UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF COLUMBIA
RYAN NOAH SHAPIRO,
Plaintiff,
Civil Action No. 12-cv-313 (BAH)
v.
Chief Judge Beryl A. Howell
DEPARTMENT OF JUSTICE,
Defendant.
MEMORANDUM OPINION
Plaintiff, “a longtime animal rights activist” and “Ph.D. candidate”1 whose research
“focuses on disputes over animals and national security from the late nineteenth century to the
present,” First Amended Compl. (“FAC”) ¶ 2, ECF No. 13, challenges the Federal Bureau of
Investigation’s (“FBI”) and the Bureau of Alcohol, Tobacco, Firearms, and Explosives’ (“ATF”)
responses to 83 requests for records he made under the Freedom of Information Act (“FOIA”), 5
U.S.C. §§ 552 et seq., and the Privacy Act (“PA”), id. § 552a. Def.’s Mem. Supp. Mot. Summ.
J. (“Def.’s Mem.”) at 1, ECF No. 97-1; FAC ¶ 518. Over the lengthy course of this litigation,
the Department of Justice (“DOJ”), of which both the FBI and ATF are components, has released
thousands of pages of records responsive to those requests. DOJ now believes its obligations
under both the FOIA and PA are met and seeks summary judgment. Def.’s Mot. Summ. J., ECF
No. 97. Plaintiff has requested time to conduct discovery to defend against DOJ’s motion, Pl.’s
Request for Discovery Pursuant to Rule 56(d) (“Pl.’s 56(d) Mot.”), ECF No. 102, while
1
It appears that plaintiff may have, during the pendency of this action, successfully attained his Ph.D. as
some of his papers now refer to him as “Dr. Shapiro.” See, e.g., Pl.’s Reply Supp. Cross-Mot. Summ. J. at 1, ECF
No. 125.
1
simultaneously filing his own motion for summary judgment, Pl.’s Cross-Mot. Summ. J. (“Pl.’s
Summ. J. Mot.”), ECF No. 105. For the reasons set forth below, plaintiff’s motions for
discovery and summary judgment are denied, and DOJ’s motion for summary judgment is
granted in part and denied in part.
I. BACKGROUND
As this Court has previously pointed out, “[t]he plaintiff . . . is among the most prolific
requesters of materials from [DOJ].” Shapiro v. United States Dep’t of Justice, Civ. Action No.
12-313 (BAH), 2014 WL 12912625, *1 (D.D.C. Dec. 8, 2014). As relevant to the instant
litigation, plaintiff seeks information about what he calls the “Green Scare,” which he describes
as “the ongoing disproportionate, heavy-handed government crackdown on the animal rights and
environmental movements.” FAC ¶ 3 (citation and internal quotation marks omitted).
Beginning in 2005, as part of his doctoral research, plaintiff began submitting numerous FOIA
requests to the FBI and ATF. Id. ¶ 261. Over the next seven years, plaintiff submitted close to
500 such requests seeking records concerning individuals, organizations, books and other
publications, and events related to animal rights activism. See 2d Decl. of David M. Hardy (“2d
Hardy Decl.”) at 3 n.1, ECF No. 17-1.
At issue in this litigation are a fraction of those requests regarding 69 separate topics
covered in 83 requests that plaintiff submitted to the FBI and ATF between 2005 and 2012.2
These requests sought records from these two DOJ components regarding 42 named individuals,
2
A complete chronological listing of plaintiff’s requests is provided in the appendix attached to this
Memorandum Opinion.
2
including the plaintiff himself,3 21 organizations,4 and 6 events or publications purportedly
concerning animal rights.5
3
As described in the FAC, the individuals are: (1) plaintiff, FAC ¶¶ 62–72; (2) Joseph Buddenberg, a
“leading animal rights activist,” id. ¶¶ 16, 133–37; (3) Julie Elizabeth Lewin, “a longtime leading animal rights
activist,” id. ¶¶ 18, 149–53; (4) Nathan Donald Runkle, “a longtime leading animal rights activist” and founder of
the animal rights organization known as “Mercy for Animals,” id. ¶¶ 20, 159–65; (5) Rodney Adam Coronado, “a
longtime leading animal rights activist,” id. ¶¶ 21, 166–70; (6) Steven Paul Best, “co-founder of the North American
Animal Liberation Press Office,” id. ¶¶ 22, 171–75; (7) Sean Diener, co-founder of the “Utah Animal Rights
Coalition” and the “United Animal Rights Coalition,” id. ¶¶ 24, 181–85; (8) Lauren Beth Gazzola, “a longtime
leading animal rights activist,” id. ¶¶ 25, 186–93; (9) Michael A. Budkie, founder of “Stop Animal Exploitation
Now,” id. ¶¶ 26, 194–98; (10) Peter Daniel Young, “a longtime leading animal rights activist,” id. ¶¶ 27, 199–203;
(11) Rick A. Bogle, “a longtime leading animal rights activist,” id. ¶¶ 28, 204–08; (12) Stephen Omar Hindi, “a
longtime leading animal rights activist,” id. ¶¶ 29, 209–13; (13) Alliston Helene Lance Watson, “a longtime leading
animal rights activist,” id. ¶¶ 30, 214–18; (14) Dallas Rachael Rising, a “longtime leading animal rights activist,” id.
¶¶ 32, 224–29; (15) Iver R. Johnson III, “a longtime leading animal rights activist,” id. ¶¶ 33, 230–34; (16) Kevin
Rich Olliff, id. ¶¶ 34, 235–39; (17) Kelly Ann Higgins, “a longtime animal rights activist,” id. ¶¶ 39, 269–73; (18)
Chris DeRose, “a leading activist[],” id. ¶¶ 45, 293–98; (19) Jack D. Carone, “a leading activist[],” id. ¶¶ 45, 299–
304; (20) Linda T. Tannenbaum, “a leading activist[],” id. ¶¶ 45, 305–10; (21) Crescent Vellucci, “a leading
activist[],” id. ¶¶ 45, 311–16; (22) Jonathan Christopher Mark Paul, id. ¶¶ 45, 317–22; (23) Leslie Stewart, “a
leading activist[],” id. ¶¶ 45, 323–28; (24) Sheila Laracy, “a leading activist[],” id. ¶¶ 45, 329–34; (25) Henry
Hutto, “a leading activist[],” id. ¶¶ 45, 335–40; (26) Aaron Glenn Leider, “a leading activist[],” id. ¶¶ 45, 341–45;
(27) Lindsay Parme, a “leading activist[],” id. ¶¶ 49, 370–82; (28) Kimberly Ann Berardi, a “leading activist[],” id.
¶¶ 49, 383–88; (29) Freeman Wicklund, a “leading activist[],” id. ¶¶ 49, 389–94; (30) Patrick Kwan, a “leading
activist[],” id. ¶¶ 49, 395–99; (31) Peter George Schnell, a “leading activist[],” id. ¶¶ 49, 400–04; (32) Adam
Weissman, a “leading activist[],” id. ¶¶ 49, 405–09; (33) Andrea Joan Lindsay, a “leading activist[],” id. ¶¶ 49,
410–14; (34) Josh Trenter, a “leading activist[],” id. ¶¶ 49, 415–19; (35) Joseph W. Bateman, a “leading activist[],”
id. ¶¶ 49, 420–24; (36) David Patrick Hayden, a “leading activist[],” id. ¶¶ 49, 425–29; (37) Miyun Park, a “leading
activist[],” id. ¶¶ 49, 430–52; (38) Gina Lynn, a “leading activist[],” id. ¶¶ 49, 453–58; (39) Sarah Jane Blum, a
“leading activist[],” id. ¶¶ 49, 459–65; (40) William Edward Potter, author of Green Is the New Red, id. ¶¶ 50–51,
474–478; (41) Camille Marino, “one of the most controversial animal rights activists in the United States today,” id.
¶¶ 61, 511–16; and (42) Screaming Wolf “the pseudonymous name adopted by the unknown author” of a 1991
publication titled “A Declaration of War: Killing People to Save Animals and the Environment,” (“A Declaration of
War”), id. ¶¶ 52, 479–86.
4
As described in the FAC, the organizations are: (1) Compassion Over Killing (“COK”), “a leading animal
rights organization,” FAC ¶¶ 10, 73–87; (2) The Foundation for Biomedical Research (“FBR”), which plaintiff calls
a “leading professional opponent[] of the animal rights movement,” id. ¶¶ 11, 88–92; (3) The National Association
for Biomedical Research (“NABR”), also called a “leading professional opponent[] of the animal rights movement”
by plaintiff, id. ¶¶ 11, 93–97; (4) Americans for Medical Progress (“AMP”), also called a “leading professional
opponent[] of the animal rights movement” by plaintiff, id. ¶¶ 11, 98–102; (5) The Centers for Consumer Freedom
(“CCF”), another “opponent[] of the animal rights movement,” id. ¶¶ 12, 108–12; (6) The National Animal Interest
Alliance (“NAIA”), yet another “opponent[] of the animal rights movement,” id. ¶¶ 12, 113–17; (7) The Fur
Information Council of America (“FICA”), “a leading professional advocate of the fur trade,” id. ¶¶ 13, 118–22; (8)
Perceptions International (“PI”), “a corporate intelligence and security firm,” id. ¶¶ 14, 123–27; (9) The United
States Surgical Corporation (“USSC”), “a manufacturer of surgical staplers” and “a longtime target of animal rights
protests,” id. ¶¶ 15, 128–32; (10) Friends of Animals (“FOA”), “a longtime leading animal rights organization,” id.
¶¶ 17, 138–48; (11) Mercy for Animals (“MFA”), “a leading animal rights organization,” id. ¶¶ 19, 154–58; (12)
Utah Animal Rights Coalition (“UARC”) and United Animal Rights Coalition (“UARC”), “leading Utah-based
animal rights organizations,” id. ¶¶ 23, 176–80; (13) The Fund for Animals (“FFA”), “a leading animal rights
organization,” id. ¶¶ 31, 219–23; (14) The American Anti-Vivisection Society (“AAVS”), “the oldest organization
opposing animal experimentation in the United States,” id. ¶¶ 36, 245–53; (15) The New England Anti-Vivisection
Society (“NEAVS”), “one of the oldest organizations opposing animal experimentation in the United States,” id.
¶¶ 37, 254–60; (16) The National Anti-Vivisection Society (“NAVS”), another of “the oldest organizations
3
DOJ ’s response to this deluge of requests, however, was not as quick as plaintiff hoped,
and on October 18, 2011, he initiated this lawsuit, alleging the agency’s failure to produce
records in response to his requests regarding himself and COK violated FOIA. Complaint,
Shapiro v. United States Dep’t of Justice, Civ. Case No. 11-1835 (BAH) (D.D.C. Oct. 18, 2011).
On February 21, 2012, the parties agreed that DOJ would disclose records responsive to those
requests by May 15, 2012, with a schedule for any necessary dispositive motions. Min. Order
(Feb. 21, 2012), Shapiro v. United States Dep’t of Justice, Civ. Case No. 11-1835 (BAH)
(D.D.C. Feb. 21, 2012).
Six days later, however, plaintiff filed three additional lawsuits alleging that DOJ’s
failure to produce records in response to a number of his other requests also constituted
violations of FOIA.6 This Court directed the parties to show cause why all four cases should not
be consolidated. Min. Order (Mar. 1, 2012). Plaintiff agreed to consolidation of only three of
opposing animal experimentation in the United States,” id. ¶¶ 38, 261–68; (17) The Animal Liberation Front, “an
underground direct action animal rights organization,” id. ¶¶ 40, 274–79; (18) The Animal Liberation Front
Supporters Group, id. ¶¶ 46, 346–53; (19) Animal Defense League (“ADL”), “a militant, grassroots animal rights
organization,” id. ¶¶ 47–49, 354–60; (20) No Compromise, “a leading militant, grassroots animal rights magazine,”
id. ¶¶ 48, 361–69; and (21) Last Chance for Animals (“LCA”), “a seminal American animal rights organization,” id.
¶¶ 44–46, 286–92.
5
As described in the FAC, the seven events or publications purportedly concerning animal rights are: (1)
The Animal Liberation Front Conference, a 1994 FBI conference, FAC ¶¶ 35, 240–44; (2) the publication A
Declaration of War, id. ¶¶ 52–56, 487–93; (3) the 1990 murder of Hyram Kitchen, the former Dean of the College
of Veterinary Medicine at the University of Tennessee, id. ¶¶ 57–60, 494–510; (4) a 1990 “alert issued by the FBI’s
National Crime Information Center (NCIC) regarding the possibility of violence against unknown veterinary school
deans by unknown animal rights activists,” id. ¶ 505; (5) Green Is the New Red, a book and blog authored by Will
potter focusing on “eco-terrorism, the animal rights and environmental movements, and civil liberties in the post-
9/11 era,” id. ¶¶ 50–51, 466–73 (internal quotation marks omitted); and (6) the 1988 attempted bombing of the
USSC, id. ¶¶ 41–43, 280–85.
6
The first case concerned plaintiff’s requests regarding ADL, No Compromise, Lindsay Parme, Kimberly
Ann Berardi, Freeman Wicklund, Patrick Kwan, Peter George Schnell, Adam Weissman, Andrea Joan Lindsay, Josh
Trenter, Joseph W. Bateman, David Patrick Hayden, Miyun Park, Gina Lynn, and Sarah Jane Blum. Compl. at 1–
24, ECF No. 1. The second suit concerned plaintiff’s requests for records regarding LCA, Chris DeRose, Jack D.
Carone, Linda T. Tannenbaum, Crescent Vellucci, Jonathan Christopher Mark Paul, Leslie Stewart, Sheila Laracy,
Henry Hutto, Aaron Glenn Leider, and the ALFSG. Complaint at 1–15, Shapiro v. United States Dep’t of Justice,
Civ. No. 12-315-BAH (D.D.C. Feb. 27, 2020). The final suit covered plaintiff’s requests for records regarding ALF
and the USSC attempted bombing. Complaint at 1–8, Shapiro v. United States Dep’t of Justice, Civ. No. 12-318-
BAH (D.D.C. Feb. 27, 2020).
4
the four cases, as the parties had already made some progress in the earliest filed case, see Pl.’s
1st Mot. for Leave to File FAC at 1, ECF No. 6, while DOJ wanted all four cases consolidated,
see Def.’s Opp’n to Pl.’s Mot. for Leave to File FAC at 1, ECF No. 9. The Court ordered all
four cases to be consolidated, Mem. Op. & Order (Jun. 12, 2020) at 3, ECF No. 11, and
subsequently granted plaintiff leave to file a first amended complaint, which was filed on June
19, 2012, setting forth all of the claims asserted in the four separate actions “together with
several additional claims against the same defendant.” Pl.’s 2d Mot. for Leave to File FAC at 1,
ECF No. 12.
The parties then set out to determine how DOJ would respond to this omnibus action.
DOJ was ordered to produce records responsive to plaintiff’s COK request by July 20, 2012, and
plaintiff was directed to submit a “priority list” of his requests in order for the FBI and ATF to
determine a schedule for subsequent disclosures. Min. Order (Jul. 11, 2012). After plaintiff
submitted his priority list, DOJ moved to stay the case until September 30, 2019. Def.’s Mot. for
Open America Stay (“Def.’s Stay Mot.”) at 1, ECF No. 17. Litigation over the stay motion then
took center stage until, on December 8, 2014, DOJ’s motion was granted, in part, with litigation
stayed until September 30, 2017, owing to the “unusually voluminous, complicated, and
interconnected” nature of plaintiff’s requests. Mem. Opinion and Order (Dec. 8, 2014) (“Stay
Order”) at 2, ECF No. 61.
To address plaintiff’s record requests, DOJ divided plaintiff’s priority list into five tiers,
2d Hardy Decl. ¶ 38, and over the following three years, set about searching for, reviewing,
processing, and releasing records responsive to plaintiff’s requests. For “Tier 1” requests, DOJ
reviewed 56,581 responsive pages and released 17,727 pages in part or in full, 5th Decl. of David
M. Hardy ¶ 5, ECF No. 67-1, and also reviewed 29 pieces of non-documentary media (i.e., CDs
5
and DVDs) and released 23, 6th Decl. of David M. Hardy ¶ 5, ECF No. 70-1. For “Tier 2”
requests, out of 41,028 pages reviewed, 1,851 pages were released, 7th Decl. of David M. Hardy
¶ 5, ECF 71-1, and out of 14 CDs/DVDs reviewed, 1 was released, 8th Decl. of David M. Hardy
¶ 5, ECF 72-1. For “Tier 3” requests, out of 39,125 pages reviewed, 12,186 pages were released,
9th Decl. of David M. Hardy ¶ 5, ECF No. 73-1, and out of 64 CDs/DVDs reviewed, 3 were
released, 10th Decl. of David M. Hardy ¶ 5,7 ECF No. 74-1. For “Tier 4” requests, out of 12,862
pages reviewed, 5,391 pages were released, 11th Decl. of David M. Hardy ¶ 5, ECF No. 76-1,
and all 13 CDs/DVDs responsive to those requests were withheld, 12th Decl. of David M. Hardy
¶ 5, ECF No. 77-1. Finally, for “Tier 5” requests, out of 1,774 pages reviewed, 904 pages were
released, 13th Decl. of David M. Hardy ¶ 5, ECF No. 78-1, and out of 37 CDs/DVDs, 1 was
released, 14th Decl. of David M. Hardy ¶ 5, ECF No. 79-1. In preparing these “tiered” releases,
the FBI also reviewed and withheld “approximately 460,054 pages” related to then-pending
investigations. 15th Declaration of David M. Hardy (“15th Hardy Decl.”) ¶ 47, ECF No. 97-3.
In all, then, the FBI reviewed over 614,000 pages of records and nearly 160 CDs/DVDs
responsive to plaintiff’s requests and released approximately 38,788 pages and 28 CDs/DVDs to
plaintiff.
Some of the requests plaintiff sent to the FBI turned up records that belonged to the ATF.
Decl. of Peter J. Chisholm (“Chisholm Decl.”) ¶ 3, ECF No. 97-11. When that would happen,
the FBI would refer the documents to the ATF for determination of whether any of the
documents could be released. The ATF thus processed 509 pages of records pursuant to the
FBI’s referrals or requests for consultation, 17 of which were withheld in full and the remainder
of which were released in full or in part. See generally, Chisholm Decl.; Chisholm Decl., Ex. A
7
This document was mistitled the “Eighth Declaration of David M. Hardy.” It was, in fact, the 10th
declaration filed by the FBI’s declarant.
6
(“ATF Vaughn Index”), ECF No. 97-12. Plaintiff also sent a single FOIA request directly to the
ATF. Chisholm Decl. ¶ 10. That request led to the partial disclosure to the plaintiff of a single
4-page document. Id. ¶ 25; ATF Vaughn Index at 23.
After DOJ completed its disclosures, the parties agreed on a “sample” briefing method.
Joint Status Report (“JSR”) (Oct. 20, 2017), ECF No. 86. Under this sampling method,
explained below in greater detail, the parties selected a small sample of the records responsive to
plaintiff’s requests to use in testing the propriety of FBI’s withholdings. Id. The parties adopted
a more traditional briefing method to test the validity of the ATF’s withholdings. DOJ relies on
FOIA Exemptions 1, 3, 4, 5, 6, 7(A), 7(C), 7(D), and 7(E) to justify its withholdings as set out in
the FBI’s and ATF’s Vaughn Indexes, see 15th Hardy Decl., Ex. A (“FBI Vaughn Index”), ECF
No. 97-4; ATF Vaughn Index, and further explained in two declarations from David M. Hardy,
Section Chief of the FBI’s Record/Information Dissemination Section (“RIDS”), see 15th Hardy
Decl.; 16th Decl. of David M. Hardy (“16th Hardy Decl.”), ECF No. 113-1, and the declaration
of Peter J. Chisholm, Chief of the Disclosure Division at the ATF, see Chisholm Decl. Plaintiff
objects to the invocation of each FOIA exemption. See generally Pl.’s Mem. Supp. Cross-Mot.
Summ. J. & Opp’n Def.’s Mot. Summ. J. (“Pl.’s Opp’n”), ECF No. 105-1.
Based on the sample of processed records and the accompanying government filings, the
parties have cross-moved for summary judgment. Def.’s Summ. J. Mot., ECF No. 97; Pl.’s
Summ. J. Mot. Plaintiff also contends that he cannot adequately defend against DOJ’s summary
judgment motion with respect to the adequacy of the FBI’s search for responsive records and has
thus requested time to undertake discovery on that issue. Pl.’s 56(d) Mot. Over a year after the
filing of DOJ’s initial motion for summary judgment, including the submission of three briefs,
7
four declarations, and 386 pages of exhibits by DOJ and four briefs, one declaration, and 379
pages of exhibits by plaintiff, the pending motions became ripe for resolution at the end of 2019.
II. LEGAL STANDARDS
A. Rule 56(a)
Under Federal Rule of Civil Procedure 56, summary judgment shall be granted “if the
movant shows that there is no genuine dispute as to any material fact and the movant is entitled
to judgment as a matter of law.” FED. R. CIV. P. 56(a). “In FOIA cases, summary judgment may
be granted on the basis of agency affidavits if they contain reasonable specificity of detail rather
than merely conclusory statements, and if they are not called into question by contradictory
evidence in the record or by evidence of agency bad faith.” Aguiar v. DEA, 865 F.3d 730, 734–
35 (D.C. Cir. 2017) (internal quotation marks omitted) (quoting Judicial Watch, Inc. v. United
States Secret Serv., 726 F.3d 208, 215 (D.C. Cir. 2013)); see also Students Against Genocide v.
Dep’t of State, 257 F.3d 828, 833 (D.C. Cir. 2001) (“[A]n agency is entitled to summary
judgment if no material facts are in dispute and if it demonstrates ‘that each document that falls
within the class requested either has been produced . . . or is wholly exempt from the Act’s
inspection requirements.’” (quoting Goland v. CIA, 607 F.2d 339, 352 (D.C. Cir. 1978))). Most
FOIA cases will be resolved on summary judgment. Brayton v. Office of the U.S. Trade
Representative, 641 F.3d 521, 527 (D.C. Cir. 2011).
FOIA was enacted “to promote the ‘broad disclosure of Government records’ by
generally requiring federal agencies to make their records available to the public on request.”
DiBacco v. United States Army, 795 F.3d 178, 183 (D.C. Cir. 2015) (quoting United States Dep’t
of Justice v. Julian, 486 U.S. 1, 8 (1988)). To balance the public’s interest in governmental
transparency and “legitimate governmental and private interests [that] could be harmed by
release of certain types of information,” Judicial Watch, Inc. v. United States Dep’t of Defense,
8
913 F.3d 1106, 1108 (D.C. Cir. 2019) (internal quotation marks omitted) (quoting FBI v.
Abramson, 456 U.S. 615, 621 (1982)), FOIA has nine exemptions, set forth in 5 U.S.C. § 552(b),
which “are ‘explicitly made exclusive’ and must be ‘narrowly construed,’” Milner v. Dep’t of the
Navy, 562 U.S. 562, 565 (2011) (citations omitted) (first quoting EPA v. Mink, 410 U.S. 73, 79
(1973); and then quoting Abramson, 456 U.S. at 630). “[T]hese limited exemptions do not
obscure the basic policy that disclosure, not secrecy, is the dominant objective of the Act.”
Dep’t of the Air Force v. Rose, 425 U.S. 352, 361 (1976).
FOIA authorizes federal courts to “enjoin the agency from withholding agency records
and to order the production of any agency records improperly withheld from the complainant.” 5
U.S.C. § 552(a)(4)(B). District courts must “determine de novo whether non-disclosure was
permissible.” Elec. Privacy Info. Ctr. v. United States Dep’t of Homeland Sec., 777 F.3d 518,
522 (D.C. Cir. 2015). “FOIA places the burden ‘on the agency to sustain its action,’ and the
agency therefore bears the burden of proving that it has not ‘improperly’ withheld the requested
records.” Citizens for Responsibility & Ethics in Wash. v. United States Dep’t of Justice, 922
F.3d 480, 487 (D.C. Cir. 2019) (citations omitted) (first quoting 5 U.S.C. § 552(a)(4)(B) and then
quoting United States Dep’t of Justice v. Tax Analysts, 492 U.S. 136, 142 n.3 (1989)); see also
United States Dep’t of Justice v. Landano, 508 U.S. 165, 171 (1993) (noting that “[t]he
Government bears the burden of establishing that the exemption applies”). This burden does not
shift even when the requester files a cross-motion for summary judgment because “the
Government ‘ultimately [has] the onus of proving that the [documents] are exempt from
disclosure,’” while the “burden upon the requester is merely ‘to establish the absence of material
factual issues before a summary disposition of the case could permissibly occur.’” Pub. Citizen
9
Health Research Grp. v. FDA, 185 F.3d 898, 904–05 (D.C. Cir. 1999) (alterations in original)
(quoting Nat’l Ass’n of Gov’t Emps. v. Campbell, 593 F.2d 1023, 1027 (D.C. Cir. 1978)).
B. Rule 56(d)
Federal Rule of Civil Procedure 56(d) provides that a court “may deny a motion for
summary judgment or order a continuance to permit discovery if the party opposing the motion
adequately explains why, at that timepoint, it cannot present by affidavit facts needed to defeat
the motion.” Strang v. United States Arms Control and Disarmament Agency, 864 F.2d 859, 861
(D.C. Cir. 1989) (emphasis in original). The party requesting relief bears the burden of
“show[ing] what facts he intend[s] to discover that would create a triable issue and why he could
not produce them in opposition to” the motion for summary judgment. Byrd v. EPA, 174 F.3d
239, 248 n.8 (D.C. Cir. 1999). That burden, however, cannot be satisfied by “conclusionary
assertion[s] without any supporting facts,” id., and the party seeking discovery must identify
“with sufficient particularity why additional discovery is necessary,” United States ex rel.
Folliard v. Gov’t Acquisitions, Inc., 764 F.3d 19, 26 (D.C. Cir. 2014) (quoting Convertino v.
United States Dep’t of Justice, 684 F.3d 93, 99 (D.C. Cir. 2012)). “District Courts,” however,
“are afforded discretion in ruling on requests for additional discovery pursuant to” Rule 56(d).
Stella v. Mineta, 284 F.3d 135, 147 (D.C. Cir. 2002). Indeed, given that discovery management
entails the kind of supervision of “the to-and-fro of district court litigation” that “falls within the
expertise . . . of district courts,” Watts v. SEC, 482 F.3d 501, 507 (D.C. Cir. 2007), that discretion
“is at its zenith,” Folliard, 764 F.3d at 26 (citing Gaujacq v. EDF, Inc., 601 F.3d 565, 580 (D.C.
