2023 IL App (1st) 211657
No. 1-21-1657
Opinion filed March 2, 2023
Fourth Division
______________________________________________________________________________
IN THE
APPELLATE COURT OF ILLINOIS
FIRST DISTRICT
______________________________________________________________________________
IVAN GLYNN, ) Appeal from the
) Circuit Court of
Plaintiff-Appellant, ) Cook County.
)
v. ) No. 20 CH 5370
)
THE DEPARTMENT OF CORRECTIONS, ) Honorable
) Anna M. Loftus,
Defendant-Appellee. ) Judge, presiding.
PRESIDING JUSTICE LAMPKIN delivered the judgment of the court, with opinion.
Justices Hoffman and Martin concurred in the judgment and opinion.
OPINION
¶1 Plaintiff Ivan Glynn sued defendant, the Department of Corrections (DOC), seeking
disclosure under Illinois’s Freedom of Information Act (FOIA) (5 ILCS 140/1 et seq. (West 2020))
of security video footage from the Joliet Treatment Center. The parties filed cross-motions for
summary judgment, and the circuit court, after declining to conduct an in camera review of the
video footage, granted summary judgment in favor of DOC and against Glynn.
¶2 On appeal, Glynn argues the circuit court erred by (1) applying broadly the FOIA
exemption for records related to or affecting the security of correctional institutions, (2) ruling that
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DOC’s affidavit was sufficient to prove the footage was exempt by clear and convincing evidence,
and (3) holding that the existence of blind spots alone in prison surveillance footage was sufficient
to exempt it from disclosure under FOIA.
¶3 For the reasons that follow, we reverse the circuit court’s grant of summary judgment in
favor of DOC and against Glynn and remand this matter for further proceedings. 1
¶4 I. BACKGROUND
¶5 In November 2019, Glynn sent DOC a FOIA request for audio and video footage from the
security cameras of the dayroom of the Joliet Treatment Center (Joliet) on November 11, 2019,
and any footage of dorm 7 on November 12, 2019.
¶6 In December 2019, DOC denied the request, stating that DOC does not maintain or possess
audio footage, and the video footage was exempt from inspection and copying pursuant to section
7(1)(e) of FOIA, which exempts from inspection and copying “[r]ecords that relate to or affect the
security of correctional institutions and detention facilities.” 5 ILCS 140/7(1)(e) (West 2018).
¶7 DOC cited a nonbinding April 21, 2014, determination letter issued by the Public Access
Bureau (PAB) of the Office of the Illinois Attorney General, which concluded that disclosure of
video footage from inside a correctional institution to a correctional officer depicting an incident
in which he was injured would jeopardize security because it “would reveal blind spots that
inmates could exploit to evade detection of actions that could endanger other inmates and/or staff
members.”
1
In adherence with the requirements of Illinois Supreme Court Rule 352(a) (eff. July 1, 2018),
this appeal has been resolved without oral argument upon the entry of a separate written order.
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¶8 In August 2020, Glynn sued DOC, and the parties briefed cross-motions for summary
judgment.
¶9 DOC submitted an index of the records to which it denied access. 2 The index listed three
video files. According to the index, two of those files, which were from two different cameras of
the dayroom on November 11, 2019, showed portions of the dayroom, inmates within the
dayroom, the position of prison guards, and the process for moving an inmate out of the dayroom.
The third video, which was from a camera in dorm 7 on November 12, 2019, showed portions of
dorm 7, the position and movement of prison guards, and the process for moving inmates from
cells. DOC maintained that these surveillance videos were exempt from disclosure under FOIA’s
section 7(1)(e) because disclosure would jeopardize the security of the facility. In support of its
motion, DOC attached the affidavit of Joel Diers and three nonbinding determination letters from
the PAB, dated May 22, 2013, April 21, 2014, and July 20, 2016. In the alternative, DOC asked
the court to conduct an in camera inspection of the videos if the court found that DOC’s affidavit
and the PAB letters failed to meet DOC’s burden to establish by clear and convincing evidence
that the requested records were exempt from disclosure.
¶ 10 In his affidavit, Diers averred that he was legal counsel for DOC and held this position for
13 years. He was familiar with the security camera system used by Joliet, which is a correctional
facility. Its security camera system collected only video footage without any audio. In the course
of his employment, Diers reviewed hundreds of videos from the cameras within DOC’s facilities,
and none of these videos contained audio. Diers averred that the three videos responsive to Glynn’s
2
DOC also stated that, pursuant to its retention policy, security camera video footage that does not
reflect any incident is automatically purged after 30 days. As such, DOC no longer possessed some of the
video responsive to Glynn’s request.
