I think we have good odds to see this weekly forecast pan out. For e-commerce exposure, I favor this one personally.
I am Long $GM with stop loss @ 30. Reasons: 1.Elliott wave is completed. 2. As you can see squeeze momentum indicator just put in valley so its best to get long here for maximum profit. Fundamentals: 1. Stock is trading @ book value. 2. Recall disaster is behind us.