Cir. 2010)).
III. DISCUSSION
Before analyzing the parties’ cross-motions for summary judgment, determining whether
that analysis would be premature is appropriate. Plaintiff’s motion under Rule 56(d) is thus
10
discussed first. As plaintiff fails to show that the requested discovery is necessary, consideration
of the parties’ cross-motions for summary judgment follows.
A. PLAINTIFF FAILS TO DEMONSTRATE A NEED FOR DISCOVERY
Plaintiff claims that he cannot yet properly oppose DOJ’s motion for summary judgment
with respect to the adequacy of the FBI’s search for responsive records. Consequently, he
requests an opportunity, pursuant to Federal Rule of Civil Procedure 56(d), to undertake
discovery on that issue. Rule 56(d) provides that, if a party opposing summary judgment “shows
by affidavit or declaration that, for specified reasons, [he] cannot present facts essential to justify
[his] opposition, the court may” do one of the following: “(1) defer considering the motion [for
summary judgment] or deny it; (2) allow time to obtain affidavits or declarations or to take
discovery; or (3) issue any other appropriate order.” FED. R. CIV. P. 56(d). “Convertino [v.
United States Department of Justice, 684 F.3d 93 (D.C. Cir. 2012)], established the applicable
standard” for deciding whether consideration of a motion for summary judgment must be
delayed. Haynes v. Dist. of Columbia Water and Sewer Auth., 924 F.3d 519, 532 (D.C. Cir.
2019). In order to secure the postponement he seeks, plaintiff must “(1) outline the particular
facts [he] intends to discover and describe why those facts are necessary to the litigation;
(2) explain why [he] could not produce the facts in opposition to the motion for summary
judgment; and (3) show the information is in fact discoverable.” Id. at 530 (quotation marks and
alterations omitted) (quoting Convertino, 684 F.3d at 99–100). Whether the nonmovant has
“diligently pursued discovery of the evidence” he seeks is also relevant. Folliard, 764 F.3d at 26
& n.5 (internal quotation marks omitted) (quoting Convertino, 684 F.3d at 99). “This inquiry
must be resolved through ‘application of the Convertino criteria to the specific facts and
circumstances presented in the request,’ rather than on the basis of presumptions about a given
stage of litigation.” Haynes, 924 F.3d at 530 (quoting Folliard, 764 F.3d at 27).
11
That plaintiff’s request for discovery is made in the FOIA context makes this an uphill
challenge for him since the law is well settled that “discovery is generally ‘disfavored’ in mine-
run FOIA cases.” Am. Ctr. for Law and Justice v. United States Dep’t of State, 289 F. Supp. 3d
81, 92 (D.D.C. 2018) (quoting Justice v. IRS, 798 F. Supp. 2d 43, 47 (D.D.C. 2011)). Instead, so
long as an agency “establish[es] the adequacy of its search by submitting reasonably detailed,
nonconclusory affidavits describing its efforts . . . the district court ha[s] discretion to forgo
discovery and award summary judgment on the basis of affidavits.” Freedom Watch, Inc. v.
Nat’l Sec. Agency, 783 F.3d 1340, 1345 (D.C. Cir. 2015) (internal quotation marks and citation
omitted) (quoting Baker & Hostetler LLP v. United States Dep’t of Commerce, 473 F.3d 312,
318 (D.C. Cir. 2006) and Goland, 607 F.2d at 352). Those affidavits or declarations must, of
course, be “submitted in good faith,” Goland, 607 F.2d at 352, but agency affidavits are
generally accorded “a presumption of good faith, which cannot be rebutted by purely speculative
claims.” Bartko v. United States Dep’t of Justice, 898 F.3d 51, 74 (D.C. Cir. 2018) (internal
quotation marks omitted) (quoting SafeCard Servs., Inc. v. S.E.C., 926 F.2d 1197, 1200 (D.C.
Cir. 1991)). Discovery is therefore the exception in FOIA cases and, so long as the agency’s
affidavit passes muster and is “submitted in good faith,” discovery requests should be denied.
Baker & Hostetler, 473 F.3d at 318 (D.C. Cir. 2006) (quoting Schrecker v. Dep’t of Justice, 217
F. Supp. 2d 29, 35 (D.D.C. 2002)).
This FOIA-specific aversion to discovery does not change the standard announced in
Convertino for determining whether to pause summary judgment proceedings under Rule 56(d).
It does, however, color the first Convertino factor. Specifically, to show that the requested
discovery is “necessary to the litigation,” Convertino, 684 F.3d at 99, plaintiff must explain why
the FBI’s affidavits describing its search methods are not submitted in good faith such that
12
discovery is warranted. Baker & Hostetler, 473 F.3d at 318. A brief description of the relevant
affidavits submitted by the FBI is thus in order.
The FBI first described its search methods on August 1, 2012, during its successful
attempt to secure a multi-year-long stay of this case. In a declaration by the agency’s Section
Chief of the Record/Information Dissemination Section (“RIDS”), the FBI explained how its
records are organized. To begin, the FBI maintains a “Central Records System (‘CRS’),” which
contains “all information that it has acquired in the course of fulfilling its mandated law
enforcement responsibilities.” 2d Hardy Decl. ¶ 10. These CRS records are organized by
“General Indices,” which represent “various subject matters” and can be searched “manually or
through . . . automated indices.” Id. ¶ 11. To complete such a search, the FBI uses a case
management system known as the Automated Case Support (“ACS”) system. Id. ¶ 13. More
specifically, the “Universal Index (‘UNI’),” an application within ACS, allows FBI personnel to
search “a complete subject/case index to all investigative and administrative cases.” Id. ¶ 13(c).
Apart from CRS, the FBI maintains the “Electronic Surveillance (‘ELSUR’) Indices.” Id.
¶ 15. ELSUR indices are “used to maintain information on subjects whose electronic and/or
voice communications have been intercepted” by the FBI since 1960. Id. In its 2012
declaration, the FBI did not explain how, precisely, the ELSUR indices are searched except to
say that agency personnel “access[]” ELSUR records “electronically.” Id. The FBI has since
made clear that, when ACS was implemented in 1995, “prior ELSUR indices” interfaced with
that system, meaning that “ELSUR indexed data could be searched through ACS/UNI.” 16th
Hardy Decl. ¶ 115.
As for the searches in response to plaintiff’s FOIA requests referenced in plaintiff’s First
Amended Complaint, the FBI explained that RIDS “quer[ied] CRS using the name of the
13
individual or organization identified by plaintiff in his request, and/or by using key words
derived from plaintiff’s requests where the request was not about a specific individual or
organization.” 2d Hardy Decl. ¶ 19. Using ACS, the FBI also searched CRS by breaking down
the search terms phonetically. Id. When it had additional identifying information for the subject
of a request, e.g., “dates of birth, places of birth, and/or social security numbers,” RIDS would
use it to “ensure search results pertained to the correct individual at issue in plaintiff’s requests.”
Id. The searches encompassed both “main files,” which are records corresponding to the subject
of a request itself, and “reference entries,” records which contain “only a mere mention or
reference” to the subject of a request. Id. ¶¶ 11, 20.
With respect to ELSUR records requested by the plaintiff, “RIDS . . . completed searches
of those indices for the subjects plaintiff identified in his requests.” Id. ¶ 21. The FBI’s 2012
declaration does not go into much detail about how RIDS “completed” those searches of the
ELSUR indices. Subsequent declarations, however, clarified how the FBI searched for ELSUR
records in this case. Prior to 2015, when the searches for plaintiff’s requested records would
have been conducted, if RIDS received a request for ELSUR records, it would “contact[] the FBI
personnel that manage the ELSUR database” to conduct a search of the ELSUR indices and
report the results back to RIDS. 16th Hardy Decl. ¶ 115. ELSUR personnel, it turns out,
searched the ELSUR indices using the exact same method RIDS used to look for records, i.e. a
“search[] of ACS/UNI.” Id.
In his attempt to meet the first Convertino factor, plaintiff questions whether the
declarations submitted by the FBI relevant to the adequacy of its search for ELSUR records were
submitted in good faith. Plaintiff, through his attorney’s declaration, points to a hodgepodge of
documents obtained in separate FOIA litigation brought by plaintiff and others that purportedly
14
“paint[] a picture of a complex series of FBI systems for the storage, retrieval, indexing, and
searching” of and for ELSUR materials. Decl. of Jeffrey Light (“Light Decl.”) ¶ 11, ECF No.
102-2; see also generally Pl.’s 56(d) Mot., Exs. 1–8, ECF 102-1. According to plaintiff, the
documents also contain numerous “conflicting statements about FBI searches for ELSUR
material in response to FOIA and Privacy Act requests.” Light Decl. ¶ 11. Plaintiff argues that
these alleged inconsistencies and inaccuracies create a specter of “bad faith,” Pl.’s 56(d) Mot. at
3, and thus entitle him to far-reaching discovery into, inter alia, the manner in which ELSUR
records are stored, the search capabilities of various FBI programs, and the policies and practices
of RIDS with respect to searches for ELSUR materials. Light Decl. ¶ 18.
Plaintiff’s presentation of certain documents that he claims suggest the FBI submitted its
declarations in bad faith is simply not persuasive. Some of those documents long pre-date the
searches in this case, some relate to searches in other cases, some do not relate to FOIA searches
at all, and those that do relate to the FOIA requests at issue in this case are at least consistent
with, and even helpful to, the FBI’s description of the ELSUR searches it conducted. To begin,
plaintiff points to a declaration filed in a different case by the same FBI official who authored the
relevant declarations in this case. Pl.’s 56(d) Mot. at 2. In it, the FBI declarant explains that
prior to February 2015, he and his team understood that to search for ELSUR records, they
needed to forward requests to ELSUR personnel, as they did in this case. In 2015, however,
RIDS discovered that, because the ELSUR indices had interfaced with the ACS/UNI case
management system, those records were accessible through that application. In fact, it became
clear that when RIDS forwarded a request to ELSUR personnel, those agents were running the
exact same search that RIDS was conducting itself. Pl.’s 56(d) Mot. at 2; 16th Hardy Decl.
15
¶ 115. This revelation, which post-dates the searches in this case, serves only to show that, to the
extent RIDS forwarded plaintiff’s requests to ELSUR personnel, it did so needlessly.8
Plaintiff attempts to muddy the waters by pointing to a 1998 internal FBI memorandum
sent to FOIA personnel instructing agents to limit ELSUR searches “to only retrieving [ELSUR]
information on those individuals considered as a target of the investigation and listed as a
‘principal’ for the electronic surveillance.” Pl.’s 56(d) Mot., Ex. 5 at 1. The memorandum
explains that “principal” means “the target” of the electronic surveillance, id. at 2, noting that an
ELSUR search may turn up two other kinds of references: “overhear[s],” which are
conversations of someone other than a principal that have been recorded, and “mention[s],”
which indicate that a participant in a recorded conversation mentioned the name of a third party,
id. Plaintiff admits that, because this memorandum was circulated 13 years before this litigation
commenced, he does not know whether the policies it describes “were still in effect at the time
the FBI conducted searches in this case.” Light Decl. ¶ 6. Absent more, plaintiff’s assertion that
the FBI improperly limited the scope of the search for ELSUR records is thus “purely
speculative,” and cannot overcome the presumption of good faith the FBI’s declaration must be
afforded. Bartko, 898 F.3d at 74 (quoting SafeCard Servs., Inc., 926 F.2d at 1200).9
The same conclusion applies to plaintiff’s reliance on an FBI training PowerPoint
obtained via an unrelated FOIA request. That PowerPoint describes “[f]our separate [ELSUR]
record categories,” including “principal records,” “proprietary interest records,” “intercept
8
Plaintiff also points to the FBI’s declarant’s deposition testimony taken in another case regarding RIDS’s
search procedures that “[i]f it looks like there could be ELSUR documents, then we’ll do an ELSUR search.” Light
Decl. ¶ 9; Pl.’s 56(d) Mot., Ex. 8 at 45. This deposition was taken on October 22, 2009, at least five years before the
FBI’s declarant says he realized a separate ELSUR search was unnecessary. His testimony in that case is therefore
consistent with his declarations in this case.
9
To the extent that plaintiff argues the documents he has produced call into question the adequacy of the
FBI’s search, that is a different question, discussed supra in Part III.B.1. To require discovery, however, plaintiff
must do more than suggest the agency’s search was inadequate by producing some evidence that calls into question
the agency’s good faith.
16
records,” and “reference records.” Pl.’s 56(d) Mot., Ex. 6 at 5 (capitalization altered). As
plaintiff’s declarant concedes, however, “the training material does not indicate which of these
separate record categories are to be searched.” Light Decl. ¶ 7. The training material sheds no
light on whether the FBI’s description of its ELSUR searches was made in good faith and
therefore does not bear on whether discovery is warranted in this action.
Nor does plaintiff’s discussion of three systems related to the management of ELSUR
records present any evidence of bad faith on the part of the FBI. Plaintiff has submitted a
description of something called the ELSUR Data Management System (“EDMS”). Pl.’s 56(d)
Mot., Ex. 2.10 He also submits a 2013 FBI memorandum regarding certain whistleblower
allegations. In determining that the allegations were unfounded, the memorandum described the
FBI’s replacement, in 2012, of the ELSUR Records System (“ERS”), which was an
“alphanumeric and numeric index” of ELSUR records, with the ELSUR Data Application
(“EDA”), a new ELSUR index with improved search functionality and ease of use. Pl.’s 56(d)
Mot., Ex. 1 at 4 n.1, 7. Finally, plaintiff submits two documents, obtained in response to his
FOIA request for documents related to how the FBI processed the FOIA requests at issue in this
case (what he calls a “FOIA about FOIA”), indicating that both the ERS and EDA were
searched. Pl.’s 56(d) Reply, Exs. 1–2, ECF 123-1. That the FBI maintains other applications
related to ELSUR records does nothing to call into question the FBI declarant’s statement that, in
1995, “the ELSUR indices interfaced with ACS/UNI, and ELSUR indexed data could be
searched through ACS/UNI.” 16th Hardy Decl. ¶ 115. Plaintiff’s own submission describes the
ERS as an “index,” and it is safe to assume that its replacement, the EDA, is also an index of
ELSUR records. Pl.’s 56(d) Mot., Ex. 1 at 4 n.1. Plaintiff’s submission is thus entirely
10
The description appears to be contained in a request for funds to improve EDMS in fiscal year 2008,
though its origin is neither clear nor explained.
17
consistent with the FBI’s declaration—the ERS and the later-implemented EDA are indices of
ELSUR records that “interfaced with ACS/UNI” and could be searched via that application. At
best, the documents plaintiff obtained in his “FOIA about FOIA” request show that ELSUR
personnel may have searched the ERS and EDA directly, and do nothing to suggest that the
FBI’s declarations were not “submitted in good faith.” Goland, 607 F.2d at 352.
Over the eight years this case has been pending, some change in records management and
search processes on the part of the FBI is hardly surprising. Plaintiff’s attempt to use that natural
development of agency procedures as evidence of agency bad faith is insufficient. He has thus
failed to show why discovery, eschewed in FOIA litigation absent a showing of agency bad faith,
is “necessary” in this case. Convertino, 684 F.3d at 99.
Accordingly, plaintiff’s motion for discovery under Rule 56(d) is denied.
B. FBI AND ATF SEARCHES WERE ADEQUATE
Plaintiff contends that “[i]n the event that the Court denies [his 56(d)] motion,” as it has,
“the FBI’s Motion for Summary Judgment” should be denied “as to the adequacy of the search”
performed for the records he requested. Pl.’s Opp’n at 1. Plaintiff focuses his complaints
regarding search adequacy on the search performed by the FBI and does not point to any
deficiencies in the search performed by the ATF. Nevertheless, both the FBI and ATF have
requested summary judgment as to the adequacy of each agency’s search, and it is their “burden
. . . to sustain [their] action[s].” 5 U.S.C. § 552(a)(4)(B); see also Citizens for Responsibility and
Ethics in Washington v. United States Dep’t of Justice, 922 F.3d 480, 487 (D.C. Cir. 2019). The
legal standard for determining whether an agency has met that burden is discussed first, followed
by examination of the adequacy of the searches performed by the FBI and the ATF.
18
1. Legal Standard
To obtain summary judgment with respect to the adequacy of its search, an agency must
“demonstrate beyond material doubt that its search was reasonably calculated to uncover all
relevant documents.” Inst. for Justice v. IRS, 941 F.3d 567, 569–70 (D.C. Cir. 2019) (internal
quotation marks omitted) (quoting Ancient Coin Collectors Guild v. United States Dep’t of State,
641 F.3d 504, 514 (D.C. Cir. 2011)). The agency need not demonstrate that it has uncovered all
records possibly responsive to a request, but rather that its “search for those documents was
adequate.” Weisberg v. United States Dep’t of Justice, 745 F.2d 1476, 1485 (D.C. Cir. 1984)
(emphasis omitted). In crafting that adequate search, the agency “has a duty to construe a FOIA
request liberally,” Nation Magazine v. United States Customs Serv., 71 F.3d 885, 890 (D.C. Cir.
1995), but “is not obliged to look beyond [its] four corners,” Aguiar v. DEA, 865 F.3d 730, 740
n.1 (D.C. Cir. 2017) (quoting Kowalczyk v. Dep’t of Justice, 73 F.3d 386, 389 (D.C. Cir. 1996)).
In other words, the agency need not “divine a requester’s intent,” Landmark Legal Found. v.
EPA, 272 F. Supp. 2d 59, 64 (D.D.C. 2003), but it must show that it followed the request where
it could reasonably lead.
An agency can meet its burden “by submitting a reasonably detailed affidavit, setting
forth the search terms and the type of search performed, and averring that all files likely to
contain responsive materials (if such records exist) were searched.” Evans v. Fed. Bureau of
Prisons, 951 F.3d 578, 584 (D.C. Cir. 2020) (internal quotation marks and alterations omitted)
(quoting Reporters Comm. for Freedom of Press v. FBI, 877 F.3d 399, 402 (D.C. Cir. 2017)).
Such affidavits “are accorded a presumption of good faith,” id. (internal quotation marks
omitted) (quoting SafeCard Servs., Inc., 926 F.2d at 1200), which can be overcome only if the
requester “raises substantial doubt, particularly in view of well defined requests and positive
19
indications of overlooked materials,” DiBacco v. United States Army, 795 F.3d 178, 188 (D.C.
Cir. 2015) (internal quotation marks omitted) (quoting Valencia-Lucena, 180 F.3d 321, 326
(D.C. Cir. 1999)). If after a review of the record, however, such doubt remains, an agency’s
request for summary judgment must be denied. Id.
2. Adequacy of FBI Search
Plaintiff raises four potential issues with the FBI’s search in an attempt to manufacture
the requisite doubt about the adequacy of the search: (1) he claims the FBI improperly limited
the search performed to so-called “main files” and to animal rights subjects, Pl.’s Opp’n at 1;
(2) documents known as “search slips” obtained by plaintiff in separate litigation purportedly
indicate that records held at certain field offices were “unsearchable due to being boxed up for
automation,” id. at 2; (3) one search slip contains a note stating the search was “[l]imited to
locality when going thru (sic) search,” id. at 3; and (4) in e-mail correspondence the FBI
indicated that “public source” documents contained within files responsive to plaintiff’s requests
had not been produced, id. These challenges are addressed seriatim.
First, to bolster his contention that the search conducted was improperly constrained,
plaintiff points to an internal RIDS newsletter, dated September 2011, containing a section titled
with his name, “Shapiro.” Pl.’s Opp’n, Ex. 1 at 1, ECF No. 105-2.11 The newsletter instructs
RIDS personnel who “have a request that was made on or after 7/11 for cross references related
to animal rights” to consider “only cross references from file classifications 266, 100, and 336.”
Id. The newsletter further instructs, for “requests from on or after 7/11 [that] request[] all
references not limited to animal rights, no cross references will be searched.” Id. Plaintiff
11
Plaintiff compiled each of the exhibits related to the adequacy of the FBI’s search into a single document.
For ease of reference the pagination assigned by the Court’s Case Management/Electronic Case Files system
(CM/ECF) will be used.
20
claims “[t]hese limitations on the scope of the FBI’s search are unreasonable” and render the
search “inadequate.” Pl.’s Opp’n at 2. According to FBI’s declarant, however, those
instructions “only appl[ied] to [the] administrative” phase of plaintiff’s requests and “[t]he FBI
conducts de novo reviews in all [FOIA] cases subject to litigation.” 16th Hardy Decl. ¶ 7. That
declaration confirming de novo reviews, presumably made in good faith, renders any concern
raised by the newsletter insignificant.12
The same can be said of plaintiff’s other complaints about the FBI’s search. The search
slip he obtained containing the note, dated March 10, 2011, that a certain FBI field office was
“[u]nsearchable due to being boxed up for automation,” Pl.’s Opp’n, Ex. 4 at 10, pertains to
FOIA search #1162667, which is not a subject of this litigation, 16th Hardy Decl. ¶ 9.
Moreover, “the FBI completed all necessary manual indices searches, including those field
offices which were unavailable at some point during the processing of Plaintiff’s FOIA
requests.” Id.13 Another search slip that worries plaintiff notes that a particular search was
“limited to locality when going thru [sic] search,” Pl.’s Opp’n, Ex. 5 at 16, but it too pertains to a
request not at issue in this suit, compare id. (noting request at issue was “FOIPA #1173350-
001”) with 2d Hardy Decl., Ex. A (listing searches at issue and nowhere mentioning request
number 1173350-001). Finally, while a third search slip, containing a RIDS employee’s
12
In any event, to the extent the searches were limited during the administrative processing of plaintiff’s
requests, this was at his direction. On July 6, 2011, the plaintiff informed RIDS personnel of his decision to “limit
cross-reference searches for all of [his] FOIPA requests submitted since 1 January 2011 to information pertaining in
any way to animal protection/rights and environmental protection/rights issues/organizations/individuals/events/
investigations/etc.” Pl.’s Opp’n, Ex. 2 at 5. Five years later, after the searches for his records had been completed
and the responsive documents were being processed, plaintiff rescinded that agreement. Pl.’s Opp’n, Ex. 3 at 7.
Even if the FBI’s subsequent declaration that it performed a “de novo review” of his requests once this case entered
litigation did not settle the matter, the plaintiff cannot now complain about limitations on those administrative
searches he himself sought.
13
Just to gild the lily, the very search slip on which plaintiff relies also contains a note, dated November 30,
2011, indicating that FBI personnel “completed manual indices search” of the field office in question. Pl.’s Opp’n,
Ex. 4 at 14.
21
comment that the FBI doesn’t “usually pull public source” documents, does refer to a search at
issue in this case, the FBI’s most recent declaration makes clear that the comment “does not
depict the full history” of that request and that “the FBI processed all responsive records . . .
including public source information.” 16th Hardy Decl. ¶ 11.
In sum, plaintiff’s cherry-picked phrases from documents obtained outside this litigation,
many of which relate to searches for records responsive to requests not at issue in this case, do
not call the adequacy of the FBI’s search into question. Even if they did, those doubts are more
than allayed by the FBI’s most recent declaration. Perhaps in recognition of this fact, plaintiff
makes no mention of search adequacy in his reply. See generally Pl.’s Reply Supp. Cross-Mot.
Summ. J. (“Pl.’s Summ. J. Reply”), ECF No. 125.
While plaintiff has mounted an attack on the FBI’s declarations by marshaling outside
sources, a focus on the FBI’s submissions in this case demonstrates that the agency has carried
its burden. The description of the agency’s search appears in twelve paragraphs of a declaration
submitted in support of the FBI’s bid to secure the years-long stay of this case to process
properly the records identified in searches. 2d Hardy Decl. ¶¶ 10–22; see also 15th Hardy Decl.
¶ 6 (explaining that the “[p]aragraphs 10-22 of the Second Hardy Declaration describe[d] . . . the
FBI’s search for records responsive to Plaintiff’s requests”). Those paragraphs provide a general
description of how the FBI stores and searches for records, 2d Hardy Decl. ¶¶ 10–18, as updated
throughout this litigation and already described, see supra, Part III.A. Detail about how the FBI
searched for records related to the plaintiff’s requests in this particular case are also provided.
See 2d Hardy Decl. ¶¶ 19–22. Those paragraphs explain that, as of July 31, 2012, the FBI had
“completed . . . searches for records potentially responsive to all” the plaintiff’s requests at issue
in this case. Id. ¶ 19. It did so by searching both main files and cross-references located in its
22
CRS, which, again, contains “all information that [the FBI] has acquired in the course of
fulfilling its mandated law enforcement responsibilities.” Id. ¶¶ 10, 20. The FBI also
“completed searches of [ELSUR] indices for the subjects plaintiff identified in his requests.” Id.
¶ 21.
To complete those searches the FBI appropriately derived search terms from the requests
at issue in this case. Searches for requests about a specific individual or organization were
conducted of the FBI’s Central Records System “using the name of the individual or
organization” and “a phonetic breakdown” of the same. Id. ¶ 19. According to the FBI’s
declarant, that phonetic breakdown “facilitates location of records using the phonetic sounds of
the terms, and for names, would return results for the initials of the first and middle names.” Id.
Additional information, if available, “including but not limited to dates of birth, places of birth,
and/or social security numbers,” would be used to ensure the search was accurate. Id. Searches
for requests that were “not about a specific individual or organization,” e.g., plaintiff’s request
for information regarding the Hyram Kitchen murder, see 2d Hardy Decl., Ex. A at 5, would
“us[e] key words derived from plaintiff’s requests” and phonetic breakdowns of the same, 2d
Hardy Decl. ¶ 19. The FBI has thus submitted “a reasonably detailed affidavit, setting forth the
search terms and the type of search performed, and averring that all files likely to contain
responsive materials (if such records exist) were searched.” Evans, 951 F.3d at 584 (internal
quotation marks and alteration omitted). It has met its burden and DOJ is entitled to summary
judgment as to the adequacy of the FBI’s search.
