After appellant had resigned as President of the United States,
he executed a depository agreement with the Administrator of
General Services that provided for the storage near appellant's
California home of Presidential materials (an estimated 42 million
pages of documents and 880 tape recordings) accumulated during
appellant's terms of office. Under this agreement, neither
appellant nor the General Services Administration (GSA) could gain
access to the materials without the other's consent. Appellant was
not to withdraw any original writing for three years, although he
could make and withdraw copies. After the initial three-year
period, he could withdraw any of the materials except tape
recordings. With respect to the tape recordings, appellant agreed
not to withdraw the originals for five years, and to make
reproductions only by mutual agreement. Following this five-year
period, the Administrator would destroy such tapes as appellant
directed, and all of the tapes were to be destroyed at appellant's
death or after the expiration of 10 years, whichever occurred
first. Shortly after the public announcement of this agreement, a
bill was introduced in Congress designed to abrogate it, and, about
three months later, this bill was enacted as the Presidential
Recordings and Materials Preservation Act (Act), and was signed
into law by President Ford. The Act directs the Administrator of
GSA to take custody of appellant's Presidential materials and have
them screened by Government archivists in order to return to
appellant those personal and private in nature and to preserve
those having historical value and to make the materials available
for use in judicial proceedings subject to "any rights, defenses or
privileges which the Federal Government or any person may invoke."
The Administrator is also directed to promulgate regulations to
govern eventual public access to some of the materials. These
regulations must take into account seven guidelines specified by §
104(a) of the Act, including,
inter alia, the need to
protect any person's opportunity to assert any legally or
constitutionally based right or privilege and the need to return to
appellant or his family materials that are personal and private in
nature. No such public access regulations have yet become
effective. The day after the
Page 433 U. S. 426
Act was signed into law, appellant filed an action in District
Court challenging the Act's constitutionality on the grounds,
inter alia, that, on its face, it violates (1) the
principle of separation of powers; (2) the Presidential privilege;
(3) appellant's privacy interests; (4) his First Amendment
associational rights; and (5) the Bill of Attainder Clause, and
seeking declaratory and injunctive relief against enforcement of
the Act. Concluding that, since no public access regulations had
yet taken effect, it could consider only the injury to appellant's
constitutionally protected interests allegedly caused by the taking
of the Presidential materials into custody and their screening by
Government archivists, the District Court held that appellant's
constitutional challenges were without merit, and dismissed the
complaint.
Held:
1. The Act does not, on its face, violate the principle of
separation of powers. Pp.
433 U. S.
441-446.
(a) The Act's regulation of the Executive Branch's function in
the control of the disposition of Presidential materials does not,
in itself, violate such principle, since the Executive Branch
became a party to the Act's regulation when President Ford signed
the Act into law and President Carter's administration, acting
through the Solicitor General, urged affirmance of the District
Court's judgment. Moreover, the function remains in the Executive
Branch in the person of the GSA Administrator and the Government
archivists, employees of that branch. P.
433 U. S.
441.
(b) The separate powers were not intended to operate with
absolute independence, but, in determining whether the Act violates
the separation of powers principle, the proper inquiry requires
analysis of the extent to which the Act prevents the Executive
Branch from accomplishing its constitutionally assigned functions,
and only where the potential for disruption is present must it then
be determined whether that impact is justified by an overriding
need to promote objectives within Congress' constitutional
authority. Pp.
433 U. S.
441-443.
(c) There is nothing in the Act rendering it unduly disruptive
of the Executive Branch, since that branch remains in full control
of the Presidential materials, the Act being facially designed to
ensure that the materials can be released only when release is not
barred by privileges inhering in that branch. Pp.
433 U. S.
443-446.
2. Neither does the Act, on its face, violate the Presidential
privilege of confidentiality. Pp.
433 U. S.
446-455.
(a) In view of the specific directions to the GSA Administrator
in § 104(a) of the Act to take into account, in determining public
access to the materials, "the need to protect any party's
opportunity to assert any constitutionally based right or
privilege," and the need to return to
Page 433 U. S. 427
appellant his purely private materials, there is no reason to
believe that the restrictions on public access ultimately
established by regulation will not be adequate to preserve
executive confidentiality. Pp.
433 U. S.
449-451.
(b) The mere screening of the materials by Government
archivists, who have previously performed the identical task for
other former Presidents without any suggestion that such activity
in any way interfered with executive confidentiality, will not
impermissibly interfere with candid communication of views by
Presidential advisers, and will be no more of an intrusion into
Presidential confidentiality than the
in camera inspection
by the District Court approved in
United States v. Nixon,
418 U. S. 683. Pp.
433 U. S.
451-452.
(c) Given the safeguards built into the Act to prevent
disclosure of materials that implicate Presidential
confidentiality, the requirement that appellant's personal and
private materials be returned to him, and the minimal nature of the
intrusion into the confidentiality of the Presidency resulting from
the archivists' viewing such materials in the course of their
screening process, the claims of Presidential privilege must yield
to the important congressional purposes of preserving appellant's
Presidential materials and maintaining access to them for lawful
governmental and historical purposes. Pp.
433 U. S.
452-454.
3. The Act does not unconstitutionally invade appellant's right
of privacy. While he has a legitimate expectation of privacy in his
personal communications, the constitutionality of the Act must be
viewed in the context of the limited intrusion of the screening
process, of appellant's status as a public figure, his lack of
expectation of privacy in the overwhelming majority of the
materials (he having conceded that he saw no more than 200,000
items), and the virtual impossibility of segregating the apparently
small quantity of private materials without comprehensive
screening. When this is combined with the Act's sensitivity to
appellant's legitimate privacy interests, the unblemished record of
the archivists for discretion, and the likelihood that the public
access regulations to be promulgated will further moot appellant's
fears that his materials will be reviewed by "a host of persons,"
it is apparent that appellant's privacy claim has no merit. Pp.
433 U. S.
455-465.
4. The Act does not significantly interfere with or chill
appellant's First Amendment associational rights. His First
Amendment claim is clearly outweighed by the compelling
governmental interests promoted by the Act in preserving the
materials. Since archival screening is the least restrictive means
of identifying the materials to be returned to appellant, the
burden of that screening is the measure of the First Amendment
claim, and any such burden is speculative in light of the Act's
provisions protecting appellant from improper public
disclosures
Page 433 U. S. 428
and guaranteeing him full judicial review before any public
access is permitted. Pp.
433 U. S.
465-468.
5. The Act does not violate the Bill of Attainder Clause. Pp.
433 U. S.
468-484.
(a) However expansive is the prohibition against bills of
attainder, it was not intended to serve as a variant of the Equal
Protection Clause, invalidating every Act by Congress or the States
that burdens some persons or groups but not all other plausible
individuals. While the Bill of Attainder Clause serves as an
important bulwark against tyranny, it does not do so by limiting
Congress to the choice of legislating for the universe, or
legislating only benefits, or not legislating at all. Pp.
433 U. S.
468-471.
(b) The Act's specificity in referring to appellant by name does
not automatically offend the Bill of Attainder Clause. Since, at
the time of the Act's passage, Congress was only concerned with the
preservation of appellant's materials, the papers of former
Presidents already being housed in libraries, appellant constituted
a legitimate class of one, and this alone can justify Congress'
decision to proceed with dispatch with respect to his materials
while accepting the status of his predecessors' papers and ordering
in the Public Documents Act the further consideration of
generalized standards to govern his successors. Pp.
433 U. S.
471-472.
(c) Congress, by lodging appellant's materials in the GSA's
custody pending their screening by Government archivists and the
promulgation of further regulations, did not "inflict punishment"
within the historical meaning of bills of attainder. Pp.
433 U. S.
473-475.
(d) Evaluated in terms of Congress' asserted proper purposes of
the Act to preserve the availability of judicial evidence and
historically relevant materials, the Act is one of nonpunitive
legislative policymaking, and there is no evidence in the
legislative history or in the provisions of the Act showing a
congressional intent to punish appellant. Pp.
433 U. S.
475-484.
408 F.
Supp. 321, affirmed.
BRENNAN, J., delivered the opinion of the Court, in which
STEWART, MARSHALL, and STEVENS, JJ., joined; in all but Part VII of
which WHITE, J., joined; in all but Parts IV and V of which POWELL,
J., joined; and in Part VII of which BLACKMUN, J., joined. STEVENS,
J., filed a concurring opinion,
post, p.
433 U. S. 484.
WHITE, J.,
post, p.
433 U. S. 487,
BLACKMUN, J.,
post, p.
433 U. S. 491,
and POWELL, J.,
post, p.
433 U. S. 492,
filed opinions concurring in part and concurring in the judgment.
BURGER, C.J.,
post, p.
433 U. S. 504,
and REHNQUIST, J.,
post, p.
433 U. S. 545,
filed dissenting opinions.
Page 433 U. S. 429
MR. JUSTICE BRENNAN delivered the opinion of the Court.
Title I of Pub.L. 93-526, 88 Stat. 1695, note following 44
U.S.C. § 2107 (1970 ed., Supp. V), the Presidential Recordings and
Materials Preservation Act (hereafter Act), directs the
Administrator of General Services, an official of the Executive
Branch, to take custody of the Presidential papers and tape
recordings of appellant, former President Richard M. Nixon, and
promulgate regulations that (1) provide for the orderly processing
and screening by Executive Branch archivists of such materials for
the purpose of returning to appellant those that are personal and
private in nature, and (2) determine the terms and conditions upon
which public access may eventually be had to those materials that
are retained. The question for decision is whether Title I is
unconstitutional on its face as a violation of (1) the separation
of powers; (2) Presidential privilege doctrines; (3) appellant's
privacy interests; (4) appellant's First Amendment associational
rights; or (5) the Bill of Attainder Clause.
On December 19, 1974, four months after appellant resigned as
President of the United States, his successor, President Gerald R.
Ford, signed Pub.L. 93-526 into law. The next
Page 433 U. S. 430
day, December 20, 1974, appellant filed this action in the
District Court for the District of Columbia, which, under § 105(a)
of the Act, has exclusive jurisdiction to entertain complaints
challenging the Act's legal or constitutional validity, or that of
any regulation promulgated by the Administrator. Appellant's
complaint challenged the Act's constitutionality on a number of
grounds, and sought declaratory and injunctive relief against its
enforcement. A three-judge District Court was convened pursuant to
28 U.S.C. §§ 2282, 2284. [
Footnote
1] Because regulations required by § 104 of the Act governing
public access to the materials were not yet effective, the District
Court held that questions going to the possibility of future public
release under regulations yet to be published were not ripe for
review. It found that there was
"no need and no justification for this court now to reach
constitutional claims directed at the regulations . . . the
promulgation of [which] might eliminate, limit, or cast [the
constitutional claims] in a different light."
408 F.
Supp. 321, 336 (1976). Accordingly, the District Court limited
review "to consideration of the propriety of injunctive relief
against the alleged facial unconstitutionality of the statute,"
id. at 335, and held that the challenges to the facial
constitutionality of the Act were without merit. It therefore
dismissed the complaint.
