FILED
United States Court of Appeals
Tenth Circuit
December 23, 2011
PUBLISH Elisabeth A. Shumaker
Clerk of Court
UNITED STATES COURT OF APPEALS
TENTH CIRCUIT
MARK JORDAN,
Plaintiff-Appellant,
v. No. 10-1469
UNITED STATES DEPARTMENT
OF JUSTICE; FEDERAL BUREAU
OF PRISONS,
Defendants-Appellees.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF COLORADO
(D.C. No. 1:07-CV-02303-REB-KLM)
Submitted on the briefs: *
Mark Jordan, Pro Se.
John F. Walsh, United States Attorney, Hayley Elizabeth Reynolds, Assistant
United States Attorney, Denver, Colorado, for Defendants-Appellees.
Before KELLY, Circuit Judge, PORFILIO, Senior Circuit Judge, and
MATHESON, Circuit Judge.
*
After examining the briefs and appellate record, this panel has determined
unanimously to grant the parties’ request for a decision on the briefs without oral
argument. See Fed. R. App. P. 34(f); 10th Cir. R. 34.1(G). The case is therefore
ordered submitted without oral argument.
KELLY, Circuit Judge.
Mark Jordan brought this action pro se, raising claims under the Freedom
of Information Act (FOIA), 5 U.S.C. § 552, and the Privacy Act, 5 U.S.C. § 552a.
The district court entered judgment in favor of defendants United States
Department of Justice (DOJ) and Federal Bureau of Prisons (BOP or Bureau).
Mr. Jordan appeals. We have jurisdiction under 28 U.S.C. § 1291 and affirm.
BACKGROUND
Mr. Jordan was convicted of multiple armed robberies in 1994 and the
stabbing death of a fellow inmate in 1999. See United States v. Jordan, 485 F.3d
1214, 1216 (10th Cir. 2007). When he filed this action, he was imprisoned in
Florence, Colorado, at the United States Penitentiary Administrative Maximum
Facility, commonly known as the ADX or the Supermax. Mr. Jordan claimed that
defendants improperly denied eight separate requests for information he made
pursuant to the FOIA or the Privacy Act. The denials of three of those requests
are at issue in this appeal.
A. The agency denials
In the first request (Claim II in his complaint), Mr. Jordan asked that, under
the FOIA, the BOP “provide [him] with a complete list of staff names and titles
for all staff at the [Supermax].” R. at 284. The FOIA “requires federal agencies
-2-
to make Government records available to the public, subject to nine exemptions
for specific categories of material.” Milner v. Dep’t of the Navy, 131 S. Ct. 1259,
1261-62 (2011). The BOP denied Mr. Jordan’s Claim II request under
Exemption 7F, R. at 288, which applies to any “records or information compiled
for law enforcement purposes” that “could reasonably be expected to endanger the
life or physical safety of any individual,” 5 U.S.C. § 552(b)(7)(F). Mr. Jordan
appealed administratively to the DOJ’s Office of Information and Privacy (OIP),
which affirmed.
In the second request (Claim III in his complaint), Mr. Jordan invoked both
the FOIA and the Privacy Act in asking the BOP for “all documents in any and all
Bureau psychological and psychiatric files relating to [him] and promulgated or
dated January 1, 2004 through to the date of [his] request.” R. at 297. “The
Privacy Act generally allows individuals to gain access to government records on
them and to request correction of inaccurate records.” Gowan v. U.S. Dep’t of the
Air Force, 148 F.3d 1182, 1187 (10th Cir. 1998). The BOP released thirty-six
pages of documents to Mr. Jordan but redacted one paragraph based on FOIA
Exemptions 2 and 5. R. at 301-02. Exemption 2 applies to “matters that are . . .
related solely to the internal personnel rules and practices of an agency.”
5 U.S.C. § 552(b)(2). Exemption 5 applies to “matters that are . . . inter-agency
or intra-agency memorandums or letters which 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).
-3-
Mr. Jordan appealed to the OIP, which affirmed the withholding of the redacted
information under Exemption 2. R. at 312.
In the third request to the BOP (Claim IV in his complaint), Mr. Jordan
invoked the FOIA and the Privacy Act in seeking “a copy of all mail matter that
was sent to or from [him] and copied by staff at the ADX Florence.” Id. at 314.
The BOP identified 495 pages of copied correspondence but denied the request in
full under Exemptions 2, 7E, and 7F. R. at 318. Exemption 7E applies to any
“records or information compiled for law enforcement purposes” that “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 OIP affirmed under
Exemptions 2 and 7E. R. at 328.
B. The district court’s decision
In this action, Mr. Jordan sought an injunction requiring the BOP to release
the withheld material. The district court reached its final judgment by ruling on a
series of summary judgment motions and adopting the reports and
recommendations of a magistrate judge. As to Mr. Jordan’s Claim II request for
the Supermax staff roster, the magistrate judge concluded that defendants had to
disclose the roster but could redact the names of the employees under
Exemption 7F. Jordan v. U.S. Dep’t of Justice, No. 07-cv-02303-REB-KLM,
-4-
2010 WL 3023795, at *9 (D. Colo. Apr. 19, 2010) (Jordan II). The magistrate
judge determined that because the “BOP is a law enforcement agency,” the staff
roster was “‘compiled for law enforcement purposes,’” id. at *5 (quoting
§ 552(b)(7)), which is the “threshold requirement” for Exemption 7, John Doe
Agency v. John Doe Corp., 493 U.S. 146, 148 (1989). The magistrate judge
alternately “conclude[d] that the ADX staff roster is rationally related to the
furtherance of [the] BOP’s general law enforcement mission of protecting
inmates, staff, and the public,” Jordan II, 2010 WL 3023795, at *5, and therefore
was compiled for a law enforcement purpose. The magistrate judge then
determined that releasing the names of staff members “‘could reasonably be
expected to endanger the life or physical safety of any individual’” by exposing
them to threats, manipulation, and harm. Id. at *6 (quoting § 552(b)(7)(F)).