3. Adequacy of ATF Search
ATF’s involvement in this case was, for the most part, processing records forwarded to it
by the FBI. Plaintiff filed only a single request with ATF directly, see Chisholm Decl. ¶ 10;
23
FAC ¶ 280, and he raises no issue with the search performed in response to that request, Pl.’s
Summ. J. Mot. at 1–3, 51–53. Indeed, ATF’s declaration provides sufficient detail about its
search for plaintiff’s requested records. Plaintiff’s request to ATF was for “any and all records
that were prepared, received, transmitted, collected and/or maintained by” ATF, “the Domestic
Terrorism Task Force (DTTF), the National Joint Terrorism Task Force, or any Joint Terrorism
Task Force referring or relating to . . . [t]he 11 November 1988 attempted bombing at that
Norwalk, Connecticut U.S. Surgical Corporation (USSC).” Chisholm Decl., Ex. H at 1, ECF
No. 97-13; FAC ¶ 280. ATF’s declarant explains that “[b]etween September 13, 2011 and
September 20, 2011, ATF conducted a search” for the requested information “using the name
‘United States Surgical Corp.’” as its search term. Chisholm Decl. ¶ 12. ATF searched the
“Treasury Enforcement Communications System (TECS),” which “was ATF’s primary case
management system during the 1980’s [sic] and most of the 1990’s [sic].” Chisholm Decl.
¶¶ 42, 46. That database is “a comprehensive ATF law enforcement database that contains ATF
investigative records.” Id. ¶ 46. ATF’s declarant averred that “because the TECS database
contains the cases ATF has investigated, TECS was the place most likely to contain responsive
records,” id. ¶ 47, and this initial search of the database failed to locate any responsive records,
id. ¶ 48. ATF also sent plaintiff’s request to its Boston Field Division to search for a case file
related to the USSC bombing, but that office was also unable to locate responsive records. Id.
¶ 12.
Plaintiff’s complaint in this case included additional information that allowed ATF to
perform a more complete and accurate search. In particular, plaintiff alleged that the records he
sought related to a specific ATF case file number. Id. ¶ 22; FAC ¶ 282. With this case number
in hand, ATF re-searched TECS and found “an ATF investigation from 1989 instead of 1988.”
24
Chisholm Decl. ¶ 23. The Boston Field Division searched the investigative file but found no
responsive records, likely due to the fact that ATF’s policy is to destroy investigative records
after twenty years, meaning the records in question, had any existed, would have been destroyed
in 2009. Id. ¶ 24. Plaintiff was provided with one responsive record: a printout of the “hit” in
the TECS search. Id. ¶ 52. ATF’s declarant avers that, given the foregoing, the agency
“conducted a complete and adequate search of all records pertaining to the attempted bombing at
the USSC in Norwalk, Connecticut, and limited responsive information was found and disclosed
with the appropriate redactions.” Id.
In short, ATF has submitted “a reasonably detailed affidavit, setting forth the search
terms and the type of search performed, and averring that all files likely to contain responsive
materials (if such records exist) were searched.” Evans v. Fed. Bureau of Prisons, 951 F.3d at
584 (internal quotation marks and alteration omitted). ATF has therefore established the
adequacy of its search.
C. PROPRIETY OF THE FBI’S WITHHOLDINGS
Having dispatched with the threshold issue of the adequacy of the search performed, the
processing of the records produced can now be discussed. Since the FBI received the vast
majority of the requests at issue and processed the vast majority of records, this agency’s
responses are addressed first. Owing to the voluminous responsive records in this case, however,
the parties have agreed to test the FBI’s records processing using only a sample of the records
produced. See JSR (Oct. 20, 2017); Min. Order (Oct. 23, 2017) (approving use of sampling
method). The standards guiding analysis of a FOIA action using a sampling method and how
that method affects the reach of this opinion are explained first before analyzing whether the
records were properly withheld in full or in part.
25
1. Principles of Sampling in FOIA Litigation
At the summary judgment stage of a FOIA action, a court would typically be required to
examine “each and every” challenged redaction or withholding. Weisberg, 745 F.2d at 1490.
When, however, the number of documents is so large that it “would not realistically be possible
to review each and every one,” courts have permitted the parties to limit their dispute to a
representative sample of processed records. Id. This sampling method is essential for FOIA
actions implicating a large number of responsive records, but is relatively undertheorized. A
brief discussion of the principles underlying the sampling method and the possible ramifications
for this case is thus helpful.
a. Sampling Basics
In broad strokes, after the agency has processed all of the records responsive to the
requests at issue, released those records that are not exempt from disclosure, and identified the
exemptions used to withhold any records, the sampling method should work as follows: (1) the
parties select a representative sample of documents from the withheld records; (2) the agency
creates a Vaughn index for that sample and/or submits the sample for in camera inspection;
(3) the parties brief the propriety of the redactions or withholdings made within that sample;
(4) the Court examines the justifications for those redactions and withholdings, determines
whether any redactions or withholdings were made in error, and orders the agency to release any
materials that were unjustifiably withheld within the sample, Hunton & Williams LLP v. U.S.
Env’tl Protection Agency (“Hunton”), 346 F. Supp. 3d 61, 87–88 (D.D.C. 2018); and finally
(5) the Court determines the “error rate” within the sample by counting up the “unjustified
26
withholdings” and dividing that number by the “total withholdings” made in the sample, Bonner
v. United States Dep’t of State, 928 F.2d 1148, 1154 n.3 (D.C. Cir. 1991).14
The fifth step is what differentiates the sampling method from run-of-the-mill FOIA
litigation. On the theory that, so long as “the sample is well-chosen, a court can, with some
confidence, ‘extrapolate its conclusions from the representative sample to the larger group of
withheld materials,’” Bonner, 928 F.2d at 1151 (quoting Fensterwald v. United States Central
Intelligence Agency, 443 F. Supp. 667, 669 (D.D.C. 1977)), the error rate is used as a rough
measure of whether responsive records not included in the sample were properly withheld. If
that rate is “negligible,” that ends the matter and summary judgment for the agency with respect
to application of exemptions to the remaining withheld documents is appropriate. Hunton, 346
F. Supp. 3d at 87. If, however, the error rate is “unacceptably high,” Meeropol v. Meese, 790
F.2d 942, 960 (D.C. Cir. 1986), the court may order the more drastic step of “requir[ing]
agencies to reprocess all responsive records” that were withheld in full or in part. Hunton, 346
F. Supp. 3d at 87 (emphasis added). The sampling method’s tolerance of negligible error rates
recognizes that there is “a trade-off between the high degree of confidence that comes from
examining every item for which exemption is claimed, and the limitations of time and resources
that constrain agencies, courts, and FOIA requesters alike.” Bonner, 928 F.2d at 1151. For
FOIA actions involving a massive volume of responsive records, like this one, however, the
gains in efficiency the method produces are essential. Weisberg, 745 F.2d at 1489–90 (“Given
14
Parties and courts have, on occasion, selected samples from the entire universe of responsive records,
including those released in full. This method, however, risks producing a sample with an insufficient number of
documents containing withholdings. See Weisberg, 745 F.2d at 1483 (explaining that, after a district court ordered a
Vaughn index “of every two hundredth” responsive document, it needed to “order[] a supplemental Vaughn index
when the first index produced a large number of pages containing no excisions”). Selecting a sample from only
documents that have been withheld in full or in part thus better aligns with a court’s task in FOIA actions, which is
to determine whether documents have been “improperly withheld,” not whether documents were properly released.
5 U.S.C. § 552(a)(4)(B).
27
[the] magnitude of disclosure, the District Court clearly could not have undertaken a review of
each of the documents from which the Department, pursuant to FOIA’s exemptions, excised
material.”)
b. Possible Pitfalls
While the basic structure of the sampling method is well-accepted, some nuances in
implementation have yet to be conclusively ironed-out and are the subject of plaintiff’s
challenges to the sampling undertaken in this case, as discussed further below.
(i) Maintaining Representativeness and the Proper Response
to Tainted Samples
In Bonner v. United States Department of State, the D.C. Circuit stressed that courts must
strive “to preserve the representative character of the sample.” 928 F.2d at 1152. After all, the
sampling “technique will yield satisfactory results only if the sample employed is sufficiently
representative, and if the documents in the sample are treated in a consistent manner.” Id. at
1151. One way to taint a sample’s representative character is to treat the sample differently than
the entire universe of processed records. A simple example helps explain why. Imagine an
agency locates 100,000 documents responsive to a particular request. During processing, the
agency employs one of the FOIA exemptions to redact the name of “Individual A” throughout all
100,000 documents. The parties then select a sample of 500 documents that they intend to use to
test the agency’s exemptions. Before briefing begins, however, the agency re-reviews the
sample records, determines that Individual A’s name need no longer be redacted, and unredacts
that name within the sample documents, but makes no adjustment to that redaction within the
remaining 99,500 processed records. Clearly the sample would no longer be representative of
the whole.
28
Bonner addressed just such post-selection tweaks to sample documents. In that case, the
parties disputed the propriety of the State Department’s partial withholding of 1,033 documents.
Bonner, 928 F.2d at 1149. The parties agreed “to test State’s FOIA exemption claims through a
sampling procedure.” Id. The plaintiff selected 63 of those documents and the agency agreed to
prepare a Vaughn index describing information withheld in those 63 documents. The index,
however, “covered only 44 of the 63 sample documents.” Id. Apparently, in the course of
preparing the index the “State Department determined that 19 of the documents could be released
in full.” Id. The Circuit thus faced the question of whether “release of the 19 documents in full,
with no accounting for the original withholding, undermined the confidence one can have that
the Department correctly invoked FOIA to shield information contained” in the documents that
were not a part of the sample. Id. at 1151. Answering that question in the affirmative, the
Circuit explained that because the sample records “count not simply for themselves, but for
presumably similar non-sample documents still withheld,” the district court “should have ruled
on the propriety of the initial deletions from the 19 documents.” Id. at 1152.
Bonner settles several issues. First, an agency’s burden in a sampling case is to “justify
its initial withholdings” and the agency “is not relieved of that burden by a later turnover of
sample documents.” Id. at 1154. Indeed, when sampling is employed, the agency’s Vaughn
index should explain not only those withholdings the agency continues to defend, but also
“explain why [any] once withheld portions [of the sample] were excised at the time of the
agency’s initial review.” Id. at 1153.
Moreover, Bonner holds that the calculation of the error rate must be made based on the
agency’s initial withholdings. Id. at 1154 n.13. This heightens the importance of requiring that
the agency justify those initial withholdings, for while the choice to disclose information by an
29
agency may be an admission that the initial withholding was improper, this choice may also
reflect the exercise of the agency’s discretion to release information that may nonetheless be
exempt. 5 U.S.C. § 552(d); see also Chrysler Corp. v. Brown, 441 U.S. 281, 293 (1979)
(“Congress did not design the FOIA exemptions to be mandatory bars to disclosure.”). A post-
selection release of sample records “does not, by itself, indicate any agency lapse,” but does cast
“doubt . . . on the agency’s original exemption claim.” Bonner, 928 F.2d at 1152–53.
Finally, Bonner makes clear that, at least in sampling cases, “court review properly
focuses on the time the determination to withhold is made” and thus courts should be chary of
requests to consider the effect of events that post-date the agency’s response to the requests at
issue. Id. at 1152. In other words, “[r]epresentative sampling tests the propriety of the agency’s
FOIA processing,” not whether the records would be released if they were processed today. Id.
at 1153. Courts should not lightly “require an agency to adjust or modify its FOIA responses
based on post-response occurrences” or else they risk creating “an endless cycle of judicially
mandated reprocessing.” Id. at 1152; see also Am. Civil Liberties Union v. United States Dep’t
of Justice, 640 Fed. App’x 9, 13 (D.C. Cir. 2016) (same). After all, “the whole purpose of
representative sampling is to reduce the administrative burden of large FOIA requests, and not to
compound it.” Bonner, 928 F.2d at 1153.
Bonner’s teaching is instructive for this case in several ways. First, the FBI has done
itself no favors by giving the selected samples exactly the kind of special treatment Bonner
warns against. As evident from the FBI’s declaration, the Bureau re-reviewed the samples
selected by the parties and altered its withholdings. See 15th Hardy Decl. ¶ 149.15 That re-
review resulted in, by the Court’s count, release of previously withheld information on 94
15
The FBI’s altered withholdings are described in footnotes 3, 22, 24, 26, 31, 33, 34, 35, 37, 38, 39, 40, 42,
and 43 and in paragraphs 43 and 149 of the 15th Hardy Declaration.
30
individual pages of the sample and may have entailed removal of more than one redaction on
each of those pages. The FBI’s re-review also resulted in the application of new or different
FOIA exemptions to information on 95 sample pages. The re-review thus casts doubt on the
utility of the sample in this case. Moreover, in addition to those changes, the FBI decided, while
briefing in this action was ongoing, no longer to defend the application of certain exemptions and
released still more material previously withheld. See, e.g., 16th Hardy Decl. ¶ 28 (describing
how “[a]fter further review, the FBI” decided it would no longer assert Exemption 4 and would
release the withheld “pages to the Plaintiff in full”). DOJ wrongly asserts that disputes over
sample documents withheld at the time the sample was chosen but released to plaintiff as
briefing was ongoing, are now “moot.” Def.’s Reply Supp. Mot. Summ. J. & Opp’n Pl.’s Cross
Mot. Summ. J. (“Def.’s Reply”) at 14, ECF No. 113. As plaintiff correctly notes, this argument
disregards “the central holding in Bonner.” Pl.’s Reply at 15. The question of whether now-
disclosed sample documents must be ordered released is indeed moot. Yet, for all the reasons
described above, the agency must justify its initial withholdings and is not relieved of that burden
by subsequent release of documents.
Where possible, the Court has endeavored to rectify this problem. For instance, when the
later-released records were made part of the summary judgment record and subject to review
directly, determination of whether the initial withholdings were in fact proper could occasionally
be made. Nevertheless, with respect to certain exemptions challenged by plaintiff, the record is
insufficient to determine whether the agency’s initial justifications were lawful, resulting in an
inability on this record to conclude whether the initial withholdings should be counted as an error
in calculating the error rate.
31
Bonner’s teachings have implications for plaintiff as well. He argues that certain
exemptions initially applied by the FBI have, with the passage of time, expired. This argument,
however, runs counter to another central holding of Bonner, namely that “court review” of
agency withholdings “properly focuses on the time the determination to withhold is made.”
Bonner, 928 F.2d at 1152. As explained in more detail where relevant, DOJ will not be required
“to follow an endlessly moving target,” id. at 1153 (internal quotation marks omitted) (quoting
Meeropol, 790 F.2d at 959), and this Court’s review is constrained to determining the propriety
of the agency’s withholdings at the time they were made.
(ii) What Counts As An Error?
Another nuance of the sampling method is defining what counts as an error. Plaintiff
seems to suggest that any time an exemption is misapplied, that constitutes an error. Circuit
caselaw, however, suggests that an error is an “unjustified withholding[].” Bonner, 928 F.2d at
1154 n.13. To be sure, the improper application of an exemption and an unjustified withholding
are often one and the same, but not always. Commonly, a single redaction may be justified by
more than one FOIA exemption. If, for example, a name has been redacted under both
Exemption 3 and Exemption 7(C), a determination that only Exemption 3 was applied in error
does not change the fact that the name is still properly withheld under another exemption. Under
Circuit caselaw, this should not be counted as an error. Bonner, 928 F.2d at 1154 n.13;
Meeropol, 790 F.2d at 960 (focusing on the number of documents “improperly withheld” rather
than the number of exemptions improperly applied in calculating the error rate). This conclusion
aligns with the Court’s authority in FOIA actions. FOIA grants courts jurisdiction only to
“enjoin [an] agency from withholding records and to order the production of any agency records
32
improperly withheld.” 5 U.S.C. § 552(a)(4)(B). Only when all or part of a document has been
“improperly withheld” will agency error be found.
(iii) Identifying The Tipping Point
Finally, the parties dispute the exact point at which an error rate moves from acceptable
to “unacceptably high.” Meeropol, 790 F.2d at 960. In Meeropol v. Meese, the Circuit held that
an “error rate of 25% . . . coupled with [a] finding by the district court that the [agency] had been
‘intransigent’” warranted complete reprocessing of withheld records. Id. Similarly, in Bonner,
the Circuit suggested that improper withholding of 19 documents out of a 63-document sample
(or an error rate of just over 30%) may be unacceptably high with or without agency
intransigence, but ultimately left that question to the district court. Bonner, 928 F.2d at 1154.
While an error rate above 25% may thus more confidently be said to warrant full reprocessing of
withheld records, see Clemente v. F.B.I., 854 F. Supp. 2d 49, 59 (D.D.C. 2012) (holding that a
26.5% error rate required complete reprocessing), the Circuit has provided little guidance on
where to set the threshold below that, see, e.g., Schoenman v. FBI, 763 F. Supp. 2d 173, 188
(D.D.C. 2011) (finding “no authority within this Circuit . . . providing that a 12.9% error rate”
warrants complete reprocessing); Hunton, 346 F. Supp. 3d at 87 (refusing to order complete
reprocessing after locating a “miniscule” error rate of just under two percent); Citizens for
Responsibility & Ethics in Washington v. United States Dep’t of Justice, 48 F. Supp. 3d 40, 52
(D.D.C. 2014) (refusing to order complete reprocessing after locating an “error rate of just over
one percent”). That the Circuit in the past has not only considered the raw error rate, but also the
good or bad faith of the agency at issue, means this may be another area of law that calls for
“th’ol’ ‘totality of the circumstances’ test.” United States v. Mead Corp., 533 U.S. 218, 241
(2001) (Scalia, J. dissenting). Although such tests may be “feared by litigants who want to know
33
what to expect,” id., given the innumerable variables that might come into play when courts
condone a sampling approach—sample size, level of confidence the sample is representative of
the whole, number of exemptions claimed per document, the conduct of the litigants and
complexity of the requests, to name a few—a hard and fast rule seems particularly ill-suited to
serve FOIA’s aims. The Circuit has chosen not to draw a precise line, and until it does so, that
choice will be treated as deliberate.
***
Having settled these disputes, the sampling used in this case is now discussed in detail.
To prepare this case for the sampling analysis described above, the parties agreed to divide the
sample into two parts. JSR (Oct. 20, 2017). Those parts are discussed in order.
2. Part I of Sample
Part I of the sample is designed to test the agencies’ application of FOIA exemption 7(A),
which exempts from disclosure “records or information compiled for law enforcement purposes
. . . to the extent that the production of such law enforcement records or information . . . could
reasonably be expected to interfere with enforcement proceedings.” 5 U.S.C. § 552(b)(7)(A).
As plaintiff’s requests began to flow into the FBI, the Domestic Terrorism Unit (“DTU”) of the
agency’s Counterterrorism Unit took notice. 15th Hardy Decl. ¶ 40. Owing to the number and
interrelatedness of plaintiff’s requests, the FBI took the prudent step of having DTU coordinate
potential records releases. Id. Although this was not “standard protocol,” this step allowed DTU
to ensure that “operational techniques, confidential human sources, . . . and ongoing
investigations were protected throughout all investigations implicated by Plaintiff’s requests.”
Id. As part of this special protocol, DTU was responsible for reviewing all responsive records to
determine “whether FOIA exemption [7(A)] was applicable.” Id. ¶ 41. As a result of this
34
review, the FBI withheld in full approximately 460,054 pages of responsive records under 7(A)
“because they related to pending investigations.” Id. ¶ 47. Since this exemption was invoked to
justify the withholding of a large number of records, the parties agreed to create a special sample
to test the validity of its application. For the sample, plaintiff selected five of his requests that
turned up documents withheld in full under Exemption 7(A), and the parties decided to brief
whether its applications “were proper at the time they were made as opposed to at the time of
briefing.” JSR (Oct. 20, 2017) ¶ 1 (emphasis in original). Specifically, plaintiff selected his
requests for information pertaining to himself (FOIA Request No. 1167292-000), the
organization known as Compassion Over Killing (“COK”) (FOIA Request No. 1143759-000),
the murder of Hyram Kitchen (FOIA Requests Nos. 1159897-000 and 1159897-001), William
Edward Potter (FOIA Request No. 1179996-000), and Lindsay Parme (FOIA Request No.
1156661-000). 15th Hardy Decl. ¶ 7.
a. Categorical Application of 7A Exemption
FOIA exempts from disclosure “records or information compiled for law enforcement
purposes, but only to the extent that the production of such law enforcement records or
information (A) could reasonably be expected to interfere with enforcement proceedings.” 5
U.S.C. § 552(b)(7)(A). Exemption 7(A) “reflects the Congress’s recognition that law
enforcement agencies have legitimate needs to keep certain records confidential, lest the
agencies be hindered in their investigations or placed at a disadvantage when it comes time to
present their case.” Citizens for Responsibility and Ethics in Washington v. United States Dep’t
of Justice (“CREW”), 746 F.3d 1082, 1096 (D.C. Cir. 2014) (internal quotation marks and
alterations omitted) (quoting NLRB v. Robbins Tire & Rubber Co., 437 U.S. 214, 224 (1978)).
Plaintiff does not contest that the records at issue were “compiled for law enforcement
35
purposes.” 5 U.S.C. § 552(b)(7).16 To justify its withholdings under Exemption 7(A), “DOJ
must therefore demonstrate that disclosure (1) could reasonably be expected to interfere with
(2) enforcement proceedings that are (3) pending or reasonably anticipated.” CREW, 746 F.3d at
1096 (internal quotation marks omitted) (quoting Mapother v. Dep’t of Justice, 3 F.3d 1533,
1540 (D.C. Cir 1993)). Records compiled as part of “[a]n ongoing criminal investigation” thus
clearly “trigger[] Exemption 7(A)” so long as that “investigation continues to gather evidence for
a possible future criminal case, and that case would be jeopardized by the premature release of
that evidence.” Id. at 1098 (quoting Juarez v. Dep’t of Justice, 518 F.3d 54, 59 (D.C. Cir.
2008)).
An agency may “satisfy its burden of proof” under Exemption 7(A) “by grouping
documents in categories and offering generic reasons for withholding documents in each
category.” Id. at 1098 (internal quotation marks omitted) (quoting Maydak v. United States Dep’t
of Justice, 218 F.3d 760, 765 (D.C. Cir. 2000)). An agency opting for such “[c]ategorical
withholding . . . has a three-fold task.” Id. (quoting Bevis v. Dep’t of State, 801 F.2d 1386,
1389–90 (D.C. Cir. 1986)). The agency (1) “must define its categories functionally”; (2) “must
conduct a document-by-document review in order to assign documents to the proper category”;
and (3) “must explain to the court how the release of each category would interfere with
enforcement proceedings.” Id. A category is functional if “it allows the court to trace a rational
16
To show that the records at issue were compiled for law enforcement purposes, “the FBI need only
establish a rational nexus between the investigation and one of the agency’s law enforcement duties and a
connection between an individual or incident and a possible security risk or violation of federal law.” Blackwell v.
FBI, 646 F.3d 37, 40 (D.C. Cir. 2011) (internal quotation marks omitted). The FBI asserts that “[t]he investigative
files at issue[] were compiled during the FBI’s criminal investigation into Plaintiff and other third parties’ crimes
involving potential terrorism activities related to animal rights and ecological extremism,” 15th Hardy Decl. ¶ 51,
and that assertion is “entitled to deference,” Blackwell, 646 F.3d at 40. The records that make up Part I of the
sample thus clear the Exemption 7 threshold.
36
link between the nature of the document and the alleged likely interference.” Bevis, 801 F.2d at
1389.
The FBI’s declaration explains the categorical withholdings under Exemption 7(A) here
in detail. First, to satisfy its burden of showing that the withheld documents relate to
“enforcement proceedings that are . . . pending or reasonably anticipated,” CREW, 746 F.3d at
1096 (quoting Mapother, 3 F.3d at 1540), the declarant notes that all of the documents withheld
in the Part I sample “were compiled during the FBI’s criminal investigation into Plaintiff and
other third parties’ crimes involving potential terrorism activities related to animal rights and
ecological extremism.” 15th Hardy Decl. ¶ 51. As explained above, “[d]ue to the large amount
of responsive records involved and the interrelatedness of the material,” the FBI coordinated its
review of the responsive records across the agency. 16th Hardy Decl. ¶ 48. Those “coordinated
efforts [were] critical in this particular case” because the FBI feared that release of certain pieces
of information “without considering the context and connection of those pieces of information to
other ongoing efforts” could “allow Plaintiff to . . . gain access to a large portion of information
regarding ongoing investigative efforts.” Id. The potentially threatened investigative efforts
included investigations “in the animal rights activist arena” that were pending at the time the FBI
applied Exemption 7(A). Id. While the withheld documents may not have all come from active
investigative files, “the FBI exempted information pursuant to Exemption 7(A) only when a
particular Field Office or [DTU] advised release of the information could reasonably be expected
to interfere with ongoing enforcement proceedings against some of the subjects at issue in [this]
litigation, or other subjects, including individuals or organizations.” Id.
In other words, the FBI reviewed all documents with an eye toward the so-called
“mosaic” effect. Id. The D.C. Circuit and the Supreme Court have recognized that an
37
“individual piece of intelligence information, much like a piece of jigsaw puzzle, may aid in
piecing together other bits of information even when the individual piece is not of obvious
importance in itself.” Halperin v. CIA, 629 F.2d 144, 150 (D.C. Cir. 1980); see also CIA v. Sims,
471 U.S. 159, 178 (1985); Ctr. for Nat’l Sec. Studies v. United States Dep’t of Justice, 331 F.3d
918, 928 (D.C. Cir. 2003). The potential for such a mosaic effect and the need to guard against
such inadvertent leakage of otherwise exempt information is especially present in a case like this
one, in which a great number of requests are made that all touch on or very near a single topic of
investigative interest for the FBI.17
Plaintiff recognizes that the investigations potentially put at risk of improper disclosure
by release of information in the Part I sample “were not necessarily on one of the five subjects
challenged by Plaintiff.” Pl.’s Summ. J. Reply at 18 (quoting 16th Hardy Decl. ¶ 48). He
complains, however, that the FBI’s description of those investigations is “vague.” Id. Of course,
“[t]he FBI need not submit declarations that reveal the exact nature and purpose of its
investigations in order to satisfy FOIA—Exemption 7(A) exists precisely to shield that sort of
revelation.” Blackwell v. FBI, 680 F. Supp. 2d 79, 94 (D.D.C. 2010) (citing Swan v. SEC, 96
F.3d 498, 500 (D.C. Cir. 1996)). By describing the pending investigations that might be
impacted by disclosure as “investigative efforts . . . in the animal rights activist arena,” 16th
Hardy Decl. ¶ 48, and noting that Part I records were related to “the FBI’s investigation of
potential terrorist acts related to animal rights and ecological extremism,” 15th Hardy Decl. ¶ 46,
the FBI has met its burden to show that the records relate to “enforcement proceedings that are
. . . pending or reasonably anticipated,” CREW, 746 F.3d at 1096.