Id. at 374-375. We noted probable
jurisdiction, 429 U.S. 976 (1976). We affirm.
I
The Background
The materials at issue consist of some 42 million pages of
documents and some 880 tape recordings of conversations. Upon his
resignation, appellant directed Government archivists to pack and
ship the materials to him in California. This
Page 433 U. S. 431
shipment was delayed when the Watergate Special Prosecutor
advised President Ford of his continuing need for the materials. At
the same time, President Ford requested that the Attorney General
give his opinion respecting ownership of the materials. The
Attorney General advised that the historical practice of former
Presidents and the absence of any governing statute to the contrary
supported ownership in the appellant, with a possible limited
exception. [
Footnote 2] 43
Op.Atty.Gen. No. 1 (1974), App. 220-230. The Attorney General's
opinion emphasized, however:
"Historically, there has been consistent acknowledgement that
Presidential materials are peculiarly affected by a public interest
which may justify subjecting the absolute ownership rights of the
ex-President to certain limitations directly related to the
character of the documents as records of government activity."
Id. at 226.
On September 8, 1974, after issuance of the Attorney General's
opinion, the Administrator of General Services, Arthur F. Sampson,
announced that he had signed a depository agreement with appellant
under the authority of 44 U.S.C. § 2107. 10 Weekly Comp. of
Pres.Doc. 1104 (1974). We shall also refer to the agreement as the
Nixon-Sampson agreement.
See Nixon v.
Sampson, 389 F.
Supp. 107, 160-162 (DC 1975) (App. A). The agreement recited
that appellant retained "all legal and equitable title to the
Materials, including all literary property rights," and that the
materials accordingly were to be "deposited temporarily" near
appellant's California home in an "existing facility belonging to
the United States."
Id. at 160. The agreement stated
further that appellant's purpose was "to donate" the materials to
the United States "with appropriate
Page 433 U. S. 432
restrictions."
Ibid. It was provided that all of the
materials "shall be placed within secure storage areas to which
access can be gained only by use of two keys," one in appellant's
possession and the other in the possession of the Archivist of the
United States or members of his staff. With exceptions not material
here, appellant agreed "not to withdraw from deposit any originals
of the materials" for a period of three years, but reserved the
right to "make reproductions" and to authorize other persons to
have access on conditions prescribed by him. After three years,
appellant might exercise the "right to withdraw from deposit
without formality any or all of the Materials . . . and to retain .
. . [them] for any purpose . . ." determined by him.
Id.
at 161.
The Nixon-Sampson agreement treated the tape recordings
separately. They were donated to the United States "effective
September 1, 1979," and meanwhile "shall remain on deposit." It was
provided however that, "[s]ubsequent to September 1, 1979, the
Administrator shall destroy such tapes as [Mr. Nixon] may direct,"
and, in any event, the tapes "shall be destroyed at the time of
[his] death or on September 1, 1984, whichever event shall first
occur."
Ibid. Otherwise, the tapes were not to be
withdrawn, and reproductions would be made only by "mutual
agreement."
Id. at 162. Access until September 1, 1979,
was expressly reserved to appellant, except as he might authorize
access by others on terms prescribed by him.
Public announcement of the agreement was followed 10 days later,
September 18, by the introduction of S. 4016 by 13 Senators in the
United States Senate. The bill, which became Pub.L. 93-526 and was
designed,
inter alia, to abrogate the Nixon-Sampson
agreement, passed the Senate on October 4, 1974 . It was awaiting
action in the House of Representatives when, on October 17, 1974,
appellant filed suit in the District Court seeking specific
enforcement of the Nixon-Sampson agreement. That action was
consolidated with other suits seeking access to Presidential
materials pursuant
Page 433 U. S. 433
to the Freedom of Information Act, 5 U.S.C. § 552 (1970 ed. and
Supp. V), and also seeking injunctive relief against enforcement of
the agreement.
Nixon v. Sampson, supra. [
Footnote 3] The House passed its version of
the Senate bill on December 3, 1974. The final version of S. 4016
was passed on December 9, 1974, and President Ford signed it into
law on December 19.
II
The Act
Public Law 93-526 has two Titles. Title I, the challenged
Presidential Recordings and Materials Preservation Act, consists of
§§ 101 through 106. Title II, the Public Documents Act, amends
Chapter 33 of Title 44, United States Code, to add §§ 3315 through
3324 thereto, and establish the National Study Commission on
Records and Documents of Federal Officials.
Section 101(a) of Title I directs that the Administrator of
General Services, notwithstanding any other law or agreement or
understanding (
e.g., the Nixon-Sampson agreement),
"shall receive, obtain, or retain, complete possession and
control of all original tape recordings of conversations which were
recorded or caused to be recorded by any officer or employee of the
Federal Government and which -- "
"(1) involve former President Richard M. Nixon or other
individuals who, at the time of the conversation, were employed by
the Federal Government; "
Page 433 U. S. 434
"(2) were recorded in the White House or in the office of the
President in the Executive Office Buildings located in Washington,
District of Columbia; Camp David, Maryland; Key Biscayne, Florida;
or San Clemente, California; and"
"(3) were recorded during the period beginning January 20, 1969,
and ending August 9, 1974."
Section 101(b) provides that, notwithstanding any such agreement
or understanding, the Administrator also
"shall receive, retain, or make reasonable efforts to obtain,
complete possession and control of all papers, documents,
memorandums, transcripts, and other objects and materials which
constitute the Presidential historical materials [as defined by 44
U.S.C. § 2101] of Richard M. Nixon, covering the period beginning
January 20, 1969, and ending August 9, 1974."
Section 102(a) prohibits destruction of the tapes or materials
except as may be provided by law, and § 102(b) makes them available
(giving priority of access to the Office of the Watergate Special
Prosecutor) in response to court subpoena or other legal process,
or for use in judicial proceedings. This was made subject, however,
"to any rights, defenses, or privileges which the Federal
Government or any person may invoke. . . ." Section 102(c) affords
appellant, or any person designated by him in writing, access to
the recordings and materials for any purpose consistent with the
Act "subsequent and subject to the regulations" issued by the
Administrator under § 103.
See n 46,
infra. Section 102(d) provides for
access according to § 103 regulations by any agency or department
in the Executive Branch for lawful Government use. Section 103
requires custody of the tape recordings and materials to be
maintained in Washington except as may otherwise be necessary to
carry out the Act, and directs that the Administrator promulgate
regulations necessary to assure their protection from loss or
destruction and to prevent access to them by unauthorized
persons.
Page 433 U. S. 435
Section 104, in pertinent part, directs the Administrator to
promulgate regulations governing public access to the tape
recordings and materials. Section 104(a) requires submission of
proposed regulations to each House of Congress, the regulations to
take effect under § 104(b)(1) at the end of 90 legislative days
unless either the House or the Senate adopts a resolution
disapproving them. The regulations must take into account seven
factors specified in § 104(a), namely:
"(1) the need to provide the public with the full truth, at the
earliest reasonable date, of the abuses of governmental power
popularly identified under the generic term 'Watergate;'"
"(2) the need to make such recordings and materials available
for use in judicial proceedings;"
"(3) the need to prevent general access, except in accordance
with appropriate procedures established for use in judicial
proceedings to information relating to the Nation's security;"
"(4) the need to protect every individual's right to a fair and
impartial trial;"
"(5) the need to protect any party's opportunity to assert any
legally or constitutionally based right or privilege which would
prevent or otherwise limit access to such recordings and
materials;"
"(6) the need to provide public access to those materials which
have general historical significance, and which are not likely to
be related to the need described in paragraph (1); and"
"(7) the need to give to Richard M. Nixon, or his heirs, for his
sole custody and use, tape recordings and other materials which are
not likely to be related to the need described in paragraph (1) and
are not otherwise of general historical significance."
Section 105(a) vests the District Court for the District of
Columbia with exclusive jurisdiction not only to hear
Page 433 U. S. 436
constitutional challenges to the Act, but also to hear
challenges to the validity of any regulation, and to decide actions
involving questions of title, ownership, custody, possession, or
control of any tape or materials, or involving payment of any award
of just compensation required by § 105(e) when a decision of that
court holds that any individual has been deprived by the Act of
private property without just compensation. Section 105(b) is a
severability provision providing that any decision invalidating a
provision of the Act or a regulation shall not affect the validity
or enforcement of any other provision or regulation. Section 106
authorizes appropriation of such sums as may be necessary to carry
out the provisions of the Title.
III
The Scope of the Inquiry
The District Court correctly focused on the Act's requirement
that the Administrator of General Services administer the tape
recordings and materials placed in his custody only under
regulations promulgated by him providing for the orderly processing
of such materials for the purpose of returning to appellant such of
them as are personal and private in nature, and of determining the
terms and conditions upon which public access may eventually be had
to those remaining in the Government's possession. The District
Court also noted that, in designing the regulations, the
Administrator must consider the need to protect the constitutional
rights of appellant and other individuals against infringement by
the processing itself or, ultimately, by public access to the
materials retained. 408 F. Supp. at 334-340. This construction is
plainly required by the wording of §§ 103 and 104. [
Footnote 4]
Page 433 U. S. 437
Regulations implementing §§ 102 and 103, which did not require
submission to Congress, and which regulate access and screening by
Government archivists, have been promulgated, 41 CFR § 105-63
(1976). Public access regulations that must be submitted to
Congress under § 104(a) have not, however, become effective. The
initial set proposed by the Administrator was disapproved pursuant
to § 104(b)(1) by Senate Resolution. S.Res. 244, 94th Cong., 1st
Sess. (1975); 121 Cong.Rec. 28609 28614 (1975). The Senate also
disapproved seven provisions of a proposed second set, although
that set had been withdrawn. S.Res. 428, 94th Cong., 2d Sess.
(1976); 122 Cong.Rec. 10159-10160 (1976). The House disapproved six
provisions of a third set. H.R.Res. 1505, 94th Cong., 2d Sess.
(1976). The Administrator is of the view that regulations cannot
become effective except as a package, and consequently is preparing
a fourth set for submission to Congress. Brief for Federal
Appellees 9, n. 4.
Page 433 U. S. 438
The District Court therefore concluded that, as no regulations
under § 104 had yet taken effect, and as such regulations, once
effective, were explicitly made subject to judicial review under §
105, the court could consider only the injury to appellant's
constitutionally protected interests allegedly worked by the taking
of his Presidential materials into custody for screening by
Government archivists. 408 F. Supp. at 339-340. Judge McGowan,
writing for the District Court, quoted the following from
Watson v. Buck, 313 U. S. 387,
313 U. S. 402
(1941):
"No one can foresee the varying applications of these separate
provisions which conceivably might be made. A law which is
constitutional as applied in one manner may still contravene the
Constitution as applied in another. Since all contingencies of
attempted enforcement cannot be envisioned in advance of those
applications, courts have, in the main, found it wiser to delay
passing upon the constitutionality of all the separate phases of a
comprehensive statute until faced with cases involving particular
provisions as specifically applied to persons who claim to be
injured. Passing upon the possible significance of the manifold
provisions of a broad statute in advance of efforts to apply the
separate provisions is analogous to rendering an advisory opinion
upon a statute or a declaratory judgment upon a hypothetical
case."