Regarding the Claim III request, defendants argued that the redacted
portion of Mr. Jordan’s psychological records were withheld because “the writer
included the subjective perception of another staff member, and advised all staff
regarding appropriate actions to take with regard to [Mr. Jordan].” Id. at 221.
The magistrate judge determined the redaction was exempt from disclosure under
a judicially crafted subdivision of Exemption 2 spawned in Crooker v. Bureau of
Alcohol, Tobacco & Firearms, 670 F.2d 1051 (D.C. Cir. 1981), that had come to
be known as “High 2.” Until the Supreme Court recently declared High 2 invalid,
-5-
see Milner, 131 S. Ct. at 1265 (discussed in more detail below), High 2 protected
from disclosure material that is “predominant[ly] internal[]” in nature “if
disclosure significantly risks circumvention of agency regulations or statutes,”
Crooker, 670 F.2d at 1074. 1 The magistrate judge rejected defendants’ argument
that the material was exempt under what had become known as “Low 2,” which
applies to an agency’s internal materials “concerning human resources and
employee relations,” Milner, 131 S. Ct. at 1263. The magistrate judge also
concluded that the redacted material was exempt from disclosure under a
provision of the Privacy Act, § 552a(j)(2)(C). Jordan v. U.S. Dep’t of Justice,
2009 WL 2913223, at *26-*27 (D. Colo. Sept. 8, 2009) (Jordan I). Section
552a(j)(2)(C) permits an agency that “performs as its principal function any
activity pertaining to the enforcement of criminal laws, including . . . the
activities of . . . correctional . . . authorities,” to promulgate rules exempting from
otherwise applicable Privacy Act requirements any “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.” The magistrate
judge concluded that the redacted material was contained in the BOP’s Inmate
Physical and Mental Health Record System, which is a system of records exempt
from Privacy Act disclosure requirements under a BOP regulation, 28 C.F.R.
1
Only the Second, Seventh, and Ninth Circuits had adopted Crooker’s
interpretation of Exemption 2 prior to Milner. See Milner, 131 S. Ct. at 1263.
-6-
§ 16.97(a)(6), and within the parameters of § 552a(j)(2)(C). See Jordan I,
2009 WL 2913223, at *26-*27.
As to Mr. Jordan’s Claim IV request for a copy of the mail the BOP copied,
the magistrate judge determined that the material was exempt from disclosure
under FOIA Exemption 7E and the Privacy Act. According to defendants, as part
of investigating potential violations of federal criminal law and BOP regulations
and policies within the ADX, the ADX’s Special Investigative Supervisor’s office
(SIS Office) copies items of prisoner correspondence thought to be of
investigative value. R. at 252, ¶¶ 56-57. Defendants argued, and the magistrate
judge agreed, that the copied mail constituted “records or information compiled
for law enforcement purposes,” § 552(b)(7), and that releasing the copied mail
would reveal “[t]he technique and procedure for determining which items were of
interest,” thereby enabling inmates to “circumvent staff’s efforts,” R. at 252, ¶ 57.
Accordingly, the magistrate judge concluded that the copied mail was protected
by Exemption 7E. Jordan I, 2009 WL 2913223, at *16. The magistrate judge
also concluded that the copied mail was maintained in the BOP’s Inmate Central
Records System, a system of records exempted from Privacy Act disclosure under
§ 552a(j)(2)(C) and 28 C.F.R. § 16.97(a)(4). See Jordan I, 2009 WL 2913223,
at *26-*27.
-7-
DISCUSSION
A. Standard of review
“In FOIA cases, the standard of review of a grant of summary judgment is
de novo, if the district court’s decision had an adequate factual basis.” Audubon
Soc’y v. U.S. Forest Serv., 104 F.3d 1201, 1203 (10th Cir. 1997). The parties do
not claim that the district court lacked an adequate factual basis, so our review is
de novo. See id. The agency bears the burden of demonstrating that a claimed
exemption applies. 5 U.S.C. § 552(a)(4)(B). We also review de novo the grant of
summary judgment on Privacy Act claims. Sussman v. U.S. Marshals Serv.,
494 F.3d 1106, 1111-12 (D.C. Cir. 2007). And because the district court granted
summary judgment, “we review the record and all reasonable inferences to be
drawn therefrom in the light most favorable to [Mr. Jordan].” Trentadue v.
Integrity Comm., 501 F.3d 1215, 1226 (10th Cir. 2007).
B. Exemption 7’s requirement that materials be
“compiled for law enforcement purposes”
Mr. Jordan’s first argument concerns the proper construction and
application of Exemption 7’s threshold requirement that materials be “records or
information compiled for law enforcement purposes.” 5 U.S.C. § 552(b)(7).
