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Let \\((x^n_i,\\;1\\leq i\\leq n,\\;n\\geq 1)\\) be an \\({\\mathcal X}\\)-valued sequence of random elements satisfying \\(\\frac{1}{n}\\sum_{i=1}^n \\delta_{x^n_i}\\to R\\) weakly, \\(n\\to \\infty.\\) Here, \\(R\\) is assumed to be a strictly positive probability measure, that is \\(R(U)>0\\) whenever \\(U\\) is a nonempty open subset of \\({\\mathcal X}\\). Let \\({\\mathbf f}\\) be an \\(m\\times d\\) matrix and let \\(Z\\in {\\mathbb R}^d\\), \\(\\theta\\in {\\mathbb R}^m\\). We denote by \\(\\theta {\\mathbf f}\\in {\\mathbb R}^d,\\) \\({\\mathbf f}Z^T\\in {\\mathbb R}^m\\) the usual matrix products. We introduce the weighted empirical mean  \\[  \\langle L_n,{\\mathbf f}\\rangle = \\frac{1}{n} \\sum_{i=1}^n {\\mathbf f(x^n_i)}Z^T_i\\in {\\mathbb R}^m,  \\]  where \\({\\mathbf f}={\\mathbf f}(x):~{\\mathcal X}\\to {\\mathbb R}^{m\\times d}\\) is a matrix-valued bounded continuous function. The main result of the article: The family \\(\\langle L_n,{\\mathbf f}\\rangle \\) satisfies the large deviation principle (LDP) in \\({\\mathbb R}^m\\) with the good rate function  \\[  I_{{\\mathbf f}}(y)=\\sup_{\\theta\\in {\\mathbb R}^m}\\Bigl\\{\\theta y^T-\\int_{{\\mathcal X}} \\Lambda(\\theta {\\mathbf f}(x))R(dx)\\Bigr\\},\\quad y\\in {\\mathbb R}^m,  \\]  where \\(\\Lambda(\\lambda)=\\log {\\mathbb E}e^{\\lambda Z^T_1},\\) \\(\\lambda\\in {\\mathbb R}^d\\). As applications, the author derives a LDP for the family of empirical measures and for the empirical processes. Various examples illustrate the scope of the 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