408 F. Supp. at 336. Only this Term, we applied this principle
in an analogous situation in declining to adjudicate the
constitutionality of regulations of the Administrator of the
Environmental Protection Agency that were in process of revision,
stating: "For [the Court] to review regulations not yet
promulgated, the final form of which has been only hinted at, would
be wholly novel."
EPA v. Brown, 431 U. S.
99,
431 U. S. 104
(1977).
See also Thorpe v. Housing Authority, 393 U.
S. 268,
393 U. S.
283-284 (1969);
Rosenberg v. Fleuti,
374 U. S. 449,
374 U. S. 451
(1963);
United States v. Raines, 362 U. S.
17,
362 U. S. 20-22
(1960);
Harmon v.
Brucker, 355
Page 433 U. S. 439
U.S. 579 (1958). We too, therefore, limit our consideration of
the merits of appellant's several constitutional claims to those
addressing the facial validity of the provisions of the Act
requiring the Administrator to take the recordings and materials
into the Government's custody subject to screening by Government
archivists.
The constitutional questions to be decided are, of course, of
considerable importance. They touch the relationship between two of
the three coordinate branches of the Federal Government, the
Executive and the Legislative, and the relationship of appellant to
his Government. They arise in a context unique in the history of
the Presidency, and present issues that this Court has had no
occasion heretofore to address. Judge McGowan, speaking for the
District Court, comprehensively canvassed all the claims, and, in a
thorough opinion, concluded that none had merit. Our independent
examination of the issues brings us to the same conclusion,
although our analysis differs somewhat on some questions.
IV
Claims Concerning the Autonomy of the Executive
Branch
The Act was the product of joint action by the Congress and
President Ford, who signed the bill into law. It is therefore urged
by intervenor-appellees that, in this circumstance, the case does
not truly present a controversy concerning the separation of
powers, or a controversy concerning the Presidential privilege of
confidentiality, because, it is argued, such claims may be asserted
only by incumbents who are presently responsible to the American
people for their action. We reject the argument that only an
incumbent President may assert such claims, and hold that
appellant, as a former President, may also be heard to assert them.
We further hold, however, that neither his separation of powers
claim nor his claim of breach of constitutional privilege has
merit.
Appellant argues broadly that the Act encroaches upon the
Page 433 U. S. 440
Presidential prerogative to control internal operations of the
Presidential office, and therefore offends the autonomy of the
Executive Branch. The argument is divided into separate but
interrelated parts.
First, appellant contends that Congress is without power to
delegate to a subordinate officer of the Executive Branch the
decision whether to disclose Presidential materials and to
prescribe the terms that govern any disclosure. To do so, appellant
contends, constitutes, without more, an impermissible interference
by the Legislative Branch into matters inherently the business
solely of the Executive Branch.
Second, appellant contends, somewhat more narrowly, that, by
authorizing the Administrator to take custody of all Presidential
materials in a "broad, undifferentiated" manner, and authorizing
future publication except where a privilege is affirmatively
established, the Act offends the presumptive confidentiality of
Presidential communications recognized in
United States v.
Nixon, 418 U. S. 683
(1974). He argues that the District Court erred in two respects in
rejecting this contention. Initially, he contends that the District
Court erred in distinguishing incumbent from former Presidents in
evaluating appellant's claim of confidentiality. Appellant asserts
that, unlike the very specific privilege protecting against
disclosure of state secrets and sensitive information concerning
military or diplomatic matters, which appellant concedes may be
asserted only by an incumbent President, a more generalized
Presidential privilege survives the termination of the
President-adviser relationship much as the attorney-client
privilege survives the relationship that creates it. Appellant
further argues that the District Court erred in applying a
balancing test to his claim of Presidential privilege and in
concluding that, notwithstanding the fact that some of the
materials might legitimately be included within a claim of
Presidential confidentiality, substantial public interests
outweighed and justified the limited
Page 433 U. S. 441
inroads on Presidential confidentiality necessitated by the
Act's provision for Government custody and screening of the
materials. Finally, appellant contends that the Act's authorization
of the process of screening the materials itself violates the
privilege, and will chill the future exercise of constitutionally
protected executive functions, thereby impairing the ability of
future Presidents to obtain the candid advice necessary to the
conduct of their constitutionally imposed duties.
A
Separation of Powers
We reject at the outset appellant's argument that the Act's
regulation of the disposition of Presidential materials within the
Executive Branch constitutes, without more, a violation of the
principle of separation of powers. Neither President Ford nor
President Carter supports this claim. The Executive Branch became a
party to the Act's regulation when President Ford signed the Act
into law, and the administration of President Carter, acting
through the Solicitor General, vigorously supports affirmance of
the District Court's judgment sustaining its constitutionality.
Moreover, the control over the materials remains in the Executive
Branch. The Administrator of General Services, who must promulgate
and administer the regulations that are the keystone of the
statutory scheme, is himself an official of the Executive Branch,
appointed by the President. The career archivists appointed to do
the initial screening for the purpose of selecting out and
returning to appellant his private and personal papers similarly
are Executive Branch employees.
Appellant's argument is, in any event, based on an
interpretation of the separation of powers doctrine inconsistent
with the origins of that doctrine, recent decisions of the Court,
and the contemporary realities of our political system. True, it
has been said that
"each of the three general departments of government [must
remain] entirely free from the control or
Page 433 U. S. 442
coercive influence, direct or indirect, of either of the others
. . . ,"
Humphrey's Executor v. United States, 295 U.
S. 602,
295 U. S. 629
(1935), and that
"[t]he sound application of a principle that makes one master in
his own house precludes him from imposing his control in the house
of another who is master there."
Id. at
295 U. S. 630.
See also O'Donoghue v. United States, 289 U.
S. 516 (1933);
Springer v. Philippine Islands,
277 U. S. 189,
277 U. S. 201
(1928).
But the more pragmatic, flexible approach of Madison in the
Federalist Papers and, later, of Mr. Justice Story [
Footnote 5] was expressly affirmed by this
Court only three years ago in
United States v. Nixon,
supra. There the same broad argument concerning the separation
of powers was made by appellant in the context of opposition to a
subpoena
duces tecum of the Watergate Special Prosecutor
for certain Presidential tapes and documents of value to a pending
criminal investigation. Although acknowledging that each branch of
the Government has the duty initially to interpret the Constitution
for itself, and that its interpretation of its powers is due
Page 433 U. S. 443
great respect from the other branches, 418 U.S. at
418 U. S. 703,
the Court squarely rejected the argument that the Constitution
contemplates a complete division of authority between the three
branches. Rather, the unanimous Court essentially embraced Mr.
Justice Jackson's view, expressed in his concurrence in
Youngstown Sheet & Tube Co. v. Sawyer, 343 U.
S. 579,
343 U. S. 63
(1952).
"In designing the structure of our Government and dividing and
allocating the sovereign power among three co-equal branches, the
Framers of the Constitution sought to provide a comprehensive
system,
but the separate powers were not intended to operate
with absolute independence."
418 U.S. at
418 U. S. 707
(emphasis supplied). Like the District Court, we therefore find
that appellant's argument rests upon an "archaic view of the
separation of powers as requiring three air-tight departments of
government," 408 F. Supp. at 342. [
Footnote 6] Rather, in determining whether the Act
disrupts the proper balance between the coordinate branches, the
proper inquiry focuses on the extent to which it prevents the
Executive Branch from accomplishing its constitutionally assigned
functions.
United States v. Nixon, 418 U.S. at
418 U. S.
711-712. Only where the potential for disruption is
present must we then determine whether that impact is justified by
an overriding need to promote objectives within the constitutional
authority of Congress.
Ibid.
It is therefore highly relevant that the Act provides for
custody of the materials in officials of the Executive Branch, and
that employees of that branch have access to the materials only
"for lawful Government use, subject to the [Administrator's]
Page 433 U. S. 444
regulations." § 102(d); 41 CFR §§ 105-63.205, 105-63.206, and
105-63.302 (1976). For it is clearly less intrusive to place
custody and screening of the materials within the Executive Branch
itself than to have Congress or some outside agency perform the
screening function. While the materials may also be made available
for use in judicial proceedings, this provision is expressly
qualified by any rights, defense, or privileges that any person may
invoke, including, of course, a valid claim of executive privilege.
United States v. Nixon, supra. Similarly, although some of
the materials may eventually be made available for public access,
the Act expressly recognizes the need both "to protect any party's
opportunity to assert any legally or constitutionally based right
or privilege," § 104(a)(5), and to return purely private materials
to appellant, § 104(a)(7). These provisions plainly guard against
disclosures barred by any defenses or privileges available to
appellant or the Executive Branch. [
Footnote 7] And appellant himself concedes that the
Act
"does not make the presidential materials available to the
Congress -- except insofar as Congressmen are members of the public
and entitled to access when the public has it."
Brief for Appellant 119. The Executive Branch remains in full
control of the Presidential materials, and the Act facially is
designed to ensure that the materials can be released only when
release is not barred by some applicable privilege inherent in that
branch. Thus, whatever are the future possibilities for
constitutional
Page 433 U. S. 445
conflict in the promulgation of regulations respecting public
access to particular documents, nothing contained in the Act
renders it unduly disruptive of the Executive Branch and,
therefore, unconstitutional on its face. And, of course, there is
abundant statutory precedent for the regulation and mandatory
disclosure of documents in the possession of the Executive Branch.
See, e.g., the Freedom of Information Act, 5 U.S.C. § 552
(1970 ed. and Supp. V); the Privacy Act of 1974, 5 U.S.C. § 552(a)
(1970 ed., Supp. V); the Government in the Sunshine Act, 5 U.S.C. §
552b (1976 ed.); the Federal Records Act, 44 U.S.C. § 2101
et
seq.; and a variety of other statutes,
e.g., 13
U.S.C. §§ 8-9 (census data); 26 U.S.C. § 6103 (tax returns). Such
regulation of material generated in the Executive Branch has never
been considered invalid as an invasion of its autonomy.
Cf. EPA
v. Mink, 410 U. S. 73,
410 U. S. 83
(1973);
FAA Administrator v. Robertson, 422 U.
S. 255 (1975). [
Footnote
8] Similar congressional power
Page 433 U. S. 446
to regulate Executive Branch documents exists in this instance,
a power that is augmented by the important interests that the Act
seeks to attain.
See infra at
433 U. S.
452-454.
B
Presidential Privilege
Having concluded that the separation of powers principle is not
necessarily violated by the Administrator's taking custody of and
screening appellant's papers, we next consider appellant's more
narrowly defined claim that the Presidential privilege shields
these records from archival scrutiny. We start with what was
established in
United States v. Nixon, supra -- that the
privilege is a qualified one. [
Footnote 9] Appellant had argued in that case that
in
camera inspection by the District Court of Presidential
documents and materials subpoenaed by the Special Prosecutor would
itself violate the privilege without regard to whether the
documents were protected from public disclosure. The Court
disagreed, stating that
"neither the doctrine of separation of powers nor the need for
confidentiality of high-level communications, without more, can
sustain an absolute, unqualified Presidential privilege. . . .