Mr. Jordan urges us to reject the two tests developed in other circuits (the “per se
rule” and the “rational nexus test”) and instead look to whether “the record or
information at issue was compiled for purposes of a statutorily mandated or
-8-
authorized agency proceeding taken in the course of enforcing a sanction under
the criminal or civil laws of the United States, as opposed to compilations related
to general operational, administrative, or managerial duties.” Aplt. Opening Br.
at 14. “In other words,” Mr. Jordan says, “the agency must show that the records
or information were compiled for purposes of actually enforcing a law, and not
merely in the course of operating under the law.” Id. (emphasis omitted). We
reject Mr. Jordan’s proposed formulation and instead adopt the per se rule.
1. Mr. Jordan’s proposed test
We construe the FOIA “broadly,” “in favor of disclosure,” and “its
exemptions are to be narrowly circumscribed.” Trentadue, 501 F.3d at 1226.
Even so, we reject Mr. Jordan’s proposed interpretation. The statute refers to
“law enforcement purposes,” not “law enforcement proceedings,” and it does not
mention anything about enforcing a sanction. The only reference to an
enforcement proceeding appears in § 552(b)(7)(A), which describes one of the six
possible harms to law enforcement purposes (“could reasonably be expected to
interfere with enforcement proceedings”) sufficient to withhold information under
Exemption 7 once the threshold law-enforcement-purposes requirement is met.
No “enforcement proceeding” is necessary “to satisfy the ‘law enforcement
purpose’ criterion.” Pratt v. Webster, 673 F.2d 408, 421 (D.C. Cir. 1982). We
also note that in his concurring opinion in Milner, Justice Alito explained that the
phrase “for law enforcement purposes” is broader than Mr. Jordan suggests: “The
-9-
ordinary understanding of law enforcement includes not just the investigation and
prosecution of offenses . . . but also proactive steps designed to prevent criminal
activity.” Milner, 131 S. Ct. at 1272. Thus, the phrase also “reasonably
encompasses information used to fulfill official security and crime prevention
duties.” Id.
2. The “per se rule” and the “rational nexus test”
Having rejected Mr. Jordan’s proposed interpretation of “compiled for law
enforcement purposes,” we next consider what test to use in evaluating
defendants’ reliance on Exemptions 7E and 7F. As noted, courts have developed
two approaches, neither of which this circuit has expressly adopted. Under the
“per se rule,” adopted by the First, Second, Sixth, and Eighth Circuits,
“documents compiled by law enforcement agencies ‘are inherently records
compiled for “law enforcement purposes” within the meaning of Exemption 7.’”
Trentadue, 501 F.3d at 1235 (quoting Curran v. Dep’t of Justice, 813 F.2d 473,
475 (1st Cir. 1987)). See also Jones v. FBI, 41 F.3d 238, 245-46 (6th Cir. 1994)
(adopting per se rule); Williams v. FBI, 730 F.2d 882, 883-86 (2d Cir. 1984)
(same); Kuehnert v. FBI, 620 F.2d 662, 666-67 (8th Cir. 1980) (same); Irons v.
Bell, 596 F.2d 468, 473-76 (1st Cir. 1979) (same).
The other approach, dubbed the “rational nexus test,” has been adopted by
the Third, Ninth, and District of Columbia Circuits. See, e.g., Abdelfattah v. U.S.
Dep’t of Homeland Sec., 488 F.3d 178, 184-86 (3d Cir. 2007); Pratt, 673 F.2d
-10-
at 419-21; Church of Scientology v. U.S. Dep’t of the Army, 611 F.2d 738, 748
(9th Cir. 1979). The application of the rational nexus test depends on whether
law enforcement is the primary function of the agency invoking Exemption 7; if it
is, then “‘a court can accept less exacting proof from such an agency that the
purpose underlying disputed documents is law enforcement.’” Tax Analysts v.
IRS, 294 F.3d 71, 77 (D.C. Cir. 2002) (quoting Pratt, 673 F.2d at 418). Under
this deferential approach, a law enforcement agency must establish a rational
nexus between the records or information it seeks to withhold and “its authority to
enforce a statute or regulation.” Abdelfattah, 488 F.3d at 186. But if the primary
function of an agency is not law enforcement, then the agency “must demonstrate
that it had a purpose falling within its sphere of enforcement authority in
compiling the particular document.” Church of Scientology, 611 F.2d at 748. 2
2
Our summary of the rational nexus test would be incomplete without
pointing out that a number of cases reference an “investigation” when discussing
that test. See, e.g., Campbell v. U.S. Dep’t of Justice, 164 F.3d 20, 32 (D.C. Cir.
1998) (requiring a law enforcement agency to “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’”) (citation omitted) (quoting Pratt, 673 F.2d at 420).
However, the 1986 amendments to the FOIA broadened the scope of
Exemption 7’s threshold requirement beyond investigatory records. Formerly,
“Exemption 7 required a threshold showing that the materials in question were
‘investigatory records compiled for law enforcement purposes.’” Tax Analysts,
294 F.3d at 79 (emphasis added) (quoting 5 U.S.C. § 552(b)(7) (1982)). The
1986 amendments deleted the word “investigatory,” and changed the language to
“records or information compiled for law enforcement purposes.” By deleting the
(continued...)
