I dumped GM today assuming slower domestic demand and higher dollar exchange rates.
Buys
Banks - Spreads or margins at banks will just expand.
Tech - Season move with positive xmas season.
Sells
International Stocks, Large Caps, Large Industrials - Dollar will rise in relation to other stocks.
Dividend Stocks - If interest rates increase.
Homebuilders? - Rate rise makes their homes more expensive immediately. However maybe there will be a buying binge to lock in interest rates before they rise?