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No. 1-21-1657
request revealed the layout and structure of the dayroom and dorm 7 and the positioning of DOC
staff members, such as prison guards, within these areas. The videos also showed the timing of
staff movement and prisoner movement, including the process for moving prisoners.
¶ 11 Diers averred that “[m]ost significantly, the footage would allow individuals to determine
the range of the facility’s security cameras for the Dayroom and Dorm 7, which would expose
areas that are not covered by these cameras (‘Blind spots’).” Diers stated that exposure of these
blind spots would provide individuals with the knowledge of where dangerous acts, harm to others,
or unpermitted activity could occur without detection from the security cameras. Diers averred that
disclosure would also give individuals the knowledge of potential times and locations where these
activities could occur without detection from DOC’s staff because the individuals would know
approximately when and where prison guards were present in those locations. Diers averred that
these activities could be dangerous and harmful to others, placing DOC’s staff and other inmates
at significant risk. Diers stated that DOC properly withheld the video footage pursuant to FOIA’s
section 7(1)(e) because disclosure of the information contained in the footage would adversely
affect the security of Joliet.
¶ 12 The three PAB determination letters concluded that video recordings of correctional
centers’ dining halls and a cellblock were exempt from disclosure under FOIA’s section 7(1)(e)
because the recordings captured most, but not all, of the areas in question and thus would reveal
blind spots that inmates could exploit to evade detection of actions that could endanger other
inmates and staff members. In reaching this conclusion, the PAB reviewed the video recordings at
issue in all three matters.
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¶ 13 In his motion for partial summary judgment, Glynn argued, inter alia, that DOC failed to
prove by clear and convincing evidence that disclosure would affect security because DOC’s claim
that the footage revealed blind spots was flawed. To support this argument, Glynn cited the
affidavit of Patrick C. Eddington, who worked for nearly 20 years in federal service dealing with
intelligence and intelligence oversight matters, including nearly 9 years as a professional imagery
analyst with the National Photographic Interpretation Center. He worked as a CIA analyst for
several years, using multiple forms of imagery derived from multiple imaging platforms in the
course of his analysis of military, internal security, and international events. He worked for then-
United States Congress Representative Rush Holt for about 10 years evaluating the efficacy,
safety, and constitutionality of various federal agency programs that used surveillance
technologies. As a research fellow at the Cato Institute, Eddington researched and wrote about
surveillance technology.
¶ 14 In his affidavit, Eddington challenged Diers’s statement that releasing the surveillance
footage would allow individuals to determine the range of security cameras and reveal their blind
spots. Eddington stated that multiple pieces of information—including the camera’s field of view
under factory settings, whether the camera was zoomed in, the camera’s placement and type of
lens (wide angle, fish eye, etc.), use of software to enhance the field of view or resolution, and the
number of cameras at the area in question—were necessary to determine whether an individual
camera had any blind spots. Eddington averred that DOC’s evidence did not indicate whether the
cameras were concealed, and any person who could see the cameras in use could already determine
with a reasonable degree of certainty the existence, extent, and location of any blind spots.
Eddington averred that even if a viewer of the footage could definitively establish any blind spots,
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other cameras in the same room could cover those other areas not visible on the requested cameras.
Furthermore, Eddington averred that anyone present “can look and see for themselves where blind
spots may be,” citing the “simple maxim, ‘If I can’t see the camera lense [sic], the camera can’t
see me.’ ” Also, any person present could already see for themselves the positioning and movement
of DOC staff and the movement of prisoners within those areas, and viewing these things in person
was the most effective way to learn the locations of blind spots, staff, or prisoners. Eddington did
not state that he viewed the videos at issue or the locations in question.
¶ 15 Glynn also supported his motion with an April 17, 2015, nonbinding determination letter
from the PAB. In that matter, DOC had denied a request for all records related to a 2010
investigation of an incident that did not occur within the prison, arguing that a plain reading of
FOIA’s section 7(1)(e) allowed for a mere relation to the security of a correctional facility to
render records exempt from disclosure. This letter concluded, inter alia, that DOC failed to meet
its burden to prove that the records were exempt from disclosure under section 7(1)(e) of FOIA
because it applies only when a public body demonstrates that disclosure of a requested record
would pose a potential security risk to a correctional facility.” Finally, Glynn asked the circuit
court to defer ruling on the issue of civil penalties until the court resolved the merits of whether
DOC violated FOIA.