17
Indeed, the need for the FBI to address this very concern led to the multi-year stay of this action. Stay
Order at 2.
38
Showing that the records relate to pending or anticipated enforcement actions, however,
is not enough. The agency must also show that release of the records “could reasonably be
expected to interfere” with those investigations. 5 U.S.C. § 552(b)(7)(A). As noted above, the
FBI has attempted to do so by invoking the “categorical” method of withholding. Step one in
that method requires the FBI to define “functionally” the categories of records it withheld.
CREW, 746 F.3d at 1098. Broadly, the FBI divides the records withheld under Exemption 7(A)
into two categories: (1) Evidentiary/Investigative Materials and (2) Administrative Materials,
and then subdivided each of those categories into three subcategories. 15th Hardy Decl. ¶ 56.
With respect to evidentiary/investigative materials, the FBI withheld: (1) exchanges of
information between the FBI and other local, state, and federal law enforcement agencies that
“would disclose evidence, investigative information, and criminal intelligence” developed by
those agencies, id. ¶ 59; (2) information concerning physical or documentary evidence that was
“gathered during the pendency” of various investigations, id. ¶ 60; (3) statements of confidential
sources and witnesses, id ¶ 61. As for administrative materials, the FBI withheld: (1) reporting
communications that “permit an agency to monitor the progress of an investigation and to
facilitate its conduct,” id. ¶ 63; (2) miscellaneous administrative documents that “were used
throughout” investigations, but contain information and are organized in such a way that would
“reveal[] information of investigative value,” id. ¶ 64; and (3) administrative instructions that
“would disclose specific investigative procedures” like which FBI field offices have been
assigned which investigative tasks, id. ¶ 65.
Step two requires the FBI to “conduct a document-by-document review in order to assign
documents to the proper category.” CREW, 746 F.3d at 1098. The FBI avers that “providing a
document-by-document description or listing of the records responsive to Plaintiff’s request[s]
39
. . . would . . . undermine[] the very interests that the FBI [seeks] to protect” by invoking
Exemption 7(A), and thus the declarant instead “described the types of responsive records” that
were being withheld because they were contained in “pending investigative files.” 15th Hardy
Decl. ¶ 54. These records included FD-1057s, known as Electronic Communications (“ECs”),
which are used to “communicate within the FBI” and to “record and disseminate
intelligence/investigative information and for general investigation administration purposes.” Id.
¶ 54(a). Other records withheld were FD-302s, which are “internal FBI forms in which evidence
is often documented, usually as a result of FBI interviews.” Id. ¶ 54(b). The FBI also withheld a
variety of other types of records, including: “Letterhead/Memorand[a],” which provide
“investigative updates . . . and typically accompany[y] an EC, id. ¶ 54(c); FD-36s, which are
“utilized to report investigative details from” FBI field offices to FBI headquarters, id. ¶ 54(d);
“Fingerprint Cards,” which are retained by the FBI “in connection with arrests, federal
employment, naturalization or military service,” id. ¶ 54(e); “State and Local Law Enforcement
Documents,” id. ¶ 54(f); “Other Investigative Documents Utilized for Investigative Purposes,”
which include “various types of documents reflecting information and evidence gathered during
an FBI investigation,” id. ¶ 54(g); “Non-Public Court Documents,” id. ¶ 54(h); FD-340
Envelopes, which “are used to organize and store documents” and “usually contain handwritten
notes of interviews, photographs, and other various evidentiary documents,” id. ¶ 54(i);
“Handwritten Interview Notes,” id. ¶ 54(j); photographs “used to identify subjects of
investigations,” id. ¶ 54(k); “Intelligence Write-ups,” which are used to “document/disseminate
relevant intelligence information,” id. ¶ 54(l); FD-448s, which are “used to identify information
sent via facsimile to individuals within or outside the FBI,” id. ¶ 54(m); “FD-515[s], 542[s],
[and] Accomplishment Report[s],” which are used to report investigative accomplishments such
40
as “arrest[s], conviction[s], sentencing[s], asset seizure[s],” etc., id. ¶ 54(n); “News Articles,”
which were “located and printed from public websites, id. ¶ 54(o); FD-525s, which are forms
used to “request[] development, scanning and/or printing of any film or digital media,” id.
¶ 54(p); FD-7s, which are “utilized to submit complainant information collected during a phone
call received after normal business hours,” id. ¶ 54(q); emails “discussing the direction or focus
of an investigation, id. ¶ 54(r); and “Documents Implementing Sensitive Investigative
Techniques,” which cannot be described in detail because to do so “would reveal [sensitive]
technique[s] or sensitive data concerning [those] technique[s],” id. ¶ 54(s). Each of these
categorically withheld documents falls into one or both of the “two categories” functionally
defined above. Id. ¶ 56–57.
The final step in the categorical method is for the agency to “explain to the court how the
release of each category would interfere with enforcement proceedings.” CREW, 746 F.3d at
1098. The FBI does so. As to exchanges between the FBI and other law enforcement agencies,
the agency believes that their release “would have identified the FBI’s investigative interest[s,]
. . . revealed the scope and focus” of FBI investigations, “tipped off individuals who were of
interest to law enforcement” and finally given suspects or targets “the opportunity to destroy
evidence” or otherwise avoid detection. 15th Hardy Decl. ¶ 59. Similar concerns animated the
FBI’s withholding of information concerning physical or documentary evidence. Id. ¶ 60. As
the FBI notes, “[o]nce subjects become aware of the FBI’s interest in their activities, they could
. . . take[] actions to conceal their activities, evade detection, and/or suppress or fabricate
evidence.” Id. As to confidential witness and source statements, the FBI expresses concern that
release could result in “retaliation” against those cooperating sources. Id. ¶ 61. With respect to
the “administrative materials” withheld, the FBI justifies withholding reporting communications
41
by noting that their release “would have revealed the nature and scope of” ongoing investigations
by revealing “the investigative steps taken to obtain witness and source interviews; techniques
and investigative methods used to compile and/or solicit information from various sources; and
any potential or perceived challenges in the investigations.” Id. ¶ 63. The FBI similarly
withheld miscellaneous administrative documents to avoid disclosing “information of
investigative value” that “could have undermined . . . pending and prospective prosecutions.” Id.
¶ 64. Finally, the FBI notes that releasing “administrative instructions” would have “permitted
subjects or individuals of investigative interest to anticipate law enforcement actions and to alter,
destroy, or fabricate evidence.” Id. ¶ 65
Plaintiff, relying principally on Citizens for Responsibility & Ethics in Washington v.
United States Department of Justice (“CREW”), 746 F.3d 1082 (D.C. Cir. 2014), takes issue with
what he asserts is the FBI’s failure to “provide any specific information linking” the subjects of
his Part I requests with “other pending or prospective law enforcement proceedings.” Pl.’s
Opp’n at 22–23. Plaintiff’s reliance is misplaced. In CREW, the FOIA request at issue sought
information about an investigation of former Speaker of the House, Tom DeLay, that had been
one part of a “wide-ranging public corruption investigation.” 746 F.3d at 1087. The request
came after DeLay had publicly announced information he received that he would not be charged.
Id. Despite the fact the investigation into DeLay was closed, DOJ invoked Exemption 7(A) to
withhold categorically all records, arguing their release would hamper “all related criminal
investigations” underway as part of the public-corruption dragnet. Id. at 1097. The D.C. Circuit,
however, found reason to doubt whether those investigations remained ongoing: “more than
two-and-a-half years had passed since the FBI filed its initial declaration in the district court; the
DOJ provided only ‘vague’ mention in the declaration that investigations were ongoing; DOJ
42
counsel failed to cite any ongoing proceedings when questioned about them at oral argument;”
and DeLay’s various associates known to have been under investigation had been convicted and
sentenced since DOJ filed its declaration. Manning v. United States Dep’t of Justice, 234 F.
Supp. 3d 26, 35 (D.D.C. 2017) (citing CREW, 746 F.3d at 1096–99). In light of these doubts, the
Circuit held that “without more information about the degree of overlap” between the DeLay
investigation and the purported pending investigations into others, it could not say that the
“circumstances characteristically support an inference that disclosure would interfere with any
pending enforcement proceeding.” CREW, 746 F.3d at 1099 (internal quotation marks omitted)
(quoting Nation Magazine, 71 F.3d at 893 (D.C. Cir. 1995)).
No such doubts exist in this case. The FBI has consistently asserted that, at the time the
records were processed—the time at which, by the parties’ agreement, the propriety of the
exemption must be tested, see JSR (Oct. 20, 2017)—investigations were ongoing into “potential
terrorism activities related to animal rights and ecological extremism.” 15th Hardy Decl. ¶ 51.
The FBI has also detailed how the determination was made that the Part I records “overlap[ped]”
with those ongoing efforts, CREW, 746 F.3d at 1099, explaining that “the FBI exempted
information pursuant to Exemption 7(A) only when a particular Field Office or [DTU] advised
release of the information could reasonably be expected to interfere with ongoing enforcement
proceedings against some of the subjects at issue in [this] litigation, or other subjects, including
individuals or organizations.” 16th Hardy Decl. ¶ 48. Moreover, the overlap is self-evident
given the singular focus of plaintiff’s requests on animal rights organizations and activists that
have been affiliated with events known to have been under investigation by the FBI. Pl.’s Opp’n
at 24. Indeed, the FBI avers that one subject of a Part I request, the Hyram Kitchen murder, is
still under active investigation by another agency. 16th Hardy Decl. ¶ 55 & n.10. The FBI’s
43
detailed description of the categories of records it withheld and the logical link between the
subjects at issue and the ongoing investigations into “potential terrorism activities related to
animal rights and ecological extremism,” 15th Hardy Decl. ¶ 51, combine to “characteristically
support an inference that disclosure would interfere with . . . pending enforcement
proceeding[s].” CREW, 746 F.3d at 1099 (internal quotation marks omitted) (quoting Nation
Magazine, 71 F.3d at 893). DOJ is thus awarded summary judgment with respect to the
propriety of withholding Part I of the sample under FOIA Exemption 7(A).
b. Expiration of Exemption 7(A)
Although plaintiff concedes that “[t]he purpose of the sampling procedure is to evaluate
the accuracy of the agency’s withholdings at the time they were made,” he claims that “[i]f an
investigation is no longer prospective or pending at the time of the Court’s decision,
withholdings under Exemption 7(A) cannot be accepted.” Pl.’s Opp’n at 28. He thus requests
“that the Court . . . order the FBI to re-review the pending status of each investigation,” the
pendency of which prevented disclosure of Part I documents. Id. at 29.
His argument highlights a disconnect in legal principles governing application of
Exemption 7(A) versus those in the sampling context. True, the Circuit has held that
“Exemption 7(A) is temporal in nature,” and has explained that the relevant law enforcement
proceeding “must remain pending at the time of [the court’s] decision, not only at the time of the
initial FOIA request.” CREW, 746 F.3d at 1097. The Circuit has also stressed, however, that in
order serve the “purpose of representative sampling,” i.e. “reduc[ing] the administrative burden
of large FOIA requests,” an agency action “ordinarily should be upheld” if the Court “uncovers
no excisions or withholding improper when made.” Bonner, 928 F.2d at 1153.
44
This tension between two Circuit opinions, however, is less troubling on closer
inspection. In a typical FOIA action, the result is often court-ordered reprocessing of all
responsive records upon a finding that an exemption has been misapplied. Where, however, the
number of responsive records is massive enough to warrant a sampling procedure, courts have
shown special solicitude to the need to “reduce a voluminous FOIA exemption case to a
manageable number of items.” Bonner, 928 F.2d at 1151. That sensitivity is proper since the
time necessary to process tens or hundreds of thousands of documents makes such actions
particularly susceptible to being thrown into “an endless cycle of judicially mandated
reprocessing” if courts order agencies to update their disclosures to account for post-response
events. Id. at 1152. This case is a perfect example—DOJ sought and was awarded a three-year
stay to give the relevant agencies the opportunity to process the mountain of records they had
found. To demand that DOJ undertake the Sisyphean task of checking that any exemptions
properly applied during that three-year stay remain valid now would run counter to both Circuit
caselaw and common sense. Should plaintiff wish to determine whether any investigations
pending at the time of the FBI’s responses have since expired, clearing the way for further
disclosures by the Bureau, he may of course file a new FOIA request, “but if he does, he will
stand in line behind other FOIA requesters.” Bonner, 928 F.2d at 1153. This Court will not
indulge his request to be “place[d] . . . at the head of the current [FBI] FOIA queue.” Id.
c. Error Rate for Part I
Given the conclusion that Exemption 7(A) was properly applied to all documents
responsive to the requests selected as part of the Part I sample, calculation of the error rate
should be easy enough. Nevertheless, the FBI’s re-review of the Part I sample and subsequent
release of “an additional 208 pages,” in full or in part, somewhat complicates matters. 15th
45
Hardy Decl. ¶ 149. In the end, however, this later release does nothing to undermine the
propriety of the FBI’s initial withholdings. For one, the FBI asserts that “[a]t the time the FBI
completed its review of these records, release of any of [them] would have risked disruption of
ongoing enforcement proceedings.” Id. Thus, the FBI has asserted that its justifications for
withholding all other Part I records, which the Court has determined were valid, apply with equal
force to the records the agency determined could later be released. Given that the agency’s
burden in a sampling case is to “justify its initial withholdings,” Bonner, 928 F.2d at 1154, the
FBI has done so.18 DOJ is therefore awarded summary judgment as to the entire universe of
records withheld categorically pursuant to Exemption 7(A).19
3. Part II of the Sample
Part II of the sample was designed to test the remaining exemptions asserted by the FBI.
Plaintiff selected 401 individual pages that had been released to him in part while the FBI
selected a random sample of 100 pages that had been withheld in full under various FOIA
exemptions. JSR (Oct. 20, 2017) at 2. The FBI asserted exemptions 1, 3, 4, 5, 6, 7(A), 7(C),
18
In any event, even counting all 208 pages as errors would likely be insufficient to create an “unacceptably
high” error rate. Meeropol, 790 F.2d at 960. The denominator for calculation of the Part I error rate is quite large.
For the two requests about plaintiff and Compassion Over Killing, the FBI has averred that 1,816 pages were
categorically withheld under Exemption 7(A), 15th Hardy Decl. ¶¶ 12, 17, and that an additional 4,694 pages were
withheld under Exemption 7(A) for the request about Lindsay Parme plus twelve others, 15th Hardy Decl., Ex. DD
at 3, ECF No. 97-9, without specifying the number, if any, responsive to the Lindsay Parme request. With respect to
the Hyram Kitchen Murder and William Edward Potter requests, the FBI does not attempt to explain how many
responsive pages were withheld under Exemption 7(A). Id. ¶¶ 18–29. The bare minimum number of pages
withheld from the Part I requests is thus 1,816, though the total may be larger if the record were clearer as to the
number of withheld records for the Lindsay Parme, Hyram Kitchen Murder and William Edward Potter requests.
Yet, even in the worst-case scenario—accepting that the total number of Part I records was the bare minimum 1,816
and further accepting that every one of the 208 later-released pages were initially improperly withheld—the error
rate would be just shy of 11.5%. This would be insufficient to warrant complete reprocessing of withheld Part I
records. See Schoenman, 763 F. Supp. 2d at 187–88 (finding “no authority within this Circuit . . . providing that a
12.9% error rate” warrants complete reprocessing).
19
In an attempt to preserve any alternative exemption claims, the FBI looked through the documents withheld
pursuant to its categorical application of Exemption 7(A) and asserted several other exemptions. 15th Hardy Decl.
¶ 68; see Maydak, 218 F.3d at 764 (“[A]s a general rule, [DOJ ] must assert all exemptions at the same time, in the
original district court proceedings.”). The determination that exemption 7(A) was properly applied obviates any
need to determine the propriety of those additional claimed exemptions.
46
7(D), and 7(E) to justify its withholdings in the sample. Although FOIA “mandates that an
agency disclose records on request, unless they fall within one of nine exemptions,” Milner, 562
U.S. at 565, plaintiff believes the FBI may have nonetheless withheld responsive records in the
absence of a justifying exemption by “blackballing” files or improperly excluding them. These
contentions are discussed first before turning to the FBI’s withholdings under FOIA’s
exemptions.
a. Blackballed Files
Plaintiff first complains that the FBI may have “blackballed” certain files responsive to
his requests. Plaintiff cites an article allegedly quoting an FBI spokesman, who describes
“blackballing” as a term generally used “to describe a file (not a request) that initially looked
responsive but upon review” turned out not to be. Pl.’s Opp’n at 3; see also Pl.’s Opp’n, Ex. 7,
ECF No. 105-2. He also submits a printout of a PowerPoint that apparently instructs FBI
officials on what files should be blackballed. Pl.’s Opp’n, Ex. 8, ECF No. 105-2. He points to
two additional documents, processing notes for two of his FOIA requests, that mention the term
“blackballed” in attempt to show the method was used by the FBI in this case. Pl.’s Opp’n, Exs.
9, 10, ECF No. 105-2. Plaintiff states that he “has no way of knowing the full extent of the FBI’s
blackballing files in this case and therefore cannot make a discrete challenge for each file” that
may have been unlawfully withheld. Pl.’s Opp’n at 4.
This argument suffers from several flaws. First, the documents to which plaintiff points
to establish that the FBI “blackballed” files in this case relate to searches not at issue in this
litigation. 16th Hardy Decl. ¶ 13. Second, as the FBI explains, “[t]he term ‘blackball’ was used
colloquially within RIDS years ago to reference files that were not being considered for
processing” because they “were ultimately found to be not responsive due to a variety of
47
reasons.” Id. The FBI is under no obligation to inform the plaintiff that it considered but did not
release non-responsive records. Wilson v. United States Dep’t of Transp., 730 F. Supp. 2d 140,
156 (D.D.C. 2010). Third, the training material plaintiff submitted contains “obsolete
information.” 16th Hardy Decl. ¶ 13. Finally, and most importantly, the FBI avers that in this
case it “only redacted information pursuant to [FOIA] exemptions.” 16th Hardy Decl. ¶ 13.
Plaintiff presents nothing that calls that assertion into question, and his request to order the FBI
“to either deem each blackballed file as responsive or else provide sufficient justification as to
why the decision to blackball the file was proper,” is denied. Pl.’s Opp’n at 4.
b. Exclusions
Section 552(c) of the FOIA permits agencies to “treat . . . records as not subject to the
requirements” of the FOIA when, inter alia, a request involves access to “records or information
compiled for law enforcement purposes” the disclosure of which “could reasonably be expected
to interfere with enforcement proceedings” to the extent that (1) “the investigation or proceeding
involves a possible violation of criminal law,” (2) “there is reason to believe” that “the subject of
the investigation or proceeding is not aware of its pendency,” and (3) “disclosure of the existence
of the records could reasonably be expected to interfere with enforcement proceedings.” See 5
U.S.C. §§ 552(b)(7)(A), 552(c)(1) (emphasis added). Section 552(c) likewise permits agencies
to “treat . . . records as not subject to the requirements” of FOIA whenever someone requests
“informant records maintained by a criminal law enforcement agency.” Id. § 552(c)(2). Finally,
§ 552(c) permits the FBI to issue a so-called “Glomar” response, in which it refuses “to confirm
or deny the existence of any responsive records,” Am. Civil Liberties Union v. CIA, 710 F.3d
422, 425–26 (D.C.Cir.2013), to any request for records “pertaining to foreign intelligence or
48
counterintelligence, or international terrorism” as long as “the existence of the records remains
classified information,” 5 U.S.C. § 552(c)(3).
Plaintiff speculates that the FBI invoked one or more of these exclusions based on search
slips he obtained via FOIA requests not at issue in this litigation. Those search slips note that
certain documents had been “excluded.” See Pl.’s Opp’n, Ex. 11, ECF No. 105-3. The FBI
explains that it used the term “excluded” on those search slips not to refer to exclusion under
Section 552(c), but “to account for the number of pages that were not processed because they are
exact copies of documents already processed.” 16th Hardy Decl. ¶ 15. Nevertheless, because
plaintiff raised the specter of the application of one or more of the Section 552(c) exclusions,
pursuant to the FBI’s standard policies, the FBI has submitted ex parte, in camera a declaration
“to respond to this portion of Plaintiff’s challenges.” Id. ¶ 14. The Court has conducted a full
review of that declaration and, if such an exclusion in fact were employed, it was and continues
to remain, amply justified.
c. Exemption 1
FOIA exempts from disclosure “matters that are . . . (A) specifically authorized under
criteria established by an Executive order to be kept secret in the interest of national defense or
foreign policy and (B) are in fact properly classified pursuant to such Executive order.” 5 U.S.C.
§ 552(b)(1). The FBI invoked this exemption to withhold information contained on one page of
the Part II sample, FBI Vaughn Index at 45, that was classified under Executive Order (“E.O.”)
No. 13,526, 75 Fed. Reg. 707 (Dec. 29, 2009), which controlled classification of national
security information at the time the records were produced, 15th Hardy Decl. ¶ 74. In order to
show that the redacted information has been “properly classified” and is thus exempt from
disclosure, 5 U.S.C. § 552(b)(1), DOJ must describe how it meets both the “substantive and
49
procedural criteria for classification” laid out by the E.O., Judicial Watch, Inc. v. United States
Dep’t of Defense, 715 F.3d 937, 941 (D.C. Cir. 2013); see also E.O. No. 13,526.
The FBI’s declarant “made certain that all procedural requirements of E.O. 13526 were
followed.” 15th Hardy Decl. ¶ 76. He also described how he “personally and independently
examined the FBI information withheld pursuant to Exemption 1” and determined that it met the
substantive requirements “to warrant classification at the ‘Secret’ level” pursuant to the E.O. Id.
¶ 77. In particular, he determined that the classified information pertained to “intelligence
activities (including covert action), intelligence sources or methods, or cryptology.” Id.; see also
E.O. 13,526 § 1.4(c). The FBI declarant explained that release of the information protected by
Exemption 1 “would reveal intelligence activities and methods used by the FBI against targets”
of investigations, or would “disclose the intelligence gathering capabilities of the activities or
methods directed at targets.” 15th Hardy Decl. ¶ 80. The declarant went into further detail in his
subsequent declaration, explaining that “the FBI withheld information pursuant to Exemption 1
to protect intelligence methods utilized by the FBI for gathering intelligence data,” disclosure of
which “would reveal actual intelligence activities and methods used by the FBI against specific
targets of foreign counterintelligence investigations; identify a target of a foreign
counterintelligence investigation; and/or disclose the intelligence gathering capabilities of the
activities or methods directed at specific targets.” 16th Hardy Decl. ¶ 18.
Plaintiff contends that “[t]he FBI’s declaration is inadequate as to Exemption 1 because
it” is too conclusory, and requests that the record purportedly subject to Exemption 1 be
examined by the Court ex parte in camera. Pl.’s Opp’n at 8. Plaintiff is wrong as to the
adequacy of the FBI’s declaration. For Exemption 1, “[i]f an agency's statements supporting
[this] exemption contain reasonable specificity of detail as to demonstrate that the withheld
50
information logically falls within the claimed exemption and evidence in the record does not
suggest otherwise, . . . the court should not conduct a more detailed inquiry to test the agency's
judgment and expertise or to evaluate whether the court agrees with the agency's opinions.”
Larson v. Dep’t of State, 565 F.3d 857, 865 (D.C. Cir. 2009). “Indeed” courts in this Circuit
“have consistently deferred to executive affidavits predicting harm to national security, and have
found it unwise to undertake searching judicial review.” DiBacco v. Dep’t of the Army, 926 F.3d
827, 835 (D.C. Cir. 2019) (internal quotation marks omitted) (quoting Ctr. for Nat’l Sec. Studies,
331 F.3d at 927). DOJ ’s detailed affidavits, which clearly explain both how and why the
information was properly classified, have carried its “light” burden in this context. Am. Civil
Liberties Union, 628 F.3d 612, 624 (D.C. Cir. 2011).
Moreover, while in camera review is an option, FOIA “does not compel the exercise of
that option” and the decision whether to undertake such review is committed to the district
court’s “broad discretion.” Id. at 626 (internal quotation marks omitted) (quoting Ctr. for Auto
Safety v. EPA, 731 F.2d 16, 20 (D.C. Cir. 1984)). Courts must be particularly loath to invoke
that discretion “in national security situations like this case” and “should not resort to” in camera
inspection of Exemption 1 documents “routinely on the theory that ‘it can’t hurt.’” Id. (quoting
Larson, 565 F.3d at 870 (D.C. Cir. 2009)). Given the adequacy of the FBI’s declarations, the
plaintiff’s invitation to second-guess the FBI’s prediction of harm to the national security is
rejected. DOJ is entitled to summary judgment as to the FBI’s application of Exemption 1.
d. Exemption 3
FOIA Exemption 3 covers records “specifically exempted from disclosure by [a] statute”
other than FOIA, “if that statute” either “requires that the matters be withheld from the public in
such a manner as to leave no discretion on the issue[] or . . . establishes particular criteria for
51
withholding or refers to particular types of matters to be withheld.” 5 U.S.C. § 552(b)(3).
Exemption 3 is not like FOIA’s other exemptions “because ‘its applicability depends less on the
detailed factual contents of specific documents.’” DiBacco, 926 F.3d at 835 (quoting Morley v.
CIA, 508 F.3d 1108, 1126 (D.C. Cir. 2007)). The task for the Court in analyzing an agency’s
Exemption 3 claims is relatively simple: determine whether the statute in question “is one of
exemption as contemplated by Exemption 3” and then determine whether “the withheld material
falls within the statute.” Larson, 565 F.3d at 865. The FBI relies on four statutes as exempting
records, in part or in full, within Part II of the sample. These statutes are discussed in turn.
(i) Title III
First, the FBI relies on Title III of the Omnibus Crime Control and Safe Streets Act of
1968 (“Title III”), 18 U.S.C. §§ 2510 et seq., to withhold information on 19 pages of the Part II
sample. Title III governs the procedure for law enforcement interception of “wire, oral, or
electronic communications.” 18 U.S.C. § 2516. The law is well settled that “Title III falls
squarely within” Exemption 3’s ambit. Lam Lek Chong v. United States Drug Enforcement
Agency, 929 F.2d 729, 733 (D.C. Cir. 1991). The question is thus whether the withheld material
“falls within the statute.” Larson, 565 F.3d at 865. The FBI withheld information under the
statute “to protect the target” of Title III wiretaps and “analysis” of communications intercepted
under Title III. 15th Hardy Decl. ¶ 84. More specifically, “the withheld information includes
targets, types and dates of intercepts, numbers of intercepts on a particular target, types of
information and information obtained via lawfully authorized Title III” interceptions. 16th
Hardy Decl. ¶ 21.