[
Footnote 10]
Page 433 U. S. 447
418 U.S. at
418 U. S. 706. The Court
recognized that the privilege of confidentiality of Presidential
communications derives from the supremacy of the Executive Branch
within its assigned area of constitutional responsibilities,
[
Footnote 11] but
distinguished a President's 'broad, undifferentiated claim of
public interest in the confidentiality of such [communications]'
from the more particularized and less qualified privilege relating
to the need 'to protect military, diplomatic, or sensitive national
security secrets. . . .'
Ibid. The Court held that, in the
case of the general privilege of confidentiality of Presidential
communications, its importance must be balanced against the inroads
of the privilege upon the effective functioning of the Judicial
Branch. This balance was struck against the claim of privilege in
that case because the Court determined that the intrusion into the
confidentiality of Presidential communications resulting from
in camera inspection by the District Court, 'with all the
protection that a district court will be obliged to provide,' would
be minimal, and therefore that the claim was outweighed by '[t]he
impediment that an absolute, unqualified privilege would place in
the way of the primary constitutional duty of the Judicial Branch.
. . .'
Id. at
418 U. S. 706-707."
Unlike
United States v. Nixon, in which appellant
asserted a claim of absolute Presidential privilege against inquiry
by the coordinate Judicial Branch, this case initially involves
appellant's assertion of a privilege against the very
Page 433 U. S. 448
Executive Branch in whose name the privilege is invoked. The
nonfederal appellees rely on this apparent anomaly to contend that
only an incumbent President can assert the privilege of the
Presidency. Acceptance of that proposition would, of course, end
this inquiry. The contention draws on
United States v.
Reynolds, 345 U. S. 1,
345 U. S. 7-8
(1953), where it was said that the privilege "belongs to the
Government, and must be asserted by it; it can neither be claimed
nor waived by a private party." The District Court believed that
this statement was strong support for the contention, but found
resolution of the issue unnecessary. 408 F. Supp. at 343-345. It
sufficed, said the District Court, that the privilege, if available
to a former President, was at least one that "carries much less
weight than a claim asserted by the incumbent himself."
Id. at 345.
It is true that only the incumbent is charged with performance
of the executive duty under the Constitution. And an incumbent may
be inhibited in disclosing confidences of a predecessor when he
believes that the effect may be to discourage candid presentation
of views by his contemporary advisers. Moreover, to the extent that
the privilege serves as a shield for executive officials against
burdensome requests for information which might interfere with the
proper performance of their duties,
see United States v.
Nixon, 418 U.S. at
418 U. S. 714;
cf. Eastland v. United States Servicemen's Fund,
421 U. S. 491,
421 U. S.
501-503 (1975);
Dombrowski v. Eastland,
387 U. S. 82,
387 U. S. 84-85
(1967) (per curiam), a former President is in less need of it than
an incumbent. In addition, there are obvious political checks
against an incumbent's abuse of the privilege.
Nevertheless, we think that the Solicitor General states the
sounder view, and we adopt it:
"This Court held in
United States v. Nixon . . . that
the privilege is necessary to provide the confidentiality required
for the President's conduct of office. Unless he
Page 433 U. S. 449
can give his advisers some assurance of confidentiality, a
President could not expect to receive the full and frank
submissions of facts and opinions upon which effective discharge of
his duties depends. The confidentiality necessary to this exchange
cannot be measured by the few months or years between the
submission of the information and the end of the President's
tenure; the privilege is not for the benefit of the President as an
individual, but for the benefit of the Republic. Therefore the
privilege survives the individual President's tenure."
Brief for Federal Appellees 33.
At the same time, however, the fact that neither President Ford
nor President Carter supports appellant's claim detracts from the
weight of his contention that the Act impermissibly intrudes into
the executive function and the needs of the Executive Branch. This
necessarily follows, for it must be presumed that the incumbent
President is vitally concerned with and in the best position to
assess the present and future needs of the Executive Branch, and to
support invocation of the privilege accordingly.
The appellant may legitimately assert the Presidential
privilege, of course, only as to those materials whose contents
fall within the scope of the privilege recognized in
United
States v. Nixon, supra. In that case, the Court held that the
privilege is limited to communications "in performance of [a
President's] responsibilities," 418 U.S. at
418 U. S. 711,
"of his office,"
id. at
418 U. S. 713,
and made "in the process of shaping policies and making decisions,"
id. at
418 U. S. 708.
Of the estimated 42 million pages of documents and 880 tape
recordings whose custody is at stake, the District Court concluded
that the appellant's claim of Presidential privilege could apply,
at most, to the 200,000 items with which the appellant was
personally familiar.
The appellant bases his claim of Presidential privilege in this
case on the assertion that the potential disclosure of
Page 433 U. S. 450
communications given to the appellant in confidence would
adversely affect the ability of future Presidents to obtain the
candid advice necessary for effective decisionmaking. We are called
upon to adjudicate that claim, however, only with respect to the
process by which the materials will be screened and catalogued by
professional archivists. For any eventual public access will be
governed by the guidelines of § 104, which direct the Administrator
to take into account "the need to protect any party's opportunity
to assert any . . . constitutionally based right or privilege," §
104(a)(5), and the need to return purely private materials to the
appellant, § 104(a)(7).
In view of these specific directions, there is no reason to
believe that the restriction on public access ultimately
established by regulation will not be adequate to preserve
executive confidentiality. An absolute barrier to all outside
disclosure is not practically or constitutionally necessary. As the
careful research by the District Court clearly demonstrates, there
has never been an expectation that the confidences of the Executive
Office are absolute and unyielding. All former Presidents from
President Hoover to President Johnson have deposited their papers
in Presidential libraries (an example appellant has said he
intended to follow) for governmental preservation and eventual
disclosure. [
Footnote 12]
The
Page 433 U. S. 451
screening processes for sorting materials for lodgment in these
libraries also involved comprehensive review by archivists, often
involving materials upon which access restrictions ultimately have
been imposed. 408 F. Supp. at 347. The expectation of the
confidentiality of executive communications thus has always been
limited and subject to erosion over time after an administration
leaves office.
We are thus left with the bare claim that the mere screening of
the materials by the archivists will impermissibly interfere with
candid communication of views by Presidential advisers. [
Footnote 13] We agree with the
District Court that, thus framed, the question is readily resolved.
The screening constitutes a very limited intrusion by personnel in
the Executive Branch sensitive to executive concerns. These very
personnel have performed the identical task in each of the
Presidential
Page 433 U. S. 452
libraries without any suggestion that such activity has in any
way interfered with executive confidentiality. Indeed, in light of
this consistent historical practice, past and present executive
officials must be well aware of the possibility that, at some time
in the future, their communications may be reviewed on a
confidential basis by professional archivists. Appellant has
suggested no reason why review under the instant Act, rather than
the Presidential Libraries Act, is significantly more likely to
impair confidentiality, nor has he called into question the
District Court's finding that the archivists' "record for
discretion in handling confidential material is unblemished." 408
F. Supp. at 347.
Moreover, adequate justifications are shown for this limited
intrusion into executive confidentiality comparable to those held
to justify the
in camera inspection of the District Court
sustained in
United States v. Nixon, supra. Congress'
purposes in enacting the Act are exhaustively treated in the
opinion of the District Court. The legislative history of the Act
clearly reveals that, among other purposes, Congress acted to
establish regular procedures to deal with the perceived need to
preserve the materials for legitimate historical and governmental
purposes. [
Footnote 14] An
incumbent President should not be dependent on happenstance or the
whim of a prior President when he seeks access to records of past
decisions that define or channel current governmental obligations.
[
Footnote 15] Nor should the
American people's ability to reconstruct
Page 433 U. S. 453
and come to terms with their history be truncated by an analysis
of Presidential privilege that focuses only on the needs of the
present. [
Footnote 16]
Congress can legitimately act to rectify the hit-or-miss approach
that has characterized past attempts to protect these substantial
interests by entrusting the materials to expert handling by trusted
and disinterested professionals.
Other substantial public interests that led Congress to seek to
preserve appellant's materials were the desire to restore public
confidence in our political processes by preserving the materials
as a source for facilitating a full airing of the events leading to
appellant's resignation, and Congress' need to understand how those
political processes had in fact operated in order to gauge the
necessity for remedial legislation. Thus, by preserving these
materials, the Act may be thought to aid the legislative process,
and thus to be within the scope of Congress' broad investigative
power,
see, e.g., Eastland v. United States Servicemen's
Fund, 421 U. S. 491
(1975). And, of course, the Congress repeatedly referred to the
importance of the materials to the Judiciary in the event that they
shed light upon issues in civil or criminal litigation, a
social
Page 433 U. S. 454
interest that cannot be doubted.
See United States v. Nixon,
supra. [
Footnote
17]
In light of these objectives, the scheme adopted by Congress for
preservation of the appellant's Presidential materials cannot be
said to be overbroad. It is true that among the voluminous
materials to be screened by archivists are some materials that bear
no relationship to any of these objectives (and whose prompt return
to appellant is therefore mandated by § 104(a)(7)). But these
materials are commingled with other materials whose preservation
the Act requires, for the appellant, like his predecessors, made no
systematic attempt to segregate official, personal, and private
materials. 408 F. Supp. at 355. Even individual documents and tapes
often intermingle communications relating to governmental duties,
and of great interest to historians or future policymakers, with
private and confidential communications.
Ibid.
Thus, as in the Presidential libraries, the intermingled state
of the materials requires the comprehensive review and
classification contemplated by the Act if Congress' important
objectives are to be furthered. In the course of that process, the
archivists will be required to view the small fraction of the
materials that implicate Presidential confidentiality, as well as
personal and private materials to be returned to appellant. But
given the safeguards built into the Act to prevent disclosure of
such materials and the minimal nature of the intrusion into the
confidentiality of the Presidency, we believe that the claims of
Presidential privilege clearly must yield to the important
congressional purposes of preserving the materials and maintaining
access to them for lawful governmental and historical purposes.
Page 433 U. S. 455
In short, we conclude that the screening process contemplated by
the Act will not constitute a more severe intrusion into
Presidential confidentiality than the
in camera inspection
by the District Court approved in
United States v. Nixon,
418 U.S. at
418 U. S. 706.
We must, of course, presume that the Administrator and the career
archivists concerned will carry out the duties assigned to them by
the Act. Thus, there is no basis for appellant's claim that the Act
"reverses" the presumption in favor of confidentiality of
Presidential papers recognized in
United States v. Nixon.
Appellant's right to assert the privilege is specifically preserved
by the Act. The guideline provisions, on their face, are as broad
as the privilege itself. If the broadly written protections of the
Act should nevertheless prove inadequate to safeguard appellant's
rights or to prevent usurpation of executive powers, there will be
time enough to consider that problem in a specific factual context.
For the present, we hold, in agreement with the District Court,
that the Act, on its face, does not violate the Presidential
privilege.
