:66661|66336||011210150024|126|||89 :169001|66846||011210150912|213|||81 :169033|66769||011210150104|61|||81 :66007|66897||011210150332|98|||89 :66769|66402||011210150220|35|||89 :45002|169060|81690419334118|011210150000|45|||03 :66127|169046|816959711696|011210150004|76|||01 :66158|169048|816997881338|011210150008|62|||01 :66306|169042|816995159604|011210150024|21|||01 :169006|66819||011210150016|4|||81 :66336|66661||011210150100|15|||89 :66150|169040|81690413075938|011210150000|15|||01 :169009|66227||011210150032|8|||81 :66249|169056|816993695984|011210150000|45|||01 :66499|169057|816998841339|011210150008|2|||01 :66218|169060|81690488278988|011210150036|9|||01 :169034|110058|81102|011210150008|2|||03 :169011|77790||011210150740|100|||81 :66938|169054|816990765938|011210150044|11|||01 :66442|169052|81690400554021|011210150028|7|||01 :66290|2||011210150108|2|||89 :169025|66965||011210150120|5|||81 :66965|169060|816990765965|011210150120|5|||01 :169003|110059|8110|011210150128|52|||03 :169037|66666||011210150056|14|||81 :169026|8639||011210150112|123|||81 :66332|169060|81690409889688|011210150108|2|||01 :66164|66611||011210150104|1|||89 :66194|169059|81690431051353|011210150056|14|||01 :66136|66428||011210150256|14|||89 :77083|169044|816992773745|011210150120|35|||01 :66804|169060|81690401514072|011210150200||||01 :66499|169057|816998841339|011210150144|11|||01 :169021|66174||011210150212|3|||81 :66856|169051|816995570811|011210150152|58|||01 :45001|169056|816994293402|011210150236|24|||03 :169014|66396||011210151220|155|||81 :66322|66253||011210150228|7|||89 :66251|169052|816995986022|011210150208|17|||01 :66019|169060|81691300916651|011210150236|9|||01 :64066|169055|81690418390306|011210150332|53|||01 :66776|8164||011210150304|1|||89 :169001|66776||011210150328|7|||81 :66029|169052|816997298738|011210150312|3|||01 :169037|66742||011210150520|35|||81 :66611|66762||011210150504|16|||89 :66801|169057|816959736670|011210150400|15|||01 :66005|2||011210150404|1|||89 :8613|169052|816998006800|011210150400||||01 :169008|77971||011210150320|50|||81 :66618|66602||011210150840|70|||89 :66448|169058|816994782859|011210150428|307|||01 :66136|66161||011210150616|34|||89 :169005|66166||011210150424|36|||81 :66442|169059|816985990500|011210150420|35|||01 :66178|66854||011210150540|10|||89 :66664|66603||011210150524|6|||89 :66306|169058|81691300788520|011210150416|4|||01 :169007|66005||011210150452|13|||81 :66744|169051|816995097633|011210150444|11|||01 :66888|169050|816916|011210150432|173|||01 :66105|169046|816995237625|011210150540|10|||01 :169010|66314||011210150536|39|||81 :169036|66600||011210150532|8|||81 :66178|66854||011210150632|8|||89 :66707|2||011210150652|13|||89 :66712|66707||011210150652|13|||89 :169031|66727||011210150532|143|||81 :169038|66290||011210150552|73|||81 :66617|169050|81690428569549|011210150600||||01 :169013|110059|8110|011210150628|67|||03 :66752|169057|81691300367428|011210150636|39|||01 :66335|66164||011210150812|18|||89 :169029|66316||011210150608|32|||81 :64064|169050|81690428501150|011210150612|3|||01 :169032|66938||011210150636|24|||81 :66938|169058|816990765938|011210150636|24|||01 :169033|66428||011210150632|23|||81 :66183|66350||011210150720|5|||89 :169001|8164||011210151100|60|||81 :66432|8125||011210150724|6|||89 :45002|169051|816995242111|011210150732|23|||03 :169012|66607||011210150736|9|||81 :66884|66751||011210150736|9|||89 :64073|169057|81690402405566|011210150800|15|||01 :169015|66480||011210150740|55|||81 :66864|169046|816995891155|011210150720|20|||01 :169016|66938||011210150748|12|||81 :66938|169058|816990765938|011210150748|12|||01 :45001|169048|81690429180365|011210150732|53|||03 :66332|169043|81690409889688|011210150808|2|||01 :66195|66611||011210150812|3|||89 :66105|169050|816995704476|011210150756|14|||01 :64073|169058|81690414698380|011210150804|1|||01 :169041|66846||011210150800|180|||81 :169006|66342||011210150744|11|||81 :8613|169058|816993969550|011210150800||||01 :169020|77971||011210150824|36|||81 :66219|169053|81691300773000|011210150752|178|||01 :169019|66314||011210150840|40|||81 :169022|66314||011210150824|6|||81 :66336|169048|816995028577|011210150804|1|||01 :66137|66251||011210151040|25|||89 :169009|66635||011210150904|16|||81 :66674|169051|816997042062|011210150900|15|||01 :66253|2||011210150940|10|||89 :169025|66713||011210150912|3|||81 :66161|66026||011210151004|16|||89 :77190|169050|81690402774836|011210150932|8|||01 :66267|66801||011210151004|16|||89 :66102|169053|81690419312858|011210150956|14|||01 :64071|66164||011210151016|4|||89 :66879|169057|81690447538373|011210151004|16|||01 :66332|169043|81690409889688|011210151008|2|||01 :64158|66322||011210151008|2|||89 :169003|66712||011210150928|7|||81 :8167|169054|816995687579|011210150952|133|||01 :66432|169050|81690448925791|011210151032|8|||01 :169011|66335||011210150952|28|||81 :66465|169049|816995881071|011210151048|147|||01 :169030|110060|8110|011210151052|223|||03 :169023|77971||011210151004|121|||81 :66499|169055|816995278473|011210151056|104|||01 :66306|169059|81691300783520|011210151024|81|||01 :169035|66139||011210151020|5|||81 :66382|169054|816995124507|011210151108|2|||01 :66105|169053|816995286344|011210151024|6|||01 :66801|169057|81690412114270|011210151028|7|||01 :66332|169049|81690409889688|011210151116|4|||01 :66183|169048|816995318120|011210151116|34|||01 :169039|110057|8110|011210151204|1|||03 :77187|169056|816988052770|011210151144|131|||01 :169037|66130||011210151128|7|||81 :66183|66350||011210151220|5|||89 :77083|169046|816992773745|011210151120|35|||01 :66341|169059|816992585000|011210151212|18|||01 :77792|77790||011210151208|2|||89 :169021|77792||011210151140|10|||81 :169018|64007||011210151212|183|||81 :169004|66666||011210151220|65|||81 :169007|110055|81105|011210151224|6|||03 :66183|66350||011210151216|4|||89 :66105|169055|816995090173|011210151236|9|||01 :169024|66302||011210151216|4|||81 :66499|169056|816995258834|011210151244|11|||01 :66234|169053|81691300550450|011210151236|24|||01 :169012|66100||011210151312|3|||81 :169036|66002||011210151252|13|||81 :66403|169048|816998772069|011210151240|10|||01 :169033|66667||011210151328|7|||81 :169013|110056|81101|011210151244|11|||03 :66178|66854||011210151336|9|||89 :66164|66611||011210151308|2|||89 :169006|66607||011210151312|3|||81 :169005|66938||011210151348|27|||81 :66938|169054|816990765938|011210151348|27|||01 :169014|66733||011210151308|2|||81 :169027|77971||011210151312|33|||81 :169001|64046||011210151336|9|||81 :169029|66322||011210151352|13|||81 :169041|66666||011210151336|9|||81 :66800|169059|816999288741|011210151416|19|||01 :66301|169042|81690404855604|011210151412|63|||01 :66199|169053|81690406530053|011210151404|1|||01 :169003|66102||011210151416|4|||81 :169043|66667||011210151428|7|||81 :66102|66881||011210151420|5|||89 :169015|66102||011210151420|20|||81 :169009|110056|81107|011210151440|10|||03 :169012|9||011210151516|19|||81 :169010|66290||011210151408|17|||81 :169016|66391||011210151436|24|||81 :169032|2||011210151428|7|||82 :169041|66123||011210151600|15|||81 :169021|77790||011210151736|39|||81 :169002|110058|81107|011210151452|133|||03 :66183|169055|816993150322|011210151516|34|||01 :169020|66102||011210151452|13|||81 :77040|169053|816992096777|011210151500|15|||01 :66448|169045|816995755333|011210151456|134|||01 :45002|169059|816994279198|011210151524|21|||03 :66143|169046|816995343908|011210151524|21|||01 :64159|2||011210151508|2|||89 :77190|169049|816957723487|011210151536|54|||01 :77083|169052|816992773745|011210151536|24|||01 :66742|169057|81690413391453|011210151600|60|||01 :66391|169055|816995722167|011210151608|2|||01 :45001|169048|816994295277|011210151548|27|||03 :169031|66635||011210151532|8|||81 :169023|66176||011210151556|14|||81 :66661|66611||011210151636|9|||89 :66707|169057|81690406479484|011210151620|5|||01 :64028|169043|81690418318859|011210151648|27|||01 :77190|169037|8169132227|011210151632|23|||01 :66183|169059|816995372522|011210151656|14|||01 :169024|66139||011210151648|12|||81 :169019|66189||011210151708|17|||81 :66618|66602||011210151852|28|||89 :169004|66367||011210152144|71|||81 :169015|66881||011210151940|40|||81 :169017|66268||011210151720|20|||81 :66332|169057|81690409889688|011210151716|4|||01 :169026|66426||011210151636|9|||81 :66336|8125||011210151716|4|||89 :66864|169052|81690425864838|011210151724|6|||01 :169040|45015|8145|011210151740|145|||03 :66712|169041|8169132227|011210151732|38|||01 :66183|66350||011210151728|7|||89 :169038|64159||011210151748|27|||81 :169010|66290||011210151956|44|||81 :8613|8639||011210151724|6|||89 :169013|77971||011210151712|18|||81 :64076|169053|81690413749910|011210151752|28|||01 :169027|66322||011210151736|9|||81 :45001|169055|816994259644|011210151724|21|||03 :66804|66631||011210151832|8|||89 :64158|2||011210151828|7|||89 :169029|66528||011210151728|7|||81 :66528|169057|816990765528|011210151728|7|||01 :66325|169048|816994043779|011210151804|1|||01 :169018|66100||011210151736|9|||81 :66150|169042|81690409576211|011210151804|46|||01 :169028|66314||011210151828|187|||81 :66143|169053|816995343908|011210151824|6|||01 :8167|169058|8169133254|011210151840|115|||01 :169012|66607||011210151820|5|||81 :66199|169058|816998226828|011210151800||||01 :45001|169053|816993313200|011210151808|2|||03 :66164|66253||011210151932|8|||89 :45002|169046|816994210187|011210151900|45|||03 :77758|66611||011210151904|1|||89 :169032|66322||011210151816|4|||81 :66196|169056|81691800610212|011210151852|73|||01 :169022|66528||011210151828|7|||81 :66528|169057|816990765528|011210151828|7|||01 :66403|169039|816998786274|011210151856|59|||01 :169016|110056|81107|011210151852|13|||03 :66325|169058|816998094459|011210151904|1|||01 :45001|169057|81690438393250|011210151912|3|||03 :64071|66611||011210151920|5|||89 :169002|110055|8110|011210151904|1|||03 :169008|66227||011210151904|1|||81 :169001|66210||011210151916|34|||81 :66661|66611||011210152004|1|||89 :8165|169044|81690408033154|011210152008|197|||01 :169011|66314||011210152016|34|||81 :169014|77971||011210152020|35|||81 :66274|66610||011210154108|317|||89 :66194|169050|81691300115866|011210152028|142|||01 :77190|169059|8169132227|011210151948|42|||01 :169036|110060|8110|011210152024|6|||03 :64071|169048|816990766289|011210152016|4|||01 :169020|45011|8145|011210152020|5|||03 :66629|169057|81690411749693|011210152036|9|||01 :77758|66611||011210152040|10|||89 :169007|66776||011210152048|12|||81 :8614|169057|816987813411|011210152000||||01 :169035|66102||011210152052|88|||81 :66217|66215||011210152336|39|||89 :66791|66822||011210152204|16|||89 :66234|169054|816998097226|011210152016|109|||01 :8613|8617||011210152108|2|||89 :169045|77971||011210152044|11|||81 :66712|169055|8169132227|011210152052|43|||01 :66801|169046|816995725177|011210152040|10|||01 :169031|66336||011210152028|7|||81 :77055|64086||011210152112|3|||89 :66742|66259||011210152104|1|||89 :8167|169058|816995687579|011210152148|27|||01 :169005|66342||011210152140|10|||81 :169033|110058|81101|011210152128|82|||03 :169037|66773||011210152124|6|||81 :169030|45013|8145|011210152108|47|||03 :66499|169059|816995814200|011210152104|16|||01 :169045|8617||011210152252|13|||81 :66427|2||011210152208|2|||89 :169004|66314||011210152212|3|||81 :169003|66938||011210152132|68|||81 :66938|169049|816990765938|011210152132|68|||01 :169006|110058|81101|011210152224|6|||03 :66363|169050|81691300453688|011210152204|31|||01 :169004|66428||011210152224|6|||81 :66611|66661||011210152356|29|||89 :169034|110059|81108|011210152232|218|||03 :66183|169055|816995372522|011210152256|14|||01 :66611|66253||011210152316|4|||89 :45001|169058|816994286674|011210152324|21|||03 :45002|169059|816994286894|011210152256|14|||03 :169017|66938||011210152324|6|||81 :66938|169050|816990765938|011210152324|6|||01 :8164|169051|816995923764|011210152308|212|||01 :169015|66102||011210152304|16|||81 :45001|169059|816992098777|011210152308|2|||03 :66105|169057|816995965073|011210152316|34|||01 :66602|66604||011210152552|28|||89 :66661|66611||011210152420|5|||89 :169040|66428||011210152332|8|||81 :169013|8639||011210153024|96|||81 :169029|2||011210152428|7|||82 :169038|66139||011210152428|7|||81 :169041|110060|8110|011210152416|4|||03 :66661|66611||011210152408|2|||89 :45001|169058|81690448370711|011210152412|3|||03 :66610|66752||011210152756|59|||89 :169027|110059|8110|011210152400|15|||03 :66322|169056|816995634338|011210152428|82|||01 :169009|66261||011210152452|88|||81 :64066|169053|816998278427|011210152500|75|||01 :2|66342||011210152500||||89 :169012|66631||011210152520|5|||81 :66136|66854||011210152536|9|||89 :169019|66834||011210152452|58|||81 :169026|66174||011210152516|34|||81 :66219|169057|81691300773000|011210152532|23|||01 :66442|169049|81690438007494|011210152600|15|||01 :66332|169044|81690409889688|011210152508|2|||01 :169010|66429||011210152548|27|||81 :66706|169043|81690412775759|011210152512|3|||01 :169008|66100||011210152604|1|||81 :45003|169044|816986456110|011210152604|1|||03 :169016|66253||011210152528|7|||81 :66105|169055|81690413399175|011210152624|6|||01 :169039|110059|81104|011210152616|4|||03 :169042|66342||011210152604|16|||81 :169002|66744||011210152536|9|||81 :66800|169053|81690409057839|011210152548|12|||01 :66856|169054|816995570811|011210152616|79|||01 :77070|169049|816998268019|011210152616|4|||01 :66003|169041|816994298536|011210152624|6|||01 :66444|169054|81691800551702|011210152608|2|||01 :45002|169056|81690448370711|011210152604|16|||03 :169024|66268||011210152600|75|||81 :66382|2||011210152712|3|||89 :66442|169055|816995842460|011210152612|3|||01 :66497|169047|816995278884|011210152624|516|||01 :169020|66029||011210152616|4|||81 :66105|169045|816995329161|011210152708|2|||01 :66183|169046|816998180334|011210152644|26|||01 :64071|169049|816990766289|011210152632|8|||01 :169028|66631||011210152720|35|||81 :169007|45007|8145|011210152636|9|||03 :66178|169054|816995329349|011210152720|5|||01 :66350|169046|8169430|011210152716|4|||01 :66382|169056|81690434492947|011210152736|9|||01 :66444|169054|81691800551702|011210152704|1|||01 :45002|169055|816995920618|011210152732|8|||03 :8641|169052|816985856098|011210152704|151|||01 :66166|66403||011210152808|2|||89 :169025|66166||011210152748|12|||81 :169005|66607||011210152720|5|||81 :66268|169049|81690401141400|011210152728|7|||01 :66444|169049|81691800551702|011210152808|2|||01 :45001|169048|816992096777|011210152836|54|||03 :66199|77190||011210152836|9|||89 :66253|66341||011210152828|7|||89 :169036|2||011210152840|40|||82 :169030|66428||011210152840|10|||81 :66661|66611||011210152912|3|||89 :169035|110058|81101|011210152856|29|||03 :66350|169049|816995876612|011210152916|4|||01 :66183|169054|816995372522|011210152856|14|||01 :66194|169058|816995636790|011210152912|63|||01 :77190|66800||011210152936|9|||89 :66210|66762||011210153004|16|||89 :169003|45006|8145|011210152904|1|||03 :169037|66391||011210152920|20|||81 :169033|66528||011210152932|23|||81 :66528|169056|816990765528|011210152932|23|||01 :66325|66336||011210153224|51|||89 :45001|169046|816996994448|011210152908|2|||03 :66660|66611||011210153028|7|||89 :169025|66403||011210153152|28|||81 :66032|169060|81691300663590|011210152912|393|||01 :169001|64060||011210152948|57|||81 :66713|169048|816998187217|011210153004|16|||01 :66332|169054|81690409889688|011210153008|2|||01 :66762|66322||011210153016|4|||89 :66801|169057|81690438516083|011210153000|60|||01 :66209|66139||011210153104|16|||89 :66222|169059|81691300139555|011210153008|92|||01 :66199|169049|81690403768323|011210153000||||01 :66183|66854||011210153040|10|||89 :77190|169053|8169132227|011210152952|58|||01 :169006|77971||011210153032|23|||81 :66341|8125||011210153104|16|||89 :66734|77147||011210153028|7|||89 :66800|66801||011210153028|7|||89 :8639|169050|81690419875488|011210153008|92|||01 :169017|66102||011210153100|15|||81 :66851|169057|81690437517310|011210153112|3|||01 :169014|77792||011210153048|57|||81 :45003|169047|816990766316|011210153052|58|||03 :66744|2||011210153112|3|||89 :169004|66619||011210153124|21|||81 :66332|169054|81690409889688|011210153120|5|||01 :66727|169051|816995929266|011210153108|107|||01 :66105|169059|816995515662|011210153112|18|||01 :110002|169053|81690417313485|011210153116|4|||03 :169013|66434||011210153120|5|||81 :66804|169052|816997953661|011210153152|58|||01 :45001|169054|816998278803|011210153132|8|||03 :66611|66762||011210153300|15|||89 :169015|66859||011210153144|11|||81 :169034|66744||011210153152|13|||81 :66267|169058|816995329110|011210153208|47|||01 :169038|66667||011210153228|7|||81 :66324|169060|816995274355|011210153216|34|||01 :169031|66666||011210153212|3|||81 :66804|169054|816997953661|011210153216|4|||01 :8125|66253||011210153456|29|||89 :45001|169052|816996994448|011210153300||||03 :66332|169054|81690409889688|011210153312|3|||01 :45001|169052|816986456110|011210153304|1|||03 :66328|66396||011210153820|80|||89 :64158|169057|816990117200|011210153316|34|||01 :169027|66762||011210153304|16|||81 :169012|66075||011210153308|2|||81 :66075|169057|816990765075|011210153308|2|||01 :66316|77790||011210153404|1|||89 :169032|66316||011210153404|16|||81 :66707|66192||011210153416|4|||89 :66325|169058|81690426258348|011210153340|10|||01 :66223|66127||011210153904|76|||89 :66199|169052|816992766667|011210153424|6|||01 :169019|66667||011210153428|7|||81 :66619|8125||011210153528|22|||89 :1|77190||011210153432|8|||89 :66776|8164||011210153508|2|||89 :64045|169047|816993499000|011210153448|12|||01 :169043|66744||011210153512|3|||81 :169026|66176||011210153428|7|||81 :64158|169054|816990117200|011210153424|21|||01 :66332|169042|81690409889688|011210153508|2|||01 :66242|169051|816995314003|011210153456|44|||01 :169002|66667||011210153508|2|||81 :66707|77147||011210153552|13|||89 :66183|169058|816995372522|011210153500|15|||01 :169041|66667||011210153508|2|||81 :66660|66253||011210153532|8|||89 :66346|169046|816995783346|011210153448|12|||01 :64064|169052|81690412714839|011210153448|12|||01 :66804|169060|81691300723733|011210153548|42|||01 :66619|8125||011210153552|13|||89 :66164|66611||011210153504|1|||89 :66442|169058|816995755348|011210153500||||01 :66765|169049|816994137305|011210153552|28|||01 :66846|169054|816995282405|011210153520|5|||01 :66484|169048|81690400179455|011210153540|25|||01 :66655|169047|816995719933|011210153544|11|||01 :66227|169044|816995550960|011210153600|15|||01 :66610|169058|816995572677|011210153612|3|||01 :169039|110058|8110|011210153616|19|||03 :66029|169054|816997298738|011210153616|4|||01 :66738|169059|816990766485|011210153604|61|||01 :169029|45004|8145|011210153604|61|||03 :169024|66667||011210153616|4|||81 :66631|66718||011210153604|1|||89 :66631|169050|816995239119|011210153644|41|||01 :169028|110058|81101|011210153616|4|||03 :66396|66342||011210153744|11|||89 :169018|66274||011210153708|197|||81 :66442|169058|81690429006552|011210153716|4|||01 :66603|66664||011210153712|3|||89 :66761|66611||011210153716|4|||89 :169010|64036||011210153632|38|||81 :169022|110060|8110|011210153708|182|||03 :169023|66193||011210153640|250|||81 :169016|66776||011210153744|41|||81 :66166|66403||011210153704|1|||89 :169007|66166||011210153728|7|||81 :66105|169043|816995682218|011210153720|35|||01 :66451|169058|81690409889688|011210153712|3|||01 :66178|66130||011210154000|45|||89 :66661|66611||011210153808|2|||89 :66242|169049|816995093890|011210153736|24|||01 :66398|169051|816995715660|011210153736|39|||01 :169008|66528||011210153728|7|||81 :66528|169054|816990765528|011210153728|7|||01 :169040|66636||011210153736|99|||81 :66610|169048|816995304143|011210153828|22|||01 :66242|169059|81690408052172|011210153836|24|||01 :66178|66350||011210153828|7|||89 :169011|66804||011210153752|28|||81 :66721|66322||011210153840|10|||89 :66037|169053|816998278427|011210153836|99|||01 :169030|1||011210153832|8|||82 :64045|169046|816998665433|011210153820|50|||01 :66026|169051|816997298738|011210153920|5|||01 :8125|66395||011210154016|19|||89 :169050|66718||011210154144|41|||81 :66178|66350||011210153928|7|||89 :64003|77145||011210153904|1|||89 :66610|169059|816983277700|011210153912|18|||01 :45002|169055|81690417095785|011210153940|175|||03 :169017|66322||011210153932|8|||81 :169033|66834||011210153952|13|||81 :169036|8006||011210153956|29|||81 :169025|1||011210154004|16|||82 :169035|77971||011210153952|28|||81 :169003|66762||011210154004|16|||81 :169033|66123||011210154036|9|||81 :169004|66007||011210154020|5|||81 :8125|66324||011210154024|6|||89 :66636|169054|816998262645|011210154016|34|||01 :77190|169042|8169132227|011210154040|85|||01 :66629|66322||011210154124|6|||89 :66100|169052|8169132227|011210154044|86|||01 :169038|110059|81106|011210154052|13|||03 :8167|169055|816995259092|011210154124|6|||01 :169007|66403||011210154452|58|||81 :66253|169053|816995965402|011210154132|38|||01 :77190|66776||011210154116|4|||89 :169009|66834||011210154100|15|||81 :169013|66195||011210154152|28|||81 :8641|169051|816990969570|011210154132|8|||01 :66012|169059|816996412972|011210154208|32|||01 :169019|66261||011210154140|10|||81 :169015|66314||011210154228|22|||81 :45003|169049|81690438393250|011210154208|47|||03 :169006|66744||011210154140|25|||81 :77198|169050|81690409538211|011210154200|15|||01 :169026|66718||011210154232|8|||81 :64003|66012||011210154204|1|||89 :66776|8164||011210154208|2|||89 :66329|169045|816995102013|011210154220|125|||01 :66337|169051|81690432117463|011210154308|2|||01 :169012|66600||011210154312|18|||81 :169005|110060|811000|011210154244|71|||03 :169027|77065||011210155232|143|||81 :66332|169050|81690409889688|011210154308|2|||01 :66342|66631||011210154400|15|||89 :169021|66619||011210154248|12|||81 :66301|169047|8169|011210154320|5|||01 :66178|66350||011210154324|6|||89 :169037|8046||011210154256|74|||81 :169031|8014||011210154352|43|||81 :66335|169052|81690432440126|011210154300|15|||01 :1|8091||011210154316|4|||89 :8125|66707||011210154500|15|||89 :66105|169059|816995684931|011210154344|26|||01 :66762|169052|81690411322273|011210154416|4|||01 :8167|169048|816995287359|011210154340|40|||01 :66332|169047|81690409889688|011210154420|5|||01 :66325|1||011210154416|4|||89 :169032|77790||011210155436|159|||81 :66166|66403||011210154404|1|||89 :169029|66166||011210154416|4|||81 :169044|110060|8110|011210154428|22|||03 :66178|66890||011210154524|6|||89 :169024|66938||011210154420|5|||81 :66938|169050|816990765938|011210154420|5|||01 :66227|66218||011210154528|7|||89 :66268|169054|816995088777|011210154452|58|||01 :169028|66834||011210154436|9|||81 :66653|169050|816995298775|011210154516|4|||01 :66635|169049|816995219642|011210154532|38|||01 :66314|169058|81691300123123|011210154532|113|||01 :64055|169048|816995281529|011210154532|8|||01 :66127|66603||011210154524|6|||89 :169002|66776||011210154456|44|||81 :77643|66342||011210154620|5|||89 :66846|169054|81691800888333|011210154600||||01 :66166|66218||011210154616|4|||89 :169022|66791||011210154628|7|||81 :66034|8125||011210154648|12|||89 :169018|66619||011210154600|15|||81 :66452|169056|816995108272|011210154540|250|||01 :66032|169058|8169132230|011210154548|12|||01 :64028|66007||011210154604|1|||89 :169043|66012||011210154628|7|||81 :66603|66611||011210154620|5|||89 :64003|77145||011210154604|1|||89 :66325|66251||011210154720|5|||89 :77758|66611||011210154712|3|||89 :169040|1||011210154620|5|||82 :66610|169055|81691300367428|011210154624|81|||01 :66631|66342||011210154740|10|||89 :169008|66110||011210154628|7|||81 :66332|169058|81690409889688|011210154708|2|||01 :66846|169050|81691800888333|011210154708|17|||01 :66705|66762||011210154716|4|||89 :66336|77040||011210154700||||89 :169017|66336||011210154716|4|||81 :66412|169054|816995579920|011210154736|24|||01 :66329|169056|816997418382|011210154728|7|||01 :66345|169055|81691300728619|011210154744|11|||01 :66199|169051|816995275696|011210154752|73|||01 :169028|66844||011210155048|42|||81 :169043|66007||011210154952|28|||81 :169030|66603||011210154808|17|||81 :169046|66707||011210154824|6|||81 :66210|66325||011210154944|11|||89 :66274|66610||011210154956|14|||89 :66856|169055|816995570811|011210154904|16|||01 :66183|66350||011210154936|9|||89 :66636|66340||011210155008|17|||89 :66127|169048|816997841060|011210154932|8|||01 :66728|169057|816995292131|011210154936|219|||01 :64055|169042|816995724540|011210154920|5|||01 :169009|8164||011210155652|118|||81 :66332|169055|81690409889688|011210154908|2|||01 :8639|169053|816985995433|011210154928|112|||01 :66635|66854||011210155044|11|||89 :66121|66002||011210155056|14|||89 :66896|66804||011210155032|8|||89 :66708|66603||011210155016|4|||89 :169052|77065||011210155552|88|||81 :64028|66398||011210155004|1|||89 :169036|66012||011210154928|7|||81 :169010|66744||011210155012|78|||81 :169001|110060|81106|011210155000|15|||03 :64158|169056|816995986244|011210155004|31|||01 :169014|66619||011210154956|29|||81 :77866|66611||011210155036|9|||89 :169003|66428||011210155020|5|||81 :45002|169049|816993752456|011210155028|52|||03 :66675|169057|816997881269|011210154944|11|||01 :8004|8003||011210155008|2|||89 :77088|169054|816995030517|011210155024|36|||01 :66329|169047|81690401061514|011210155028|22|||01 :66102|66105||011210155104|1|||89 :169033|66102||011210155028|7|||81 :64005|1||011210155104|1|||89 :8004|8003||011210155120|5|||89 :66336|169053|816995028577|011210155052|13|||01 :66741|169058|816995724534|011210155032|53|||01 :169004|66349||011210155112|3|||81 :169038|77971||011210155036|9|||81 :45001|169060|81691300123123|011210155124|231|||03 :169033|66105||011210155136|9|||81 :45002|169056|81690419360843|011210155136|9|||03 :169013|66350||011210155116|4|||81 :66864|169048|816995985930|011210155100||||01 :8641|169043|816959770568|011210155116|34|||01 :66150|169057|816992123015|011210155128|7|||01 :169007|66340||011210155156|14|||81 :169016|66314||011210155108|92|||81 :169014|66613||011210155348|27|||81 :66856|169056|81691225|011210155200||||01 :66199|169053|816985175709|011210155128|7|||01 :8009|2||011210155200||||89 :66741|66611||011210155240|10|||89 :66653|169057|816995298775|011210155132|8|||01 :66142|169052|816996993076|011210155156|29|||01 :66142|169050|81690404165372|011210155208|47|||01 :66800|169055|81690438014235|011210155204|31|||01 :66712|169058|816998274321|011210155156|14|||01 :169015|66707||011210155240|10|||81 :169006|110056|8110|011210155208|2|||03 :66427|169049|816995107389|011210155248|27|||01 :66449|169048|816997863459|011210155236|9|||01 :169019|110059|8110|011210155224|21|||03 :169025|64005||011210155256|29|||81 :66336|169055|81691300888801|011210155240|10|||01 :66712|169050|816998274321|011210155324|6|||01 :8639|169053|81690419875488|011210155236|9|||01 :45003|169054|816993262666|011210155256|29|||03 :66164|169048|8169|011210155308|2|||01 :169012|77971||011210155300|15|||81 :169017|77040||011210155836|84|||81 :66292|169049|816995795033|011210155328|7|||01 :169035|66801||011210155348|57|||81 :66183|66350||011210155324|6|||89 :169011|66426||011210155336|99|||81 :66037|169059|816995555377|011210155328|142|||01 :45002|169059|81690418365224|011210155404|1|||03 :8011|8004||011210155428|7|||89 :169037|110060|81107|011210155404|1|||03 :66619|66660||011210155428|7|||89 :169031|66449||011210155348|12|||81 :169026|66434||011210155408|32|||81 :169005|110055|8110|011210155404|31|||03 :66866|169055|816995293977|011210155416|19|||01 :66864|169056|816995894236|011210155440|25|||01 :66879|64086||011210155444|11|||89 :66219|169054|816993877444|011210155416|19|||01 :169022|66026||011210155416|4|||81 :169023|66449||011210155512|3|||81 :66801|66367||011210155516|4|||89 :66389|66890||011210155516|4|||89 :66105|169050|81690419002937|011210155508|17|||01 :66161|66854||011210155536|9|||89 :8125|169053|81690402541051|011210155552|28|||01 :66425|66267||011210155700|15|||89 :66332|169054|81690409889688|011210155608|2|||01 :169040|110060|81105|011210155532|8|||03 :66856|169052|81691300430488|011210155536|54|||01 :169008|66742||011210155540|10|||81 :45002|169056|816994176935|011210155612|18|||03 :66253|66365||011210155652|13|||89 :66871|169055|816998247385|011210155552|13|||01 :66290|2||011210155608|2|||89 :169009|66225||011210155616|4|||81 :62578|169056|816990762578|011210155704|1|||01 :66332|169052|81690409889688|011210155608|2|||01 :66800|66801||011210155744|11|||89 :66848|169053|816959776266|011210155624|6|||01 :169028|66776||011210155624|21|||81 :66497|169044|816995814200|011210155648|117|||01 :66499|169056|816995243485|011210155708|2|||01 :66342|77073||011210155704|1|||89 :169042|66342||011210155640|10|||81 :8615|169046|81690409576211|011210155716|4|||01 :66717|66773||011210155820|20|||89 :64088|169050|816998276398|011210155652|13|||01 :77083|169057|816992773745|011210155712|78|||01 :66427|169059|816995680469|011210155656|44|||01 :66477|169051|816985321111|011210155740|130|||01 :66499|169053|816997202900|011210155800||||01 :169001|66314||011210155716|4|||81 :66105|169055|81690408212244|011210155744|11|||01 :169034|66026||011210155716|4|||81 :66324|169058|816987949093|011210155808|77|||01 :169032|8016||011210155724|66|||81 :169004|66722||011210155812|3|||81 :169002|66290||011210155748|27|||81 :169021|64086||011210155812|33|||81 :66484|169048|816995081222|011210155836|24|||01 :77083|169059|816992773745|011210155748|12|||01 :169038|110060|81107|011210155808|2|||03 :169033|8018||011210155844|11|||81 :169027|66800||011210155856|89|||81 :66199|169051|81690403768323|011210155900||||01 :169041|66829||011210155856|89|||81 :66183|66350||011210155928|7|||89 :66427|169046|816995297554|011210155912|3|||01 :66680|169056|816995243458|011210155912|33|||01 :66280|169059|816995230744|011210155944|11|||01 :169033|8017||011210155948|12|||81 :66239|169052|816998222364|011210155900|15|||01 :66800|66801||011210155912|3|||89 :66499|169058|816997032900|011210155940|25|||01 :64003|169054|81690402882635|011210155944|56|||01 :66484|169053|816995088169|011210155928|22|||01 :64124|169057|816997350022|011210155936|39|||01