-11-
Although Mr. Jordan opposes the application of either test because each
turns on the nature of the agency involved, he argues that, of the two, the more
stringent arm of the rational nexus test applies to the BOP because it is a “mixed
function” agency, that is, one with both law enforcement and administrative
purposes. As we proceed to discuss, we disagree that the BOP is a “mixed
function agency,” and we conclude that the per se rule is the proper approach. 3
3. The BOP is primarily a law enforcement agency
There appears to be no defined test for determining whether an agency is
primarily a law enforcement agency. To our knowledge, only one circuit court,
Duffin v. Carlson, 636 F.2d 709, 713 (D.C. Cir. 1980), has identified the BOP as
“a criminal law enforcement authority” for Exemption 7 purposes. Duffin does
2
(...continued)
word “investigatory,” Exemption 7 now applies to “internal agency materials . . .
even when the materials have not been compiled in the course of a specific
investigation.” Id. Thus, although an investigation is no longer required, those
cases requiring an investigation as part of an agency’s burden with regard to
Exemption 7’s threshold requirement that materials be “records or information
compiled for law enforcement purposes” appear to be “good law” when an
investigation is in fact involved. See id. at 78; see also Abdelfattah, 488 F.3d
at 185 (rejecting prior circuit requirement of an investigation as dicta because an
investigation was in fact involved, and recognizing Exemption 7’s broader reach
after the 1986 amendments).
3
The magistrate judge decided that under either test, the staff roster was
properly withheld, Jordan II, 2010 WL 3023795, at *5, but appears to have
applied the rational nexus test to the withholding of Mr. Jordan’s mail under
Exemption 7F, see Jordan I, 2009 WL at *15 (finding there to be “no reasonable
dispute” that the BOP copies certain pieces of inmate correspondence for a law
enforcement purpose).
-12-
not contain a detailed analysis on the point, but the court recognized that
“[p]risons perform as their principal function one of the most important duties
pertaining to the enforcement of criminal laws, i.e., the execution of sentences in
criminal cases.” Id. Our review of various statutory mandates cause us to agree
with the Duffin court’s conclusion.
The BOP is an integral component of a comprehensive federal law
enforcement system. By statute the BOP is tasked with, among other things, “the
management and regulation of all Federal penal and correctional institutions,”
18 U.S.C. § 4042(a)(1), and “provid[ing] suitable quarters and provid[ing] for the
safekeeping, care, and subsistence of all persons charged with or convicted of
offenses against the United States, or held as witnesses or otherwise,”
id. § 4042(a)(2). Implicit in these tasks is the plain fact that the BOP’s primary
purpose is to confine prisoners and prevent their escape. Under 18 U.S.C.
§ 3050(1), BOP officers and employees are authorized to “make arrests” for
violations of several statutory sections describing “escape” offenses, specifically,
18 U.S.C. §§ 751 and 752, and 28 U.S.C. § 1826(c). There can be no doubt that
making arrests is a law enforcement function. Moreover, because escape is a
criminal act, preventing it constitutes enforcement of the law. Cf. Milner,
131 S. Ct. at 1272 (Alito, J., concurring) (“law enforcement includes . . .
proactive steps designed to prevent criminal activity”). In addition to its primary
law enforcement functions relating to escape, BOP officers perform other basic
-13-
law enforcement functions within BOP facilities, including making arrests for
other criminal offenses, see 18 U.S.C. § 3050(1)-(3); seizing prison contraband,
see id. § 4012; and performing searches of non-inmates, see 28 C.F.R. §§ 511.10
to 511.16, and inmates, see id. §§ 552.10 to 552.14.
Our conclusion that the BOP is primarily a “law enforcement agency”
rather than a “mixed-function” agency is bolstered by the Privacy Act, where
Congress designated that “an agency or component thereof which performs as its
principal function any activity pertaining to the enforcement of criminal laws”
includes “correctional authorities.” 5 U.S.C. § 552a(j)(2). In approving this
designation, the Duffin court observed that, as a law enforcement agency, “prison
authorities also necessarily have the obligation . . . to impose discipline for
violation of the criminal laws and prison regulations by convicted prisoners who
are confined in their custody. To do this the prison must investigate and maintain
sources of intelligence. In so acting prisons perform law enforcement functions.”
Duffin, 636 F.2d at 713.
Further support for our conclusion can be found in statutes that designate
BOP employees as law enforcement officers for purposes of federal retirement
benefits. For example, 5 U.S.C. § 8331(20) defines “law enforcement officer” as
“an employee, the duties of whose position are primarily the investigation,
apprehension, or detention of individuals suspected or convicted of offenses
against the criminal laws of the United States.” The definition specifically
-14-
includes “employees of the Bureau of Prisons.” Id. § 8331(20)(A). See also
5 U.S.C. § 8401(17)(D)(i) (providing similar definition of “law enforcement
officer” for Federal Employee Retirement Services benefits).
Based on the foregoing analysis, we hold that the BOP is primarily a “law
enforcement agency” for purposes of FOIA analysis.
4. The per se rule is the proper approach
Having concluded that the BOP is primarily a law enforcement agency for
FOIA purposes, we now consider whether to apply the per se rule, the deferential
branch of the rational nexus test, or some other test. We conclude that the per se
rule is the proper approach.
The per se rule was developed in Irons v. Bell, 596 F.2d 468 (1st Cir.