V
Privacy
Appellant concedes that, when he entered public life, he
voluntarily surrendered the privacy secured by law for those who
elect not to place themselves in the public spotlight.
See,
e.g., New York Times Co. v. Sullivan, 376 U.
S. 254 (1964). He argues, however, that he was not
thereby stripped of all legal protection of his privacy, and
contends that the Act violates fundamental rights of expression and
privacy guaranteed to him by the First, Fourth, and Fifth
Amendments. [
Footnote
18]
Page 433 U. S. 456
The District Court treated appellant's argument as addressed
only to the process by which the screening of the materials will be
performed.
"Since any claim by [appellant] that his privacy will be invaded
by public access to private materials must be considered premature
when it must actually be directed to the regulations once they
become effective, we need not consider how the materials will be
treated after they are reviewed."
408 F. Supp. at 358. Although denominating the privacy claim
"[t]he most troublesome challenge that plaintiff raises. . . ,"
id. at 357, the District Court concluded that the claim
was without merit. The court reasoned that the proportion of the 42
million pages of documents and 880 tape recordings implicating
appellant's privacy interests was quite small, since the great bulk
of the materials related to appellant's conduct of his duties as
President, and were therefore materials to which great public
interest attached. The touchstone of the legality of the archival
processing, in the District Court's view, was its reasonableness.
Balancing the public interest in preserving the materials touching
appellant's performance of his official duties against the invasion
of appellant's privacy that archival screening necessarily entails,
the District Court concluded that the Act was not unreasonable, and
hence not facially unconstitutional:
"Here, we have a processing scheme without which national
interests of overriding importance cannot be served . . . ."
Id. at 364.
Thus, the Act
"is a reasonable response to the difficult problem caused by the
mingling of personal and private documents and conversations in the
midst of a vastly greater number of nonprivate documents and
materials related to government objectives. The processing
contemplated by the Act -- at least as narrowed by carefully
tailored regulations -- represents the least intrusive manner in
which to provide an adequate level of promotion of government
interests of overriding
Page 433 U. S. 457
importance."
Id. at 367. We agree with the District Court that the
Act does not unconstitutionally invade appellant's right of
privacy.
One element of privacy has been characterized as "the individual
interest in avoiding disclosure of personal matters. . . ."
Whalen v. Roe, 429 U. S. 589,
429 U. S. 599
(1977). We may agree with appellant that, at least when Government
intervention is at stake, public officials, including the
President, are not wholly without constitutionally protected
privacy rights in matters of personal life unrelated to any acts
done by them in their public capacity. Presidents who have
established Presidential libraries have usually withheld matters
concerned with family or personal finances, or have deposited such
materials with restrictions on their screening. 408 F. Supp. at
360. [
Footnote 19] We may
assume with the District
Page 433 U. S. 458
Court, for the purposes of this case, that this pattern of
de facto Presidential control and congressional
acquiescence gives rise to appellant's legitimate expectation of
privacy in such materials.
Katz v. United States,
389 U. S. 347,
389 U. S.
351-353 (1987). [
Footnote 20] This expectation is independent of the
question of ownership of the materials, an issue we do not reach.
See n 8,
supra. But the merit of appellant's claim of invasion of
his privacy cannot be considered in the abstract; rather, the claim
must be considered in light of the specific provisions of the Act,
and any intrusion must be weighed against the public interest in
subjecting the Presidential materials of appellant's administration
to archival screening.
Camara v. Municipal Court,
387 U. S. 523,
387 U. S.
534-539 (1967);
Terry v. Ohio, 392 U. S.
1,
392 U. S. 21
(1968). [
Footnote 21] Under
this test, the privacy interest asserted by appellant is weaker
than that found wanting in the recent decision of
Whalen v.
Roe, supra. Emphasizing the precautions utilized by New York
State to prevent the unwarranted disclosure of private medical
information retained in a state computer bank system,
Whalen rejected a constitutional objection to New York's
program on privacy grounds. Not only does the Act challenged here
mandate regulations similarly aimed at preventing undue
dissemination of private materials but, unlike
Whalen, the
Government will not even retain long-term control over
Page 433 U. S. 459
such private information; rather, purely private papers and
recordings will be returned to appellant under § 104(a)(7) of the
Act.
The overwhelming bulk of the 42 million pages of documents and
the 880 tape recordings pertain not to appellant's private
communications, but to the official conduct of his Presidency. Most
of the 42 million pages were prepared and seen by others, and were
widely circulated within the Government. Appellant concedes that he
saw no more than 200,000 items, and we do not understand him to
suggest that his privacy claim extends to items he never saw.
See United States v. Miller, 425 U.
S. 435 (1976). Further, it is logical to assume that the
tape recordings made in the Presidential offices primarily relate
to the conduct and business of the Presidency. And, of course,
appellant cannot assert any privacy claim as to the documents and
tape recordings that he has already disclosed to the public.
United States v. Dionisio, 410 U. S.
1,
410 U. S. 14
(1973);
Katz v. United States, supra at
389 U. S. 351.
Therefore, appellant's privacy claim embracing, for example,
"extremely private communications between him and, among others,
his wife, his daughters, his physician, lawyer, and clergyman, and
his close friends, as well as personal diary dictabelts and his
wife's personal files,"
408 F. Supp. at 359, relates only to a very small fraction of
the massive volume of official materials with which they are
presently commingled. [
Footnote
22]
Page 433 U. S. 460
The fact that appellant may assert his privacy claim as to only
a small fraction of the materials of his Presidency is plainly
relevant in judging the reasonableness of the screening process
contemplated by the Act, but this, of course, does not, without
more, require rejection of his privacy argument.
Id. at
359. Although the Act requires that the regulations promulgated by
the Administrator under § 104(a) take into account appellant's
legally and constitutionally based rights and privileges,
presumably including his privacy rights, § 104(a)(5), and also take
into account the need to return to appellant his private materials,
§ 104(a)(7), [
Footnote 23]
the identity and separation of these purely private matters can be
achieved, as all parties concede, only by screening all of the
materials.
Appellant contends that the Act therefore is tantamount to a
general warrant authorizing search and seizure of all of his
Presidential "papers and effects." Such "blanket authority,"
appellant contends, is precisely the kind of abuse that the Fourth
Amendment was intended to prevent, for
"'the real evil aimed at by the Fourth Amendment is the search
itself, that invasion of a man's privacy which consists [in]
rummaging about among his effects to secure evidence against
him.'"
Brief for Appellant 148, quoting
United States v.
Poller, 43 F.2d 911, 914 (CA2 1930). Thus, his brief
continues, at 150-151:
"[Appellant's] most private thoughts and communications, both
written and spoken, will be exposed to and reviewed by a host of
persons whom he does not know and
Page 433 U. S. 461
did not select, and in whom he has no reason to place his
confidence. This group will decide what is personal, to be returned
to [him], and what is historical to be opened for public review.
[
Footnote 24]"
Appellant principally relies on
Stanford v. Texas,
379 U. S. 476
(1965), but that reliance is misplaced.
Stanford
invalidated a search aimed at obtaining evidence that an individual
had violated a
"sweeping and many-faceted law which, among other things,
outlaws the Communist Party and creates various individual criminal
offenses, each punishable by imprisonment for up to 20 years."
Id. at
379 U. S. 477.
The search warrant authorized a search of his private home for
books, records, and other materials concerning illegal Communist
activities. After spending more than four hours in Stanford's
house, police officers seized half of his books, which included
works by Sartre, Marx, Pope John XXIII, Mr. Justice Hugo Black,
Theodore Draper, and Earl Browder, as well as private documents,
including a marriage certificate, insurance policies, household
bills and receipts, and personal correspondence.
Id. at
379 U. S.
479-480.
Stanford held this to be an
unconstitutional general search.
The District Court concluded that the Act's provisions for
Page 433 U. S. 462
custody and screening could not be analogized to a general
search, and that
Stanford, therefore, did not require the
Act's invalidation. 408 F. Supp. at 366-367, n. 63. We agree. Only
a few documents among the vast quantity of materials seized in
Stanford were even remotely related to any legitimate
government interest. This case presents precisely the opposite
situation: the vast proportion of appellant's Presidential
materials are official documents or records in which appellant
concedes the public has a recognized interest. Moreover, the Act
provides procedures and orders the promulgation of regulations
expressly for the purpose of minimizing the intrusion into
appellant's private and personal materials. Finally, the search in
Stanford was an intrusion into an individual's home to
search and seize personal papers in furtherance of a criminal
investigation and designed for exposure in a criminal trial. In
contrast, any intrusion by archivists into appellant's private
papers and effects is undertaken with the sole purpose of
separating private materials to be returned to appellant from
nonprivate materials to be retained and preserved by the Government
as a record of appellant's Presidency.
Moreover, the screening will be undertaken by Government
archivists with, as the District Court noted, "an unblemished
record for discretion," 408 F. Supp. at 365. That review can hardly
differ materially from that contemplated by appellant's intention
to establish a Presidential library, for Presidents who have
established such libraries have found that screening by
professional archivists was essential. Although the District Court
recognized that this contemplation of archival review would not
defeat appellant's expectation of privacy, the court held that it
does indicate that,
"in the special situation of documents accumulated by a
President during his tenure and reviewed by professional government
personnel, pursuant to a process employed by past Presidents, any
intrusion into privacy interests is less substantial than it might
appear at first."
Ibid. (citation omitted).
Page 433 U. S. 463
The District Court analogized the screening process contemplated
by the Act to electronic surveillance conducted pursuant to Title
III of the Omnibus Crime Control and Safe Streets Act of 1968, 18
U.S.C. §§ 2510
et seq. 408 F. Supp. at 363. We think the
analogy is apt. There are obvious similarities between the two
procedures. Both involve the problem of separating intermingled
communications, (1) some of which are expected to be related to
legitimate Government objectives, (2) some of which are not, and
(3) for which there is no means to segregate the one from the other
except by reviewing them all. Thus the screening process under the
Act, like electronic surveillance, requires some intrusion into
private communications unconnected with any legitimate governmental
objectives. Yet this fact has not been thought to render
surveillance under the Omnibus Act unconstitutional.
Cf., e.g.,
United States v. Donovan, 429 U. S. 413
(1977);
Berger v. New York, 388 U. S.
41 (1967).
See also 408 F. Supp. at
363-364.
Appellant argues that this analogy is inappropriate because the
electronic surveillance procedure was carefully designed to meet
the constitutional requirements enumerated in
Berger v. New
York, supra, including (1) prior judicial authorization, (2)
specification of particular offenses said to justify the intrusion,
(3) specification "with particularity" of the conversations sought
to be seized, (4) minimization of the duration of the wiretap, (5)
termination once the conversation sought is seized, and (6) a
showing of exigent circumstances justifying use of the wiretap
procedure. Brief for Appellant 157. Although the parallel is far
from perfect, we agree with the District Court that many
considerations supporting the constitutionality of the Omnibus Act
also argue for the constitutionality of this Act's materials
screening process. For example, the Omnibus Act permits electronic
surveillance only to investigate designated crimes that are serious
in nature, 18 U.S.C. § 2516, and only when normal investigative
techniques have failed or are likely to do so, § 2518(3)(c).