This information falls within Title III. Except in limited circumstances in which the
Judge who authorized a Title III intercept may disclose the contents of the interception to the
52
“parties overheard, see 18 U.S.C. § 2518(8)(d), 10(a), use and disclosure” of those contents “is
governed by section 2517 of the statute.” Lam Lek Chong, 929 F.2d at 732. Section 2517 in turn
strictly constrains the circumstances in which the contents of an interception may be disclosed.
18 U.S.C. § 2517(1)–(8). Moreover, Title III not only protects the contents of court-authorized
wiretaps, but also the applications for and orders granting such authorization. Id. § 2518(8)(b);
see also Wright v. U.S. Dep’t of Justice, 121 F. Supp. 3d 171, 181 (D.D.C. 2015) (“The plain
language of the statute requires Courts to seal Title III applications and orders through the
mandatory verb ‘shall,’ and permits disclosure ‘only upon a showing of good cause before a
judge of competent jurisdiction.’”). The FBI adequately explains that the redacted information
related to both the fact of, and information gleaned from, particular Title III intercepts. 16th
Hardy Decl. ¶ 21. Title III strictly limits the ways in which such information may be disclosed
and, therefore, exempts it from FOIA disclosure.
The FBI initially applied a small number of redactions, pursuant to Title III, on four
pages of the sample but, upon re-review, released the information. 15th Hardy Decl. at 38 n.22
(explaining that “Exemption (b)(3)-1 is no longer applicable” as to “page[] Shapiro-179308);
16th Hardy Decl. ¶ 21 (“[U]pon further review, the FBI re-processed Bates pages Shapiro-48862,
139196, [and] 179471 to release additional information” previously withheld under Title III).
The FBI does not attempt to justify its initial withholdings and analysis of three of the four
unredacted pages released to plaintiff available in the record shows those initial withholdings
were improper. See 16th Hardy Decl., Ex. A at 15, 24, 26.20 Those pages reference intercepts,
but do not reveal their targets or their content. Id. Absent further explanation of the propriety of
the initial withholding, the Court concludes that information on those pages was improperly
20
The fourth page on which information was initially redacted pursuant to Title III but later released has not
been submitted by either party.
53
withheld. As the information has already been released, there is no need to order its disclosure.
Nevertheless, the four errors will be counted in determining the error rate within Part II of the
sample.
(ii) Grand Jury
Second, the FBI initially relied on Federal Rule of Criminal Procedure 6(e) to withhold in
part or in full 57 pages of the Part II sample. See FBI Vaughn Index. Now, “[a]fter further
review, the FBI is no longer asserting Exemption [3] pursuant to Rules of Criminal Procedure
Rule 6(e) on the sample pages.” 16th Hardy Decl. ¶ 22. Following this re-review, the FBI
released additional information on twelve of the sample pages but does not explain why
information from all 57 pages was not released. 16th Hardy Decl. at 10 n.3. Plaintiff complains
that DOJ “has not provided any further justification as to why its prior withholding[s] were
justified.” Pl.’s Reply at 10. As alluded to above, questions thus remain. See Part III.C.1.b.i.,
supra. Does DOJ believe its initial assertion of the exemption in this context was valid? This
seems unlikely in this context given that Federal Rule of Criminal Procedure 6(e) requires that
“matter[s] occurring before the grand jury” remain confidential except in very limited
circumstances. Fed. R. Crim. P. 6(e)(2)(B); see also McKeever v. Barr, 920 F.3d 842, 844 (D.C.
Cir. 2019) (“Federal Rule of Criminal Procedure 6(e) ‘makes quite clear that disclosure of
matters occurring before the grand jury is the exception and not the rule’ and ‘sets forth in
precise terms to whom, under what circumstances and on what conditions grand jury information
may be disclosed.’” (quoting Fund of Constitutional Gov’t v. Nat’l Archives & Records Serv.,
656 F.2d 856, 868 (D.C. Cir. 1981))). This leads to the logical conclusion that the FBI erred in
its initial application of the Exemption 3 predicated on Rule 6(e) to the twelve pages from which
additional information has been released. 16th Hardy Decl. at 10 n.3. The FBI, however, does
54
not explain why information has not been released from the other 45 pages which contained
redactions pursuant to Exemption 3 and Rule 6(e). Perhaps, as discussed above, see Part
III.C.1.b.ii, supra, the information redacted on those pages was subject to other Exemptions as
well, and although the information on those 45 pages is no longer withheld pursuant Exemption
3, it remains properly withheld under some other exemption. Nonetheless, given the FBI’s
failure to explain why it failed to release information from those 45 pages, DOJ possibly
committed an additional 45 errors by withholding information pursuant to Exemption 3 and Rule
6(e).
(iii) National Security Act
Third, the FBI relies on Section 102A(i)(1) of the National Security Act, 50 U.S.C.
§ 3024(i)(1), to withhold information on 5 pages of the Part II sample. See FBI Vaughn Index;
16th Hardy Decl. ¶ 23. That provision states that “[t]he Director of National Intelligence
[(“DNI”)] shall protect intelligence sources and methods from unauthorized disclosure.” 50
U.S.C. § 3024(i)(1). The statute empowers the DNI to “establish and implement guidelines for
the intelligence community,” id. § 3024(i)(2), of which the FBI is a part.
Plaintiff wisely does not quibble with the notion that the Act is an exemption statute as
contemplated by Exemption 3. See DiBacco, 926 F.3d at 834 (noting that the D.C. Circuit has
held that the National Security Act “may be used to withhold information under Exemption 3”).
Instead, he argues that “the FBI’s declaration is inadequate . . . because the agency ‘merely
recite[s] the statutory standards’” for exemption under the National Security Act and fails to
explain “how disclosure of the withheld material would reveal intelligence sources and
methods.” Pl.’s Opp’n at 12 (quoting Carter v. United States Dep’t of Commerce, 830 F.2d 388,
393 (D.C. Cir. 1987)).
55
In response to this challenge, the FBI provided further detail. In particular, the FBI
explained that it has invoked the Act to “protect a file number assigned to a specific intelligence
matter.” 16th Hardy Decl. ¶ 23. Such file numbers “contain a geographical prefix identifying
the originating office,” and a case number “which includes the file classification identifying type
of investigation.” Id. The FBI fears that release of this information “would lead to exposure of
the particular intelligence activity and method at issue” by allowing “an adversary to attribute
any information released from the document to the particular file.” Id. Although linking the file
number to the information in the documents at issue would not lead directly to the revelation of
intelligence “sources [or] methods,” 50 U.S.C. § 3024(i)(1), the FBI is concerned that, “as more
information is identified with the particular file,” the plaintiff or others could begin to construct a
“mosaic” leading ultimately to “exposure of actual intelligence activities or methods,” 16th
Hardy Decl. ¶ 23. Such disclosures “present[] the potential for individuals to develop and
implement countermeasures, which would result in the loss of significant
intelligence/information relied upon by national policymakers and the” Intelligence Community.
15th Hardy Decl. ¶ 87.
Notwithstanding this more fulsome explanation, plaintiff demands more specificity. In
particular, he seeks a better explanation of how disclosure of the file number would reveal
intelligence sources or methods, and an explanation of “why these file numbers in particular are
so sensitive as to warrant application of the National Security Act.” Pl.’s Reply at 10. No
further specificity is warranted. The Supreme Court has held that, under the National Security
Act, members of the Intelligence Community have the “power to withhold superficially
innocuous information on the ground that it might enable an observer to discover the identity of
an intelligence source.” Sims, 471 U.S. at 178. For that reason, so long as the information
56
“could reasonably be expected to lead to unauthorized disclosure of intelligence sources and
methods,” Halperin, 629 F.2d at 147, even if only by using it to construct a mosaic, withholding
is proper. Especially in light of the “substantial weight” that must be afforded agency affidavits
“in the context of national security,” the FBI’s concerns about disclosing the file numbers in
question clearly surpass that low bar. Larson, 565 F.3d at 867.
(iv) Pen Register Act
Fourth, the FBI relies on the Pen Register Act, 18 U.S.C. § 3123, to withhold information
on two pages of the sample: Bates Nos. Shapiro-10065 and Shapiro-224651. FBI Vaughn Index
at 7; 16th Hardy Decl. ¶ 24–26.21 That Act “is a qualifying statute under Exemption 3.” Labow
v. United States Dep’t of Justice, 831 F.3d 523, 528 (D.C. Cir. 2016). As the Pen Register Act
requires “order[s] authorizing or approving the installation and use of a pen register,” a device
that allows law enforcement to record telephone conversations, “be sealed until otherwise
ordered by the court,” Exemption 3 applies to such orders and the information they contain. 18
U.S.C. § 3123(d)(1). Whether Exemption 3, by way of the Pen Register Acts, applies to
“information found in other . . . documents . . . [that] also contain[] the same information” is, as
the Circuit recently noted “far less clear.” Labow, 831 F.3d at 529.
The reach of Exemption 3 beyond the pen register orders themselves is directly in issue
in this case as the FBI is not seeking to withhold a sealed pen register order. 16th Hardy Decl.
21
Initially the FBI also asserted that the Pen Register Act rendered exempt information on an additional page,
Bates No. Shapiro-93317, but “[a]fter further review, the FBI is no longer asserting Exemption 3” on that page.
16th Hardy Decl. ¶ 24. The FBI is not releasing that information, however, because it remains “exempt pursuant to
other FOIA exemptions,” including Exemptions 6, 7(C), and 7(E). Id.; Pl.’s Opp’n, Ex. 14 at 2, ECF No. 105-3. As
the Court concludes those exemptions were properly applied, see Parts III.C.3.g and III.C.3.j. infra, this potentially
improper application of Exemption 3 will not be counted as an error, see Part III.C.1.b.ii., supra. The FBI has also
noted that, as briefing was ongoing, the agency realized that information on another page, Bates No. Shapiro-
224651, was “inadvertently” represented as withheld under Exemption 3 pursuant to Title III, when it should have
been marked as exempt pursuant to the Pen Register Act. 16th Hardy Decl. ¶ 26. This appears to have been nothing
more than a clerical error and as redaction on that page was made for the “same reason[s]” as the redactions made on
Bates No. Shapiro-10065, the analysis in this section applies to both pages.
57
¶ 25. On the one hand, the Pen Register Act obviously does not give agencies carte blanche to
withhold any piece of information that coincidentally also appears in a pen register order. On the
other, as the district court on remand from Labow put it, Exemption 3 does allow “an agency to
withhold information” when “Congress has recognized a danger associated with its disclosure.”
Labow v. United States Dep’t of Justice, 278 F. Supp. 3d 431, 441 (D.D.C. 2017) (citing Am.
Jewish Cong. v. Kreps, 574 F.2d 624, 628–29 (D.C. Cir. 1978)). In other words, if disclosure of
the information “would necessarily compromise the [pen register] order,” its release would run
afoul Congress’s intent in calling for those orders to be sealed in the first place. Id.; see also,
e.g., Sennett v. Dep’t of Justice, 962 F. Supp. 2d 270, 283 (D.D.C. 2013) (withholding
“information that would reveal the identities and phone numbers of the individuals subject to pen
registers” (internal quotation marks omitted)); Brown v. FBI, 873 F. Supp. 2d 388, 401 (D.D.C.
2012) (withholding “information regarding the target of pen registers, and reports generated as
the result of the pen registers”). This Court agrees that if disclosure of the information would be
tantamount to revealing the order itself, the information is properly withheld under Exemption 3.
The information withheld here is just such information. The FBI explained, at first, that
information was withheld because disclosure “would reveal the existence or use of a pen register
or trap and trace device, or reveal the existence of an investigation involving a pen register or
trap and trace device.” 15th Hardy Decl. ¶ 88. In its subsequent declaration, the FBI says, in
somewhat circular language, that the withheld information under the Pen Register Act “is the
same information that would be contained in [a pen register] order” and that in the particular
context “in which it was presented in the responsive document[s], making direct reference to the
subject of a pen register, disclosure would reveal the specific information that the pen register
statute requires be included in a pen register order, which in turn such information must be
58
sealed.” 16th Hardy Decl. ¶ 25. Although this may not be the most pellucid language, the
Bureau makes clear that the information was withheld “to prevent the target of [a pen register]
order from knowing that he/she has been targeted.” Id. Put differently, the agency has sought to
withhold information disclosure of which “would necessarily compromise the order.” Labow,
278 F. Supp. 3d at 441. This information is properly withheld.22
e. Exemption 4
FOIA Exemption 4 protects from disclosure “trade secrets and commercial or financial
information obtained from a person and privileged or confidential.” 5 U.S.C. § 552(b)(4). The
FBI initially asserted this exemption with respect to two pages “from a book titled ‘A Poor
Man’s James Bond’ copyrighted in 1972 by Kurt Saxon.” 15th Hardy Decl. ¶ 91. The FBI has
since decided to “release[] these pages to the Plaintiff in full.” 16th Hardy Decl. ¶ 28. Again,
the FBI has not clarified whether this was a discretionary choice or an admission of error. The
Court will thus endeavor to determine whether the agency’s initial justification, described in
some detail the FBI’s fifteenth declaration, was valid.
The FBI did not contend that the book was a “trade secret[],” 5 U.S.C. § 552(b)(4),
instead asserting the book pages are “commercial information,” 15th Hardy Decl. ¶ 91.
Moreover, the FBI suggests that the pages were “confidential.” Id. In doing so, the FBI’s
declarant echoed language from National Parks and Conservation Association v. Morton, 498
F.2d 765 (D.C. Cir. 1974), which held that commercial information is confidential “if disclosure
of the information is likely to have either of the following effects: (1) to impair the
22
The FBI also relied on Exemption 3 by way of the Juvenile Justice and Delinquency Act, 18 U.S.C.
§§ 5031 et seq., and in particular 18 U.S.C. § 5038, in its attempts to preserve any exemption claims for documents
also categorically withheld under Exemption 7(A). See Note 19, supra. The determination that the FBI’s
categorical application of Exemption 7(A) was proper obviates the need to address any additional exemptions
applied to such documents.
59
Government’s ability to obtain necessary information in the future; or (2) to cause substantial
harm to the competitive position of the person from whom the information was obtained.” Id. at
770 (footnote omitted); see also Critical Mass Energy Project v. Nuclear Regulatory Comm’n,
975 F.2d 871, 879 (D.C. Cir. 1992) (en banc) (restricting the applicability of the National Parks
test to circumstances in which an agency had received the commercial information by
compulsion). The FBI’s theory is that, because the pages were copyrighted, their disclosure
might cause substantial harm to the copyright holder’s competitive position. 15th Hardy Decl.
¶ 93.
Finding the National Parks standard out of step with the “ordinary, contemporary,
common meaning” of the word “confidential,” the Supreme Court did away with this standard as
briefing for this case was ongoing. Food Mktg. Inst. v. Argus Leader Media, 139 S. Ct. 2356,
2362 (2019); see also Ctr. for Investigative Reporting v. United States Customs and Border
Protection, 2019 WL 7372663, *10–14 (D.D.C. Dec. 31, 2019) (“grappl[ing] with the
ramifications of Food Marketing [Institute]” for D.C. Circuit precedents). In its place, the
Supreme Court erected a new standard: “At least where commercial or financial information is
[1] both customarily and actually treated as private by its owner and [2] provided to the
government under an assurance of privacy, the information is ‘confidential’ within the meaning
of Exemption 4.” Id. at 2366. That first requirement had long been the rule in this Circuit with
respect to information provided to agencies voluntarily, see Critical Mass Energy Project, 975
F.2d at 879–80, but Food Marketing Institute stretched its application to all commercial
information provided to agencies whether voluntarily or otherwise. Although the Supreme Court
did not “need to resolve” whether the second condition it announced was necessary in every
case, whether the agency provided an “assurance of privacy” is undoubtedly relevant to
60
determining whether commercial information possessed by DOJ is “confidential.” Food
Marketing Institute, 139 S. Ct. at 2363; see also Ctr. for Investigative Reporting, 2019 WL
7372663 at *13–14.
As DOJ ’s memorandum was submitted before Food Marketing Institute was decided, it
does not address these factors.23 Nevertheless, applying the standard from Food Marketing
Institute to the FBI’s initial justification for withholding the pages in question, the Court holds
that they were withheld in error. First, the book is not “actually treated as private by its owner.”
Food Marketing Institute, 139 S. Ct. 2366. Although the copyright for the book in question once
belonged to Kurt Saxon, he seems to have transferred that copyright to another individual who
subsequently “release[ed] it to the public domain.” Saxon v. Blann, 968 F.2d 676, 678 (8th Cir.
1992). Moreover, nothing indicates that the pages in question were “provided to the government
under an assurance of privacy.” Food Marketing Institute, 139 S. Ct. at 2366. Although the
pages are evidently already in plaintiff’s possession, the two improperly withheld pages will be
counted as errors.
f. Exemption 5
FOIA Exemption 5 protects from disclosure “inter-agency or intra-agency memorandums
or letters that would not be available by law to a party other than an agency in litigation with the
agency.” 5 U.S.C. § 552(b)(5). This exemption “incorporates the privileges that the
Government may claim when litigating against a private party, including the governmental
attorney-client and attorney work product privileges, the presidential communications privilege,
the state secrets privilege, and the deliberative process privilege.” Abtew v. United States Dep’t
23
DOJ’s opposition to plaintiff’s cross-motion was submitted after the relevant holding had been announced,
but by then the FBI had withdrawn its application of Exemption 4 and was evidently operating under the mistaken
belief that this relieved the agency of its burden to justify its initial withholdings, so Food Marketing Institute’s new
standard again went unmentioned.
61
of Homeland Sec., 808 F.3d 895, 898 (D.C. Cir. 2015). Here, DOJ invokes the deliberative
process privilege, which permits an agency to withhold “documents reflecting advisory opinions,
recommendations and deliberations comprising part of a process by which governmental
decisions and policies are formulated,” Dep’t of the Interior v. Klamath Water Users Protective
Ass’n, 532 U.S. 1, 8 (2001) (internal quotation marks omitted) (quoting NLRB v. Sears, Roebuck
& Co., 421 U.S. 132, 150 (1975)), in order that agencies may “craft better rules when their
employees can spell out in writing the pitfalls as well as strengths of policy options, coupled with
the understanding that employees would be chilled from such rigorous deliberation if they feared
it might become public,” Judicial Watch, Inc. v. United States Dep’t of Defense, 847 F.3d 735,
739 (D.C. Cir. 2017).24
“To qualify for the deliberative process privilege, an intra-agency memorandum must be
both pre-decisional and deliberative.” Abtew, 808 F.3d at 898 (citing Coastal States Gas Corp. v.
Dep’t of Energy, 617 F.2d 854, 866 (D.C. Cir. 1980)). “A document is ‘predecisional’ if it
precedes, in temporal sequence, the ‘decision’ to which it relates,” id. (internal quotation marks
omitted) (quoting Senate of the Commonwealth of Puerto Rico v. United States Dep’t of Justice
(“Senate of P.R.”), 823 F.2d 574, 585 (D.C. Cir. 1987)), or was “‘prepared in order to assist an
agency decisionmaker in arriving at his decision,’ rather than to support a decision already
made,” Petroleum Info. Corp. v. United States Dep’t of the Interior, 976 F.2d 1429, 1434 (D.C.
Cir. 1992) (quoting Renegotiation Bd. v. Grumman Aircraft, 421 U.S. 168, 184 (1975)).
Deliberative, in this context, means the record is “a part of the agency give-and-take—of the
24
As briefing was ongoing, DOJ also decided to invoke the attorney-client privilege as to one document
already withheld under Exemption 5. 16th Hardy Decl. ¶ 36. The Court holds that the document was properly
withheld under the deliberative process privilege and so need not address whether another privilege may apply.
62
deliberative process—by which the decision itself is made.” Abtew, 808 F.3d at 899 (internal
quotation marks omitted) (quoting Vaughn v. Rosen, 523 F.2d 1136, 1144 (D.C. Cir. 1975)).
To gauge whether the deliberative-process privilege has been asserted appropriately, DOJ
must explain, for each withheld record, at least, “(1) ‘what deliberative process is involved,’
(2) ‘the role played by the documents in issue in the course of that process,’ and (3) ‘the nature
of the decisionmaking authority vested in the office or person issuing the disputed document[s],
and the positions in the chain of command of the parties to the documents.’” Ctr. for Biological
Diversity v. EPA, 279 F. Supp. 3d 121, 147 (D.D.C. 2017) (citations omitted) (first quoting
Senate of P.R., 823 F.2d at 585–86; then quoting id.; and then quoting Elec. Frontier Found. v.
United States Dep’t of Justice, 826 F. Supp. 2d 157, 168 (D.D.C. 2011)). DOJ, not the requester,
must identify the deliberative process to which any record relates. 100Reporters LLC v. United
States Dep’t of Justice, 248 F. Supp. 3d 115, 152 (D.D.C. 2017) (citing Coastal States, 617 F.2d
at 868).
Here the FBI has asserted the deliberative process privilege to protect three documents
totaling eight pages. The first document is described as “a memorandum documenting a meeting
between two FBI Special Agents and an Assistant United States Attorney . . . discussing a
prospective prosecution.” 16th Hardy Decl. ¶ 30 (explaining the document was assigned Bates
Nos. Shapiro-3014–15). The document was intended to “memorialize[] the back and forth
discussion between the two agents and the prosecutor assigned to the case about potential
investigative avenues, investigative steps, purpose and advantage of certain investigative
techniques, as well as legal procedures being explored.” Id. This discussion “precede[d] and
[led] to [a] final decision in preparation for the future prosecution.” Id. The FBI has thus
adequately stated what deliberative process is involved—“FBI and DOJ’s deliberations,” id.,
63
regarding the direction of a prospective investigation—the role the document played—
memorializing a discussion of possible investigative avenues and techniques—and the nature of
the decisionmaking authority of the author of the document—the FBI agents and DOJ prosecutor
were assigned to the case and responsible for guiding the prospective investigation and
prosecution. This document was properly withheld.
Next the FBI asserts the privilege with respect to an electronic communication
“documenting several FBI[] Special Agents’ attendance to a conference on animal
rights/terrorism.” Id. ¶ 31 (explaining the document was assigned Bates Nos. Shapiro-138769–
70). The portions of the document withheld pursuant to Exemption 5 detailed “a discussion . . .
between an AUSA and the conference’s attendees” that “contemplate[ed] investigative efforts to
pursue a prospective prosecution.” Id. Again, the FBI asserts this communication “precede[d]
and [led] to [a] final decision in preparation for future prosecution.” Id. Much the same analysis
thus applies to this document. The deliberative process involved is the discussion of possible
investigative avenues to aid in a prospective prosecution, the document memorializes early
discussions about those efforts, and the individuals involved are investigating Special Agents.
Id.
Plaintiff focuses his complaints with respect to this document on his contention that the
FBI waived the deliberative process privilege. Pl.’s Reply at 13–14. The document in question
“memorializ[es] a meeting attended by the Executive Director of the Fur Commission.” Id. at
13. According to plaintiff, the presence of this third party destroyed the privilege. Plaintiff’s
argument misses the mark for two reasons. First, the FBI clarifies that the Fur Commission was
not “participating in the discussions about the prospective prosecution” reflected in the
documents at issue. 16th Hardy Decl. ¶ 31. Second, to the extent the Executive Director was, as
64
plaintiff suggests, “present during the discussions about the prospective prosecutions,” this
matters little as the privilege is asserted to exempt an Electronic Communication memorializing
the discussion and nothing suggests that the document in question was ever shared with a third-
party. Cf. In re Sealed Case, 121 F.3d 729, 741–42 (explaining that an agency waives the
deliberative process privilege as to “specific documents” when it “reveal[s] [them] to third
parties” outside the agency).
Finally, the FBI asserts the deliberative process privilege to an Electronic
Communication “prepared to notify FBI Field Offices of recommendations regarding retention
of evidence.” 16th Hardy Decl. ¶ 32 (explaining the document was assigned Bates Nos. Shapiro-
202953–56). Specifically, while the FBI “released the portion of the records reflecting the final
determination and advice given to the Field Offices,” it withheld “those portions of the document
containing the analysis of potential scenarios, legal considerations, ideas and vulnerabilities.” Id.
This description fails to establish the applicability of the deliberative process privilege. For one,
if a document is to qualify for the deliberative process privilege, it must “precede[], in temporal
sequence, the ‘decision’ to which it relates.” Abtew, 808 F.3d at 898. The FBI asserts that the
information withheld was redacted from the same document which contained the final decision.
Information is not predecisional if it appears simultaneously with the final decision. Moreover,
the agency’s explanation makes clear that the withheld information is more akin to analysis of
the ramifications of a final decision not discussions as part of the “give-and-take . . . by which
the decision itself is made.” Id. at 899. The agency has failed to meet its burden with respect to
this four-page document and it will thus be ordered to remove any redactions on the document
made pursuant to Exemption 5 or provide further justification for those withholdings. In the
65
meantime, another four errors stemming from the four redactions made in this document will be
added to the numerator of the error rate calculation.
g. Exemptions 6 and 7(C)
FOIA Exemption 6 shields from disclosure “personnel and medical files and similar files
the disclosure of which would constitute a clearly unwarranted invasion of personal privacy.” 5
U.S.C. § 552(b)(6). Similarly, Exemption 7(C) protects “records or information compiled for
law enforcement purposes, but only to the extent that the production” of those records “could
reasonably be expected to constitute an unwarranted invasion of personal privacy.” Id.
§ 552(b)(7)(C). Both exemptions “seek to protect the privacy of individuals identified in certain
agency records.” Am. Civil Liberties Union v. United States Dep’t of Justice, 655 F.3d 1, 6 (D.C.
