:66332|45016|81450409889688|091014070032|8|||01 :66322|45014|81450404816431|091014070228|7|||01 :66415|45015|81450404157400|091014070300|30|||01 :66415|45013|81450430950050|091014070420|5|||01 :66423|66762||091014070520|20|||89 :66451|45011|81450409889688|091014071744|11|||01 :66713|66423||091014071932|23|||89 :45030|110060|81105|091014072052|73|||03 :66000|110060|8110|091014072220|5|||01 :66402|66762||091014072456|14|||89 :66332|45010|81450409889688|091014072516|4|||01 :66332|45009|81450409889688|091014072528|7|||01 :66423|66325||091014072736|9|||89 :66322|45008|81450404816431|091014072736|9|||01 :66705|45007|81450404569734|091014072920|5|||01 :66635|66890||091014073220|5|||89 :66103|45006|814595091003|091014073420|5|||01 :66423|66707||091014073428|7|||89 :66253|66195||091014073544|11|||89 :66177|45005|814595329349|091014073456|14|||01 :66103|77649||091014073612|3|||89 :9|110060|8110|091014073648|12|||01 :66000|110060|8110|091014073928|7|||01 :66332|45004|81450409889688|091014073944|11|||01 :45060|66707||091014074032|8|||81 :9|110058|8110|091014074308|2|||01 :66728|110060|8110357|091014074348|42|||01 :45030|110059|8110|091014074408|17|||03 :64129|45002|814595713154|091014074628|22|||01 :66415|45003|814597556746|091014074640|40|||01 :66100|45001|8145|091014074732|8|||01 :66103|45060|814595789855|091014074736|9|||01 :66250|110060|8110|091014074748|12|||01 :9|110059|8110|091014074900||||01 :66611|66619||091014075136|9|||89 :9|110059|8110|091014075316|4|||01 :66611|66619||091014075416|4|||89 :66427|66660||091014075428|7|||89 :66336|77147||091014075532|8|||89 :66346|66890||091014075620|5|||89 :9|110060|8110|091014075512|108|||01 :66703|45059|814598026645|091014075636|24|||01 :66341|110059|8110|091014075812|3|||01 :66362|45058|814595980817|091014075912|18|||01 :9|110060|8110|091014075900|15|||01