His M.O = Selling a pivotpoint (PP, Midpoint R1-PP, R1, R2 or buying a pivotpoint (pp, midpoint S1-PP, S1, S2), combined with a nibble creating a big zone in which he claims to have the deadhigh/low. Lately these are so big, they cover at least a quarter of the average range. Today he had a 10 pt zone in Nasdaq stretching from S1 to the daily pivot, yesterday a buyzone in ES that was as big as the entire daysessionrange.
Exiting is done with the flashupdate system, where the timestamps are 2-3 minutes off, they usually end up 5 minutes after the fact at the clients.