:9|106024|810610662863|141208200608|2|||01 :66714|169058|81691800222149|141208200628|7|||01 :169007|66063||141208200700|15|||81 :66063|169059|816990765063|141208200700|15|||01 :66686|169060|81690433318174|141208200724|126|||01 :169014|66000||141208200800|15|||81 :66000|106023|810610062863|141208200800|15|||01 :66342|77073||141208201400||||89 :169045|66342||141208201444|11|||81 :66654|169060|81690401068464|141208201408|2|||01 :66654|169060|81690402234152|141208201508|2|||01 :169030|66848||141208201852|58|||81 :66423|169059|816996464495|141208201956|14|||01 :9|106021|810610662863|141208202212|3|||01 :66423|106020|810610662863|141208202320|5|||01 :169033|66000||141208202312|18|||81 :66000|106022|810610062863|141208202312|18|||01 :66423|169059|81690409408747|141208202420|5|||01 :66332|169059|81690409889688|141208202516|4|||01 :66654|169060|81690433990050|141208202604|151|||01 :169023|66000||141208203356|119|||81 :66000|106019|810610062863|141208203356|119|||01 :169040|66100||141208203712|168|||81 :66100|106018|810610662863|141208203712|168|||01 :66234|169060|816995696792|141208203900|30|||01 :66656|169059|8169132221|141208203912|18|||01 :66707|169060|816995838557|141208204028|7|||01 :169051|66342||141208204348|327|||81 :169025|66744||141208204356|14|||81 :66034|169059|816995838557|141208204604|46|||01 :66423|66391||141208204624|6|||89 :66423|66253||141208205304|46|||89 :9|106015|810610162863|141208205124|6|||01 :64005|169058|81690402548257|141208205312|123|||01 :66185|66335||141208205604|31|||89 :169042|66000||141208205524|171|||81 :66000|106016|810610062863|141208205524|171|||01