1979), a case involving the FBI’s withholding of documents under a portion of
Exemption 7D that protects information that “could reasonably be expected to
disclose the identity of a confidential source,” § 552(b)(7)(D). The district court
had held that the FBI’s affidavit was insufficient to establish a law enforcement
purpose for each of the requested documents. In reversing, the First Circuit
concluded that, “[a]t best, we glean that the requirement of a law enforcement
purpose serves as a condition on Exemption 7 when an agency has both
administrative and enforcement functions.” Id. at 473. The court “not[ed] that
the FOIA exemptions that do not purport to require investigations or law
enforcement purpose deal with types of material likely to be found anywhere
-15-
within government records.” Id. In comparison, the court observed, Exemption 7
“contains a long list of types of material likely to be found in the files of law
enforcement agencies like the FBI, the disclosure of which would undoubtedly be
harmful, especially if it was compiled by a law enforcement agency.” Id. The
Irons court identified a dual purpose in “[t]he character of the materials excluded
under Exemption 7” that “at least suggests that ‘law enforcement purpose’ is as
much a description of the type of agency the exemption is aimed at as it is a
condition on the use of the exemption by agencies having administrative as well
as civil enforcement duties.” Id. at 474.
We find this analysis persuasive. Further, as aptly summarized by the
Eighth Circuit’s adoption of the per se rule in Kuehnert, the Irons court provided
three policy reasons supporting its construction of Exemption 7’s “law
enforcement purposes” requirement:
First, the court observed that if the unjustified nature of an FBI
investigation made exemption 7 inapplicable, material constituting an
unwarranted invasion of personal privacy would be subject to
disclosure, with resultant harm to innocent individuals. [Irons,
596 F.2d] at 474. Second, “the loss of Exemption 7 due to
unwarranted FBI activity would cost the society the cooperation of
those who give the FBI information under an express assurance of
confidentiality,” without any concomitant benefit. Id. Third,
interpreting the statute to require a showing of bona fide law
enforcement purposes would force on district courts the
unmanageable burden of “second or third guessing the judgment of a
Special Agent in Charge that an investigation was warranted.” Id.
We find all these concerns pertinent and compelling here.
Kuehnert, 620 F.2d at 666 n.9 (brackets omitted).
-16-
In Williams v. FBI, the Second Circuit followed Irons and Kuehnert, see
Williams, 730 F.2d at 886, and provided perhaps the most compelling argument in
favor of the per se rule. The Williams court pointed out that originally,
Exemption 7, in its entirety, rendered the FOIA’s disclosure requirements
inapplicable to “investigatory files compiled for law enforcement purposes except
to the extent available by law to a party other than an agency.” 5 U.S.C.
§ 552(b)(7) (1964 Supp. III). “This broad language was adopted because
Congress believed that ‘it is necessary for the very operation of our Government
to allow it to keep confidential certain material such as the investigatory files of
the [FBI].’” Williams, 730 F.2d at 884 (brackets and ellipsis omitted) (quoting
S. Rep. No. 89-813, at 3 (1965)).
In 1974, out of concern that courts were permitting withholding of files
simply classified as “investigatory files compiled for law enforcement purposes,”
Congress modified Exemption 7 in two ways. Id. It replaced the word “files”
with “records,” and it created the six categories of exempt law enforcement
records set out in § 552(b)(7)(A)-(F). Id. at 884. In so doing, Congress did not
“indicate[] that it intended to modify [prior court decisions that] treated the
phrase [“compiled for law enforcement purposes”] as a broad, descriptive
classification, the use of which was largely determined by the agency in
question.” Id. But it did “radically change[] the phrase’s function. Before the
amendments, the phrase itself served as a complete shield against release of such
-17-
information. After the amendments, disclosure of such information is required
except where the limited subcategories of (A)-(F) apply.” Id.
Following on Irons, Kuehnert, and Williams, the Sixth Circuit in Jones v.
FBI agreed that the 1974 creation of Exemption 7’s six specifically exempt
categories of information (i.e,, § 552(b)(7)(A) through (b)(7)(F)) was “the
principal means for narrowing the law enforcement exemption” that previously
had been criticized as overbroad. 41 F.3d at 246. In rejecting the D.C. Circuit’s
rational nexus test, which was in part based on the overbreadth concern, see Pratt,
673 F.2d at 417-18, the Jones court was “persuaded that the amendments did not
intend to make the law enforcement threshold the principal enforcer of this policy
[against overbroad withholding].” 41 F.3d at 246. “The concern about overbroad
withholding,” the court concluded, “should therefore be addressed by proper
scrutiny of the claimed exemptions themselves and not by use of a blunt
instrument at the threshold which would harm the other policies Congress deemed
important.” Id.
In sum, we consider the analysis and holdings of Irons, Kuehnert, Williams,
and Jones compelling and therefore adopt the per se rule. We add that, although
the development of the per se rule was based, at least in part, on Exemption 7’s
former use of the term “investigatory records,” the deletion of the word
“investigatory” from the statute in 1986 broadened the scope of the exemption, as
discussed above. Plainly, for an agency like the BOP, whose primary function is
-18-
law enforcement, all records and information it compiles are in furtherance of its
law enforcement function and therefore may be withheld from disclosure under
Exemption 7 provided that the agency carries its burden of establishing that
release would cause one or more of the harms enumerated in § 552(b)(7)(A)
through (b)(7)(F). Accordingly, we hold that under the per se rule, all records
and information compiled by an agency, as defined in the FOIA, see 5 U.S.C.