Similarly,
Page 433 U. S. 464
the archival review procedure involved here is designed to serve
important national interests asserted by Congress, and the
unavailability of less restrictive mean necessarily follows from
the commingling of the documents. [
Footnote 25] Similarly, just as the Omnibus Act expressly
requires that interception of nonrelevant communications be
minimized, § 2518(5), the Act's screening process is designed to
minimize any privacy intrusions, a goal that is further reinforced
by regulations which must take those interests into account.
[
Footnote 26] The fact that
apparently only a minute portion of the materials implicates
appellant's privacy interests [
Footnote 27] also negates any conclusion that
Page 433 U. S. 465
the screening process is an unreasonable solution to the problem
of separating commingled communications.
In sum, appellant has a legitimate expectation of privacy in his
personal communications. But the constitutionality of the Act must
be viewed in the context of the limited intrusion of the screening
process, of appellant's status as a public figure, of his lack of
any expectation of privacy in the overwhelming majority of the
materials, of the important public interest in preservation of the
materials, and of the virtual impossibility of segregating the
small quantity of private materials without comprehensive
screening. When this is combined with the Act's sensitivity to
appellant's legitimate privacy interests,
see § 104(a)(7),
the unblemished record of the archivists for discretion, and the
likelihood that the regulations to be promulgated by the
Administrator will further moot appellant's fears that his
materials will be reviewed by "a host of persons," [
Footnote 28] Brief for Appellant 150, we
are compelled to agree with the District Court that appellant's
privacy claim is without merit.
VI
First Amendment
During his Presidency, appellant served also as head of his
national political party and spent a substantial portion of
Page 433 U. S. 466
his working time on partisan political matters. Records arising
from his political activities, like his private and personal
records, are not segregated from the great mass of materials. He
argues that the Act's archival screening process therefore
necessarily entails invasion of his constitutionally protected
rights of associational privacy and political speech. As summarized
by the District Court:
"It is alleged that the Act invades the private formulation of
political thought critical to free speech and association, imposing
sanctions upon past expressive activity, and more significantly,
limiting that of the future because individuals who learn the
substance of certain private communications by [appellant] --
especially those critical of themselves -- will refuse to associate
with him. The Act is furthermore said to chill [his] expression
because he will be 'saddled' with prior positions communicated in
private, leaving him unable to take inconsistent positions in the
future."
408 F. Supp. at 367-368.
The District Court, viewing these arguments as, in essence, a
claim that disclosure of the materials violated appellant's
associational privacy, and therefore as not significantly different
in structure from appellant's privacy claim, again treated the
arguments as limited to the constitutionality of the Act's
screening process.
Id. at 368. As was true with respect to
the more general privacy challenge, only a fraction of the
materials can be said to raise a First Amendment claim.
Nevertheless, the District Court acknowledged that appellant
would
"appear . . . to have a legitimate expectation that he would
have an opportunity to remove some of the sensitive political
documents before any government screening took place."
Ibid. The District Court concluded, however, that there
was no reason to believe that the mandated regulations, when
promulgated, would not adequately protect against public access to
materials implicating appellant's privacy in political association,
and that "any burden arising solely from review by professional and
discreet archivists is not significant." The court therefore held
that the Act does not significantly
Page 433 U. S. 467
interfere with or chill appellant's First Amendment rights.
Id. at 369. We agree with the District Court's
conclusion.
It is, of course, true that involvement in partisan politics is
closely protected by the First Amendment,
Buckley v.
Valeo, 424 U. S. 1 (1976),
and that "compelled disclosure, in itself, can seriously infringe
on privacy of association and belief guaranteed by the First
Amendment."
Id. at
424 U. S. 64. But
a compelling public need that cannot be met in a less restrictive
way will override those interests,
Kusper v. Pontikes,
414 U. S. 51,
414 U. S. 559
(1973);
United States v. O'Brien, 391 U.
S. 367,
391 U. S. 376
377 (1968);
Shelton v. Tucker, 364 U.
S. 479,
364 U. S. 488
(1960), "particularly when the
free functioning of our national
institutions' is involved." Buckley v. Valeo, supra at
424 U. S. 66.
Since no less restrictive way than archival screening has been
suggested as a means for identification of materials to be returned
to appellant, the burden of that screening is presently the measure
of his First Amendment claim. Id. at 424 U. S. 84. The
extent of any such burden, however, is speculative in light of the
Act's terms protecting appellant from improper public disclosures
and guaranteeing him full judicial review before any public access
is permitted. §§ 104(a)(5), 104(a)(7), 105(a). [Footnote 29] As the District Court
concluded, the First Amendment
Page 433 U. S. 468
claim is clearly outweighed by the important governmental
interests promoted by the Act.
For the same reasons, we find no merit in appellant's argument
that the Act's scheme for custody and archival screening of the
materials
"necessarily inhibits [the] freedom of political activity [of
future Presidents], and thereby reduces the 'quantity and
diversity' of the political speech and association that the Nation
will be receiving from its leaders."
Brief for Appellant 168. It is significant, moreover, that this
concern has not deterred President Ford from signing the Act into
law, or President Carter from urging this Court's affirmance of the
judgment of the District Court.
VII
Bill of Attainder Clause
A
Finally, we address appellant's argument that the Act
constitutes a bill of attainder proscribed by Art. I, § 9, of the
Constitution. [
Footnote 30]
His argument is that Congress acted on the premise that he had
engaged in "
misconduct,'" was an "`unreliable custodian'" of
his own documents, and generally was deserving of a "legislative
judgment of blameworthiness," Brief for Appellant 132-133. Thus, he
argues, the Act is pervaded with the key features of a bill of
attainder: a law that legislatively determines guilt and inflicts
punishment upon an identifiable individual without provision of the
protections of a judicial trial. See
United States v.
Brown, 381
Page 433 U. S. 469
U.S. 437,
381 U. S. 445,
381 U. S. 447
(1965);
United States v. Lovett, 328 U.
S. 303,
328 U. S.
315-316 (1946);
Ex parte
Garland, 4 Wall. 333,
71 U. S. 377
(1867);
Cummings v.
Missouri, 4 Wall. 277,
71 U. S. 323
(1867).
Appellant's argument relies almost entirely upon
United
States v. Brown, supra, the Court's most recent decision
addressing the scope of the Bill of Attainder Clause. It is
instructive, therefore, to sketch the broad outline of that case.
Brown invalidated § 504 of the Labor-Management Reporting
and Disclosure Act of 1959, 29 U.S.C. § 504, that made it a crime
for a Communist Party member to serve as an officer of a labor
union. After detailing the infamous history of bills of attainder,
the Court found that the Bill of Attainder Clause was an important
ingredient of the doctrine of "separation of powers," one of the
organizing principles of our system of government. 381 U.S. at
381 U. S.
442-443. Just as Art. III confines the Judiciary to the
task of adjudicating concrete "cases or controversies," so too the
Bill of Attainder Clause was found to
"reflect . . . the Framers' belief that the Legislative Branch
is not so well suited as politically independent judges and juries
to the task of ruling upon the blameworthiness of, and levying
appropriate punishment upon, specific persons."
381 U.S. at
381 U. S. 445.
Brown thus held that § 504 worked a bill of attainder by
focusing upon easily identifiable members of a class -- members of
the Communist Party -- and imposing on them the sanction of
mandatory forfeiture of a job or office, long deemed to be
punishment within the contemplation of the Bill of Attainder
Clause.
See, e.g., United States v. Lovett, supra at
328 U. S. 316;
Cummings v. Missouri, supra at
71 U. S.
320.
Brown, Lovett, and earlier cases unquestionably gave
broad and generous meaning to the constitutional protection against
bills of attainder. But appellant's proposed reading is far broader
still. In essence, he argues that
Brown establishes that
the Constitution is offended whenever a law imposes undesired
consequences on an individual or on a class
Page 433 U. S. 470
that is not defined at a proper level of generality. The Act in
question therefore is faulted for singling out appellant, as
opposed to all other Presidents or members of the Government, for
disfavored treatment.
Appellant's characterization of the meaning of a bill of
attainder obviously proves far too much. By arguing that an
individual or defined group is attainted whenever he or it is
compelled to bear burdens which the individual or group dislikes,
appellant removes the anchor that ties the bill of attainder
guarantee to realistic conceptions of classification and
punishment. His view would cripple the very process of legislating,
for any individual or group that is made the subject of adverse
legislation can complain that the lawmakers could and should have
defined the relevant affected class at a greater level of
generality. [
Footnote 31]
Furthermore, every person or group made subject to legislation
which he or it finds burdensome may subjectively feel, and can
complain, that he or it is being subjected to unwarranted
punishment.
United States v. Lovett, supra at
328 U. S. 324
(Frankfurter, J., concurring). [
Footnote 32]
Page 433 U. S. 471
However expansive the prohibition against bills of attainder, it
surely was not intended to serve as a variant of the equal
protection doctrine, [
Footnote
33] invalidating every Act of Congress or the States that
legislatively burdens some persons or groups, but not all other
plausible individuals. [
Footnote
34] In short, while the Bill of Attainder Clause serves as an
important "bulwark against tyranny,"
United States v.
Brown, 381 U.S. at
381 U. S. 443,
it does not do so by limiting Congress to the choice of legislating
for the universe, or legislating only benefits, or not legislating
at all.
Thus, in the present case, the Act's specificity -- the fact
that
Page 433 U. S. 472
it refers to appellant by name -- does not automatically offend
the Bill of Attainder Clause. Indeed, viewed in context, the focus
of the enactment can be fairly and rationally understood. It is
true that Title I deals exclusively with appellant's papers. But
Title II casts a wider net by establishing a special commission to
study and recommend appropriate legislation regarding the
preservation of the records of future Presidents and all other
federal officials. In this light, Congress' action to preserve only
appellant's records is easily explained by the fact that, at the
time of the Act's passage, only his materials demanded immediate
attention. The Presidential papers of all former Presidents from
Hoover to Johnson were already housed in functioning Presidential
libraries. Congress had reason for concern solely with the
preservation of appellant's materials, for he alone had entered
into a depository agreement, the Nixon-Sampson agreement, which by
its terms called for the destruction of certain of the materials.
Indeed, as the federal appellees argue,
"appellant's depository agreement . . . created an imminent
danger that the tape recordings would be destroyed if appellant,
who had contracted phlebitis, were to die."
Brief for Federal Appellees 41. In short, appellant constituted
a legitimate class of one, and this provides a basis for Congress'
decision to proceed with dispatch with respect to his materials
while accepting the status of his predecessors' papers and ordering
the further consideration of generalized standards to govern his
successors. Moreover, even if the specificity element were deemed
to be satisfied here, the Bill of Attainder Clause would not
automatically be implicated. Forbidden legislative punishment is
not involved merely because the Act imposes burdensome
consequences. Rather, we must inquire further whether Congress, by
lodging appellant's materials in the custody of the General
Services Administration pending their screening by Government
archivists and the promulgation of further regulations, "inflict
[ed] punishment" within the constitutional
Page 433 U. S. 473
proscription against bills of attainder.
