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Many believe that the Stock Markets across the globe have strong common influences but country-specific knowledge about macro policies and bilateral trade can affect the

Many believe that the Stock Markets across the globe have strong common influences but country-specific knowledge about macro policies and bilateral trade can affect the own market indices. So long short strategies are possible using the futures contracts in developed (say Japan and the US) countries and in developing countries. Are there any other issues coming purely from derivative markets that might affect your use of the cross-border market spread trade? Explain briefly,

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