:169006|66741||011108120004|31|||81 :77149|77068||011108120124|21|||89 :77149|66342||011108120120|5|||89 :2|169059|81690411330726|011108120104|1|||02 :66767|169060|81690424275727|011108120028|7|||01 :66789|66487||011108120116|4|||89 :169035|2||011108120116|4|||82 :66335|2||011108120212|3|||89 :77149|169060|816996635888|011108120340|25|||01 :169043|66325||011108120428|7|||81 :169044|2||011108120444|11|||82 :66705|169060|816995765468|011108120516|4|||01 :77149|169059|816995278712|011108120704|16|||01 :169026|66713||011108120700|15|||81 :66744|169060|816997747581|011108120720|20|||01 :66195|169060|816997490196|011108120820|5|||01 :64005|169060|81690400991725|011108121044|11|||01 :66335|2||011108121108|2|||89 :66151|2||011108121104|1|||89 :169028|66336||011108121052|13|||81 :66335|66184||011108121128|7|||89 :66744|2||011108121208|2|||89 :169045|66619||011108121428|7|||81 :77149|169059|816995789092|011108121440|85|||01 :64071|169060|816992877700|011108121524|21|||01 :66623|169059|816995721179|011108121908|2|||01 :66151|2||011108122024|21|||89 :66326|169060|816994748900|011108122020|50|||01 :66623|169059|816995275867|011108122116|19|||01 :169054|66938||011108122124|6|||81 :66938|169060|816990765938|011108122124|6|||01 :66335|66744||011108122340|40|||89 :169005|66391||011108122136|9|||81 :77149|169060|816995197500|011108122324|21|||01 :66253|169060|816997003926|011108122504|1|||01 :169055|66341||011108122516|4|||81 :169021|66744||011108122636|9|||81 :66350|169060|816995540444|011108122616|4|||01 :169053|66707||011108122712|48|||81 :66382|169060|816990772191|011108122848|12|||01 :169001|66340||011108122832|53|||81 :66026|66370||011108123032|8|||89 :66762|169059|816995892792|011108122936|54|||01 :66324|169060|816995274355|011108123004|1|||01 :169020|66619||011108123028|7|||81 :169003|2||011108123256|14|||82 :66705|66620||011108123352|13|||89 :66324|2||011108123312|3|||89 :66342|77073||011108123404|1|||89 :169039|66342||011108123408|17|||81 :169014|77067||011108123444|41|||81 :66620|66705||011108123524|6|||89 :66324|169060|81690412056226|011108123456|29|||01 :77071|169059|816997991734|011108123504|1|||01 :169004|66619||011108123752|13|||81 :66253|2||011108124004|1|||89 :169033|66340||011108123940|10|||81 :66811|169059|81690402688203|011108124036|9|||01 :66137|169060|816996704747|011108124052|13|||01 :66253|169058|816997586616|011108124108|2|||01 :169027|66290||011108124216|4|||81 :77075|169060|816995782027|011108124244|26|||01 :66423|66619||011108124448|12|||89 :169032|66619||011108124540|10|||81 :66620|169060|81690405603818|011108124552|28|||01 :169048|66938||011108124628|7|||81 :66938|169059|816990765938|011108124628|7|||01 :66290|2||011108124716|4|||89 :64071|2||011108124808|2|||89 :77149|2||011108124856|14|||89 :66290|169060|81690410530774|011108124848|12|||01 :169042|66762||011108124856|14|||81 :66137|169058|816995838557|011108124944|26|||01 :66332|169057|81690409889688|011108124912|3|||01 :169049|66341||011108124936|9|||81 :169042|77065||011108125100|15|||81 :66620|66195||011108125232|38|||89 :64005|169060|81690422562468|011108125124|36|||01 :169013|66707||011108125208|17|||81 :66705|169058|816995765468|011108125208|32|||01 :64071|169059|81690412055380|011108125224|66|||01 :66005|169060|816997747581|011108125216|4|||01 :169007|2||011108125304|1|||82 :66423|66335||011108125556|29|||89 :64071|2||011108125408|2|||89 :66335|2||011108125540|10|||89 :66686|169059|816997982869|011108125532|8|||01 :66382|169059|816997067674|011108125604|1|||01 :64071|169060|81690412055380|011108125608|32|||01 :169029|66652||011108125740|40|||81 :66382|169060|816997951565|011108125736|9|||01 :66332|169059|81690409889688|011108125812|3|||01 :66620|169057|816995684268|011108125804|106|||01 :66382|2||011108125920|5|||89 :169009|77054||011108125920|5|||81