¶ 16 On June 25, 2021, the court heard oral argument on the parties’ cross-motions for summary
judgment. The court granted DOC’s motion and denied Glynn’s motion. Accordingly, the court
did not address Glynn’s request for civil penalties. The court found that DOC’s affidavit
established by clear and convincing evidence that the video footage directly related to and affected
the security of the correctional institution, and thus DOC met its burden to prove the requested
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footage was exempt from disclosure under section 7(1)(e). The court noted that the language of
section 7(1)(e) was “quite broad” and not qualified. However, even under a narrower construction
of section 7(1)(e)—i.e., that “related to” meant that a requested record would pose a potential
security risk to a correctional facility—the court would still rule in favor of DOC. The court found
that Diers’s affidavit on behalf of DOC established that the footage revealed the layout and
structure of the dayroom and dorm 7, the position and movement of DOC staff members and
guards within those areas, prisoner movement, and the process for moving prisoners. The court
also found that Diers’s affidavit established that viewing the footage would reveal the range of the
security cameras in the dayroom and dorm 7 and thus expose the cameras’ blind spots, thereby
establishing that release of the footage would create a potential security risk because individuals
with knowledge of the blind spots could cause harm without detection from DOC staff.
¶ 17 The court stated that unlike Diers, who had 13 years’ experience with DOC, had reviewed
hundreds of videos from DOC security cameras, and knew the locations and reviewed the footage
at issue here, Glynn’s affiant, Eddington, did not view the footage or the locations at issue. The
court also stated that Eddington’s statement that an individual needed more information (like the
camera’s field of view under factory settings, the type of camera lens, whether software
enhancements or the zoom function were used) than merely viewing the footage to determine the
blind spots, was inconsistent with his statement that any person “who can see the cameras in use
can already determine with a reasonable degree of certainty whether any camera blind spots exist
and the extent and location of those blind spots.” The court afforded the declarations of DOC, an
agency, a presumption of good faith and found that the proven existence of blind spots in this
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matter sufficiently established that the footage directly related to and affected the security of the
correctional institution.
¶ 18 The court stated that an in camera review of the footage would not be effective because
the court would need to do a site visit to see the rooms in question to understand the footage, and
Diers’s affidavit, which was entitled to a presumption of good faith, established his personal
knowledge and that the footage did show blind spots. The court added that Glynn’s arguments
about previous disclosures of security camera footage by other correctional institutions were
neither relevant nor compelling.
¶ 19 Glynn moved the court to reconsider, arguing that (1) newly discovered evidence from July
2, 2021, showed that the Illinois State Police released surveillance camera footage from an DOC
facility of an officer beating an inmate; (2) DOC’s interpretation of section 7(1)(e) creates the
absurd result of shielding all prison security footage, including footage of guards abusing
prisoners, from public scrutiny; (3) the court erroneously stated that viewing the footage would
reveal information about the type of lenses the cameras used, the aperture settings, and whether
any software enhancements were used, but DOC did not make this claim or present evidence to
support it; and (4) the court stated that before it would consider DOC’s previous release of
surveillance footage as evidence favoring disclosure, the court needed information about the
footage length, but that information was in the record.
¶ 20 The parties briefed the motion. On November 18, 2021, the court held oral argument on
the motion and denied it. The court stated that Glynn misconstrued the court’s findings that it
needed more information about the circumstances of previous security camera footage disclosures
(i.e., whether the disclosures were made pursuant to FOIA, a settlement, or discovery) before the
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No. 1-21-1657
court could consider the relevance of Glynn’s arguments regarding those disclosures. Furthermore,
Glynn misconstrued the court’s quote of text from Chicago Sun-Times v. Chicago Transit
Authority, 2021 IL App (1st) 192028, ¶ 50, regarding camera lens types, aperture settings, and
software enhancements as the court’s evidentiary findings and ruling in the instant case. Also, the
court did not conclude that there was a per se exception for security footage under section 7(1)(e)
when the footage reveals blind spots. Rather, the court looked at DOC’s claim on a case-by-case
basis. The court found that Diers’s affidavit was specific and detailed, not generic, and his
conclusions were supported by facts. Conversely, the court did not give credit to Eddington’s
affidavit.