Cir. 2011). Textual differences between the two exemptions, however, mean that “Exemption
7(C) is more protective of privacy than Exemption 6 and thus establishes a lower bar for
withholding material.” Id. (internal quotation marks omitted) (quoting United States Dep’t of
Def. v. Fed. Labor Relations Auth., 510 U.S. 487, 496 n.6 (1994)); compare 5 U.S.C. § 552(b)(6)
(exempting only records “disclosure of which would constitute a clearly unwarranted” privacy
invasion (emphasis added)) with id. § 552(b)(7)(C) (exempting records that “could reasonably be
expected to constitute an unwarranted invasion” (emphasis added)). Although the FBI has
asserted the two in conjunction, 15th Hardy Decl. ¶¶ 102–04, because plaintiff does not take
issue with the FBI’s contention that the records in question were “compiled for law enforcement
purposes,” 5 U.S.C. § 552(b)(7), only the FBI’s application of Exemption 7(C)’s broader
protection need be considered, see Am. Civil Liberties Union, 655 F.3d at 6 (analyzing only
Exemption 7(C) when the “plaintiffs concede[d] that the requested records [were] . . . compiled
for law enforcement purposes” (internal quotation marks omitted)).
66
Determining whether disclosure of the withheld information “could reasonably be
expected to constitute an unwarranted invasion of personal privacy,” 5 U.S.C. § 552(b)(7)(C),
requires courts “to balance the” asserted “privacy interest against the public interest in
disclosure.” Nat’l Archives and Records Admin. v. Favish, 541 U.S. 157, 171 (2004) (citing
United States Dep’t of Justice v. Reporters Comm. for Freedom of Press, 489 U.S. 749, 762
(1989)). “[T]he only public interest relevant for purposes of Exemption 7(C) is one that focuses
on the citizens’ right to be informed about what their government is up to.” Davis v. United
States Dep’t of Justice, 968 F.2d 1276, 1282 (D.C. Cir. 1992) (internal quotation marks omitted)
(quoting Reporters Comm., 489 U.S. at 773). As for the relevant privacy interests, the D.C.
Circuit has consistently held that “third parties, witnesses, and informants mentioned in
investigatory files maintain a privacy interest in keeping secret the fact that they were subjects of
a law enforcement investigation.” Bartko, 898 F.3d at 71 (internal quotation marks omitted)
(quoting Nation Magazine, 71 F.3d at 894). The strength of that privacy interest is such that “the
FBI is permitted ‘to withhold information identifying private citizens mentioned in law
enforcement records, unless disclosure is “necessary in order to confirm or refute compelling
evidence that the agency is engaged in illegal activity.”’” Id. (quoting Schrecker v. United States
Dep’t of Justice, 349 F.3d 657, 661 (D.C. Cir. 2003) (itself quoting SafeCard, Servs., Inc., 926
F.2d at 1206)). The burden is on the requester to “produce evidence that would warrant a belief
by a reasonable person that . . . Government impropriety might have occurred.” Favish, 541
U.S. at 174.
The FBI undertook the balancing act required by Exemption 7(C). To do so, the agency
first split its invocation of Exemption 7(C) into eight categories, explaining that the exemption
was used to withhold the following: (1) names and/or identifying information of FBI Special
67
Agents (“SAs”) and support personnel, 15th Hardy Decl. ¶¶ 105–06; (2) names and/or
identifying data of third parties of investigative interest, id. ¶ 107; (3) names and/or identifying
information of non-FBI federal government employees, id. ¶¶ 108–10; (4) names and/or
identifying information of state and local law enforcement, id. ¶ 111; (5) names and/or
identifying information of third parties merely mentioned, id. ¶ 112; (6) names and/or identifying
data regarding third party victims, id. ¶ 113; (7) names and/or identifying information of third
parties who provided information to the FBI, id. ¶ 114; and (8) names and/or identifying data of
third parties with criminal records/rap sheets, id. ¶ 115. For each category, the FBI then
identified the privacy interests at stake and balanced them against the public’s interest in
disclosure. See, e.g., id. ¶ 114 (explaining that disclosure of an informant’s identifying
information could subject the informant to “reprisal, possible physical harm, or even death,” and
determining that there was “no public interest in . . . disclosure” because it would not “shed light
on or significantly increase the public’s understanding of the operations and activities of the
FBI”).
Plaintiff neither challenges the categories defined by the FBI nor the privacy interests
asserted to support those categories. Moreover, he fails to even mention the public’s interest in
disclosure, let alone “produce evidence” that disclosure is necessary to uncover some
government malfeasance. Favish, 541 U.S. at 174. Instead, through a series of ad hoc
arguments, plaintiff takes aim at the existence vel non of a privacy interest in the first place.
First, plaintiff asserts that “at the time he submitted his FOIA requests, [he] included privacy
waivers or obituaries from scores of individuals.” Pl.’s Opp’n at 17. Although plaintiff
identifies 24 pages on which he alleges the FBI improperly redacted the names or identifying
information of those individuals, he does not explain which redactions are improper because he
68
submitted a privacy waiver from a living individual and which are improper because he
submitted an obituary.25 His failure to adequately distinguish between the two makes it difficult
for the Court to measure properly the privacy interests at stake. The Circuit has recognized that
“[t]he fact of death, . . . while not requiring the release of information, is a relevant factor to be
taken into account in the balancing decision whether to release information.” Schrecker, 349
F.3d at 661 (internal quotation marks omitted). Nevertheless, “although death may diminish the
relevant privacy interests, it by no means extinguishes them because one’s own and one’s
relations’ interests in privacy ordinarily extend beyond death.” Am. Civil Liberties Union v.
United States Dep’t of Justice, 750 F.3d 927, 936 (D.C. Cir. 2014) (internal quotation marks
omitted). The mere submission of an obituary, therefore, would not ineluctably lead to the
conclusion that withholding the deceased’s identifying information is improper. Moreover,
plaintiff’s submissions do not make clear that his privacy waivers were sufficient to require
removal of the challenged redactions. First, he does not explain how he knows that the
challenged redactions related to individuals for whom he submitted privacy waivers. Pl.’s Opp’n
at 17–18. Second, he has not attached the privacy waivers in question to his cross-motion for
summary judgment, so whether the waiver extended to the information redacted is unclear.
25
Plaintiff asserts that he submitted “a privacy waiver or obituary” for any individual whose name or
identifying information was redacted from numerous pages in the sample, as detailed in an “Addendum” to his
opposition. Pl.’s Opp’n Ass., ECF No. 105-7. The Addendum is a chart listing sample pages to which Exemption
7(C) was applied and notating the reasons why that application was improper. Id. Two such reasons identified in
that chart are “waiver submitted” and “deceased.” Id. (capitalization altered). Although this presumably would
delineate between individuals for whom a privacy waiver was submitted and individuals for whom an obituary was
submitted, the FBI notes that plaintiff did not submit an obituary for any of the individuals listed in the “deceased”
column. Compare id. (mentioning “Ferguson,” “Mead,” “Rancourt,” and “LaRossa”) with 16th Hardy Decl. ¶ 44
(noting that “with regards to William Ian Ferguson, Marcus Mead, James Rancourt, and James Larossa . . .
[p]laintiff . . . did not provide either a privacy waiver or death record for any of the four individuals he mentions in
his Opposition”). As plaintiff is adamant that his Addendum “lists numerous instances” when the FBI “redacted the
names of individuals for whom” he had “submitted a privacy waiver or obituary,” Pl.’s Opp’n at 17–18, some
question thus remains as to whether the redactions identified in the “waiver submitted” column are only withholding
identifying information of individuals for whom plaintiff says he submitted a privacy waiver, or if he used that
column to identify potential redactions of identifying information of both individuals for whom he submitted a
privacy waiver and for whom he submitted an obituary.
69
Apparently at least some conditions are attached to those waivers as, according to plaintiff, the
waivers he obtained extend only “to the release of information to [him], not the general public.”
Pl.’s Opp’n at 3 n.2. Similar to the effect of an obituary then, the privacy waivers may do
nothing more than “diminish” the individual’s privacy interests, and without more, plaintiff’s
alleged submissions cannot overcome the individuals’ strong and presumptive privacy interest.
See CREW, 746 F.3d at 1096 (“[N]ames and identifying information of third parties contained in
. . . investigative files are presumptively exempt.”).
Plaintiff’s failure to establish the complete absence of privacy interests on the part of
individuals for whom he submitted privacy waivers and obituaries combined with his failure to
produce evidence that disclosure is necessary to ferret out FBI misdeeds means he cannot show
Exemption 7(C) was improperly invoked to hide their identifying information. Pub. Citizen
Health Research Grp. v. United States Dep’t of Labor, 591 F.2d 808, 809 (D.C. Cir. 1978)
(“[A]ny invasion of privacy can prevail, so long as the public interest balanced against it is
sufficiently weaker.”).
Second, plaintiff contends that “the FBI has improperly withheld information about
individuals referenced only in their capacities as representatives of a business.” Pl.’s Opp’n at
18. He gives three examples: (1) the redaction of the name Leon Hirsch from records identifying
him as Chairman of the Board of the United States Surgical Corporation (“U.S.S.C.”); (2) the
redaction of an individual identified as CEO of Proctor & Gamble; and (3) the redaction of the
name of the President of PETA and several celebrities from a single document. In support of his
contention that such redactions are categorically improper, plaintiff relies on another case in
which he was a plaintiff, Property of People v. United States Department of Justice, 310 F. Supp.
3d 57 (D.D.C. 2018). There, in analyzing the propriety of the FBI’s response that it could
70
neither confirm nor deny whether it had “law-enforcement records” that “mention[] or refer[] to
the living person Donald John Trump,” another Court in this District discussed how, because
Exemption 7(C) “does not extend to corporations,” individuals mentioned in investigative files
in their “official capacit[ies]” might not enjoy a privacy interest protected by that exemption. Id.
at 62–63, 71 (emphasis in original) (internal quotation marks omitted) (quoting FCC v. AT&T
Inc., 562 U.S. 397, 410 (2011)). That opinion contained dicta regarding the “blurry” line
between corporations and individuals, explaining that while “information[] about any crimes
taken in [one’s] personal capacity[] falls squarely within Exemption 7(C),” an individual “would
have no privacy interest in his mere affiliation with” a particular organization, but ultimately did
not “dwell” on the question because DOJ had “concede[d]” that the records at issue were not
covered by Exemption 7(C). Id. at 71–72. This is a far cry from adopting the bright line rule
plaintiff asserts here.
The case plaintiff cites is nonetheless instructive insofar as it explains that while mention
of an individual’s “mere affiliation” with an organization may be outside the protection of
Exemption 7(C), id. at 71 (emphasis omitted), references that go beyond establishing
“professional relationships” may very well be protected, id. at 72 (quoting Sims v. CIA, 642 F.2d
562, 574 (D.C. Cir. 1980)). The records to which plaintiff points do not merely affiliate
individuals with organizations. With respect to Leon Hirsch, although the records in question
append his corporate title to his name, they are investigative records regarding his attempted
murder. Pl.’s Opp’n, Ex. 32, ECF No. 105-5.26 As for the Proctor & Gamble CEO, the records
describe an assault on his person by two protesters. Pl.’s Opp’n, Ex. 36, ECF No. 105-5.
Finally, the names of the PETA president and certain celebrities were redacted from a document
26
As DOJ points out, after the re-review of the Part II sample, Mr. Hirsch’s name was unredacted. The Court
has already explained why it must nonetheless consider the FBI’s initial justifications for its redactions.
71
describing incidents in which those individuals were the target of protest activities or listed as
“people who [had] been associated” with those incidents. Pl.’s Opp’n, Ex. 33, Ex. 105-5.
Nothing in plaintiff’s filings overcomes the “presumptive[] exempt[ion]” of “names and
identifying information of third parties contained in investigative files.” CREW, 746 F.3d at
1096.
Third, plaintiff complains that the FBI redacted the name of a “high-ranking FBI official
who presented testimony to Congress” from two pages within Part II of the sample. Pl.’s Opp’n
at 19.27 Plaintiff notes that the official’s name, James Jarboe, appears alongside a copy of that
testimony on the FBI’s website. Id. Of course, “when an agency has officially acknowledged
otherwise exempt information through prior disclosure, the agency has waived its right to claim
an exemption with respect to that information.” Am. Civil Liberties Union v. CIA, 710 F.3d 422,
426 (D.C. Cir. 2013). To mount an “official acknowledgment” argument, the plaintiff bears the
“initial burden of pointing to specific information in the public domain that appears to duplicate
that being withheld.” Id. at 427 (quoting Wolf v. CIA, 473 F.3d 370, 378 (D.C. Cir. 2007)).
Plaintiff has done so here, attaching a printout of an FBI webpage acknowledging Mr. Jarboe’s
testimony. Pl.’s Opp’n, Ex. 38, ECF No. 105-5. The FBI, perhaps in recognition of this, chose
to release Mr. Jarboe’s name on one of the two pages and explained that “[t]he name does not
appear” on the other page identified by plaintiff. 16th Hardy Decl. ¶ 40. This single mistake on
a single page will be tallied in calculating the error rate within the sample.
Fourth, plaintiff complains of redactions from three documents of the names of
individuals who are identified in the documents as “having pled guilty” to various crimes and as
having been “identified as [parties] in a civil” lawsuit. Pl.’s Opp’n at 19. These redactions
27
Plaintiff asserts this name was improperly redacted on pages with Bates Nos. 202055 and 202061.
72
appear on four pages of the sample.28 Plaintiff is wrong that Exemption 7(C) “does not . . . apply
to single instances of public pleas and convictions.” Pl.’s Opp’n at 19. Indeed in American Civil
Liberties Union v. United States Department of Justice, 655 F.3d 1 (D.C. Cir. 2011), the case on
which plaintiff relies, the D.C. Circuit notes that while “disclosure of convictions and public
pleas is at the lower end of the privacy spectrum,” that does not mean “that a convicted
defendant has no privacy interest in the facts of his conviction.” Id. at 7 (emphasis in original).
Plaintiff’s failure to even mention the possible public interest in disclosing the names of the
individuals identified as having pled guilty means that the withholding of their names was
proper. The same goes for the individuals identified in relation to a civil lawsuit described in an
FBI investigative record. Even if, as plaintiff asserts, mentioning the name of an individual in
that context “poses even less of a risk of stigma, embarrassment, or other harm” than being
identified as having been convicted of a crime, the lack of any countervailing public interest in
disclosure makes invocation of Exemption 7(C) proper. Pl.’s Opp’n at 19.
Fifth, plaintiff asserts that the “FBI has also failed to ascertain the life status of certain
individuals who figure prominently in the withheld documents and who are, in fact, deceased.”
Pl.’s Opp’n at 20. According to plaintiff, the FBI improperly redacted the names of William Ian
Ferguson, Marcus Mead, James Rancourt, and James LaRossa. He has provided evidence that
each of the individuals is deceased. Pl.’s Opp’n, Exs. 42, 49, ECF No. 105-6. “Without
confirmation that the Government took certain basic steps to ascertain whether an individual was
dead or alive,” courts are typically “unable to say whether the Government reasonably balanced
the interests in personal privacy against the public interest in release of the information at issue.”
28
The redactions appear on pages with Bates Nos. 822, 824, and 10799–10800. The FBI eventually released
the name of an individual redacted on pages with Bates Nos. 10799–10800. For reasons already noted, however, the
propriety of the initial withholding must still be determined.
73
Schrecker v. United States Dep’t of Justice, 254 F.3d 162, 167 (D.C. Cir. 2001). Plaintiff’s
failure to identify a public interest in disclosure, however, is again fatal. As noted above, even if
the FBI had determined that the individuals were deceased by conducting an adequate life-status
check, that fact would “by no means extinguish[]” the individual’s privacy interests. Am. Civil
Liberties Union, 750 F.3d at 936 (internal quotation marks omitted).29 Assuming the privacy
interests of the four individuals was minimal following their deaths, such minimal interests still
tip the scale in favor of withholding when weighed against nothing. Pub. Citizen Health
Research Grp., 591 F.2d at 809.30
Finally, plaintiff takes issue with the redaction of the names of Fran Trutt, Darryl
Benvenuto, and Mark Anagnos from pages within the sample. He asserts that, because “their
names appear numerous times unredacted” both in publicly available documents and in certain
documents that have been disclosed to plaintiff as a result of the requests at issue in this case,
redaction of their names from other documents are improper. Pl.’s Opp’n at 21. Information
filed on a public docket or otherwise released by the FBI, of course, may differ substantially
from information contained in the FBI’s investigative records, as plaintiff’s exhibits clearly
show. As an example of what plaintiff believes was an improper redaction, he submits an FBI
letter stating “All of the above documents relate to [the] investigation conducted by the DTTF
29
In fact, the FBI plausibly asserts that an adequate life-status check was conducted for each of the four
individuals at the time it asserted Exemption 7(C). 16th Hardy Decl. ¶ 43–44 (“The FBI conducted a life status
check of Mr. Ferguson, Mr. Mead, Mr. Rancourt and Mr. Larossa . . . .”).
30
The FBI too quickly asserts that since “Mr. Ferguson is deceased[,] and Exemptions 6 and 7(C) no longer
apply.” 16th Hardy Decl. ¶ 44. As explained, death merely diminishes an individual’s privacy interest and does not
destroy it. Nevertheless, the FBI explains that even if those exemptions did not apply, because he was “a
cooperating witness for the FBI” who was given “an express assurance of confidentiality,” his identity and the
information he provided remain properly hidden in documents related to his cooperation pursuant to Exemption
7(D). Id.; see also 5 U.S.C. § 552(b)(7)(D) (exempting law enforcement records to the extent their disclosure “could
reasonably be expected to disclose the identity of a confidential source . . . and, in the case of a record or
information compiled by criminal law enforcement authority in the course of a criminal investigation . . . ,
information furnished by a confidential source”). As the Court holds the FBI properly applied Exemption 7(D) to
protect such information, see Part III.C.3.i, infra, the redactions concerning Mr. Ferguson were not made in error.
74
with respect to federal prosecution of [REDACTED].” Pl.’s Opp’n, Ex. 44, ECF No. 105-6. The
letter also notes that the “documents [had] not . . . been made part of the public record” and
should thus be given “appropriate safeguards.” Id. The public mention of an individual’s name
in one context does not preclude the FBI from withholding it in another. Plaintiff’s own exhibits
suggest that the FBI has shown just such sensitivity to context in application of the exemption,
and the Court sees no reason to doubt that the same care has been shown in processing the pages
plaintiff says contain improper redactions. Moreover, at risk of belaboring the point, plaintiff’s
failure to identify a public interest that would be served by the disclosure of their names means
plaintiff has failed to meet his burden.
“[A]s a general rule, when documents are within FOIA’s disclosure provisions, citizens
should not be required to explain why they seek the information.” Favish, 541 U.S. at 172.
Information compiled by DOJ and subject to disclosure under FOIA “belongs to all.” Id. In
order to properly balance the privacy interests protected by Exemption 7(C) against the public’s
interest in disclosure, however, “the usual rule that the citizen need not offer a reason for
requesting the information must be inapplicable.” Id. Plaintiff’s inability to show the complete
absence of privacy interests with respect to the challenged redactions combined with his “failure
to explain how disclosure would serve the public interest” has thus sunk the majority of his ad
hoc arguments against the FBI’s use of Exemption 7(C). Bartko, 898 F.3d at 71. The Court has
located only one redaction made in error, and the FBI has already corrected it. 16th Hardy Decl.
¶ 40. Despite the later correction, the error will count toward the error rate for the Part II sample.
h. Exemption 7(A)
Exemption 7(A) was discussed thoroughly with respect to documents in the Part I
sample. See Part III.C.2. That same exemption was also used to shield parts of seven pages in
75
the Part II sample. See FBI Vaughn Index. The FBI withheld information on those pages using
the exact same standard used for those documents withheld under this exemption in Part I. 16th
Hardy Decl. ¶ 52. These Part II withholdings are thus valid as well, and DOJ is entitled to
summary judgment as to the FBI’s application of Exemption 7(A) to the Part II sample.
i. Exemption 7(D)
Exemption 7(D) protects
records or information compiled for law enforcement purposes, but only to the extent that
the production of such law enforcement records or information . . . could reasonably be
expected to disclose the identity of a confidential source, including a State, local, or
foreign agency or authority or any private institution which furnished information on a
confidential basis, and, in the case of a record or information compiled by criminal law
enforcement authority in the course of a criminal investigation or by an agency
conducting a lawful national security intelligence investigation, information furnished by
a confidential source
5 U.S.C. § 552(b)(7)(D). DOJ, however, “is not entitled to a presumption that a source is
confidential within the meaning of Exemption 7(D) whenever [a] source provides information [to
a law-enforcement agency] in the course of a criminal investigation.” Landano, 508 U.S. at 181.
Instead, whether a source is truly confidential must be determined on a case-by-case basis. Id. at
179–80. A source may be found confidential within the meaning of Exemption 7(D) if that
source (1) “provided information under an express assurance of confidentiality” or (2) provided
information “in circumstances from which such an assurance could be reasonably inferred.” Id.
at 172 (internal quotation marks omitted).
In the case of express assurances of confidentiality, an agency “must present ‘probative
evidence that the source did in fact receive an express grant of confidentiality.’” Campbell v.
United States Dep’t of Justice, 164 F.3d 20, 34 (D.C. Cir. 1998) (quoting Davin v. United States
Dep’t of Justice, 60 F.3d 1043, 1061 (D.C. Cir. 1995)). “It is not enough for the agency to claim
that all sources providing information in the course of a criminal investigation do so on a
76
confidential basis.” CREW, 746 F.3d at 1101 (alteration and internal quotation marks omitted)
(quoting Roth v. United States Dep’t of Justice, 642 F.3d 1161, 1184 (D.C. Cir. 2011)).
Evidence showing a source was provided an express assurance of confidentiality “can take a
wide variety of forms, including notations on the face of a withheld document, the personal
knowledge of an official familiar with the source, a statement by the source, or contemporaneous
documents discussing practices or policies for dealing with the source or similarly situated
sources.” Campbell, 164 F.3d at 34. For implied assurances of confidentiality, courts must
“consider four factors” drawn from Roth v. United States Department of Justice, 642 F.3d 1161
(D.C. Cir. 2011): “[1] the character of the crime at issue, [2] the source’s relation to the crime,
[3] whether the source received payment, and [4] whether the source has an ongoing relationship
with the law enforcement agency and typically communicates with the agency only at locations
and under conditions which assure the contact will not be noticed.” Labow, 831 F.3d at 531
(quoting Roth, 642 F.3d at 1184).
The FBI has invoked Exemption 7(D) to withhold five categories of information:
(1) names, identifying data and/or information provided by individuals under implied assurances
of confidentiality; (2) names, identifying information about, and/or information provided by
sources under express assurances of confidentiality; (3) confidential file numbers; (4) foreign
government agency information under express confidentiality; and (5) confidential source
symbol numbers. 15th Hardy Decl. ¶ 116–31. Plaintiff does not contest the propriety of the
FBI’s withholding of confidential file numbers and confidential source symbol numbers, and for
good reason. As the FBI explains, “[c]onfidential source numbers” and confidential source
symbol numbers are “administrative tools that facilitate the retrieval of information supplied by a
source.” 15th Hardy Decl. ¶ 124. The source number or source symbol number is “unique to the
77
particular confidential informant and is used only in documentation relating to that particular
informant.” Id. The FBI worries that “[r]epeated release” of this information “along with the
information provided by these confidential informants would narrow the possibilities of the
informants’ true identities.” Id. ¶¶ 125, 130. This Court has previously recognized that “it is the
FBI's practice to assign source symbols to informants only if those individuals report information
to the FBI on a regular basis pursuant to an express grant of confidentiality.” Clemente v. FBI,
741 F.Supp.2d 64, 87 (D.D.C. 2010) (internal quotation marks omitted); see also Poitras v.
Dep’t of Homeland Sec., 303 F. Supp. 3d 136, 158 (D.D.C. 2018) (noting that confidential
source’s “file number” is exempt for the same reason). Exemption 7(D) was thus properly
invoked and DOJ is entitled to summary judgment in this respect.
Plaintiff’s challenges focus on the remaining three categories. With respect to the
identifying information of, and information provided by, the individuals who the FBI says were
given express assurances of confidentiality, plaintiff maintains that the agency has failed to
provide the kind of “probative evidence” demanded by D.C. Circuit caselaw. Campbell, 164
F.3d at 34. The Court disagrees. The FBI explained that “[w]hen determining whether
individuals were granted express assurances of confidentiality, the FBI uses the context of the
records at issue and the information available in FBI indices to determine positively who
provided information to the FBI under express assurances of confidentiality.” 16th Hardy Decl.
¶ 72. Indeed, if the FBI is uncertain about an individual’s status as a confidential informant, its
“FOIA analysts will also reach out to FBI investigators for additional information.” Id. With
respect to the documents in the Part II sample, the FBI notes that they contained markings
indicating the information was provided by a “Cooperating Witness” (“CW”). 16th Hardy Decl.
¶ 73. A document containing a CW designation means the informant “entered into an official,
78
confidential relationship[] with the FBI.” Id. This “notation[] on the face of a withheld
document” constitutes probative evidence that an express assurance of confidentiality was given.
Campbell, 164 F.3d at 34. Additionally, documents given an “informant file[]” number similarly
reflect that the “individual was [an] official, established confidential source, and received an
express grant of confidentiality.” 16th Hardy Decl. ¶ 73. The same goes for documents that
identified an individual using a “symbol source number.” Id. On other documents, source’s
identities had the notation “protect identity” beside them, or were described as “confidential
informant[s].” Id. ¶ 74. One document contains information described as “source reporting” and
notes that “disclosure of [the] information could compromise reliable . . . sources.” Id. (second
alteration in original). A source is labeled “reliable” if the individual “has been established as an
official confidential source” and such individuals are “routinely granted express confidentiality.”
Id. These are all probative indications that express assurances of confidentiality were given and
that the FBI’s redactions were proper.
The FBI also explains that some withheld information was inadvertently coded as
pursuant to an implied assurance of confidentiality when the information should have been
labeled as protected pursuant to an express assurance of confidentiality. Id. ¶ 71. This document
was a “complaint form from a corporation that provided information to the FBI concerning . . .
threats posed to the corporation by animal rights activist groups.” Id. Although the form had an
option for the complainant or the FBI to check a box labeled “Protect Source,” that box was left
blank, but the FBI explains, on the second page of the form, the complainant insisted that the
information was “for the exclusive and confidential use of the addressee(s).” Id. Plaintiff
contends that “[t]his statement . . . only indicates that the complaining company was asking for
confidentiality, not that it received an express assurance of confidentiality.” Pl.’s Reply at 23.
