|816985870100|091009133200||||01 :169028|77971||091009133112|18|||81 :169027|110058|81101|091009133132|23|||03 :66369|66002||091009133244|11|||89 :66342|169052|81690419770145|091009133140|25|||01 :66276|2||091009133208|2|||89 :77073|169050|816995274004|091009133156|44|||01 :66332|169058|81690409889688|091009133212|3|||01 :169005|66335||091009133132|23|||81 :169019|66166||091009133220|35|||81 :66804|77190||091009133220|5|||89 :8617|169049|81690405143090|091009133156|149|||01 :66322|66762||091009133424|21|||89 :169043|2||091009133236|9|||82 :169023|66856||091009133316|4|||81 :169029|66804||091009133508|32|||81 :169011|66276||091009133252|13|||81 :66332|169058|81690409889688|091009133316|4|||01 :66141|169059|816997973900|091009133320|35|||01 :169003|66666||091009133332|8|||81 :169005|66335||091009133536|24|||81 :169039|110059|8110|091009133332|8|||03 :169042|66801||091009133344|11|||81 :77073|2||091009133408|2|||89 :66938|169055|816990765938|091009133404|31|||01 :66620|169056|81690284013000|091009133408|242|||01 :66713|169059|816995966377|091009133444|11|||01 :66451|169052|81690409889688|091009133416|4|||01 :66136|66428||091009133852|58|||89 :66865|169056|816980609085|091009133504|1|||01 :66288|169057|816992154918|091009133444|26|||01 :169030|8125||091009133544|11|||81 :66809|169059|81690413557975|091009133528|7|||01 :66419|169057|81690418357477|091009133508|2|||01 :169014|66884||091009133508|2|||81 :66700|169051|816990122200|091009133520|245|||01 :169046|8614||091009133508|2|||81 :169040|77971||091009133616|34|||81 :169024|110059|81101|091009133536|9|||03 :8614|169057|81690433548740|091009133600||||01 :8614|169057|81690433548740|091009133600||||01 :66240|169052|816998247997|091009133604|16|||01 :169022|66744||091009133628|7|||81 :169003|77190||091009133852|28|||81 :66865|169050|816995372866|091009133624|6|||01 :169009|66210||091009133652|13|||81 :8614|169057|81690433548740|091009133704|1|||01 :169008|66287||091009133624|21|||81 :77073|169055|816995272535|091009133624|21|||01 :66865|169057|816980609085|091009133700||||01 :66209|169060|81690884439550|091009133632|128|||01 :2|169056|8169132227|091009133652|28|||02 :66195|66744||091009133716|4|||89 :66165|169059|816995968414|091009133724|21|||01 :169038|66666||091009133720|5|||81 :66467|169054|816995705893|091009133740|175|||01 :66026|169053|816987814299|091009133652|58|||01 :169002|66166||091009133724|51|||81 :169007|66465||091009133732|8|||81 :66363|169056|81690407428471|091009133824|6|||01 :66165|169057|816995967436|091009133728|7|||01 :169025|2||091009133832|8|||82 :169048|66261||091009133812|3|||81 :66603|66664||091009133816|4|||89 :66640|169051|81690413379240|091009133824|36|||01 :66865|169060|81690400990167|091009133840|10|||01 :66675|169050|816986147599|091009133820|5|||01 :66734|169052|816990117304|091009133836|24|||01 :169037|66938||091009133848|12|||81 :66938|169053|816990765938|091009133848|12|||01 :66332|169048|81690409889688|091009133908|2|||01 :66303|169055|816995783346|091009133900|30|||01 :169033|66261||091009133900||||81 :66363|169056|81690407428471|091009133840|10|||01 :77866|66195||091009133940|10|||89 :66026|169060|816995329349|091009133920|5|||01 :66804|169056|816994193377|091009133912|3|||01 :66387|169052|816980607766|091009133900||||01 :66313|169049|816995554346|091009133952|13|||01 :169020|66804||091009134000|15|||81 :66324|169059|816995719933|091009133944|26|||01 :169027|110059|8110|091009134000|15|||03 :66648|169058|816997727639|091009134012|93|||01 :169047|8614||091009134016|34|||81 :169041|66776||091009134028|7|||81 :169010|66166||091009134004|31|||81 :169015|66342||091009134044|56|||81 :66322|169056|81690407275625|091009134024|6|||01 :169034|66938||091009134048|12|||81 :66938|169060|816990765938|091009134048|12|||01 :66804|169059|816988077316|091009134048|12|||01 :66192|169053|8169132290|091009134040|25|||01 :169032|66316||091009134104|46|||81 :66332|169054|81690409889688|091009134012|3|||01 :8210|2||091009134116|4|||89 :169029|66938||091009134140|10|||81 :66938|169060|816990765938|091009134140|10|||01 :169041|66123||091009134224|21|||81 :66301|66846||091009134248|27|||89 :66415|169059|816995097242|091009134120|5|||01 :66712|169054|816995108114|091009134104|1|||01 :66326|2||091009134220|5|||89 :66136|66161||091009134832|98|||89 :66183|66854||091009134228|7|||89 :66192|66341||091009134216|4|||89 :66444|169059|81691800551702|091009134208|2|||01 :66165|169057|816998542390|091009134152|58|||01 :66631|77149||091009134200||||89 :66713|66631||091009134240|10|||89 :66322|169054|81690409798988|091009134216|4|||01 :66366|2||091009134216|4|||89 :169021|66666||091009134232|8|||81 :169005|66494||091009134204|1|||81 :66127|66746||091009134420|20|||89 :169039|66752||091009134324|6|||81 :169011|66800||091009134232|8|||81 :66136|66413||091009134344|11|||89 :66620|169054|816996879322|091009134320|5|||01 :66332|169052|81690409889688|091009134312|3|||01 :64026|169059|81690438397780|091009134336|9|||01 :66802|2||091009134432|8|||89 :66661|66611||091009134412|3|||89 :66391|66395||091009134440|10|||89 :169021|66123||091009134524|21|||81 :66165|66801||091009134508|17|||89 :169043|66619||091009134428|37|||81 :66713|77149||091009134556|29|||89 :169001|66752||091009134440|10|||81 :169023|66316||091009134448|57|||81 :77866|66005||091009134516|4|||89 :169031|66166||091009134432|38|||81 :66481|169060|81690431990301|091009134456|44|||01 :64005|66234||091009134632|23|||89 :169014|66314||091009134440|10|||81 :66802|2||091009134548|12|||89 :66113|66876||091009134612|18|||89 :169017|110059|8110|091009134540|55|||03 :66162|169053|816995780654|091009134532|38|||01 :66661|66611||091009134640|10|||89 :66658|64005||091009134624|6|||89 :66029|169054|816997558111|091009134616|4|||01 :8210|169056|81690417369427|091009134544|71|||01 :66659|169057|816995230898|091009134612|48|||01 :66843|169059|816990768441|091009134604|16|||01 :66842|66650||091009134848|27|||89 :66332|169054|81690409889688|091009134612|3|||01 :169036|66322||091009134648|12|||81 :66467|169056|816998075024|091009134620|5|||01 :66173|169052|81690409559089|091009134700|15|||01 :66717|66280||091009134744|11|||89 :64078|169051|816990762658|091009134708|17|||01 :169026|66547||091009134720|5|||81 :66547|169059|816990765015|091009134720|5|||01 :8614|169058|816993902949|091009134640|100|||01 :169003|110057|81101|091009134636|9|||03 :66325|169054|816995332220|091009134724|6|||01 :169004|66166||091009134648|12|||81 :66467|169056|816995920930|091009134704|1|||01 :8614|169059|81690433548740|091009134704|1|||01 :169008|64036||091009134728|7|||81 :66801|169053|816959791214|091009134732|23|||01 :169009|66607||091009134736|9|||81 :64036|169051|81690427815122|091009134736|9|||01 :66777|169059|816990763450|091009134800||||01 :66325|169058|816995332220|091009134724|6|||01 :66835|66005||091009134944|26|||89 :66611|66341||091009134936|24|||89 :169045|110058|81102|091009134740|25|||03 :66245|169057|816998466158|091009134740|25|||01 :66395|66165||091009135152|58|||89 :169016|66712||091009134844|11|||81 :169006|8008||091009134844|41|||81 :66332|169057|81690409889688|091009134916|4|||01 :169013|64060||091009134932|8|||81 :169038|66102||091009134936|9|||81 :66169|169050|816992424888|091009134948|42|||01 :66761|169055|816995790373|091009134948|147|||01 :66162|169053|816995667015|091009135016|4|||01 :66481|169060|81690417131678|091009135008|77|||01 :66659|169059|816995000457|091009135024|36|||01 :66315|169055|81690419925236|091009135016|4|||01 :169020|110059|81101|091009135008|2|||03 :169048|66938||091009135040|10|||81 :66938|169050|816990765938|091009135040|10|||01 :66169|169051|81690246281589|091009135044|11|||01 :66102|66659||091009135104|1|||89 :66325|2||091009135116|4|||89 :169030|66713||091009135112|78|||81 :66332|169059|81690409889688|091009135108|2|||01 :66003|169055|816995106924|091009135128|7|||01 :66185|2||091009135124|6|||89 :66842|169052|81690417243500|091009135116|64|||01 :169027|110060|8110|091009135144|11|||03 :66723|169057|816995235314|091009135200|30|||01 :64107|66774||091009135224|6|||89 :64037|169053|81690425737675|091009135212|18|||01 :66137|169059|816997498000|091009135136|9|||01 :169033|8008||091009135204|31|||81 :66636|169054|81690410687759|091009135228|37|||01 :66287|169052|81690419770145|091009135216|4|||01 :77040|66660||091009135236|9|||89 :66211|169055|816995714431|091009135248|12|||01 :169019|66166||091009135212|3|||81 :66773|2||091009135300||||89 :66648|169060|81690409349008|091009135304|31|||01 :66717|169054|816995329349|091009135320|5|||01 :169015|66012||091009135320|5|||81 :64036|169058|816984058740|091009135312|63|||01 :66879|66127||091009135412|18|||89 :169032|66220||091009135300||||81 :169047|66465||091009135340|10|||81 :66325|169051|81690411866179|091009135328|37|||01 :8615|169056|816959967026|091009135344|86|||01 :66712|169057|81690407882423|091009135304|16|||01 :169038|66659||091009135816|64|||81 :66661|66744||091009135420|5|||89 :169010|66102||091009135412|18|||81 :66899|169049|816995790100|091009135332|38|||01 :66762|66342||091009135520|20|||89 :66100|66012||091009135436|9|||89 :169041|66607||091009135428|7|||81 :66255|169053|816995755322|091009135408|2|||01 :169015|66123||091009135516|19|||81 :8614|169052|81691800304317|091009135424|6|||01 :66147|169055|81690448886662|091009135416|19|||01 :169034|66428||091009135508|32|||81 :66842|169059|816995273904|091009135508|17|||01 :66389|66854||091009135544|11|||89 :77083|169058|816992773745|091009135440|25|||01 :64125|169057|816995685873|091009135512|18|||01 :66255|169053|816995755322|091009135508|2|||01 :66269|169054|816995937137|091009135516|19|||01 :169044|8210||091009135508|137|||81 :66611|66619||091009135636|24|||89 :66234|169047|816996023066|091009135508|17|||01 :8615|169048|816997966311|091009135508|17|||01 :66746|66322||091009135756|29|||89 :8007|169059|816999030190|091009135516|4|||01 :77149|66192||091009135628|7|||89 :66762|169057|816904220906625|091009135616|4|||01 :66231|169056|816997999077|091009135624|36|||01 :66126|169059|816996548589|091009135624|6|||01 :66661|66611||091009135628|7|||89 :66225|169058|816998542307|091009135604|16|||01 :66245|169051|81690417057357|091009135608|32|||01 :64036|169060|81690402401979|091009135700|45|||01 :66029|66854||091009135720|5|||89 :169039|66316||091009135640|10|||81 :169021|66268||091009135628|7|||81 :66762|169057|81690422090625|091009135620|5|||01 :66395|66012||091009135724|6|||89 :169011|66002||091009135636|9|||81 :169029|110060|8110|091009135712|48|||03 :66846|66314||091009135948|42|||89 :66389|66854||091009135732|8|||89 :169031|66314||091009135732|8|||81 :64026|169059|816985172500|091009135816|19|||01 :66804|169054|816995330036|091009135728|7|||01 :169023|66367||091009135828|7|||81 :66661|66611||091009135808|2|||89 :169014|66139||091009135844|11|||81 :66261|169049|816995543457|091009135808|62|||01 :66192|66342||091009135920|5|||89 :66680|66820||091009135940|10|||89 :64026|169057|816995243338|091009135832|8|||01 :66419|169054|816983872251|091009135856|14|||01 :8165|169056|816997696999|091009135852|28|||01 :169040|110060|81102|091009135924|6|||03 :66269|66314||091009135956|14|||89 :66029|66854||091009135920|5|||89 :66773|2||091009135900||||89 :66741|66611||091009135908|2|||89 :169026|110060|81105|091009135916|4|||03 :66427|169056|816995238607|091009135924|6|||01