¶ 21 Glynn timely appealed. 3
¶ 22 II. ANALYSIS
¶ 23 This case arises from the disposition of cross-motions for summary judgment. Summary
judgment is proper when the pleadings, depositions, admissions, and affidavits show that there is
no genuine issue of material fact and that the moving party is entitled to judgment as a matter of
law. 735 ILCS 5/2-1005(c) (West 2020). Where the parties have filed cross-motions for summary
judgment, they have conceded that there are no genuine issues of material fact and have agreed
that only questions of law are involved. Nationwide Financial, LP v. Pobuda, 2014 IL 116717,
¶ 24. In such a situation, the parties request that the court decide the issues as a matter of law. Id.
We review de novo the trial court’s judgment on cross-motions for summary judgment. Id.; see
Thomas v. Weatherguard Construction Co., 2015 IL App (1st) 142785, ¶ 63 (under de novo
review, the reviewing court performs the same analysis the trial court would perform).
3
Glynn’s appeal does not involve any issue concerning audio footage.
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No. 1-21-1657
¶ 24 The Illinois Supreme Court has stated that
“FOIA expressly declares its underlying public policy and legislative intent.
Section 1 provides that all persons are entitled to full and complete information
regarding the affairs of government and the official acts and policies of those who
represent them as public officials and public employees consistent with the terms
of this Act. [Citation.] Section 1 explains that [s]uch access is necessary to enable
the people to fulfill their duties of discussing public issues fully and freely, making
informed political judgments and monitoring government to ensure that it is being
conducted in the public interest. [Citation.] Consequently, section 1 provides that
[i]t is a fundamental obligation of government to operate openly and provide public
records as expediently and efficiently as possible in compliance with this Act.
[Citation.]
Based on this clear expression of legislative intent, this court has held that
public records are presumed to be open and accessible. [Citation.] FOIA is to be
liberally construed to achieve the goal of providing the public with easy access to
government information. [Citation.] Consequently, FOIA’s exceptions to
disclosure are to be construed narrowly so as not to defeat the intended statutory
purpose. [Citation.] Thus, when a public body receives a proper request for
information, it must comply with that request unless one of FOIA’s narrow
statutory exemptions applies.” (Internal quotation marks omitted.) In re
Appointment of Special Prosecutor, 2019 IL 122949, ¶¶ 24-25.
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If a public body invokes a FOIA exemption, it “has the burden of proving that [the record] is
exempt by clear and convincing evidence.” 5 ILCS 140/11(f) (West 2020).
¶ 25 A. Statutory Construction
¶ 26 The dispute here involves section 7(1)(e) of FOIA, which provides that the following shall
be exempt from inspection and copying: “Records that relate to or affect the security of
correctional institutions and detention facilities.” Id. § 7(1)(e). The parties’ contentions regarding
section 7(1)(e) present a question of statutory interpretation, which we review de novo. Calloway
v. Chicago Police Department, 2022 IL App (1st) 210090, ¶ 14.
¶ 27 When interpreting a statute, we must ascertain and give effect to the legislature’s
intent. Rosenbach v. Six Flags Entertainment Corp., 2019 IL 123186, ¶ 24. The best indication of
that intent is the language employed in the statute, given its plain and ordinary meaning. Id. When
the statute’s language is unambiguous, we may not depart from that language by reading into it
exceptions, limitations, or conditions unexpressed by the legislature; likewise, we may not add
provisions under the guise of interpretation. Id. Moreover, when the statute is unambiguous, we
apply the statute without resort to other aids of statutory construction. Palm v. Holocker, 2018 IL
123152, ¶ 21.
¶ 28 However, when statutory language “leaves uncertainty as to how it should be interpreted
in a particular context, the court can consider the purpose behind the law and the evils the law was
designed to remedy.” Phoenix Bond & Indemnity Co. v. Pappas, 194 Ill. 2d 99, 106 (2000). “A
fundamental principle of statutory construction is to view all provisions of a statutory enactment
as a whole. Accordingly, words and phrases should not be construed in isolation, but must be
interpreted in light of other relevant provisions of the statute.” Southern Illinoisan v. Illinois
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Department of Public Health, 218 Ill. 2d 390, 415 (2006). A statute should not be construed in a
way that would defeat its purpose “or yield an absurd or unjust result.” Phoenix Bond & Indemnity
Co., 194 Ill. 2d at 107.