United States v.
Lovett, 328 U.S. at
328 U. S. 315;
see also United States v. Brown, supra at
381 U. S.
456-460;
Cummings v. Missouri, 4 Wall.at
320.
B
1
The infamous history of bills of attainder is a useful starting
point in the inquiry whether the Act fairly can be characterized as
a form of punishment leveled against appellant. For the substantial
experience of both England and the United States with such abuses
of parliamentary and legislative power offers a ready checklist of
deprivations and disabilities so disproportionately severe and so
inappropriate to nonpunitive ends that they unquestionably have
been held to fall within the proscription of Art. I, § 9. A
statutory enactment that imposes any of those sanctions on named or
identifiable individuals would be immediately constitutionally
suspect.
In England, a bill of attainder originally connoted a
parliamentary Act sentencing a named individual or identifiable
members of a group to death. [
Footnote 35] Article I, § 9, however, also
Page 433 U. S. 474
proscribes enactments originally characterized as bills of pains
and penalties, that is, legislative Acts inflicting punishment
other than execution.
United States v. Lovett, supra at
328 U. S.
323-324 (Frankfurter, J., concurring);
Cummings v.
Missouri, supra at
71 U. S. 323;
Z. Chafee, Jr., Three Human Rights in the Constitution of 1787, p.
97 (156). Generally addressed to persons considered disloyal to the
Crown or State, "pains and penalties" historically consisted of a
wide array of punishments: commonly included were imprisonment,
[
Footnote 36] banishment,
[
Footnote 37] and the
punitive confiscation of property by the sovereign. [
Footnote 38] Our country's own experience
with bills of attainder resulted in the addition of another
sanction to the list of impermissible legislative punishments: a
legislative enactment barring designated individuals or groups from
participation in specified employments or vocations, a mode of
punishment commonly employed against those legislatively branded as
disloyal.
See, e.g., Cummings v. Missouri, supra,
(barring
Page 433 U. S. 475
clergymen from ministry in the absence of subscribing to a
loyalty oath);
United States v. Lovett, supra, (barring
named individuals from Government employment);
United States v.
Brown, supra, (barring Communist Party members from offices in
labor unions).
Needless to say, appellant cannot claim to have suffered any of
these forbidden deprivations at the hands of the Congress. While it
is true that Congress ordered the General Services Administration
to retain control over records that appellant claims as his
property, [
Footnote 39] §
105 of the Act makes provision for an award by the District Court
of "just compensation." This undercuts even a colorable contention
that the Government has punitively confiscated appellant's
property, for the "owner [thereby] is to be put in the same
position monetarily as he would have occupied if his property had
not been taken."
United States v. Reynolds, 397 U. S.
14,
397 U. S. 16
(1970);
accord, United States v. Miller, 317 U.
S. 369,
317 U. S. 373
(1943). Thus, no feature of the challenged Act falls within the
historical meaning of legislative punishment.
2
But our inquiry is not ended by the determination that the Act
imposes no punishment traditionally judged to be prohibited by the
Bill of Attainder Clause. Our treatment of the scope of the Clause
has never precluded the possibility that new burdens and
deprivations might be legislatively fashioned that are inconsistent
with the bill of attainder guarantee. The Court, therefore, often
has looked beyond mere historical experience and has applied a
functional test of the existence of punishment, analyzing whether
the law under challenge, viewed in terms of the type and severity
of burdens imposed, reasonably can be said to further
nonpunitive
Page 433 U. S. 476
legislative purposes. [
Footnote 40]
Cummings v. Missouri, 4 Wall. at
71 U. S.
319-320;
Hawker v. New York, 170 U.
S. 189,
170 U. S.
193-194 (1898);
Dent v. West Virginia,
129 U. S. 114,
129 U. S. 128
(1889);
Trop v. Dulles, 356 U. S. 86,
356 U. S. 96-97
(1958) (plurality opinion);
Kennedy v. Mendoza-Martinez,
372 U. S. 144,
372 U. S.
168-169 (1963). Where such legitimate legislative
purposes do not appear, it is reasonable to conclude that
punishment of individuals disadvantaged by the enactment was the
purpose of the decisionmakers.
Application of the functional approach to this case leads to
rejection of appellant's argument that the Act rests upon a
congressional determination of his blameworthiness and a desire to
punish him. For, as noted previously,
see supra at
433 U. S.
452-454, legitimate justifications for passage of the
Act are readily apparent. First, in the face of the Nixon-Sampson
agreement which expressly contemplated the destruction of some of
appellant's materials, Congress stressed the need to preserve
"[i]nformation included in the materials of former President
Nixon [that] is needed to complete the prosecutions
Page 433 U. S. 477
of Watergate-related crimes."
H.R.Rep. No. 93-1507, p. 2 (1974). Second, again referring to
the Nixon-Sampson agreement, Congress expressed its desire to
safeguard the
"public interest in gaining appropriate access to materials of
the Nixon Presidency which are of general historical significance.
The information in these materials will be of great value to the
political health and vitality of the United States."
Ibid. [
Footnote
41] Indeed, these same objectives are stated in the text of the
Act itself, § 104(a), note following 44 U.S.C. § 2107 (1970 ed.,
Supp. V), where Congress instructs the General Services
Administration to promulgate regulations that further these ends
and at the same time protect the constitutional and legal rights of
any individual adversely affected by the Administrator's retention
of appellant's materials.
Evaluated in terms of these asserted purposes, the law plainly
must be held to be an act of nonpunitive legislative policymaking.
Legislation designed to guarantee the availability of evidence for
use at criminal trials is a fair exercise of Congress'
responsibility to the "due process of law in the fair
administration of criminal justice,"
United States v.
Nixon, 418 U.S. at
418 U. S. 713,
and to the functioning of our adversary legal system which depends
upon the availability of relevant evidence in carrying out its
commitments both to fair play and to the discovery of truth within
the bounds set by law.
Branzburg v. Hayes, 408 U.
S. 665,
408 U. S. 688
(1972);
Blackmer v. United States, 284 U.
S. 421,
284 U. S. 438
(1932);
Blair v. United States, 250 U.
S. 273,
250 U. S. 281
(1919). Similarly, Congress' interest
Page 433 U. S. 478
in and expansive authority to act in preservation of monuments
and records of historical value to our national heritage are fully
established.
United States v. Gettysburg Electric R. Co.,
160 U. S. 668
(1896);
Roe v. Kansas, 278 U. S. 191
(1929). [
Footnote 42] A
legislature thus acts responsibly in seeking to accomplish either
of these objectives. Neither supports an implication of a
legislative policy designed to inflict punishment on an
individual.
3
A third recognized test of punishment is strictly a motivational
one: inquiring whether the legislative record evinces a
congressional intent to punish.
See, e.g.,United States v.
Lovett, 328 U.S. at
328 U. S.
308-314;
Kennedy v. Mendoza-Martinez, supra at
372 U. S.
169-170. The District Court unequivocally found:
"There is no evidence presented to us, nor is there any to be
found in the legislative record, to indicate that Congress' design
was to impose a penalty upon Mr. Nixon . . . as punishment for
alleged past wrongdoings. . . . The legislative history leads to
only one conclusion, namely, that the Act before us is regulatory,
and not punitive, in character."
408 F. Supp. at 373 (emphasis omitted). We find no cogent reason
for disagreeing with this conclusion.
First, both Senate and House Committee Reports, in formally
explaining their reasons for urging passage of the Act, expressed
no interest in punishing or penalizing appellant. Rather, the
Reports justified the Act by reference to objectives that fairly
and properly lie within Congress' legislative competence:
preserving the availability of judicial evidence and
Page 433 U. S. 479
of historically relevant materials.
Supra at
433 U. S.
476-478. More specifically, it seems clear that the
actions of both Houses of Congress were predominantly precipitated
by a resolve to undo the recently negotiated Nixon-Sampson
agreement, the terms of which departed from the practice of former
Presidents in that they expressly contemplated the destruction of
certain Presidential materials. [
Footnote 43] Along these lines, H.R.Rep. No. 91507,
supra at 2, stated:
"Despite the overriding public interest in preserving these
materials . . . , [the] Administrator of General Services entered
into an agreement . . . which, if implemented, could seriously
limit access to these records and . . . result in the destruction
of a substantial portion of them."
See also S.Rep. No. 93-1181, p. 4 (1974). The relevant
Committee Reports thus cast no aspersions on appellant's personal
conduct, and contain no condemnation of his behavior as meriting
the infliction of punishment. Rather, they focus almost exclusively
on the meaning and effect of an agreement recently announced by the
General Services Administration which most Members of Congress
perceived to be inconsistent with the public interest.
Nor do the floor debates on the measure suggest that Congress
was intent on encroaching on the judicial function of punishing an
individual for blameworthy offenses. When one of the opponents of
the legislation, mischaracterizing the safeguards embodied in the
bill, [
Footnote 44] stated
that it is "one which partakes of the characteristics of a bill of
attainder . . . ," 120
Page 433 U. S. 480
Cong.Rec. 33872 (1974) (Sen. Hruska), a key sponsor of the
measure responded by expressly denying any intention of determining
appellant's blameworthiness or imposing punitive sanctions:
"This bill does not contain a word to the effect that Mr. Nixon
is guilty of any violation of the law. It does not inflict any
punishment on him. So it has no more relation to a bill of
attainder. . . . than my style of pulchritude is to be compared to
that of the Queen of Sheba."
Id. at 33959-33960 (Sen. Ervin).
In this respect, the Act stands in marked contrast to that
invalidated in
United States v. Lovett, 328 U.S. at
328 U. S. 312,
where a House Report expressly characterized individuals as
"subversive . . . and . . . unfit . . . to continue in Government
employment." H.R.Rep. No. 448, 78th Cong., 1st Sess., 6 (1943). We,
of course, do not suggest that such a formal legislative
announcement of moral blameworthiness or punishment is necessary to
an unlawful bill of attainder.
United States v. Lovett,
supra at
328 U. S. 316.
But the decided absence from the legislative history of any
congressional sentiments expressive of this purpose is probative of
nonpunitive intentions, and largely undercuts a major concern that
prompted the bill of attainder prohibition: the fear that the
legislature, in seeking to pander to an inflamed popular
constituency, will find it expedient openly to assume the mantle of
judge -- or, worse still, lynch mob.
Cf. Z. Chafee,
supra at 161. [
Footnote
45] No such legislative overreaching is involved here.