§§ 551(1), 552(f)(1), 4 whose primary function is law enforcement, are “compiled
for law enforcement purposes” for purposes of Exemption 7. 5 Consequently,
because the BOP is primarily a law enforcement agency, the records and
information for which the BOP invoked Exemption 7 (the Supermax roster and
the copies of Mr. Jordan’s mail) were “compiled for law enforcement purposes.”
4
Under § 551(1), which applies to the FOIA, “‘agency’ means each authority
of the Government of the United States, whether or not it is within or subject to
review by another agency.” Section 552(f)(1) in turn provides that “‘agency’ as
defined in section 551(1) of this title includes any executive department, military
department, Government corporation, Government controlled corporation, or
other establishment in the executive branch of the Government (including the
Executive Office of the President), or any independent regulatory agency.”
5
The per se rule still permits agencies whose primary function is not law
enforcement to rely on Exemption 7. See Irons, 596 F.2d at 473 (“At best, we
glean that the requirement of a law enforcement purpose serves as a condition on
Exemption 7 when an agency has both administrative and enforcement
functions.”). However, they will not benefit from the per se rule, and we advance
no theory as to what burden such agencies bear in establishing that records or
information were compiled for law enforcement purposes.
-19-
C. Claim II and Claim IV requests under Exemptions 7E and 7F
Having decided that the Supermax staff roster and the copies of select
pieces of Mr. Jordan’s mail meet Exemption 7’s threshold “law enforcement
purposes” requirement under the per se test, we turn to the specific portions of
Exemption 7 the BOP relied on in withholding these records. We will first
address the Supermax staff roster.
1. Claim II: the Supermax roster and Exemption 7F
The BOP invoked Exemption 7F in withholding the Supermax staff roster.
As noted, the magistrate judge concluded that the BOP had to release the roster
but with staff members’ names redacted on the ground that releasing staff names
“could reasonably be expected to endanger the life or physical safety of any
individual,” 5 U.S.C. § 552(b)(7)(F), by exposing them to threats, manipulation,
and harm. See Jordan II, 2010 WL 3023795, at *6, *9. On appeal, Mr. Jordan
first argues that a provision of BOP Program Statement 1351.05 (2002), which
establishes procedures for the release of records under the FOIA and the Privacy
Act, forecloses reliance on Exemption 7F with respect to the roster. That
provision states: “A list of Bureau employees may be generally releasable.”
R. at 435 (Program Statement 1351.05, Pt. One, § 9.c.). Mr. Jordan argues that
the BOP is compelled to abide by its Program Statement. The difficulty with
Mr. Jordan’s argument is its disregard of another provision in the Program
Statement permitting BOP staff to “assert any applicable exemption to disclosure
-20-
which is provided under the FOIA.” Id. at 429 (Program Statement 1351.05,
Pt. One, § 7.c.). Thus, the Program Statement permits, rather than forecloses, the
assertion of Exemption 7F.
Mr. Jordan also notes that in Maydak v. United States Department of
Justice, 362 F. Supp. 2d 316 (D.D.C. 2005), the district court “found exemption
[7F] inapplicable to shield BOP staff names.” Aplt. Br. at 22. Aside from being
nonbinding on this court, Maydak is clearly distinguishable. The Maydak court
ordered the release of BOP staff names for two reasons, neither of which is
applicable here. First, the BOP failed to establish Exemption 7’s threshold
requirement that the names were contained in a record compiled for law
enforcement purposes. Maydak, 362 F. Supp. 2d at 323. Here we have concluded
to the contrary in our adoption of the per se rule. Second, the BOP admitted to
having a policy of releasing staff names, titles, and salaries to the general public
but not to prisoners, and the Maydak court concluded that “an agency cannot base
its disclosure decisions on the identity of the requester or the purpose of the
request.” Id. Here, there is no indication that the BOP releases the names of
Supermax staff to the general public but not to inmates. Accordingly, Maydak is
-21-
not persuasive. 6 Hence, we conclude that the BOP met its burden under
Exemption 7F.
2. Claim IV: copies of Mr. Jordan’s mail and Exemption 7E
The BOP relied on Exemption 7E to withhold 495 pages of Mr. Jordan’s
mail the SIS Office had copied. Again, Exemption 7E applies if the release of
records or information compiled for law enforcement purposes “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 BOP argued that releasing the copied mail would
reveal “[t]he technique and procedure used for determining which items [are] of
interest,” thereby enabling inmates to “circumvent staff’s efforts.” R. at 252,
¶ 57.
Mr. Jordan argues that the BOP’s own evidence contradicts its rationale.
He points to a statement in the affidavit of a BOP paralegal that “[w]hat is copied
and placed in the information file is at the discretion of the SIS Technician
reviewing the mail and is based on his or her professional judgment and
experience.” Id. at 500-01, ¶ 8. Mr. Jordan claims this statement shows there is
6
We do not consider defendants’ alternate arguments, raised for the first
time on appeal, that the Supermax Roster was properly withheld under
Exemptions 2 and 6.
-22-
no technique or procedure used for determining which mail items are of
interest—that is, it is left to individual discretion—and therefore any concern
about circumvention of the law is unreasonable. He also argues that to the extent
the technician’s judgment and experience is a technique or procedure, it is now
publicly known and therefore cannot be shielded under Exemption 7F.
