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Let a sequence of independent random variables \\(X_1,X_2,\\dots\\) be defined in the following way:  \\[ X_i=a_i(1+b_i\\theta)^{-1}+\\sigma_i\\xi_i. \\]  The values \\(a_i>0\\) and \\(b_i>0\\) are assumed known, while the values of the parameter \\(\\theta\\) and the variance \\({\\mathcal D}X_i\\equiv\\sigma_{i}^2\\) are unknown. The authors consider the problem of estimating the unknown parameter \\(\\theta\\) from the observations \\(X_1,\\dots,X_N\\). They propose to use the following simple estimator:  \\[ \\theta^*=\\sum c_i(a_i-X_i)\\bigl(\\sum c_ib_iX_i\\bigr)^{-1}. \\]  It turns out that this estimator is asymptotically normal under rather general assumptions on the constants \\(\\{c_i\\}\\). Moreover, in the case when some information on the behavior of the variances \\(\\{\\sigma_i\\}\\) is available, the authors show how to choose functions \\(\\{\\gamma_i(\\theta)\\}\\) so that the ``improved'' estimator  \\[ \\theta^{**}=\\sum \\gamma_i(\\theta^*)(a_i-X_i)\\bigl(\\sum \\gamma_i(\\theta^*)b_iX_i\\bigr)^{-1} \\]  becomes asymptotically efficient in some 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