79
Campbell does not require an agency locate dispositive evidence of an express assurance of
confidentiality, only evidence that is “probative.” Campbell, 164 F.3d at 34. A request from a
complainant is certainly probative. This evidence along with the detailed accounting of how the
FBI came to its conclusions that documents contained information about or from sources granted
express assurances of confidentiality shows that Exemption 7(D) was properly invoked by the
FBI in this respect.
Next, plaintiff turns to information about or from sources who were given implied
assurances of confidentiality. While plaintiff may be right that the FBI’s initial declaration was
inadequate, Pl.’s Opp’n at 31, the agency’s subsequent declaration painstakingly reviews each
and every document over which Exemption 7(D) was applied to protect sources given implied
confidentiality. 16th Hardy Decl. ¶¶ 57–70. The first Roth factor, “the character of the crime at
issue” rests on the theory “that sources likely expect confidentiality when they report on serious
or violent crimes, risking retaliation.” Labow, 831 F.3d at 531. In this regard, the FBI asserts
that the withheld information relates to sources in the investigation of “the arson of University of
California at Davis’s (‘UCD’) Animal Science Building on April 17, 1987” and the separate
investigation into “the placing of an improvised explosive device (‘IED’) outside the United
States Surgical Corporation in Norwalk, Connecticut, on November 11, 1988.” 16th Hardy Decl.
¶¶ 58–59. These are precisely the kind of “serious or violent crimes” that would make
informants fearful to come forward. The first factor thus weighs in favor of applying Exemption
7(D).
The second Roth factor asks courts to consider “the source’s relation to the crime.”
Labow, 831 F.3d at 531. The relationships of the sources in question are explained by the FBI.
With respect to the arson committed on UCD’s campus, the sources include “third party
80
individuals closely connected with the group suspected of” the crime, 16th Hardy Decl. ¶¶ 60–
61, “an individual with close ties to the individuals suspected of committing [the] arson,” id.
¶ 62, “individuals” with “close association[s] with the individuals suspected of involvement in
the UCD arson and/or information related to activities concerning the arson few individuals
would know,” id. ¶ 63 and “a telecommunications company” that provided information in aid of
the investigation, id. ¶ 64. With respect to the attempted bombing of the U.S.S.C., the sources
were “personnel from the company targeted by the attempted IED attack” and “individuals”
relaying information on behalf of the “victim company,” id. ¶ 66–67, an “individual closely tied
within individuals involved in the FBI’s investigation into the attempted bombing,” id. ¶ 68, and
“individual(s) closely connected with the crime” whose information was relayed by Leon Hirsch,
Chairman of the victim company, id. ¶ 69. In addition, these individuals all provided “singular”
information or information that “could result in their identification,” id. ¶¶ 58, 65, which also
must be considered in analyzing the second Roth factor. Labow, 831 F.3d at 532. The proximity
of all these individuals and organizations to these violent or potentially violent crimes, combined
with the unique information the sources provided, means the second factor too weighs in favor of
a finding of confidentiality.31
DOJ does not allege that any of the relevant sources received payment, so the third factor
“weighs against a finding of confidentiality, but . . . is not itself dispositive.” Id. The fourth
factor also weighs against a finding of confidentiality, if only slightly, as the FBI has not
provided any information about the source’s “manner of communication.” Id. Taken together,
however, the strength of the first two factors means that the FBI has carried its burden to show
31
Although a telecommunications company that aided the FBI may seem an odd inclusion in this list, the
context demonstrates that the inclusion is proper. Given that the investigations in question were into crimes
committed against companies or institutions that stood athwart the culprits’ political aims, the fear of retaliation is
just as present for the company as it is for the individual sources. 16th Hardy Decl. ¶ 64.
81
that an implied assurance of confidentiality was given to the sources in question and DOJ is
entitled to summary judgment in this respect as well.
The FBI is “no longer asserting Exemption 7(D) on the information within the fourth
paragraph” on the page with Bates No. Shapiro-55994 on the theory that an implied assurance of
confidentiality was given. 16th Hardy Decl. ¶ 70. This is appropriate as the information appears
to come from the alleged perpetrator of the U.S.S.C. attempted bombing. The concerns about
“retaliation” that undergird exemption 7(D) do not apply with equal force to statements by the
alleged culprit. Labow, 831 F.3d at 531. As the FBI has pointed to no reason to believe the
individual allegedly responsible for the crime would have been provided an assurance of
confidentiality, this initial withholding was in error and will thus be counted as an error
calculating the error rate.
Finally, the plaintiff asserts that the FBI “failed to present probative evidence that the
foreign government sources” that provided information withheld on a single page “received an
express grant of confidentiality.” Pl.’s Opp’n at 33 (internal quotation marks omitted); see 16th
Hardy Decl. ¶ 76. The FBI explains that the express assurance is “grounded on the ongoing,
established agreement between the FBI and [a specific] foreign agency whereby the FBI will
hold the information provided by the agency in confidence.” 16th Hardy Decl. ¶ 76. This
representation from the FBI is sufficient to uphold the invocation of Exemption 7(D) on this
page. See Poitras, 303 F. Supp. 3d at 158 (holding that declaration that “the foreign agency . . .
requested its relationship with the FBI be classified” was sufficient to exempt information
pursuant to Exemption 7(D) (internal quotation marks omitted)).
The Court also finds plaintiff’s argument speculating that the names of sources were
excised throughout the record regardless of whether the informants were being discussed “qua
82
informants” unpersuasive. Pl.’s Opp’n at 29. Indeed, the FBI has provided a document-by-
document explanation of its redactions, and nothing suggests that once an individual was labeled
an informant all mentions of them were redacted. Instead, the documents all appear to be
discussing the confidential information these confidential sources provided to the FBI. Thus,
except for the one page noted above, DOJ is awarded summary judgment with respect to the
FBI’s application of Exemption 7(D).
j. Exemption 7(E)
The final exemption asserted by the FBI is Exemption 7(E), which protects law
enforcement records to the extent those records “would disclose techniques and procedures for
law enforcement investigations or prosecutions, or would disclose guidelines for law
enforcement investigations or prosecutions if such disclosure could reasonably be expected to
risk circumvention of the law.” 5 U.S.C. § 552(b)(7)(E). The text of the exemption looks “not
just for circumvention of the law, but for a risk of circumvention; not just for an actual or certain
risk of circumvention, but for an expected risk; not just for an undeniably or universally expected
risk, but for a reasonably expected risk; and not just for certitude of a reasonably expected risk,
but for the chance of a reasonably expected risk.” Mayer Brown LLP v. IRS, 562 F.3d 1190,
1193 (D.C. Cir. 2009). This exemption thus “sets a relatively low bar for the agency to justify
withholding.” Pub. Emps. for Envtl. Responsibility v. United States Section, Int’l Boundary and
Water Comm’n, U.S.-Mexico, 740 F.3d 195, 205 (D.C. Cir. 2014) (internal quotation marks
omitted) (quoting Blackwell v. FBI, 646 F.3d 37, 42 (D.C. Cir. 2011)). In order to clear it, the
agency “must demonstrate only that release of a document might increase the risk ‘that a law will
be violated or that past violators will escape legal consequences.’” Id. (quoting Mayer Brown,
562 F.3d at 1193). DOJ’s burden is not the “highly specific” one “of showing how the law will
83
be circumvented,” but instead it need only “demonstrate logically how the release of the
requested information might create a risk of circumvention of the law.” Blackwell, 646 F.3d at
42 (internal quotation marks omitted) (quoting Mayer Brown, 562 F.3d at 1194).
As relevant to the Part II sample, the FBI has invoked Exemption 7(E) to withhold eleven
categories of information: (1) sensitive file numbers or subfile names; (2) monetary payments for
investigative techniques; (3) locations and identity of FBI and/or Joint Units, Squads, and/or
Divisions; (4) dates and/or types of investigations; (5) collection/analysis of information;
(6) database information and/or printouts; (7) undercover operations; (8) information regarding
targets, dates, and scope of surveillance; (9) statistical information contained FBI FD-515 forms;
(10) investigative focus of specific investigations; and (11) a specific law enforcement technique
utilized to conduct national security investigations. 15th Hardy Decl. ¶¶ 132–45.32
At the outset, the FBI’s handling of the records and information withheld pursuant to
Exemption 7(E) has complicated analysis of the propriety of that Exemption’s application. As
noted above, special treatment of documents selected as part of a representative sample threatens
to render that sample useless. See Part III.C.1.b.i, supra. For numerous sample documents
initially withheld pursuant to Exemption 7(E), the FBI has withdrawn its defense of, or changed
its justification for, the redactions by either releasing additional information from the sample
documents or continuing to withhold information in reliance on other FOIA exemptions.33
Where possible, the initial justification for withholding of these materials has been analyzed.
32
The FBI also asserted the exemption to shield parts of certain Part I documents that contained “targets of
pen registers/trap & trace devices” and material compiled in the “Behavioral Analysis Unit’s Violent Criminal
Apprehension Program.” 15th Hardy Decl. ¶¶ 146–47. As the Court has already determined that Part I documents
were properly withheld pursuant to Exemption 7(A), there is no need to address the propriety of these exemptions.
33
This special treatment is evidenced in the following locations within the FBI’s declarations: 15th Hardy
Decl. at 67 n.37; id. at 68 n.38; id. at 70 n.39; id. at 73 n.40; 16th Hardy Decl. ¶ 80; id. ¶ 87; id. ¶ 97; id. ¶ 99; id. at
49 n.15; and id. ¶ 104.
84
Where, however, that has not been possible, the Court cannot determine whether the FBI has
withdrawn its initial justification as a matter of discretion, or as an admission of error.
The FBI detailed its initial justifications one by one, explaining how release of
information in each of these categories “logically . . . might create a risk of circumvention of the
law.” Blackwell, 646 F.3d at 42. According to the FBI, releasing the “file numbering
convention” would risk identifying the “investigative interest or priority given to such matters,”
because by “[a]pplying a mosaic analysis, suspects could use [the] numbers . . . in conjunction
with other information known about other individuals and/or techniques, to change their pattern
of activity to avoid detection, apprehension, or create alibis for suspected activities.” 15th Hardy
Decl. ¶ 135; see also Ctr. for Nat'l Sec. Studies, 331 F.3d at 928 (noting that “courts have relied
on . . . mosaic arguments in the context of national security”). Moreover, “[c]ontinued release of
sensitive investigative file numbers would provide criminal[s] with an idea of how FBI
investigations may be interrelated and when, why, and how the FBI pursued different
investigative strategies.” 15th Hardy Decl. ¶ 135. As for information regarding monetary
payments, the FBI states that “[r]evealing the amount of money the FBI has paid or plans to pay
in order to implement certain investigative techniques would reveal the FBI’s level of focus on
certain types of law enforcement or intelligence gathering efforts.” Id. ¶ 136. The FBI seeks to
protect locations of FBI units, squads, and/or divisions because revealing such information could
“allow hostile analysts to determine where geographically the FBI is focusing its investigative
resources, and allow them to relocate their criminal activities elsewhere,” while revealing those
units’ identities would allow individuals to determine “exactly what the FBI’s interest is.” Id.
¶ 137. Revealing the dates and/or types of investigations, “would allow individuals to know the
types of activities that would trigger a full investigation as opposed to a preliminary
85
investigation” and “predict FBI investigative reactions” to help them “avoid detection.” Id.
¶ 138. Protecting the “methods the FBI uses to collect and analyze the information it obtains” is
important to prevent individuals from learning “how and from where the FBI collects
information” enabling “criminal[s] to educate themselves about the techniques employed for the
collection and analysis of information and the types of information of greatest value to FBI
investigations.” Id. ¶ 139.
Next, the FBI explains that release of database information and/or printouts “could enable
criminals to employ countermeasures to avoid providing the FBI with key investigative data
and/or allow them to predict how the FBI utilizes certain data to further its investigations.” Id.
¶ 140. The FBI also withheld “specific details of particular [undercover] operations [that] are not
[publicly] known” including “how it conducts undercover operations and . . . the specific
techniques used” to avoid possibly “devastating operational consequences.” Id. ¶ 141.
Disclosure of “non-public details about when, how, under what circumstances, and on whom the
FBI conducts surveillance would allow current and future subjects of FBI investigations and
other potential criminals to develop and utilize countermeasures to defeat or avoid different types
of surveillance operations,” rendering those techniques “useless.” Id. ¶ 142. The FBI next
asserts that revealing the investigative focus of specific investigations would “reveal the scope of
the FBI’s programs and the strategies it plans to pursue in preventing and disrupting criminal
activity.” Id. ¶ 144. Finally, the FBI refers to a “sensitive law enforcement technique” that it
“cannot name . . . even generically, without revealing information that is, itself, exempt.” Id.
¶ 145. Although “the technique may be known by the public in a general sense,” the public is
not aware of “its use in the specific context of this case,” and neither are “details about and
86
analysis of [the] . . . technique.” Id. To reveal the “technique and these details would effectively
reveal the specifics of how and in what settings the technique is employed.” Id.
The above summary of the detail the FBI provides regarding the information it has
withheld pursuant to Exemption 7(E) is more than sufficient to “demonstrate logically how the
release of the requested information might create a risk of circumvention of the law.” Blackwell,
646 F.3d at 42. Plaintiff raises myriad objections, but none seriously undermines the FBI’s
initial declarations.34
First, plaintiff challenges the withholding of sensitive file numbers, asserting the FBI’s
“justification . . . is insufficient given the absence of information about how long the
investigations at issue have been closed for.” Pl.’s Opp’n at 35. In making this argument he
relies on opinions from two of his other FOIA lawsuits, one against DOJ and another against the
CIA. Id. at 34 (citing Shapiro v. United States Dep’t of Justice, 239 F. Supp. 3d 100 (D.D.C.
2017) and Shapiro v. CIA, 247 F. Supp. 3d 53 (D.D.C. 2017)). In both cases, summary judgment
was withheld with respect to certain file numbers because the records presented were insufficient
to determine whether release of the withheld information at issue “pose[d] a present day threat of
circumvention of the law.” Shapiro, 247 F. Supp. 3d at 73 (quoting Shapiro, 239 F. Supp. 3d at
120). This Court, however, has determined that the FBI has adequately described that present-
day threat. The FBI denies applying “a blanket policy of protecting all file numbers” but instead
performs a case-by-case “circumvention risk analysis” in which it considers the types of
investigations, the age of the records, and “the interrelation of file numbers to other
investigations in terms of . . . impact on enforcement efforts.” 16th Hardy Decl. ¶ 79. In other
34
Plaintiff does not appear to challenge the withholding of information from FBI Form FD-515, which rates
the effectiveness of investigative techniques used in particular investigations. 15th Hardy Decl. ¶ 143. Release of
such information could allow individuals to “change their activities and modus operandi in order to circumvent and
avoid detection and/or surveillance in the future,” id., and was thus properly withheld under Exemption 7(E).
87
words, the FBI fears that, by studying how the agency has “respond[ed] to different investigative
circumstances” in the past, individuals in the present “could obtain an exceptional understanding
as to how they might structure their behavior to avoid detection and disruption by FBI
investigators.” 15th Hardy Decl. ¶ 135. The FBI has thus shown how file numbers, even those
marking closed investigations, might help individuals evade current law enforcement activities.35
This Court joins the chorus of judicial decisions concluding that file numbers may be redacted
pursuant to Exemption 7(E). Shapiro, 239 F. Supp. 3d at 118 n.5 (collecting cases).36
Next, plaintiff complains about the FBI’s withholding of information that would reveal
“monetary amounts requested by FBI personnel and/or paid by the FBI in order to implement
particular investigative techniques,” Pl.’s Opp’n at 36 (quoting 15th Hardy Decl. ¶ 136), on the
theory that “amounts requested” do not reveal how the FBI has actually allocated its resources.
Id. As the FBI explains, however, FBI agents request particular amounts based on on-the-ground
determinations as to what funds are “necessary to conduct [an] operation.” 16th Hardy Decl.
¶ 86. This information would reveal how FBI training has instructed agents to respond to
particular investigative circumstances.
Plaintiff also takes issue with the fact that, on one page of the sample, the FBI invoked
Exemption 7(E) to hide not the amount spent, but the product on which the money was spent.
35
The plaintiff’s two other arguments with respect to file numbers are also rejected. First, the FBI is under no
obligation to differentiate why certain file numbers it withholds create a risk of circumvention of the law and why
others may be released. Pl.’s Opp’n at 35. Exemption 7(E) requires only that the FBI logically demonstrate why the
material actually withheld creates such a risk. As described above, the FBI has carried that burden. Second,
plaintiff argues that even “[i]f the Court disagrees with [him] and finds that case file numbers fall within the ambit
of Exemption 7(E), the FBI should still be ordered to release segregable portions of the case file numbers.” Pl.’s
Opp’n at 36. The FBI’s explanation that “file numbers are not reasonably segregable” and “[d]isclosure of any part
of the file numbers exempted within the context of the file undermines the very exemption interests articulated
above as it would provide a frame work [sic] to determine the exact matter prompting the FBI to open an
investigation,” 16th Hardy Decl. ¶ 85, are sufficient to defeat plaintiff’s segregability argument.
36
The FBI withdrew application of Exemption 7(E) to file numbers contained on ten pages within the sample.
As noted above, whether that withdrawal was an act of agency discretion or instead an admission of error is unclear.
These ten redactions will thus be counted as potentially erroneous withholdings.
88
The FBI subsequently agreed with plaintiff and released the redacted information, revealing it
had redacted the phrase “hotel room” from the sentence “Request reimbursement for cost of a
hotel room.” 16th Hardy Decl., Ex. B, ECF No. 113-3. Here the Court agrees with plaintiff that
revealing the fact a hotel room was rented for individuals attending an animal rights conference
cannot reasonably be thought to risk circumvention of the law. This redaction will be treated as
an error in calculating the error rate.
Again referring to a document that appears to be a request for reimbursement for the
rental of the hotel room referenced above, plaintiff complains that while disclosing “the total
amount the FBI has or would be willing to spend on [an] entire investigation” may reveal the
FBI’s level of focus on a particular matter, “revealing the cost of a hotel room rented” would not.
Pl.’s Opp’n at 37. Again, plaintiff’s atomistic challenges to certain redactions ignores the
holistic approach the FBI must take toward the records in this case. Though the cost of one hotel
room may not reveal much, given the volume of plaintiff’s requests in this area, the FBI must be
cautious in revealing individual budget line-items lest it reveal the entire budget. The redaction
of individual costs is thus proper.
With respect to identities and locations of particular investigative units, plaintiff claims
that the FBI’s attempt to withhold such information is “radical.” Pl.’s Opp’n at 39; but see
Reporters Comm. for Freedom of the Press v. FBI, Civil Case No. 15-1392 (RJL), 2020 WL
1324397, *10 (D.D.C. Mar. 20, 2020) (granting the FBI summary judgment as to its withholding
under Exemption 7(E) of “the identity and/or location of FBI or joint units, squads, or
divisions”); Shapiro v. Dep’t of Justice, 393 F. Supp. 3d 111, 116–19 (D.D.C. 2019) (upholding
the redaction of “the identity of an FBI unit,” and explaining that, while the argument need not
be addressed, “other members of this Court” had found that unit names and locations may
89
properly be withheld under a “‘resource allocation’ rationale”); Poitras, 303 F. Supp. 3d at 159;
Labow v. United States Dep’t of Justice, 66 F. Supp. 3d 104, 127 (D.D.C. 2014), aff’d in part
and rev’d in part on other grounds, 831 F.3d 523 (D.C. Cir. 2016). The FBI has adequately
described how “repeated release of” such information “would reveal the variety and breadth of
tools the FBI can bring to the table in its investigations” and, in particular, how and where the
FBI allocates the resources possessed by the units in question. 16th Hardy Decl. ¶ 91. Plaintiff
also complains that the FBI has been inconsistent in its application of Exemption 7(E) to the
identities and locations of particular investigative units. Pl.’s Opp’n at 41. As the FBI
explained, however, that some exempt information slips through the cracks does not call into
question the “justification for withholding” that information from other documents,16th Hardy
Decl. ¶ 92, especially when the FBI’s concern is not hiding the existence of units, but rather how
those unit’s resources are allocated. In any event, as noted already, nothing in FOIA requires an
agency to withhold exempt information, 5 U.S.C. § 552(d), and plaintiff’s attempts to point to
minor inconsistencies in the FBI’s processing of hundreds of thousands of records in response to
his requests as evidence of either agency bad faith or admissions of agency error will not be
indulged.
Next, plaintiff complains that the FBI must reveal dates and types of investigations by
pointing out that such information is often found in public court opinions. Pl.’s Opp’n at 42.
Again, the Court’s task here is to determine whether information has been properly withheld, not
whether similar information was properly released in other scenarios. Focusing on the FBI’s
justification for its redactions, the FBI’s concern that “provid[ing] a window into the FBI’s
assessment methodology and timing on deciding” when to initiate a preliminary investigation or
convert a preliminary investigation to a full one is compelling. 16th Hardy Decl. ¶ 95.
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Especially given the “low bar” for withholding information pursuant to Exemption 7(E), the FBI
has carried its burden.
Plaintiff also challenges the FBI’s use of Exemption 7(E) to withhold information
regarding the collection and analysis of information by the agency. Plaintiff worries that,
because he cannot “imagine anything that an FBI employee might do that . . . does not involve
either collecting or analyzing information in some form or another,” allowing such redactions
would threaten to “sweep within [the Exemption’s] scope” nearly all of the FBI’s activities. Pl.’s
Opp’n at 43. The FBI counters that information withheld under Exemption 7(E), in this category
protected “the finer points” of how such information collection and analysis techniques are used
and only insofar as revelation of such information could reasonably be thought to risk
circumvention of the law. 16th Hardy Decl. ¶ 97. The FBI’s careful analysis and release of
large portions of thousands of documents reveals that plaintiff’s bogeyman is little more than a
strawman. Contrary to the plaintiff’s hyperbole, the Court is not “sanction[ing] an interpretation
of the law under which the FBI” could “withhold every document.” Pl.’s Reply at 29. Only
when the FBI has conducted a careful examination of whether the release of specific materials
could risk the circumvention of law and logically demonstrated how that risk might come to
fruition, will the Court uphold its withholdings. The FBI has done so here.37
Plaintiff next challenges the withholding of information about or drawn from “non-public
databases used for official law enforcement purposes.” 15th Hardy Decl. ¶ 140. Plaintiff asserts
that the information withheld in one document relates to a database the FBI has already been
37
The FBI withdrew initial application of Exemption 7(E) to protect information concerning collection and
analysis of information from one page within the sample. 16th Hardy Decl. ¶ 97 (“Upon further review and
consideration of foreseeable harm, the FBI no longer asserts Exemption 7(E) under code category collection and
analysis of Bates Page Shapiro-93317”). Since the record is unclear whether that information remains exempt under
another exemption, whether the FBI stands behind its initial withholding of the information, or whether the FBI has
admitted error, this is counted as a potentially erroneous withholding.
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revealed publicly, Pl.’s Opp’n at 44, an assertion the FBI says “is not true,” and, further, that the
referenced database is “used by FBI Special Agents” and other personnel “to comprehensively
categorize and store terrorism-related investigative and intelligence data,” 16th Hardy Decl.
¶ 100. Plaintiff also complains that the information redacted pursuant to this justification within
another document is not information pulled from a sensitive database but is rather a description
of that database. Pl.’s Opp’n at 45. The FBI explains that the description is of a “highly-
sensitive, digital tool used for collection and analysis of information,” the existence of which is
not widely known. 16th Hardy Decl. ¶ 101–04. The FBI has convincingly addressed plaintiff’s
concerns, and therefore Exemption 7(E) has been properly applied in this respect.38
Plaintiff again misses the mark with his challenge of the FBI’s withholding of
“operational details” of the Bureau’s undercover operations. 16th Hardy Decl. ¶ 105. The FBI
has explained that it has sought to protect only “non-public details about how it conducts
undercover operations,” 15th Hardy Decl. ¶ 141, that include “the specific types of undercover
techniques deployed in specific investigations; how FBI investigators use undercover
operatives/operations to investigate specific targets; the extent operatives can infiltrate
organizations; covert communication techniques; covert funding techniques,” and more, 16th
Hardy Decl. ¶ 105. This detail is more than sufficient to meet Exemption 7(E)’s low bar.39
38
The FBI is no longer withholding information on twenty pages pursuant to Exemption 7(E) because it
concerns non-public databases, but instead is withholding the same information under the same Exemption because
it would reveal the techniques and procedures the FBI uses to collect and analyze information. 16th Hardy Decl.
¶ 99 & n.15. As the Court has already determined that the FBI may properly withhold information to protect its
collection and analysis techniques and procedures, these withholdings were not made in error and will not count
toward the error rate.
39
Plaintiff speculates that information redacted from one page contains only an “analysis of the forfeiture
potential of action against the Animal Liberation Front,” Pl.’s Opp’n at 46, but points to nothing suggesting that the
analysis does not contain precisely the information concerning undercover operations the FBI seeks to protect.
Plaintiff’s guess as to what is behind the redaction cannot overcome the detailed explanation the FBI has provided.
See 16th Hardy Decl. ¶ 105.
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Plaintiff continues his list of challenges to the FBI’s use of Exemption 7(E) by objecting
to the FBI’s use of the exemption to shield “the precise identity of the targets [of FBI
surveillance] and the common nexus between that target and additional targets to be surveilled.”
16th Hardy Decl. ¶ 106. To the extent that the FBI has used exemption 7(E) to protect
“information about the installation” of surveillance devices, the “exact duration” of a particular
surveillance operation, and “specific surveillance device[s] utilized,” those redactions are
unchallenged. Id. With respect to the FBI’s redacting the identities of surveillance targets on
three pages of the sample, Exemption 7(E) is properly applied. The FBI admits that many
surveillance techniques are already known to the public, but by revealing the identity of the
target of particular surveillance methods, the FBI risks revealing why and how particular
surveillance techniques are implemented. Release of the identities of these targets could thus
reveal the FBI’s procedure or technique for selecting specific surveillance methods and begin to
unveil, in mosaic-like fashion, the FBI’s surveillance playbook. The FBI has thus logically
demonstrated how the identities it has shielded pursuant to Exemption 7(E) risk circumvention of
the law.