It does not appear that Mr. Jordan advanced these theories in the district
court. The paralegal’s affidavit was submitted in response to a court order that, in
relevant part, requested a supplemental affidavit addressing the scope of the
search for documents responsive to Claim IV. Id. at 496. In his response to the
supplemental affidavit, Mr. Jordan argued that defendants failed to show that the
technician’s discretion was “exercised parcel to or exclusively parcel to any law
enforcement proceeding, or otherwise and more importantly connect any of the
withheld documents/information to any law enforcement purpose or proceeding.”
Id. at 516-17. Accordingly, Jordan forfeited his new theories on this issue. See
Richison v. Ernest Group, Inc., 634 F.3d 1123, 1128 (10th Cir. 2011) (explaining
that a theory is forfeited when a party simply fails to present it to the district
court). When a matter is forfeited, we may review for plain error, but that review
is limited to whether there was “a clear legal error that implicates a miscarriage of
justice.” Id. Mr. Jordan has not addressed the belated nature of his new theories,
let alone argued for plain-error review, which “surely marks the end of the road
for an argument for reversal not first presented to the district court.” Id. at 1131.
-23-
D. Claim III: psychological records and Exemption “High 2”
We now turn to the final FOIA claim in this appeal, the BOP’s reliance on
Exemption “High 2” in redacting one paragraph of Mr. Jordan’s psychological
records that allegedly “included the subjective perception of another staff
member, and advised all staff regarding appropriate actions to take with regard to
[Mr. Jordan].” R. at 221. As noted above, by statute, Exemption 2 applies to
“matters that are . . . related solely to the internal personnel rules and practices of
an agency.” 5 U.S.C. § 552(b)(2). Exemption “High 2” was a judicially crafted
subdivision of Exemption 2 that protected from disclosure material that is
“predominant[ly] internal[]” in nature “if disclosure significantly risks
circumvention of agency regulations or statutes.” Crooker, 670 F.2d at 1074.
Exemption High 2 recently met its demise in Milner, which was issued after the
district court’s judgment in this case. In Milner, the Court explained that
Exemption 2 is limited to “conditions of employment in federal agencies—such
matters as hiring and firing, work rules and discipline, compensation and
benefits.” 131 S. Ct. at 1265. The Court made clear that “Low 2 is all of 2 (and
. . . High 2 is not 2 at all . . . ).” Id.
Defendants concede, as they must, that in light of Milner, High 2 cannot
justify withholding the redacted paragraph of Mr. Jordan’s psychological record
because the redaction does not concern conditions of employment in a federal
agency. They urge us, however, to consider Exemptions 7E and 7F, even though
-24-
they did not rely on those exemptions in the district court. They argue that under
our precedent, see, e.g., Bixler v. Foster, 596 F.3d 751, 760 (10th Cir. 2010), we
may affirm on any basis supported by the record. In the alternative, defendants
ask us to remand for further development of the record in light of Milner.
Mr. Jordan, relying primarily on Maydak v. United States Department of Justice,
218 F.3d 760, 764-65 (D.C. Cir. 2000) and Ryan v. Department of Justice,
617 F.2d 781, 792 (D.C. Cir. 1980), counters that defendants have waived any
exemptions they did not advance in the district court. He argues that it would be
especially unfair to consider Exemptions 7E and 7F in view of the fact that he
never had the opportunity to argue or present evidence against these exemptions.
He also contends remand would be improper because Milner did not effect a
change in the law; it merely clarified which of two competing circuit-court
interpretations of Exemption 2 was proper.
While Mr. Jordan’s position is not without some force, two factors cause us
to side with defendants on this point as to Exemption 7E only. First, in Milner,
the Court “[could not] think of any document eligible for withholding under
Exemption 7(E) that the High 2 reading does not capture: The circumvention
standard is the same, and the law enforcement records listed in Exemption 7(E)
are ‘predominantly internal.’” Milner, 131 S. Ct. at 1268. Thus, Exemption 7E is
essentially the same as former High 2, with the added requirement that material
be “compiled for law enforcement purposes.” As defendants argued for both
-25-
High 2 and the “per se rule” in the district court, they effectively presented all
elements of Exemption 7E. Mr. Jordan had ample opportunity in the district court
and again on appeal to address the circumvention aspect of High 2 and the “law
enforcement purposes” requirement of Exemption 7. Therefore, we do not
consider that defendants waived or forfeited Exemption 7E.
The second factor that counsels in favor of considering defendants’
Exemption 7E argument is our “reluctance to command do-overs in the district
court.” Richison, 634 F.3d at 1130. This reluctance is “why we treat arguments
for affirming the district court differently than arguments for reversing it. We
have long said that we may affirm on any basis supported by the record, even if it
requires ruling on arguments not reached by the district court or even presented to
us on appeal.” Id. See also SEC v. Chenery Corp., 318 U.S. 80, 88 (1943) (“[I]n
reviewing the decision of a lower court, it must be affirmed if the result is correct
although the lower court relied upon a wrong ground or gave a wrong reason.”
(internal quotation marks omitted)). Thus, we may affirm on an alternate legal
ground instead of sending the case back to the district court to do the work
provided that the alternate “ground [is] within [our] power . . . to formulate,” id.
and the opposing party has had a fair chance to address it, Reedy v. Werholz,
660 F.3d 1270, 1276 (10th Cir. 2011). Here, based on our view that the
defendants presented, and Mr. Jordan disputed, all of the elements of
Exemption 7E in the district court, it is within our power to consider
-26-
Exemption 7E on appeal in lieu of the now-defunct “High 2” exemption. We will
not consider Exemption 7F, as the same considerations are not present with regard
to it.