¶ 29 DOC argues that it was entitled to summary judgment because it established that the
requested security camera footage related to or affected Joliet’s security, thus exempting the
footage from disclosure under FOIA. DOC adds that it did not need to show whether release of the
video affected security as long as the videos related to security. Giving section 7(1)(e) its plain and
ordinary meaning, DOC contends it needed to show simply that the footage revealed information
concerning Joliet’s security. DOC argues this court should apply section 7(1)(e) as written, citing
Chicago Sun-Times, 2021 IL App (1st) 192028, ¶ 44, for the proposition that when the General
Assembly uses very broad language to define a FOIA exemption, this court applies the exemption
as written.
¶ 30 In Chicago Sun-Times, this court held that security camera footage of a subway platform
was exempt under section 7(1)(v) of FOIA (5 ILCS 140/7(1)(v) (West 2020)) as
“security measures *** designed to identify, prevent, or respond to potential attacks upon
a community’s population or systems, facilities, or installations, the destruction *** of
which would constitute a clear and present danger to the health or safety of the community,
but only to the extent that disclosure could reasonably be expected to jeopardize the
effectiveness of the measures, or the safety of the personnel who implement them or the
public.”
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See Chicago Sun-Times, 2021 IL App (1st) 192028, ¶¶ 37, 43-44. DOC contends that, based on
this court’s analysis in Chicago Sun-Times, the language of section 7(1)(e) is at least as expansive
as exemption 7(1)(v).
¶ 31 Glynn responds that DOC’s interpretation of “relating to” would give section 7(1)(e) an
expansive interpretation and render a broad category of public documents immune to public
scrutiny, contrary to the intent of FOIA. Glynn argues that section 7(1)(e) of FOIA must be
construed narrowly to further the statutory purpose to open governmental records to the light of
public scrutiny. According to Glynn, this narrow construction should require DOC to prove that
disclosure would actually affect security. Citing Kalven v. City of Chicago, 2014 IL App (1st)
121846, ¶ 19, overruled on other grounds by Perry v. Department of Financial & Professional
Regulation, 2018 IL 122349, ¶¶ 19-22, Glynn argues that the court rejected the defendants’
proposed broad interpretation of the phrase “related to” in the context of the FOIA exemption in
section 7(1)(n) (5 ILCS 140/7(1)(n) (West 2012)), which exempts “[r]ecords relating to a public
body’s adjudication of employee grievances or disciplinary cases; [but does] not extend to the final
outcome of cases in which discipline is imposed.” Kalven held that this exemption did not apply
to complaint register files (CRs) of completed investigations into allegations of police misconduct.
In so holding, Kalven rejected the defendants’ expansive reading of “related to,” concluding,
inter alia, that it was “at odds” with FOIA’s purpose “to open governmental records to the light of
public scrutiny.” (Internal quotation marks omitted.) Kalven, 2014 IL App (1st) 121846, ¶ 19.
Kalven concluded that the “phrase ‘related to’ must be read narrowly, and in the context of FOIA,
CRs are not ‘related to’ disciplinary adjudications in a way that might exempt them from
disclosure.” Id. ¶ 22.
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¶ 32 Glynn also argues that if the legislature had intended to exempt all DOC records related to
security, then the “carve outs” of FOIA sections 7(1)(e-6) and (e-8) (5 ILCS 140/7(1)(e-6), (e-8)
(West 2020)) would be superfluous because the records they exempt have some tangential
connection to security. Specifically, sections 7(1)(e-6) and 7(1)(e-8) exempt, respectively, records
requested by inmates (1) “if those materials include records from staff members’ personnel files,
staff rosters, or other staffing assignment information,” and (2) “the disclosure of which would
result in the risk of harm to any person or the risk of an escape from a jail or correctional institution
or facility.” Id. Glynn argues that DOC must show that disclosure actually affects security.
¶ 33 We reject Glynn’s argument that DOC must show that disclosure actually affects security.
Not only would such a standard fail to account for the lack of certainty in attempting to predict
harm (see Chicago Sun-Times, 2021 IL App (1st) 192028, ¶¶ 39-40), Glynn’s interpretation
overlooks the disjunctive conjunction “or” between the terms “relate” and “affect.” There is
considerable overlap between the section 7(1)(e)’s requirement that the record must either relate
to or affect the prison’s security because a record cannot affect security unless it is related to
security. Black’s Law Dictionary defines “relate” to mean: “[t]o stand in some relation; to have
bearing or concern; to pertain; refer; to bring into association with or connection with.” Black’s
Law Dictionary 1288 (6th ed. 1990). The potential applicability of the term “relate” is extremely
broad. Because DOC is responsible for maintaining custody over committed persons (see 730
ILCS 5/3-2-2 (West 2020)), most records that DOC possesses arguably relate to security in some
way.