Plaintiff challenges the FBI’s application of Exemption 7(E) to protect the “investigative
focus of specific investigation[s]” on two pages within the sample, 16th Hardy Decl. ¶ 108
(capitalization altered), on grounds that the FBI has not adequately explained how the specific
redacted information risks the circumvention of law. The FBI’s declarations, however, clarify
that on one page the information would reveal “the specific connection between one or more
individuals or groups” at issue in this case and “another matter under investigation.” Id. On the
other page, the redacted information would reveal how the FBI “validate[s] the reliability” of
cooperating witnesses. Id. The Court has no trouble concluding that such information, if
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revealed, would risk circumvention of the law. Plaintiff nonetheless objects that at least one of
those documents “gives no indication of how” the redacted information “could risk current
circumvention of the law.” Pl’s Reply at 32. That, of course, is the point of the Exemption. It
has been properly invoked to protect the investigative focus of particular investigations in this
case.
Finally, plaintiff objects to the FBI’s use of Exemption 7(E) to protect information
concerning a “sensitive technique . . . used by the FBI to obtain valuable intelligence
information.” 15th Hardy Decl. ¶ 145. This technique is “classified at the Secret level” and
“providing further details on the public record” would, according to the FBI, “divulge the very
information the FBI must protect under” FOIA exemptions 1 and 3. 16th Hardy Decl. ¶ 109.
The FBI further explains that the technique is used as a “building block in many of the FBI’s
domestic terrorism, international terrorism, counterterrorism and counterintelligence
investigations.” Id. Revealing details about the technique “would compromise [this] crucial
means of collecting intelligence information and severely hamper the FBI’s law enforcement
efforts.” 15th Hardy Decl. ¶ 145. The FBI has thus adequately described why the information in
question must be withheld pursuant to Exemption 7(E).
Except where specifically noted, the FBI has properly invoked Exemption 7(E) and has
more than met its burden to demonstrate logically how the information it withheld could, if
released, risk circumvention of the law. Given, however, the FBI’s shifting justification for
many documents and its subsequent release of material on a number of pages, the Court is unable
to determine precisely how many withholdings were made in error. In addition to the FBI’s
single certain error it committed by withholding the words “hotel room” from a single document,
there are eleven instances of potential error in the agency’s application of Exemption 7(E).
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k. Segregability
FOIA requires that “[a]ny reasonably segregable portion of a record shall be provided to
any person requesting such record after deletion of the portions which are exempt” from
disclosure. 5 U.S.C. § 552(b). “Agencies are entitled to a presumption that they complied with
the obligation to disclose reasonably segregable material.” Sussman v. United States Marshals
Serv., 494 F.3d 1107, 1117 (D.C. Cir. 2007). Except in limited circumstances detailed above,
plaintiff has not challenged the FBI’s efforts to segregate exempt material from nonexempt
materials. That choice is reasonable given that the FBI has been “able to segregate for release
approximately 38,788 pages and 28 CDs/DVDs” responsive to plaintiff’s requests. 15th Hardy
Decl. ¶ 149. Plaintiff’s choice not to challenge the FBI’s segregability analysis also means he
has done nothing to overcome the presumption of compliance the FBI is afforded. Given the
FBI’s diligent release of tens of thousands of documents to plaintiff, DOJ is entitled to summary
judgment with respect to the FBI’s segregability analysis.
l. Error Rate Calculation
As noted on numerous occasions above, the calculation of the error rate in this case has
been complicated by the FBI’s numerous re-reviews of the sample and subsequent release of
additional information that had initially been withheld. Normally, such conscientious and
repeated review of withholdings should be commended, but in sampling cases such second-looks
with different withholding outcomes require explanation. Plaintiff has assumed that each
instance of subsequent release he has pointed out must count as an error in calculating the error
rate. Pl.’s Reply at 6. As explained throughout this opinion, however, the Court has reviewed
the redactions plaintiff has challenged by analyzing the FBI’s initial justifications where possible
and has also worked to determine whether the FBI’s later removal of an exemption meant it was
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removing a redaction. As a result of this analysis, 25 errors can be identified as certain. Another
56 instances have been identified in which subsequent withdrawals of particular Exemptions may
indicate the FBI erred, but the record is insufficient to make a concrete determination. In the
worst-case scenario, then, the FBI has committed 81 errors throughout the 501-page Part II
sample. The error rate, at its highest, is thus just over 16%.40 As noted above, whether this error
rate is sufficient to warrant complete reprocessing of the FBI’s withheld records, is a question
that must take into account the totality of the circumstances. In contrast to Meeropol, in which it
took the combination of a 25% error rate and a “finding by the district court that the FBI had
been ‘intransigent’” to warrant full reprocessing, no hint of agency bad faith is present in this
action. Meeropol, 790 F.2d at 960. To the contrary, the vast majority of the potential errors
were only revealed because the FBI diligently attempted to release all nonexempt segregable
material. The FBI’s re-reviews of the Part II sample raised complications, but were performed in
an effort to comply fully with its FOIA obligations. Plaintiff has pointed to no authority for the
proposition that full reprocessing would be warranted for error rates less than 25% or even 20%.
Given the FBI’s diligent processing of hundreds of thousands of pages in this case and its
substantial efforts to release as many of those pages as possible, a potential error rate of 16%,
and a true error rate that is likely much lower, is insufficient to justify complete reprocessing.
Except with respect to the few redactions the FBI must remove noted above, see Part III.C.3.f,
40
The error rate may in fact be much lower, and not just because many of the errors used in this calculation
are merely potential errors. Bonner instructs that “[t]o determine the error rate,” the Court must “consider the
unjustified withholdings compared to the total withholdings from” the sample documents. Bonner, 928 F.2d at 1154
n.13 (emphasis added). Where entire pages are withheld, a page is of course synonymous with a withholding.
When, however, records are released in part, a single page may contain multiple withholdings. If the denominator
for determining the error rate in the Part II sample is thus total withholdings, as Bonner suggests it should be, it is
likely much larger than 501. Nevertheless, because even using the smaller denominator of total pages produces an
error rate insufficient to require total reprocessing, the Court need not dwell on this point.
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supra, DOJ is thus entitled to summary judgment with respect to the entire universe of records
processed by the FBI.41
Plaintiff’s alternative bid to secure “more limited relief,” Pl.’s Opp’n at 53, is denied. In
particular he requests that “if a particular . . . exemption category has an unacceptably high error
rate, the FBI should be ordered to reprocess all records in which that exemption category is
invoked.” Id. As an example, he says “if a review of the sample reveals that the FBI
consistently redacted the names of third parties of investigative interest for whom [plaintiff]
provided privacy waivers,” then the FBI should be ordered “to reprocess all records in which it
invoked Exemptions 6 and 7(C) as to third parties of investigative interest.” Id. Simply put, the
Part II sample is not designed for that kind of analysis. See JSR (Oct. 20, 2017) (noting the Part
II sample would be designed to test “assertion of other exemptions where Exemption 7(A) has
not been invoked categorically”). For instance, many of the exemptions at issue appear on only
one or two pages. Under plaintiff’s theory, a single mistake with respect to one of those
exemptions would result in full reprocessing of records in which that exemption was asserted.
This would transform a tool intended to lessen the bureaucratic burden into one almost certain to
lead to more work for the FBI. Had the parties wished for the more targeted approach proposed
by plaintiff, they could have designed samples to test each of the various asserted exemptions.
They did not. The resulting sample, while well picked to test the accuracy of the FBI’s
41
Plaintiff rightly complains about the many changes the FBI made to its withholdings in response to his
opposition. Pl.’s Reply 3–5 (alleging that “the original [Vaughn] ‘index is wholly inadequate and riddled with
countless examples of mistakes and other incongruities’” (quoting Schoenman v. FBI, 604 F. Supp. 2d 174, 202
(D.D.C. 2009))). Those changes have, as already noted, frustrated the Court’s ability to easily determine the
propriety of the agency’s initial withholdings. Nevertheless, those changes have been accounted for or, where that
was impossible, a potential error has been noted. Some understanding must also be extended to the FBI, which has
been deluged with plaintiff’s requests and has been working diligently over the last eight years to process and
release tens of thousands of records out of the hundreds of thousands reviewed. Clarity in the FBI’s initial Vaughn
index would have been preferable, but all of the FBI’s explanations have provided an adequate basis for proper
analysis of the FBI’s withholdings, such that, even when that analysis is viewed in the light most favorable to the
plaintiff, the FBI has met its FOIA obligations.
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withholdings overall, is not a good tool for the more precise relief plaintiff now, belatedly,
requests.
D. ATF Withholdings
The parties pay much less attention to the ATF’s withholdings from a comparative
handful of documents processed by that agency. When the FBI located ATF documents in
performing its searches pursuant to plaintiff’s requests or found information in responsive
records that concerned the ATF, those documents were forwarded to ATF for processing. See
generally, Chisholm Decl. As a result, the ATF processed 509 pages of records pursuant to the
FBI’s referrals or requests for consultation. See generally, ATF Vaughn Index; Chisholm Decl.
As described above, ATF also received a single FOIA request directly from plaintiff. Part
III.B.3, supra. That search resulted in the release to plaintiff of a single, four-page document.
ATF Vaughn Index at 23. Owing to the limited number of documents, ATF chose not to submit
a sample Vaughn index and instead has provided justifications for withholdings from each and
every document it processed. The ATF asserted Exemptions 3, 4, 5, 6, 7(C), 7(D), and 7(E) to
support its withholdings. Plaintiff challenges all but the ATF’s assertion of Exemptions 6 and
7(C). The challenged redactions are discussed in turn.
1. Exemption 3
The ATF invoked Exemption 3 pursuant to Federal Rule of Criminal Procedure 6(e)
which prohibits disclosure of “matter[s] occurring before the grand jury.” Fed. R. Crim. P. 6(e).
Plaintiff does not challenge the notion that Rule 6(e) is an exemption statute as contemplated by
Exemption 3. Pl.’s Opp’n at 51; see also Labow, 831 F.3d at 529 (“This court has already held
that Federal Rule of Criminal Procedure 6(e) is a qualifying statute under Exemption 3.”). The
only question is whether the records or information withheld by the ATF “fall within Rule 6(e).”
Labow, 831 F.3d at 529.
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The ATF has asserted Exemption 3 to withhold “documents and information submitted to
the Grand Jury.” Chisholm Decl. ¶ 58. “If disclosed,” the ATF says, the withheld “material
would reveal protected inner workings of Grand Jury proceedings, including, most significantly,
the substance of the Grand Jury’s investigation and the evidence is considered.” Id. The Circuit
recently explained that “[t]he mere fact that information has been presented to the grand jury
does not itself permit withholding.” Labow, 831 F.3d at 529 (citing Senate of P.R., 823 F.2d at
584). Instead, when an agency invokes Exemption 3 via Rule 6(e), “the ‘touchstone’ is whether
the information sought would reveal something about the grand jury’s identity, investigation, or
deliberation.” Id.
The ATF has provided little detail about what exactly is withheld beyond that already
recounted. Its Vaughn index shows that Exemption 3 has been applied to documents variously
described as “ATF report[s] of investigation,” “grand jury information,” “material submitted to
grand jury,” and “information submitted to grand jury.” ATF Vaughn Index (capitalization
altered). The ATF’s conclusory statement that disclosure of the withheld material “would reveal
[the] protected inner workings of Grand Jury proceedings, including . . . the substance of the
Grand Jury’s investigation and the evidence it considered,” Chisholm Decl. ¶ 58, is nearly
identical to the justification found insufficient when offered by the FBI in Labow. Labow, 831
F.3d at 530 (rejecting the FBI’s “conclusory statement that ‘[a]ny disclosure of [the withheld]
information would clearly violate the secrecy of the grand jury proceedings and could reveal the
inner workings of a federal grand jury’” (first alteration in original)). The Court is mindful of the
bind this may put the ATF in should the agency be required to release information that, on its
face may contain no indication of association with a grand jury, but now that the ATF has
asserted Rule 6(e)’s protection, for which the proverbial cat may be out of the bag. The Circuit
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has already opined, however, that this problem “should not bar disclosure.” Id. The relevant
question remains “whether the documents would have revealed the inner workings of the grand
jury had they been released in response to the initial FOIA request.” Id. (citing Wash. Post Co.
v. United States Dep’t of Justice, 863 F.2d 96, 100 (D.C. Cir. 1988)). On the current record, that
question cannot be satisfactorily answered. ATF, which has submitted only a single declaration
in this case, will be given the opportunity to submit a more detailed explanation for why the
records in question could not have been disclosed at the time of the agency’s initial response to
plaintiff’s FOIA requests.
2. Exemption 4
Under Exemption 4, ATF withheld “financial information from department stores
concerning pricing, quantities, unit prices, and merchandise value, along with security measures
in various locations.” Chisholm Decl. ¶ 62. ATF provides descriptions of the documents on
which Exemption 4 was applied as including “ATF report[s] of investigation[s],” “security
information report[s]” from Macy’s California, other documents from Macy’s concerning
vandalism at some of its stores, a “description of merchandise” obtained from the San Francisco
Police Department (“SFPD”), and an incident report obtained from the SFPD. ATF Vaughn
Index.
As noted above, while briefing was ongoing and after ATF had already submitted its
Vaughn index, the Supreme Court changed the applicable standard for analyzing whether
financial or commercial information in an agency’s possession were confidential records under
Exemption 4. Under that new standard, “[a]t least where commercial or financial information is
[1] both customarily and actually treated as private by its owner and [2] provided to the
government under an assurance of privacy, the information is ‘confidential’ within the meaning
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of Exemption 4.” Food Marketing Institute, 139 S. Ct. at 2366. ATF’s Vaughn Index and
declaration do not contain sufficient information to measure against this standard. For that
matter, they do not contain sufficient detail to measure the application of Exemption 4 against
any standard. The declaration merely lists the kinds of information withheld but makes no
attempt to explain why such information is “confidential.” While “security measures” in place at
various department stores might “customarily be treated as private” by those stores, this surmise
would be pure conjecture on the current record. Id. Given the new Exemption 4 standard and
the utter lack of any detail as to why the information withheld by the ATF should be considered
confidential, ATF will also be provided an opportunity to either release the information withheld
under Exemption 4 or submit a more detailed explanation of how its withholdings fall under this
exemption’s aegis.
3. Exemption 5
ATF asserted Exemption 5’s deliberative process privilege to protect “report[s] of
investigation[s],” a “telecommunication message,” and various “draft document[s],” ATF
Vaughn Index, that detailed “a Special Agent’s assessment of what ha[d] transpired in an
investigation,” Chisholm Decl. ¶ 64. These documents related the Special Agent’s “frank
opinions or recommendations” related to criminal investigations. Id. ¶ 69. Plaintiff, in a two-
sentence objection to application of this Exemption, complains that “there is no indication as to
what role the documents play in the deliberative process” and that the “ATF has not indicated
whether any factual material being withheld can be segregated and released.” Pl.’s Opp’n at 53.
ATF, however, has met its burden. The agency explains the deliberative process
involved is the discussion of “alternative avenues of action available in the investigation” at
issue. Chisholm Decl. ¶ 64. The role the documents played in the deliberative process is
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described as memorializing the Special Agent’s communication of his opinions and
recommendations to “a superior or other agent.” Id. Finally, the declaration explains that this
Special Agent was empowered to “make . . . decisions as part of a criminal investigation,” id.
¶ 65, which adequately describes the “nature of the decisionmaking authority vested in the . . .
person issuing the disputed opinion,” Ctr. for Biological Diversity, 279 F. Supp. 3d at 147. As to
plaintiff’s segregability complaint, ATF explains that “staff reviewed each page of the material
identified as responsive to ensure that no additional information could be released” and that “[a]ll
releasable information has been provided to Plaintiff.” Chisholm Decl. ¶ 107. Plaintiff does
nothing to rebut the “presumption that [ATF] complied with the obligation to disclose reasonably
segregable material.” Sussman, 494 F.3d at 1117.
4. Exemption 7(D)
ATF has also met its burden with respect to its application of Exemption 7(D). As the
agency explained, it withheld “portions of ATF Reports of Investigation that would reveal the
identity of confidential sources or the information they provided” and “[d]ates that could be used
for identification of the aforementioned individuals.” Chisholm Decl. ¶ 93. ATF notes that
sources it has sought to protect were “cooperat[ing] under the assumption of confidentiality.” Id.
¶ 99. Plaintiff complains that the ATF has only addressed “one of the four factors that must be
considered.” Pl.’s Opp’n at 53.
As a refresher, the four Roth factors for determining whether it is reasonable to believe an
implied assurance of confidentiality was given to a particular source are: “[1] the character of the
crime at issue, [2] the source’s relation to the crime, [3] whether the source received payment,
and [4] whether the source has an ongoing relationship with the law enforcement agency and
typically communicates with the agency only at locations and under conditions which assure the
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contact will not be noticed.” Labow, 831 F.3d at 531 (quoting Roth, 642 F.3d at 1184). The
ATF explains that the crime at issue “involve[d] domestic terrorism and the use of explosives.”
Chisholm Decl. ¶ 97. These are certainly “serious or violent crimes” that weigh in favor of a
finding of confidentiality. Labow, 831 F.3d at 531. Contrary to plaintiff’s assertions, the FBI
has also addressed the second factor by noting that “[i]t is clear that if [the] information provided
by the source were to be released, then the source’s identity would be known to those involved
with the animal rights movement.” Chisholm Decl. ¶ 97. When a source provides “singular”
information, that is, “the kind of information that, if it were revealed to the public, could be
traced to a particular source,” the relationship of the individual to the crime and alleged criminals
can properly be inferred. Labow, 831 F.3d at 532. Although the ATF fails to address the
remaining two factors, the strength of the first two suggest that the sources at issue expected
confidentiality. The ATF has thus carried its burden and DOJ is entitled to summary judgment
with respect to the ATF’s application of Exemption 7(D).
5. Exemption 7(E)
With respect to Exemption 7(E), plaintiff challenges only ATF’s application to “withhold
from Plaintiff information about techniques for funding law enforcement investigations.”
Chisholm Decl. ¶ 102; Pl.’s Opp’n at 53. He makes the same arguments he made with respect to
funding requests and the funding of individual techniques in challenging the FBI’s use of
Exemption 7(E). These arguments are no more persuasive here and DOJ will likewise be
granted summary judgment with respect to the ATF’s application of Exemption 7(E).42
42
Plaintiff’s complaint is mainly concerned with his allegations that the FBI and ATF violated FOIA, but it
also contains one allegation that the agencies violated the Privacy Act of 1974, Pub. L. No. 93-579, 88 Stat. 1896,
codified at 5 U.S.C. § 552a. FAC ¶ 518. This act “regulates the collection, maintenance, use, and dissemination of
information about individuals by federal agencies.” Wilson v. Libby, 535 F.3d 697, 707 (D.C. Cir. 2008) (internal
quotation marks and citations omitted) (quoting Doe v. Chao, 540 U.S. 614, 618 (2004)). The Privacy Act grants
individuals “access to [their] record or to any information pertaining to [them] which is contained” in an agency’s
records system. 5 U.S.C. § 552a(d)(1). DOJ argues that the FBI’s Central Records System and the ATF’s records
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IV. CONCLUSION
For the foregoing reasons, plaintiff’s motion for discovery under Rule 56(d) and his
cross-motion for summary judgment are DENIED. DOJ’s motion for summary judgment is
GRANTED IN PART and DENIED IN PART. Specifically, DOJ’s motion is DENIED with
respect to (1) the FBI’s application of Exemption 5 to pages with Bates Nos. Shapiro-202953–
56; and (2) ATF’s application of Exemptions 3 and 4, but GRANTED in all other respects. DOJ
may, by August 3, 2020, either release the information withheld by the FBI pursuant to
Exemption 5 on pages with Bates Nos. Shapiro-202953–56 and by ATF pursuant to FOIA
Exemptions 3 and 4, or submit a renewed motion for summary judgement supported by
supplemental declarations justifying the information’s continued withholding.
An order consistent with this Memorandum Opinion will be entered contemporaneously.
Date: July 2, 2020
__________________________
BERYL A. HOWELL
Chief Judge
systems are exempt from the Privacy Act’s Requirements. Def.’s Mem. at 9–10; see also 5 U.S.C. § 552a(j)(2)
(“The head of any agency may promulgate rules . . . to exempt any system of records within the agency . . . if the
system of records is . . . maintained by an agency or component thereof which performs as its principal function any
activity pertaining to the enforcement of criminal laws . . . and which consists of . . . reports identifiable to an
individual compiled at any stage of the process of enforcement of the criminal laws from arrest or indictment
through release from supervision.”); 28 C.F.R. § 16.96 (exempting the FBI’s Central Records System); id. § 16.106
(exempting ATF’s records systems). Plaintiff does not respond to this argument and has thus waived his argument
that summary judgment is improper for his Privacy Act claim. DOJ is thus entitled to summary judgment as to that
claim.
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APPENDIX
CHRONOLOGICAL LISTING OF PLAINTIFF’S REQUESTS
Request
Agency Number Subject Matter Date of Request
1 FBI 1020553 National Anti-Vivisection Society May 2, 2005
2 FBI 1121258 Ryan Noah Shapiro October 6, 2008
A Declaration of War: Killing People to
3 FBI 1134526 Save Animals and the Environment July 8, 2009
4 FBI 1143549 Animal Liberation Front January 29, 2010
5 FBI 1143759 Compassion Over Killing January 31, 2010
6 FBI 1143926 Friends of Animals January 31, 2010
7 FBI 1144151 American Anti-Vivisection Society January 31, 2010
8 FBI 1143766 New England Anti-Vivisection Society January 31, 2010
9 FBI 1146934 Lauren Beth Gazzola April 10, 2010
10 FBI 1156519 Last Chance for Animals October 22, 2010
11 FBI 1156549 Miyun Park October 22, 2010
12 FBI 1156661 Lindsay Parme October 24, 2010
13 FBI 1157033 Animal Defense League November 4, 2010
14 FBI 1156759 No Compromise November 4, 2010
15 FBI 1160275 Friends of Animals December 24, 2010
16 FBI 1159897 Hyram Kitchen Murder December 29, 2010
17 FBI 1160815 Compassion Over Killing January 18, 2011
18 FBI 1161231 Compassion Over Killing January 18, 2011
19 FBI 1143759-001 Compassion Over Killing March 9, 2011
National Crime Information Center records
about possibility of violence against
unknown veterinary school deans by
20 FBI 1166938 unknown animal rights activists May 19, 2011
21 FBI 1167292 Ryan Noah Shapiro May 26, 2011
22 FBI 1167308 Nathan Donald Runkle May 27, 2011
23 FBI 1167305 Sarah Jane Blum May 27, 2011
24 FBI 1167538 Freeman Wicklund May 31, 2011
25 FBI 1168139 Dallas Rachael Rising June 7, 2011
26 FBI 1167816 Chris DeRose June 7, 2011
27 FBI 1167824 Jack D. Carone June 7, 2011
28 FBI 1167840 Linda T. Tannenbaum June 7, 2011
29 FBI 1168703 Crescent Vellucci June 7, 2011
30 FBI 1167949 Jonathan Christopher Mark Paul June 7, 2011
31 FBI 1168146 Leslie Stewart June 7, 2011
32 FBI 1167894 Sheila Laracy June 7, 2011
33 FBI 1167292-001 Ryan Noah Shapiro June 8, 2011
34 FBI 1168089 Henry Hutto June 9, 2011
35 FBI 1168026 Animal Liberation Front Supporters Group June 9, 2011
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36 FBI 1169365 Kimberly Ann Berardi June 21, 2011
37 FBI 1179685 Peter Daniel Young June 28, 2011
38 FBI 1169688 Kevin Rich Olliff June 28, 2011
39 FBI 1169964 Joseph W. Bateman June 28, 2011
40 FBI 1169999 David Patrick Hayden June 28, 2011
41 FBI 1169590 Iver R. Johnson III June 29, 2011
42 FBI 1169540 Aaron Glenn Leider June 29, 2011
43 FBI 1169433 Patrick Kwan June 29, 2011
44 FBI 1170870 Gina Lynn July 7, 2011
45 FBI 1170449 Joseph Buddenberg July 12, 2011
46 FBI 1170437 Michael A. Budkie July 12, 2011
47 FBI 1170784 Rick A. Bogle July 12, 2011
48 FBI 1170104 Stephen Omar Hindi July 12, 2011
49 FBI 1171428 Julie Elizabeth Lewin July 20, 2011
50 FBI 1171502 Camille Marino July 22, 2011
51 FBI 1171759 Foundation for Biomedical Research July 26, 2011
National Association for Biomedical
52 FBI 1171768 Research July 26, 2011
53 FBI 1172386 Americans for Medical Progress July 26, 2011
54 FBI 1172382 Center for Consumer Freedom July 26, 2011
55 FBI 1173044 National Animal Interest Alliance July 26, 2011
56 FBI 1173385 Fur Information Council of America July 26, 2011
57 FBI 1171597 Perceptions International July 26, 2011
58 FBI 1171892 Sean Diener July 26, 2011
59 FBI 1179601 Kelly Ann Higgins July 26, 2011
60 FBI 1156519-001 Last Chance for Animals July 26, 2011
61 FBI 1171492 American Medical Association August 5, 2011
62 FBI 1171456 Allison Helene Lance Watson August 5, 2011
63 FBI 1143926-001 Friends of Animals August 10, 2011
64 FBI 1173573 Mercy for Animals August 10, 2011
65 FBI 1167308-001 Nathan Donald Runkle August 10, 2011
66 FBI 1144639-001 Fund for Animals August 10, 2011
67 FBI 1144151-001 American Anti-Vivisection Society August 10, 2011
68 FBI 1143766-001 New England Anti-Vivisection Society August 10, 2011
69 FBI 1020553-001 National Anti-Vivisection Society August 10, 2011
70 FBI 1168026-001 Animal Liberation Front Supporters Group August 10, 2011
71 FBI 1167305-001 Sarah Jane Blum August 10, 2011
72 FBI 1173497 Animal Liberation Front Conference August 15, 2011
73 FBI 1173506 Steven Paul Best August 19, 2011
74 FBI 1159897-001 Hyram Kitchen Murder September 2, 2011
United States Surgical Corporation
75 ATF 11-1208 Attempted Bombing September 2, 2011
Utah Animal Rights Coalition/United
76 FBI 1173555 Animal Rights Coalition September 8, 2011
77 FBI 1177804 Lauren Beth Gazzola November 15, 2011
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78 FBI 1178088 Screaming Wolf November 22, 2011
A Declaration of War: Killing People to
79 FBI 1179180 Save Animals and the Environment November 22, 2011
80 FBI 1179204 Rodney Adam Coronado December 5, 2011
81 FBI 1179996 Will Potter December 20, 2011
82 FBI 1182729 United States Surgical Corporation February 10, 2012
83 FBI 1182395 Green is the New Red February 10, 2012
107