Turning then to Exemption 7E, we conclude that the redacted portion of
Mr. Jordan’s psychological records falls within its compass. Under our per se
rule, the redaction meets Exemption 7’s threshold requirement of being “compiled
for law enforcement purposes.” Furthermore, defendants have satisfied the
particular requirement of Exemption 7E by showing that releasing the redaction
“would disclose techniques 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.”
§ 552(b)(7)(E). Clearly, given that the redacted portion “advised all staff
regarding appropriate actions to take with regard to [Mr. Jordan],” R. at 221, a
dangerous prisoner with a history of threatening staff with bodily harm, see
Jordan v. Wiley, 411 F. App’x 201, 204 (10th Cir. Feb. 9, 2011), its release would
disclose guidelines for a potential law enforcement investigation by giving
information BOP staff would be likely to use in investigating Mr. Jordan’s
conduct while incarcerated. Further, knowing BOP strategy could make it easier
for Mr. Jordan to subvert it, which “could reasonably be expected to risk
circumvention of the law” given his history of violence and violent threats.
-27-
E. Privacy Act rulings
We now turn to Mr. Jordan’s arguments concerning the district court’s
rulings that his requests for the redacted portion of his psychological file and for
the copied mail are exempt from disclosure under the Privacy Act. The BOP
maintained Mr. Jordan’s psychological records in its Inmate Physical and Mental
Health Record System and the copies of his correspondence in its Inmate Central
Records System. The magistrate judge concluded that these records were exempt
from Privacy Act disclosure because, in 28 C.F.R. § 16.97(a), the BOP has
declared the file systems in which they were maintained exempt from disclosure
“to the extent that information in [those] systems is subject to exemption pursuant
to 5 U.S.C. § 552a(j).”
Mr. Jordan claims the district court reached its conclusion based on the
simple fact that the BOP has by regulation exempted from Privacy Act disclosure
the file systems in which it keeps his psychological records and the copied mail.
He argues that under the BOP’s own regulation, the district court was required to
evaluate whether those records are exempt under § 552a(j) but failed to do so. He
also argues that the records are not exempt under § 552a(j).
We disagree with both arguments. First, the magistrate judge explicitly
considered § 552a(j), stating that
because [the psychological records and copied mail] were generated
during [Mr. Jordan’s] incarceration in federal prison, they are subject
to exemption pursuant to 5 U.S.C. § 552a(j)(2), which allows
-28-
agencies to exempt “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.”
Jordan I, 2009 WL 2913223 at *27 (quoting § 552a(j)(2)(C)). Thus, the
magistrate judge’s conclusion was not based on the mere fact that Mr. Jordan’s
psychological records and copied mail were contained in an exempt file system.
Second, Mr. Jordan’s psychological records and copied mail are exempt
under § 552a(j)(2)(C) because they are “identifiable” to Mr. Jordan and were
“compiled” during his incarceration. 7 Mr. Jordan argues that his psychological
records and copied mail are not “reports” and were not “compiled in the process
enforcing the criminal laws,” as required by § 552a(j)(2)(C). The first part of this
argument is wholly conclusory, lacking any development or support for his
interpretation of the word “reports.” The second part of this argument cannot
stand in view of our FOIA conclusion that these records were compiled for law
enforcement purposes.
Mr. Jordan also argues that a BOP regulation, 28 C.F.R. § 513.40, permits
disclosure of mail, general correspondence, and other records maintained in a
prisoner’s Inmate Central File, suggesting that the BOP may not withhold such
items under the Privacy Act. This argument overlooks the fact that § 513.40 is
permissive, not mandatory; it makes such items “[d]isclosable” without recourse
7
Section 552a(j) provides other exemptions, but defendants do not argue that
they apply.
-29-
to certain “FOIA procedures.” Id. The regulation further provides that “[i]f any
information is withheld from the inmate, staff will provide the inmate with a
general description of that information and also will notify the inmate that he or
she may file a FOIA request.” Id. (emphasis added). Thus, § 513.40 does little to
abnegate the BOP’s ability to exempt mail and general correspondence
maintained in its Inmate Central File under § 552a(j) and 28 C.F.R. § 16.97(a).
Mr. Jordan makes a similar argument with regard to his redacted
psychological records and BOP regulation 28 C.F.R. § 513.42. However, the
regulation clearly permits BOP staff to withhold an inmate’s medical records
containing “subjective evaluations of medical staff relating to the inmate’s care
and treatment” if it determines that release “would present a harm to either the
inmate or other individuals.” 28 C.F.R. § 513.42(c), (d). If dissatisfied with a
refusal to release medical records, an inmate can initiate a “formal request for the
withheld documents.” Id. § 513.42(d). Like § 513.40, this regulation does not
limit the BOP’s ability to exempt medical records contained in its Inmate Physical
and Mental Health Record System under 5 U.S.C. § 552a(j) and 28 C.F.R.
§ 16.97(a).
AFFIRMED. Mr. Jordan’s motion for leave to proceed on appeal without
prepayment of costs or fees is granted. Mr. Jordan is reminded of his obligation
to continue making monthly payments until the filing fee is paid in full.
-30-