¶ 34 Accordingly, for purposes of 7(1)(e), the meaning of “relate” is ambiguous. Thus, section
7(1)(e) must be construed in the broader context of FOIA as a whole and the purposes of FOIA
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“to provide the public with easy access to government information,” that FOIA is to be afforded a
liberal construction, and that a public body must disclose a requested record “unless one of the
narrow statutory exemptions” applies. Southern Illinoisan, 218 Ill. 2d. at 415-17. Construing
section 7(1)(e) in light of the purpose of FOIA and its other provisions, it better comports with
FOIA to conclude that section 7(1)(e) applies to records that could jeopardize the security of a
correctional institution or detention facility if disclosed, rather than any records merely pertaining
to security in any manner whatsoever. We conclude that section 7(1)(e) applies only when a public
body demonstrates that disclosure of a requested record could pose a potential security risk to a
correctional facility.
¶ 35 B. Sufficiency of DOC’s Affidavit
¶ 36 Glynn argues that DOC failed to prove by clear and convincing evidence that the footage
was exempt under FOIA’s section 7(1)(e) because DOC’s affidavit was generic, conclusory, and
failed to address the specific footage in this case. Glynn also argues that the circuit court erred by
relying on the affidavit without conducting an in camera review.
¶ 37 When a public body invokes one of the exemptions in section 7 of FOIA as grounds for
refusing disclosure, it must give written notice specifying the particular exemption claimed to
authorize the denial. Illinois Education Ass’n v. Illinois State Board of Education, 204 Ill. 2d 456,
464 (2003). Thereafter, if the party seeking disclosure of information under FOIA challenges the
public body’s denial in circuit court, the public body has the burden of proving that the records in
question fall within the exemption it has claimed. Id.; 5 ILCS 140/11 (West 2020). “To meet this
burden and to assist the court in making its determination, the agency must provide a detailed
justification for its claim of exemption, addressing the requested documents specifically and in a
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manner allowing for adequate adversary testing.” (Emphasis in original.) Baudin v. City of Crystal
Lake, 192 Ill. App. 3d 530, 537 (1989).
¶ 38 Section 11(f) of FOIA states that the court “shall conduct such in camera examination of
the requested records as it finds appropriate to determine if such records or any part thereof may
be withheld under any provision of this Act.” 5 ILCS 140/11(f) (West 2020). However, the circuit
court need not conduct an in camera review when the public body meets its burden to show that
the statutory exemption applies by means of affidavits. Illinois Education Ass’n, 204 Ill. 2d at 469.
Affidavits that are conclusory, merely recite statutory standards, or are too vague or sweeping are
not sufficient to establish the public body’s burden of proof. Id.
¶ 39 DOC argues that it met its burden of demonstrating by clear and convincing evidence that
the requested footage would have revealed information concerning Joliet’s security and thereby
jeopardize the security of its staff and inmates through Diers’s affidavit, which described the
footage and the potential security risk posed by its disclosure.
¶ 40 Glynn, however, argues that DOC failed to provide a detailed justification for its claimed
exemption and some objective indicia that the exemption applied under the circumstances.
Specifically, Glynn argues that DOC failed to (1) establish that any blind spots even existed in the
dayroom and dorm 7 by describing the layout of those rooms and stating whether the cameras were
hidden or whether one camera captured the blind spots of another camera, (2) prove that a viewer
of the footage could determine the location of any blind spots, (3) address whether blind spots can
be ascertained from the ground by viewing the camera set-up in person, and (4) prove that knowing
the location of any blind spots affected security because Diers’s affidavit contained only a generic
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recitation of potential harms that could occur if blind spots were revealed but did not address the
security concerns of Joliet, the dayroom, or dorm 7 specifically.
¶ 41 Diers’s affidavit stated that the videos show the layout of the dayroom and dorm 7 and the
structure of these areas. The videos also show various aspects of staffing at the facility, namely the
placement and movement of department staff members, including prison guards. The videos also
disclose the range of the security cameras, which exposes potential areas that the cameras may not
cover (blind spots). DOC stated that release of the videos would negatively impact the security of
Joliet because the footage exposes significant aspects of the facility’s security staffing placements,
staff movements, inmate movements, and blind spots that viewers of the footage could use to evade
detection of actions that could endanger other inmates and/or staff.
¶ 42 In determining whether Diers’s affidavit provides a sufficient detailed justification for a
section 7(1)(e) exemption and addresses the requested documents specifically and in a manner
allowing for adequate adversary testing, we consider other cases that held the supporting affidavit
was not sufficient to sustain the burden of proof.
