:169002|66118||091209110012|63|||81 :66746|66830||091209110736|159|||89 :169038|66314||091209110000||||81 :66428|66002||091209110016|4|||89 :169034|66801||091209110004|1|||81 :66366|66118||091209110136|24|||89 :66444|169044|81691800551702|091209110008|2|||01 :66218|169051|81690418998907|091209110024|6|||01 :66718|66193||091209110100|15|||89 :64046|169046|816997846999|091209110028|22|||01 :66025|169049|816995281298|091209110052|43|||01 :77149|66713||091209110004|1|||89 :66717|169053|816997298738|091209110020|5|||01 :66025|169056|816986435598|091209110020|20|||01 :169018|66336||091209110228|22|||81 :66303|2||091209110100||||89 :66444|169058|81691800551702|091209110108|2|||01 :169039|66395||091209110100|15|||81 :64035|169050|81690425723176|091209110024|36|||01 :66322|169042|81690416288336|091209110040|1540|||01 :169011|66253||091209110124|51|||81 :64098|66631||091209110208|17|||89 :169002|66192||091209110108|2|||81 :66332|169058|81690409889688|091209110112|3|||01 :169036|66660||091209110104|1|||81 :66136|66161||091209110344|41|||89 :66341|169053|816933|091209110124|6|||01 :66846|169057|816995237831|091209110144|41|||01 :66617|169037|81690431062924|091209110120|395|||01 :66236|169059|816995317283|091209110156|419|||01 :66263|66032||091209110508|47|||89 :66610|169058|816992123015|091209110208|2|||01 :66029|66854||091209110220|5|||89 :64035|66705||091209110244|11|||89 :169029|110059|81101|091209110148|72|||03 :66204|66644||091209110428|37|||89 :66444|169051|81691800551702|091209110204|1|||01 :64046|169058|81690401345590|091209110224|6|||01 :66341|66611||091209110216|4|||89 :64010|169056|816997959166|091209110236|24|||01 :66841|2||091209110304|1|||89 :169021|66718||091209110316|4|||81 :169026|77971||091209110232|8|||81 :169041|66801||091209110300|45|||81 :169016|66607||091209110300|15|||81 :66332|169051|81690409889688|091209110308|2|||01 :169006|66227||091209110256|29|||81 :66444|169042|81691800551702|091209110308|2|||01 :77281|66611||091209110328|7|||89 :66840|169052|81690403359890|091209110316|259|||01 :169009|2||091209110300||||82 :8613|8615||091209110344|11|||89 :169008|8125||091209110348|57|||81 :169014|66762||091209110320|65|||81 :66136|169053|816995214494|091209110320|20|||01 :66005|169049|816999125431|091209110328|7|||01 :169027|66666||091209110340|10|||81 :8610|169059|816959432195|091209110320|20|||01 :169043|66865||091209110352|28|||81 :169019|66261||091209110412|48|||81 :66444|169053|81691800551702|091209110408|2|||01 :66754|169046|81690430881673|091209110340|10|||01 :66640|8011||091209110500|15|||89 :169031|66604||091209110328|22|||81 :66199|169049|816998132294|091209110420|5|||01 :66177|169059|816995329349|091209110420|5|||01 :169022|66777||091209110400|60|||81 :169028|66393||091209110352|13|||81 :77758|66611||091209110404|1|||89 :66322|169049|816995634338|091209110404|1|||01 :169024|66269||091209110424|21|||81 :66159|169050|81690398244548|091209110456|29|||01 :169007|66260||091209110424|21|||81 :66763|169055|81690409210577|091209110448|267|||01 :66444|169050|81691800551702|091209110508|2|||01 :66314|66428||091209110504|1|||89 :169023|66314||091209110508|2|||81 :77643|169052|816996909144|091209110440|25|||01 :169031|66349||091209110616|19|||81 :66800|66744||091209110528|7|||89 :66159|169055|81690395892939|091209110504|1|||01 :169005|66155||091209110536|9|||81 :169027|66840||091209110808|32|||81 :64036|169043|816994391596|091209110540|25|||01 :66444|169052|81691800551702|091209110608|2|||01 :64010|169056|816997900209|091209110600|45|||01 :8615|169059|816992123016|091209110616|19|||01 :77758|66611||091209110608|2|||89 :169035|110060|8110|091209110544|26|||03 :169023|66428||091209110704|16|||81 :169004|77971||091209110612|78|||81 :169013|66619||091209110616|4|||81 :66328|66263||091209110648|12|||89 :169012|110059|81105|091209110632|8|||03 :8610|169044|816995773333|091209110628|37|||01 :66309|66333||091209110608|2|||89 :77281|66164||091209110636|9|||89 :169013|66619||091209110728|7|||81 :77069|169056|816995963952|091209110632|8|||01 :169002|66193||091209111228|82|||81 :66846|2||091209110712|3|||89 :66303|2||091209110700||||89 :169025|66218||091209110716|19|||81 :64010|169059|816985552121|091209110640|10|||01 :66026|66854||091209110724|6|||89 :66619|66611||091209110716|4|||89 :2|66382||091209110720|5|||89 :169001|66093||091209110740|10|||81 :66093|169043|816990765093|091209110740|10|||01 :66444|169059|81691800551702|091209110708|2|||01 :66177|169040|816995329349|091209110720|5|||01 :66159|169050|81690398743245|091209110732|23|||01 :66675|66002||091209110828|7|||89 :77083|169042|816992773745|091209110752|13|||01 :66192|169052|8169132290|091209110756|29|||01 :169010|66139||091209110732|8|||81 :66159|169059|81690398084907|091209110804|1|||01 :169034|66029||091209110732|8|||81 :169038|110057|8110|091209110740|25|||03 :66831|66611||091209110824|6|||89 :66444|169052|81691800551702|091209110808|2|||01 :66332|169059|81690409889688|091209110804|1|||01 :169011|2||091209110820|5|||82 :66727|169044|816985744900|091209110852|28|||01 :169039|66619||091209110820|5|||81 :66443|169045|816994187466|091209110820|80|||01 :169018|77971||091209110848|12|||81 :66846|169056|81690423299871|091209110840|25|||01 :8615|169046|816985870100|091209110820|35|||01 :169036|66773||091209110836|9|||81 :169033|66178||091209110828|7|||81 :66444|169056|81691800551702|091209110908|2|||01 :66104|66148||091209111024|21|||89 :66800|169041|816998368645|091209110912|33|||01 :169037|66035||091209110848|12|||81 :66865|169057|816952256814|091209110920|110|||01 :66342|169051|816996039530|091209110904|91|||01 :66213|66395||091209111008|17|||89 :66159|169045|81690398210444|091209110904|1|||01 :8125|66253||091209110920|5|||89 :169006|66717||091209110920|5|||81 :66444|169051|81691800551702|091209110908|2|||01 :169029|66322||091209110924|21|||81 :8612|169051|816987813404|091209111000||||01 :169019|77971||091209110920|5|||81 :8620|169054|816995761909|091209110940|160|||01 :169016|66314||091209111004|16|||81 :66617|169059|81690393560077|091209110956|29|||01 :169014|66791||091209111044|11|||81 :66444|169054|81691800551702|091209111008|2|||01 :66804|66611||091209111012|3|||89 :169032|66841||091209111040|115|||81 :66021|66322||091209111048|12|||89 :66303|66854||091209111128|7|||89 :169028|66636||091209111044|11|||81 :169031|66304||091209111112|3|||81 :66846|169045|81690433745768|091209111100|15|||01 :169022|66640||091209111112|18|||81 :66159|169054|81690395841209|091209111104|1|||01 :66444|169044|81691800551702|091209111108|2|||01 :66865|66648||091209111236|24|||89 :66389|66350||091209111156|14|||89 :66204|169052|816995720046|091209111048|42|||01 :64017|169047|81690403194668|091209111116|214|||01 :169030|66341||091209111128|82|||81 :66773|169051|816995793623|091209111140|10|||01 :169004|66776||091209111108|2|||81 :66444|169054|81691800551702|091209111208|2|||01 :66342|8125||091209111304|16|||89 :169008|110057|8110|091209111132|38|||03 :169035|110060|8110|091209111132|8|||03 :66255|66404||091209111308|17|||89 :169003|66314||091209111220|5|||81 :64071|169059|816995937172|091209111140|25|||01 :66800|169057|816998223105|091209111140|40|||01 :169007|77971||091209111236|24|||81 :66389|66350||091209111224|6|||89 :66444|169059|81691800551702|091209111208|2|||01 :169013|66499||091209111212|3|||81 :8125|66744||091209111324|6|||89 :169023|110056|81103|091209111300|15|||03 :169021|110059|81101|091209111304|61|||03 :66104|64028||091209111632|53|||89 :169040|66776||091209111312|3|||81 :66328|169054|816994131732|091209111304|1|||01 :66255|77671||091209111344|11|||89 :64086|169051|816993502855|091209111316|4|||01 :8125|66619||091209111328|7|||89 :8613|8611||091209111324|6|||89 :169043|66428||091209111336|9|||81 :66872|169058|81690405141701|091209111328|157|||01 :66867|64043||091209111320|5|||89 :169010|66666||091209111308|2|||81 :66444|169045|81691800551702|091209111328|7|||01 :66492|169060|816990762000|091209111352|703|||01 :66159|169044|81690398037092|091209111304|1|||01 :66192|66382||091209111312|3|||89 :66117|169052|8169132227|091209111356|14|||01 :66619|66611||091209111424|6|||89 :64086|169058|81690425876704|091209111324|6|||01 :169025|66207||091209111344|26|||81 :66328|169054|816994131777|091209111336|9|||01 :169040|8164||091209111500|15|||81 :169042|110059|81101|091209111408|17|||03 :66427|169047|816990764700|091209111416|19|||01 :66679|66268||091209111500|15|||89 :169010|66123||091209111504|16|||81 :169039|66263||091209111432|8|||81 :66763|169055|816992716400|091209111452|133|||01 :8615|169046|816997848535|091209111436|84|||01 :66325|2||091209111508|2|||89 :66811|169051|816995793298|091209111456|14|||01 :66325|169060|816992882211|091209111500||||01 :66332|169054|81690409889688|091209111504|1|||01 :66389|66854||091209111536|9|||89 :66611|66619||091209111520|5|||89 :66342|66192||091209111536|9|||89 :8611|169055|816998131908|091209111524|6|||01 :66706|66287||091209111616|19|||89 :169012|66341||091209111536|54|||81 :169001|66270||091209111540|10|||81 :169041|66700||091209111500||||81 :66159|169060|81690398502748|091209111504|1|||01 :169017|110060|81105|091209111516|49|||03 :66309|169059|81691300650285|091209111504|46|||01 :66761|169048|816995790373|091209111536|969|||01 :66322|66391||091209111628|7|||89 :66444|169060|81691800551702|091209111508|2|||01 :66325|2||091209111608|2|||89 :66619|66611||091209111612|3|||89 :169033|66938||091209111544|11|||81 :66938|169054|816990765938|091209111544|11|||01 :66162|66800||091209111720|20|||89 :66661|66611||091209111608|2|||89 :8611|169055|816995042621|091209111536|9|||01 :169026|66314||091209111552|13|||81 :169018|66428||091209111620|35|||81 :169037|66433||091209111656|14|||81 :66195|169056|81690433092362|091209111648|117|||01 :66765|169049|816994082400|091209111708|167|||01 :66444|169056|81691800551702|091209111708|2|||01 :8620|169054|816995463226|091209111720|5|||01 :169024|66012||091209111744|11|||81 :169016|66434||091209111740|10|||81 :169029|8619||091209111716|19|||81 :169011|8016||091209111816|64|||81 :66220|66773||091209111848|12|||89 :66428|169056|816998899052|091209111736|9|||01 :169024|66123||091209111828|7|||81 :66657|66322||091209111812|3|||89 :66444|169052|81691800551702|091209111808|2|||01 :169020|66058||091209111808|17|||81 :66058|169055|816990765058|091209111808|17|||01 :66325|169060|816992882211|091209111836|39|||01 :66830|66746||091209112000|30|||89 :169014|66012||091209111812|3|||81 :66007|169050|81690438011806|091209111856|149|||01 :169032|66263||091209111908|2|||81 :66800|77149||091209111924|6|||89 :66661|2||091209111908|2|||89 :66021|8125||091209112012|18|||89 :66157|66336||091209113200|195|||89 :169014|66123||091209111940|10|||81 :66428|169052|816995286304|091209111940|10|||01 :66328|169058|816994131777|091209111916|79|||01 :66164|66611||091209112012|3|||89 :66328|2||091209112004|1|||89 :66443|169055|816996998044|091209111932|8|||01 :66444|169055|81691800551702|091209112000||||01 :169028|66938||091209112020|20|||81 :66938|169060|816990765938|091209112020|20|||01 :169027|66115||091209112020|5|||81 :66717|66854||091209112024|6|||89 :66159|169052|81690395479487|091209112044|11|||01 :77643|77190||091209112120|5|||89 :66255|77671||091209112652|88|||89 :66021|8125||091209112108|2|||89 :66800|66316||091209112116|4|||89 :66159|169052|81690397962939|091209112104|1|||01 :66177|169054|81691300657265|091209112140|55|||01 :64064|169058|816952|091209112132|8|||01 :169043|66270||091209112108|2|||81 :66260|169050|816995636581|091209112200||||01 :169004|66225||091209112140|25|||81 :169034|66340||091209112212|123|||81 :66159|169058|81690398578951|091209112204|1|||01 :169008|110055|81105|091209112144|26|||03 :169035|66253||091209112136|24|||81 :169007|66800||091209112152|13|||81 :169045|66270||091209112208|2|||81 :169023|66178||091209112200|15|||81 :66032|66725||091209112552|58|||89 :66342|66762||091209112236|9|||89 :169013|66218||091209112152|13|||81 :66322|66324||091209112340|25|||89 :66451|169054|81690409889688|091209112212|3|||01 :169003|110059|81101|091209112228|22|||03 :66177|66854||091209112224|6|||89 :169031|66328||091209112240|40|||81 :66629|66005||091209112448|27|||89 :66717|169054|816992882785|091209112216|4|||01 :169025|66607||091209112236|9|||81 :169021|66314||091209112232|23|||81 :66021|169056|816999211433|091209112256|59|||01 :66451|169054|81690409889688|091209112308|2|||01 :66415|169052|816995530751|091209112332|8|||01 :169030|110057|81101|091209112348|57|||03 :66159|169049|81690397238202|091209112404|1|||01 :66221|169055|816995627181|091209112340|55|||01 :169010|66143||091209112316|4|||81 :66443|169060|816995928175|091209112348|42|||01 :66717|66854||091209112420|5|||89 :169042|66938||091209112416|19|||81 :66938|169050|816990765938|091209112416|19|||01 :66432|2||091209112408|2|||89 :66296|66727||091209112644|41|||89 :66322|77069||091209112412|3|||89 :66840|66316||091209112608|32|||89 :169046|8125||091209112436|9|||81 :169036|66449||091209112424|141|||81 :66332|169042|81690409889688|091209112408|2|||01 :66800|169048|81691300366313|091209112440|10|||01 :169047|66713||091209112424|21|||81 :66631|66660||091209112520|5|||89 :66396|169045|816998692000|091209112516|4|||01 :66791|66651||091209113528|157|||89 :169041|110060|81108|091209112444|11|||03 :169040|66270||091209112500||||81 :66192|66744||091209112508|2|||89 :169009|66304||091209112440|10|||81 :66159|169052|81690398360274|091209112520|20|||01 :64066|169044|816995846081|091209112540|10|||01 :66341|66289||091209112536|9|||89 :66432|169060|81690418385579|091209112504|16|||01 :169037|66270||091209112500||||81 :66809|169058|81691300555400|091209112520|50|||01 :169019|110060|8110|091209112516|4|||03 :66631|66880||091209112600||||89 :66859|169050|81690402282686|091209112540|10|||01 :169005|169055|81690404816372|091209112556|29|||03 :66629|66234||091209112716|19|||89 :66754|169056|816997522140|091209112616|34|||01 :66741|169043|816997964212|091209112548|27|||01 :169038|64037||091209112640|70|||81 :64066|169060|81690419194710|091209112636|9|||01 :169011|66322||091209112648|12|||81 :66707|66846||091209112600||||89 :169016|66707||091209112636|9|||81 :169029|66270||091209112608|2|||81 :66872|66341||091209112656|14|||89 :66304|2||091209112608|2|||89 :169012|77971||091209112652|43|||81 :66800|169055|816995371553|091209112640|10|||01 :66183|66854||091209112720|5|||89 :8614|169055|816993969550|091209112700||||01 :169033|77971||091209112624|36|||81 :169018|64064||091209112656|29|||81 :66635|169047|816995636245|091209112732|8|||01 :8622|169048|816998011891|091209112728|7|||01 :66255|169049|816995281429|091209112728|52|||01 :66183|66854||091209112820|5|||89 :66348|169047|816995238409|091209112800||||01 :169026|8125||091209112756|44|||81 :169014|66012||091209112820|5|||81 :169032|66177||091209112836|9|||81 :169020|66744||091209112804|16|||81 :169039|66207||091209112836|69|||81 :64005|66005||091209113028|37|||89 :66631|66801||091209113032|38|||89 :169002|66263||091209112808|2|||81 :169020|2||091209112820|5|||82 :66195|169058|816995332255|091209112852|43|||01 :66718|66100||091209112936|9|||89 :66178|169047|816995329349|091209112820|5|||01 :8615|169046|816997833046|091209112820|20|||01 :66842|169052|816995916234|091209112848|42|||01 :66113|169049|816996962026|091209112908|17|||01 :66336|66253||091209113000|15|||89 :66840|77791||091209113340|70|||89 :77147|66619||091209112912|3|||89 :169027|66776||091209112848|12|||81 :169034|66791||091209112904|1|||81 :169004|110060|81105|091209112844|11|||03 :66100|8091||091209112916|4|||89 :169022|66660||091209112912|18|||81 :66602|169057|816992515213|091209112844|251|||01 :66432|2||091209112904|1|||89 :66387|169059|816998228295|091209112900|195|||01 :169008|66666||091209112924|6|||81 :169028|66335||091209112924|21|||81 :66658|169055|816995764181|091209112916|4|||01 :66256|8125||091209112932|8|||89 :169023|66635||091209112920|5|||81 :169035|66804||091209112928|7|||81 :66672|77190||091209113016|4|||89 :66432|66712||091209113016|4|||89 :66333|169057|81690412474691|091209113008|2|||01 :66865|169045|816992706942|091209112932|23|||01 :66389|169044|816998664885|091209112928|22|||01 :169014|64028||091209113152|28|||81 :66348|169043|816990951252|091209113036|24|||01 :169013|66180||091209113036|9|||81 :66706|169059|816995274355|091209112948|12|||01 :66161|66026||091209113116|19|||89 :8622|169042|81690418531067|091209113040|25|||01 :66227|169055|816995797813|091209113056|14|||01 :66635|169046|816985205255|091209113032|8|||01 :169016|66846||091209113508|62|||81 :169031|66834||091209113100|15|||81 :169007|66260||091209113044|26|||81 :66610|169043|81690419770233|091209113116|4|||01 :66212|169051|8169137228|091209113032|143|||01 :66717|169056|816997848662|091209113032|53|||01 :66862|77190||091209113120|5|||89 :66336|66679||091209113108|2|||89 :8125|66336||091209113156|14|||89 :105028|169051|8169|091209113108|2|||03 :66721|66746||091209113900|120|||89 :8611|169059|816995485113|091209113136|9|||01 :66363|169042|81690401782588|091209113104|1|||01 :8125|66679||091209113128|7|||89 :77281|66742||091209113216|4|||89 :64006|169041|81690402546961|091209113208|2|||01 :169025|66725||091209113144|26|||81 :66259|169056|816997007302|091209113148|12|||01 :64133|169053|816995286133|091209113148|417|||01 :64020|169045|81690419507399|091209113140|25|||01 :169010|169055|81690458387989|091209113200|15|||03 :66102|8165||091209113232|8|||89 :77069|2||091209113212|3|||89 :77190|169043|8169132227|091209113208|17|||01 :66348|169058|816990951251|091209113240|55|||01 :66705|8125||091209113316|4|||89 :66699|169052|81690418533812|091209113244|56|||01 :66161|66854||091209113344|11|||89 :169003|66270||091209113312|3|||81 :64016|169058|816995723012|091209113304|1|||01 :169021|66135||091209113256|44|||81 :66234|169050|816995231345|091209113308|92|||01 :169040|66139||091209113300|15|||81 :77810|169051|816995968222|091209113252|28|||01 :77069|169042|81690437859558|091209113340|10|||01 :8620|169059|81690402529049|091209113312|18|||01 :66706|169044|81690408363460|091209113328|37|||01 :66842|169049|816995273904|091209113340|55|||01 :66348|169045|81690411000321|091209113336|9|||01 :66443|169057|816994187466|091209113340|55|||01 :169019|66253||091209113324|6|||81 :66249|169059|816999030181|091209113416|4|||01 :66178|66854||091209113420|5|||89 :169037|66619||091209113420|5|||81 :8615|169052|81690438375912|091209113356|14|||01 :66342|169055|816996903166|091209113340|10|||01 :169030|66314||091209113356|59|||81 :169017|66744||091209113404|31|||81 :169019|2||091209113436|9|||82 :169008|66804||091209113904|76|||81 :169037|2||091209113432|8|||82 :66178|66350||091209113520|5|||89 :169011|110059|81104|091209113432|8|||03 :66610|169053|816993768752|091209113524|36|||01 :66451|169059|81690409889688|091209113516|4|||01 :66348|169051|816995787415|091209113504|1|||01 :169005|66335||091209113524|21|||81 :66606|66879||091209113712|33|||89 :64066|169047|816996994626|091209113548|87|||01 :169024|110058|8110|091209113504|1|||03 :169026|66428||091209113504|1|||81 :66789|66854||091209113620|5|||89 :66335|2||091209113612|3|||89 :169032|77971||091209113608|2|||81 :66444|169053|81691800551702|091209113608|2|||01 :64064|66820||091209113612|3|||89 :66183|169059|816995329349|091209113620|5|||01 :169009|66834||091209113608|47|||81 :66336|8125||091209113912|48|||89 :64013|169046|816994131777|091209113548|72|||01 :66180|169050|816985417655|091209113608|2|||01 :169039|66314||091209113640|10|||81 :66767|169049|81690402058499|091209113616|4|||01 :66304|169060|816992791555|091209113704|151|||01 :66102|66105||091209113704|1|||89 :66840|77790||091209114436|114|||89 :66820|169050|816998103041|091209113704|1|||01 :66717|169059|816985205255|091209113624|6|||01 :169033|66102||091209113640|10|||81 :169035|2||091209113708|2|||82 :66314|64066||091209113724|6|||89 :169022|66253||091209113716|4|||81 :169038|66801||091209113732|53|||81 :66727|8125||091209113804|16|||89 :169023|64036||091209113732|8|||81 :66451|169053|81690409889688|091209113744|11|||01 :169013|2||091209113704|1|||82 :169004|66642||091209113704|16|||81 :66822|77434||091209113820|5|||89 :169034|66218||091209113812|18|||81 :169014|64019||091209113740|10|||81 :8615|169052|816995570811|091209113824|51|||01 :66313|169059|81691800304317|091209113836|9|||01 :66412|169055|816995712555|091209113820|50|||01 :66341|169058|81691300888801|091209113812|78|||01 :66161|66854||091209113944|11|||89 :66478|169048|816998187228|091209113924|171|||01 :169010|66844||091209113908|2|||81 :66661|66611||091209113908|2|||89 :66313|169055|81691800304317|091209113936|9|||01 :66840|169047|816995283342|091209113916|4|||01 :66246|66675||091209114008|17|||89 :8615|169048|816996459276|091209113912|3|||01 :66389|66115||091209114200|45|||89 :169003|66435||091209113924|6|||81 :169031|110055|81105|091209113948|27|||03 :66651|66657||091209114028|7|||89 :169027|8619||091209113916|49|||81 :66180|169049|816985417655|091209113944|11|||01 :169006|66366||091209113940|10|||81 :169021|66635||091209113924|6|||81 :169028|66465||091209114004|46|||81 :169036|66713||091209113956|14|||81 :66118|169050|81690416206145|091209114004|16|||01 :66251|169058|8169132290|091209114016|19|||01 :66183|169048|816995329349|091209113920|5|||01 :169030|66666||091209114016|4|||81 :66862|169059|816998840119|091209114028|22|||01 :169030|66123||091209114008|2|||81 :66218|169053|816998017411|091209114008|32|||01 :169040|110054|8110|091209113948|12|||03 :64082|66620||091209114020|5|||89 :66165|66016||091209114004|1|||89 :8614|8610||091209114020|5|||89 :169042|77971||091209113956|14|||81 :66346|66854||091209114052|13|||89 :169019|66666||091209114028|7|||81 :169008|66260||091209114028|7|||81 :169011|66025||091209114020|5|||81 :66137|66251||091209114120|5|||89 :66840|169049|816995685936|091209114056|14|||01 :66335|169051|81690404444160|091209114108|77|||01 :66029|169060|816996967370|091209114124|51|||01 :66218|169059|816996694192|091209114124|6|||01 :66342|66619||091209114340|40|||89 :169009|66804||091209114104|1|||81 :66710|169047|816993262666|091209114136|24|||01 :66654|66620||091209114144|11|||89 :169037|66261||091209114108|2|||81 :169024|66666||091209114128|7|||81 :66660|66713||091209114228|22|||89 :8615|169045|81690415665434|091209114140|25|||01 :66707|169058|816988040617|091209114132|23|||01 :66373|169055|816985175708|091209114124|36|||01 :169005|110058|81106|091209114148|12|||03 :66227|169052|816995722245|091209114116|49|||01 :66154|169053|816999267500|091209114200|15|||01 :66165|66016||091209114300|15|||89 :66661|66611||091209114224|6|||89 :66423|66326||091209114248|12|||89 :169019|66123||091209114328|22|||81 :169020|66287||091209114140|10|||81 :66348|169046|816985175946|091209114240|40|||01 :66721|169060|816995693311|091209114152|13|||01 :169026|77971||091209114212|18|||81 :169025|66336||091209114236|39|||81 :169039|66820||091209114240|10|||81 :169035|66102||091209114240|10|||81 :169033|110055|8110|091209114320|20|||03 :169023|66776||091209114308|2|||81 :66811|66342||091209114400|15|||89 :169038|66102||091209114236|9|||81 :169002|66804||091209114248|27|||81 :66026|169060|816995329349|091209114320|5|||01 :66197|66418||091209114340|10|||89 :169044|66136||091209114328|52|||81 :66260|169047|81690402648020|091209114300||||01 :66389|169051|816998664885|091209114244|26|||01 :66804|66611||091209114312|3|||89 :66465|169048|81690402298641|091209114308|2|||01 :169001|77971||091209114256|74|||81 :66412|2||091209114300||||89 :66840|66287||091209114624|36|||89 :66432|66210||091209114452|13|||89 :8615|169055|816995570811|091209114336|24|||01 :66164|169050|816985205200|091209114324|21|||01 :64028|169046|816995008491|091209114328|7|||01 :66412|2||091209114408|2|||89 :169034|66776||091209114408|2|||81 :66419|64124||091209114456|14|||89 :169004|66261||091209114436|9|||81 :66104|169052|816985613940|091209114348|27|||01 :64107|169060|81690417639777|091209114424|6|||01 :66263|169049|816995311720|091209114432|23|||01 :169034|66222||091209114428|7|||81 :169018|110059|8110|091209114408|137|||03 :66451|169055|81690409889688|091209114432|8|||01 :66738|66253||091209114620|20|||89 :66026|169052|816995939983|091209114420|5|||01 :66373|169058|816985175625|091209114432|38|||01 :66227|169059|816995281657|091209114444|41|||01 :169016|66800||091209114456|14|||81 :169014|66153||091209114508|17|||81 :66253|77147||091209114520|5|||89 :64028|169060|816995008491|091209114528|7|||01 :8621|169056|81690422308541|091209114452|193|||01 :66620|169059|81690411089162|091209114532|8|||01 :66350|66026||091209114632|8|||89 :77810|66260||091209114616|4|||89 :66249|169057|816999030181|091209114620|170|||01 :169028|66046||091209114620|5|||81 :66046|169059|816990765046|091209114620|5|||01 :66601|169043|816998633179|091209114608|92|||01 :66661|66611||091209114612|3|||89 :66322|169050|81690432213206|091209114628|7|||01 :66800|2||091209114620|5|||89 :66429|66727||091209115144|86|||89 :66127|169059|816959779141|091209114604|1|||01 :66389|66854||091209114736|9|||89 :8615|169052|816995570811|091209114632|23|||01 :8614|169059|816992392580|091209114700||||01 :169031|77971||091209114708|32|||81 :66012|66113||091209114728|7|||89 :66335|66364||091209114952|43|||89 :169027|110059|81107|091209114712|33|||03 :8164|169050|816997641617|091209114708|17|||01 :169030|110058|81108|091209114724|6|||03 :66192|66762||091209114716|4|||89 :169040|66063||091209114724|6|||81 :66063|169052|816990765063|091209114724|6|||01 :66412|169055|816995239116|091209114752|43|||01 :66253|169049|81691800007368|091209114716|19|||01 :66841|66631||091209114948|27|||89 :66246|66130||091209114948|27|||89 :169010|169058|81690414403640|091209114744|41|||03 :8615|169048|81690415665434|091209114728|7|||01 :66432|66777||091209114816|4|||89 :169013|110056|81105|091209114756|74|||03 :66104|169051|816992122777|091209114828|52|||01 :66811|169059|81690403235875|091209114832|8|||01 :66026|169057|816995939983|091209114816|34|||01 :64128|66611||091209114812|3|||89 :169037|110060|81108|091209114852|13|||03 :64028|169056|81690431163122|091209114844|11|||01 :8613|169056|816992392580|091209114900||||01 :169011|77971||091209114812|18|||81 :169005|66180||091209114828|7|||81 :8164|169052|816987403353|091209114852|13|||01 :66322|66822||091209115120|35|||89 :66610|66333||091209114912|3|||89 :169007|8125||091209114928|7|||81 :66762|66192||091209114912|3|||89 :169024|66871||091209115644|116|||81 :169020|66791||091209114928|7|||81 :169029|66248||091209114912|228|||81 :66395|66387||091209114900||||89 :169003|66395||091209114940|70|||81 :169019|110059|81107|091209114908|17|||03 :66451|169049|81690409889688|091209114924|6|||01 :66721|64006||091209115040|10|||89 :66611|66713||091209115028|7|||89 :169025|66727||091209115000|15|||81 :66811|169059|81690403235875|091209114944|26|||01 :66631|169050|816996909144|091209115000|15|||01 :169032|66642||091209114944|26|||81 :66342|169051|816997130577|091209114932|23|||01 :169038|66150||091209115024|6|||81 :66737|169057|816997937400|091209115032|23|||01 :169035|66938||091209115004|16|||81 :66938|169048|816990765938|091209115004|16|||01 :66209|169047|816995243484|091209115012|18|||01 :169008|66336||091209115104|46|||81 :169023|66660||091209115100|15|||81 :169036|66261||091209115116|64|||81 :66661|66611||091209115108|2|||89 :169039|66127||091209115124|36|||81 :169045|66263||091209115132|8|||81 :169044|66314||091209115140|10|||81 :66449|169049|816995696066|091209115140|25|||01 :169026|77971||091209115152|43|||81 :66363|169058|816997821135|091209115148|57|||01 :64016|169057|816995094488|091209115128|7|||01 :66859|169059|816995787086|091209115208|17|||01 :66256|169049|816993470006|091209115212|3|||01 :66800|169055|816996909144|091209115220|65|||01 :169016|66667||091209115204|1|||81 :169004|66776||091209115220|5|||81 :77647|169045|816990139792|091209115228|7|||01 :169046|66110||091209115208|17|||81 :66680|2||091209115304|1|||89 :66248|169058|81690411882907|091209115244|11|||01 :8620|169060|816997843189|091209115220|110|||01 :169002|110058|8110|091209115232|38|||03 :64086|66405||091209115728|67|||89 :66398|169050|816996039528|091209115312|18|||01 :66672|169048|816997267544|091209115312|18|||01 :66332|169049|81690409889688|091209115312|3|||01 :66261|169055|81690433390687|091209115240|10|||01 :66618|64086||091209115312|3|||89 :169027|66789||091209115320|5|||81 :169014|66366||091209115336|9|||81 :66713|66619||091209115604|46|||89 :169021|66938||091209115332|8|||81 :66938|169046|816990765938|091209115332|8|||01 :66727|169058|816995042465|091209115324|6|||01 :66478|169053|816983451629|091209115312|168|||01 :169043|66218||091209115328|7|||81 :66183|66854||091209115424|6|||89 :77758|66611||091209115420|5|||89 :169030|2||091209115404|1|||82 :66635|169060|816993428008|091209115324|6|||01 :66451|169055|81690409889688|091209115416|4|||01 :169028|66269||091209115412|18|||81 :169040|66029||091209115428|7|||81 :169003|66387||091209115844|71|||81 :169010|66166||091209115440|10|||81 :8164|169059|816998197976|091209115416|34|||01 :66387|2||091209115504|1|||89 :66005|66762||091209115844|56|||89 :64123|66763||091209115632|23|||89 :66161|66854||091209115600|15|||89 :8614|8620||091209115520|5|||89 :169018|77971||091209115508|47|||81 :66451|169059|81690409889688|091209115508|2|||01 :169029|66025||091209115512|3|||81 :169037|66804||091209115528|7|||81 :169025|66259||091209115504|1|||81 :169043|66620||091209115648|27|||81 :66713|66619||091209115544|11|||89 :66387|169048|816990762000|091209115524|6|||01 :169007|66938||091209115548|12|||81 :66938|169053|816990765938|091209115548|12|||01 :66717|64040||091209115624|6|||89 :66381|169050|816996901744|091209115528|37|||01 :169032|110060|81101|091209115608|2|||03 :169005|66465||091209115608|17|||81 :169020|66261||091209115532|8|||81 :169034|66680||091209115624|51|||81 :66183|66854||091209115624|6|||89 :66255|66629||091209115832|23|||89 :66801|169045|8169132227|091209115648|57|||01 :66717|169053|816995329349|091209115628|7|||01 :66428|169056|816996967228|091209115652|13|||01 :64123|169046|816998575101|091209115728|7|||01 :8125|66707||091209115932|38|||89 :169017|66938||091209115732|8|||81 :66938|169044|816990765938|091209115732|8|||01 :66445|169058|81690403111538|091209115636|39|||01 :169013|66316||091209115708|47|||81 :66263|169057|816995238046|091209115700|75|||01 :66619|169048|816995516705|091209115656|14|||01 :66178|66350||091209115716|4|||89 :64066|169051|81690448570710|091209115708|92|||01 :169039|66314||091209115728|7|||81 :66342|169059|81691300888801|091209115800|30|||01 :66809|169060|816995780523|091209115744|56|||01 :169012|110057|8110|091209115756|254|||03 :66292|77434||091209115824|6|||89 :169026|66607||091209115756|14|||81 :169024|66705||091209115828|7|||81 :66289|66341||091209115828|7|||89 :169004|66270||091209115836|9|||81 :66240|169053|816996452428|091209115836|24|||01 :66292|66664||091209115824|6|||89 :66800|169060|81691300366313|091209115836|9|||01 :66329|169059|81690401955965|091209115816|4|||01 :66336|169050|816995894535|091209115828|37|||01 :66240|169060|816996992010|091209115928|7|||01 :66727|169059|81691300845526|091209115932|8|||01