:66322|45021|81450404816431|041115200104|1|||01 :66322|45020|81450404816431|041115200204|1|||01 :66322|45019|81450404816431|041115200232|8|||01 :66013|45018|81450409889688|041115200436|9|||01 :66063|45017|814590765063|041115200552|13|||01 :64109|45016|81450385397600|041115200556|14|||01 :66013|45015|81450409889688|041115200516|4|||01 :66013|45014|81450409889688|041115200632|8|||01 :66854|45013|814590762475|041115200740|10|||01 :66192|66713||041115201224|6|||89 :66192|66707||041115201624|21|||89 :66192|66707||041115201608|2|||89 :66192|66707||041115201804|16|||89 :45030|110060|81105|041115201928|22|||03 :66854|45012|814590762475|041115202304|46|||01 :45030|110059|8110|041115202416|4|||03 :66680|110060|811000|041115202448|72|||01 :66192|66395||041115202808|2|||89 :66332|45011|81450409889688|041115202832|8|||01 :66341|45010|814598075569|041115203028|7|||01 :66005|45009|814593698938|041115203212|3|||01 :66325|45006|81450488541301|041115203524|6|||01 :66396|45007|814590762000|041115203740|55|||01 :66717|45005|814583847106|041115203900|45|||01 :66195|110060|8110|041115204708|2|||01 :66151|66195||041115204820|5|||89