¶ 43 In Illinois Education Ass’n, the issue presented was whether material the Illinois State
Board of Education (Board) submitted to the Illinois Attorney General when requesting the
Attorney General’s opinion on a certain topic was protected from disclosure under FOIA’s
attorney-client exemption even though the Board knew that the requested opinion, which might
quote the submitted material, would be made public. The Board submitted affidavits generally
averring that the Board’s opinion requests were made with the expectation that they would be
maintained in confidence and that the Attorney General’s office recognizes that such
communications may be subject to the attorney-client privilege. Id. at 461-62. The supreme court
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held that the affidavits submitted by the Board in support of the exemption were merely conclusory
and inadequate to sustain the Board’s burden of proof. Id. at 469. The court stated that a public
body attempting to meet its burden to show that the attorney-client exemption of FOIA’s section
7(1)(n) was applicable
“may not simply treat the words ‘attorney-client privilege’ or ‘legal advice’ as some
talisman, the mere utterance of which magically casts a spell of secrecy over the documents
at issue. Rather, the public body can meet its burden only by providing some objective
indicia that the exemption is applicable under the circumstances.” (Emphasis in original.)
Id. at 470.
Furthermore, the court stated that “in camera review by the circuit court is the most effective way
for the public body to objectively demonstrate that the exemption claimed does, in fact, apply”
because it “affords the benefits of an impartial arbiter without the risks accompanying public
disclosure of the documents.” Id. at 471 (citing Baudin, 192 Ill. App. 3d at 543 (McLaren, J.,
concurring) (“The trial court should be hesitant in determining a privilege exits based solely on
the affidavits submitted by the defendant, for without an in camera review there is no external
means to verify the truthfulness of the affidavits ***.”)).
¶ 44 In Day v. City of Chicago, 388 Ill. App. 3d 70, 72 (2009), an inmate convicted of murder
in 1994 sought in 2007 under FOIA the city police department’s file of the murder investigation.
The city denied the request based on the FOIA exemptions for on-going criminal investigations.
Id. The court held that the city failed to provide a detailed justification for its claimed exemption
because the police officers’ affidavits contained sweeping generalities, were conclusory, and did
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not adequately explain why the 17-year-old murder investigation was considered ongoing or how
disclosure of the documents would obstruct the remaining investigation. Id. at 76.
¶ 45 In Evans v. Federal Bureau of Prisons, 951 F.3d 578, 581 (D.C. Cir. 2020), 4 a prisoner
requested under federal FOIA surveillance footage of an incident where the prisoner was stabbed
with a screwdriver in the inmate dining area. The defendant bureau denied the request based on
the federal exemptions for the disclosure of records that could reasonably be expected to
(1) constitute an unwarranted invasion of personal privacy and (2) disclose law enforcement
techniques and procedures. To support this denial, the bureau submitted an affidavit that stated the
footage contained the images of about 70 people and thus disclosure of the footage “may constitute
an unwarranted invasion of privacy.” (Emphasis and internal quotation marks omitted.) Id. at 586.
The bureau argued that it lacked the technological capability to segregate images potentially
responsive to the prisoner’s request from the images of third parties on the video recordings. Id. at
582. The bureau also argued that the footage would show the location of video cameras and, thus,
“prisoners could modify[ ] their criminal behavior to prevent detection and circumvent the methods
law enforcement officers use to discover the existence of and investigate the conduct of prisoners.”
(Internal quotation marks omitted.) Id. at 587-88.
¶ 46 The Evans court ruled that the bureau’s affidavit lacked reasonable specificity, was
conclusory, and recited statutory language without demonstrating its applicability to the
information withheld. Id. at 586-87. The court stated that the bureau did not explain why it could
not at least isolate some screen shots or blur out faces. Id. at 587. The court also noted that the
4
The “General Assembly patterned FOIA after the federal FOIA” and, thus, “Illinois courts often
look to federal case law construing the federal FOIA for guidance in construing FOIA.” In re
Appointment of Special Prosecutor, 2019 IL 122949, ¶¶ 54-55.
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No. 1-21-1657
affidavit failed to clarify whether the location of video cameras would be visible to inmates in the
prison dining hall or “address the field of view of any or all of the cameras so as to reveal potential
blind spots.” Id. at 588.
¶ 47 Here, Diers’s affidavit is vague regarding the layout of the rooms in question, the scope of
the area covered by each of the cameras, the location of the blind spots, the images’ clarity, and
whether any of the cameras are hidden. DOC argues that if Diers’s affidavit were more detailed
and specific, it might reveal information protected by the FOIA exemptions. We do not question
DOC’s good faith on this subject. However, summary judgment on this issue requires DOC to
show that there is no genuine dispute as to whether the placement of cameras is such that exposure
of the video recording would in fact disclose blind spots and thereby jeopardize the security of
Joliet. The problem of a more detailed affidavit revealing protected information can be avoided by
submitting the material containing these details to the court for in camera review.
¶ 48 Furthermore, if the circuit court had conducted an in camera review of the footage and
thereby confirmed Diers’s averments regarding the existence of the blind spots, then DOC might
have met its burden under section 7(1)(e). However, an in camera review did not occur here. The
present record is not sufficient to support summary judgment, so an in camera examination by the
court is necessary to determine whether DOC met its burden of proof. In summary, DOC’s
declaration is too unspecific on its own to establish that withholding the footage under the
exemption is justified. Accordingly, we reverse the summary judgment granted in favor of DOC
and remand the matter, directing the circuit court to conduct an in camera review of the footage.
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No. 1-21-1657
¶ 49 C. Blind Spots
¶ 50 Glynn argues the circuit court erred by ruling that the existence of blind spots alone in
prison surveillance footage was sufficient to exempt it from disclosure under section 7(1)(e).
Glynn argues that “if the mere existence of blind spots for a single camera is sufficient to withhold
surveillance footage, the Circuit Court’s interpretation of section 7(1)(e) would, in effect, create a
per se exemption of all prison surveillance footage, including footage that shows prison guards
abusing prisoners.” Glynn argues that any incident recorded would tangentially relate to security
and be exempt, thereby rendering a broad category of public documents immune from public
scrutiny even though the legislature did not specifically exempt these records outright. Glynn
contends that this result contradicts our courts’ requirement that FOIA exceptions to disclosure are
to be read narrowly.
¶ 51 Glynn misconstrues the circuit court’s ruling. The court clarified that its ruling was made
on a case-by-case basis. We do not doubt that many prison surveillance camera footage will be
found to be exempt under this court’s interpretation of section 7(1)(e). Nevertheless, the circuit
court’s decision is dependent on several variables, including the type of room filmed, the contents
of the footage; whether the recording is of most, but not all, of the room; and whether the agency
demonstrates that disclosure of the footage would pose a potential security risk to a correctional
institution or detention facility.
¶ 52 Finally, Glynn cites DOC’s disclosure of footage in discovery and the Illinois State Police’s
disclosure of footage in response to a FOIA request to support Glynn’s argument that the potential
security risk posed by exposing blind spots is “undermined by the fact that footage from another
DOC facility has been publicly released clearly depicting blind spots.” Glynn, however, has
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No. 1-21-1657
forfeited this argument by failing to cite any relevant authority to support the notions that
disclosure of security footage to an opposing party in litigation and disclosure by the state police
of different footage from a different correctional institution precludes DOC from invoking section
7(1)(e) in this case. See Ill. S. Ct. R. 341(h)(7) (eff. Oct. 1, 2020) (opening brief must include
“citation of the authorities *** relied on”); 1400 Museum Park Condominium Ass’n v. Kenny
Construction Co., 2021 IL App (1st) 192167, ¶ 51 (party “forfeited *** argument for purposes of
appeal by failing to cite any supporting authority”).
¶ 53 III. CONCLUSION
¶ 54 For the foregoing reasons, we reverse the circuit court’s judgment in favor of DOC and
against Glynn on the parties’ cross-motions for summary judgment and remand this matter,
directing the circuit court to conduct an in camera review.
¶ 55 Reversed and remanded.
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No. 1-21-1657
Glynn v. Department of Corrections, 2023 IL App (1st) 211657
Decision Under Review: Appeal from the Circuit Court of Cook County, No. 20-CH-5370;
the Hon. Anna M. Loftus, Judge, presiding.
Attorneys Matthew Topic, Josh Loevy, Merrick Wayne, and Shelley
for Geiszler, of Loevy & Loevy, of Chicago, for appellant.
Appellant:
Attorneys Kwame Raoul, Attorney General, of Chicago (Jane Elinor Notz,
for Solicitor General, and Chaya M. Citrin and Evan Siegel, Assistant
Appellee: Attorneys General, of counsel), for appellee.
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