Page 433 U. S. 481
We also agree with the District Court that "specific aspects of
the Act . . . just do not square with the claim that the Act was a
punitive measure." 408 F. Supp. at 373. Whereas appellant complains
that the Act has, for some two years, deprived him of control over
the materials in question, Brief for Appellant 140, the Congress
placed the materials under the auspices of the General Services
Administration, § 101, note following 44 U.S.C. § 2107 (1970 ed.,
Supp. V), the same agency designated in the Nixon-Sampson agreement
as depository of the documents for a minimum three-year period,
App. 40. Whereas appellant complains that the Act deprives him of
"ready access" to the materials, Brief for Appellant 140, the Act
provides that
"Richard M. Nixon, or any person whom he may designate in
writing, shall at all times have access to the tape recordings and
other materials . . . ,"
§ 102(c). [
Footnote 46]
The District Court correctly construed this as safeguarding
appellant's right to inspect, copy, and use the materials in issue,
408 F.
Supp. at 375, paralleling the right to "make reproductions"
contained in the Nixon-Sampson agreement, App. 40. And even if we
assume that there is merit in appellant's complaint that his
property has been confiscated, Brief for Appellant 140, the Act
expressly provides for the payment of just compensation under §
105(c);
see supra at
433 U. S.
475.
Other features of the Act further belie any punitive
interpretation. In promulgating regulations under the Act, the
General Services Administration is expressly directed by Congress
to protect appellant's or "any party's opportunity to assert any
legally or constitutionally based right or privilege. . . ." §
104(a)(5). More importantly, the Act preserves for appellant all of
the protections that inhere in a judicial proceeding, for § 105(a)
not only assures district
Page 433 U. S. 482
court jurisdiction and judicial review over all his legal
claims, but commands that any such challenge asserted by appellant
"shall have priority on the docket of such court over other cases."
A leading sponsor of the bill emphasized that this expedited
treatment is expressly designed "to protect Mr. Nixon's property,
or other legal rights. . . ." 120 Cong.Rec. 33854 (1974) (Sen.
Ervin). Finally, the Congress has ordered the General Services
Administration to establish regulations that recognize
"the need to give to Richard M. Nixon, or his heirs, for his
sole custody and use, tape recordings and other materials which are
not likely to be related to"
the articulated objectives of the Act, § 104(a)(7). While
appellant obviously is not set at ease by these precautions and
safeguards, they confirm the soundness of the opinion given the
Senate by the law division of the Congressional Research
Service:
"[B]ecause the proposed bill does not impose criminal penalties
or other punishment, it would not appear to violate the Bill of
Attainder Clause."
120 Cong.Rec. 33853 (1974). [
Footnote 47]
One final consideration should be mentioned in light of the
unique posture of this controversy. In determining whether a
legislature sought to inflict punishment on an individual, it is
often useful to inquire into the existence of less burdensome
alternatives by which that legislature (here Congress) could have
achieved its legitimate nonpunitive objectives. Today, in framing
his challenge to the Act, appellant contends that such an
alternative was readily available:
"If Congress had provided that the Attorney General or the
Administrator of General Services could institute a civil suit in
an appropriate federal court to enjoin disposition
Page 433 U. S. 483
. . . of presidential historical materials . . . by any person
who could be shown to be an 'unreliable custodian' or who had
'engaged in misconduct' or who 'would violate a criminal
prohibition,' the statute would have left to judicial
determination, after a fair proceeding, the factual allegations
regarding Mr. Nixon's blameworthiness."
Brief for Appellant 137.
We have no doubt that Congress might have selected this course.
It very well may be, however, that Congress chose not to do so on
the view that a full-fledged judicial inquiry into appellant's
conduct and reliability would be no less punitive and intrusive
than the solution actually adopted. For Congress doubtless was well
aware that, just three months earlier, appellant had resisted
efforts to subject himself and his records to the scrutiny of the
Judicial Branch,
United States v. Nixon, 418 U.
S. 683 (1974), a position apparently maintained to this
day. [
Footnote 48] A
rational and fair-minded Congress, therefore, might well have
decided that the carefully tailored law that it enacted would be
less objectionable to appellant than the alternative that he today
appears to endorse. To be sure, if the record were unambiguously to
demonstrate that the Act represents the infliction of legislative
punishment, the fact that the judicial alternative poses its own
difficulties would be of no constitutional significance. But the
record suggests the contrary, and the unique choice that Congress
faced buttresses our conclusion that the Act cannot fairly be read
to inflict legislative punishment as forbidden by the
Constitution.
We, of course, are not blind to appellant's plea that we
Page 433 U. S. 484
recognize the social and political realities of 1974. It was a
period of political turbulence unprecedented in our history. But
this Court is not free to invalidate Acts of Congress based upon
inferences that we may be asked to draw from our personalized
reading of the contemporary scene or recent history. In judging the
constitutionality of the Act, we may only look to its terms, to the
intent expressed by Members of Congress who voted its passage, and
to the existence or nonexistence of legitimate explanations for its
apparent effect. We are persuaded that none of these factors is
suggestive that the Act is a punitive bill of attainder, or
otherwise facially unconstitutional. The judgment of the District
Court is
Affirmed.
[
Footnote 1]
For proceedings prior to convention of the three-judge court,
see Nixon v. Richey, 168 U.S.App.D.C. 169, 513 F.2d 427,
on reconsideration, 168 U.S.App.D.C. 172, 513 F.2d 430
(1975).
See also Nixon v. Sampson, 389 F.
Supp. 107 (DC 1975).
[
Footnote 2]
No opinion was given respecting ownership of certain permanent
files retained by the Chief Executive Clerk of the White House from
administration to administration. The Attorney General was unable
definitively to determine their status on the basis of
then-available information. 43 Op.Atty.Gen. No. 1 (1974), App.
228.
[
Footnote 3]
The Court of Appeals for the District of Columbia Circuit stayed
any order effectuating the decision in
Nixon v. Sampson
pending decision of the three-judge court whether, under § 105(a),
the instant case was to "have priority on the docket of [the
District] court over other cases,"
Nixon v. Richey, 168
U.S.App.D.C. at 173, 177, 188-190, 513 F.2d at 431, 435, 446-448.
The three-judge court was of the view that "the central purpose of
Congress, in relation to all pending litigation, is to have an
early and prior determination of the Act's constitutionality," and
therefore did not request dissolution of the stay until entry of
judgment. 408 F. Supp. at 333-334, n. 10.
[
Footnote 4]
This interpretation has abundant support in the legislative
history of the Act. Senator Javits, one of the sponsors of S. 4016,
stated:
"[The criteria of § 104(a)] endeavor to protect due process for
individuals who may be named in the papers as well as any privilege
which may be involved in the papers, and, of course, the necessary
access of the former President himself."
"In short, the argument that the bill authorizes absolute
unrestricted public access does not stand up in the face of the
criteria and the requirement for the regulations which we have
inserted in the bill today."
120 Cong.Rec. 33860 (1974).
Senator Nelson, the bill's draftsman, agreed that the primary
purpose to provide for the American people a historical record of
the Watergate events "should not override all regard for the rights
of the individual to privacy and a fair trial."
Id. at
33851. Senator Ervin, also a sponsor and floor manager of the bill,
stated:
"Nobody's right is affected by this bill, because it provides,
as far as privacy is concerned, that the regulations of the
Administrator shall take into account . . . [the] opportunity to
assert any legally or constitutionally based right which would
prevent or otherwise limit access to the tape recordings and other
materials."
Id. at 33969.
See also id. at 33960 (remarks
of Sen. Ervin);
id. at 37902-37903 (remarks of Rep.
Brademas).
[
Footnote 5]
Madison, in The Federalist No. 47, reviewing the origin of the
separation of powers doctrine, remarked that Montesquieu, the
"oracle" always consulted on the subject,
"did not mean that these departments ought to have no
partial agency in, or no
controul over the acts
of each other. His meaning, as his own words import . . . can
amount to no more than this, that where the
whole power of
one department is exercised by the same hands which possess the
whole power of another department, the fundamental
principles of a free constitution, are subverted."
The Federalist No. 47, pp. 325-326 (J. Cooke ed.1961) (emphasis
in original). Similarly, Mr. Justice Story wrote:
"[W]hen we speak of a separation of the three great departments
of government, and maintain that that separation is indispensable
to public liberty, we are to understand this maxim in a limited
sense. It is not meant to affirm that they must be kept wholly and
entirely separate and distinct, and have no common link of
connection or dependence, the one upon the other, in the slightest
degree."
1 J. Story, Commentaries on the Constitution § 525 (M. Bigelow,
5th ed.1905).
[
Footnote 6]
See also, e.g., 1 K. Davis, Administrative Law Treatise
§ 1.09 (1958); G. Gunther, Cases and Materials on Constitutional
Law 400 (9th ed.1975); L. Jaffe, Judicial Control of Administrative
Action 28-30 (1965); Cox, Executive Privilege, 122 U.Pa.L.Rev.
1383, 1387-1391 (1974); Ratner, Executive Privilege,
Self-Incrimination, and the Separation of Powers Illusion, 22 UCLA
L.Rev. 92-93 (1974).
[
Footnote 7]
The District Court correctly interpreted the Act to require
meaningful notice to appellant of archival decisions that might
bring into play rights secured by § 104(a)(5). 408 F. Supp. at 340
n. 23. Such notice is required by the Administrator's regulations,
41 CFR § 105-63.205 (1976), which provide:
"The Administrator of General Services or his designated agent
will provide former President Nixon or his designated attorney or
agent prior notice of, and allow him to be present during, each
authorized access."
[
Footnote 8]
We see no reason to engage in the debate whether appellant has
legal title to the materials.
See Brief for Appellant 90.
Such an inquiry is irrelevant for present purposes because § 105(c)
assures appellant of just compensation if his economic interests
are invaded, and, even if legal title is his, the materials are not
thereby immune from regulation. It has been accepted at least since
Mr. Justice Story's opinion in
Folsom v. Marsh, 9 F. Cas.
342, 347 (No. 4,901) (CC Mass. 1841), that, regardless of where
legal title lies,
"from the nature of the public service, or the character of the
documents, embracing historical, military, or diplomatic
information, it may be the right, and even the duty, of the
government, to give them publicity, even against the will of the
writers."
Appellant's suggestion that the
Folsom principle does
not go beyond materials concerning national security and current
Government business is negated by Mr. Justice Story's emphasis that
it also extended to materials "embracing
historical . . .
information."
Ibid. (Emphasis added.) Significantly, no
such limitation was suggested in the Attorney General's opinion to
President Ford. Although indicating a view that the materials
belonged to appellant, the opinion acknowledged that "Presidential
materials" without qualification "are peculiarly affected by a
public interest" which may justify subjecting "the absolute
ownership rights" to certain "limitations directly related to the
character of the documents as records of government activity." 43
Op.Atty.Gen. No. 1 (1974), App. 220-230.
On the other hand, even if legal title rests in the Government,
appellant is not thereby foreclosed from asserting under § 105(a) a
claim for return of private materials retained by the Administrator
in contravention of appellant's rights and privileges as specified
in § 104(a)(5).
[
Footnote 9]
Like the District Court, we do not distinguish between the
qualified "executive" privilege recognized in
United States v.
Nixon and the "Presidential" privilege to which appellant
refers, except to note that appellant does not argue that the
privilege he claims extends beyond the privilege recognized in that
case.
See 408 F. Supp. at 343 n. 24.
[
Footnote 10]
United States v. Nixon recognized that there is a
legitimate governmental interest in the confidentiality of
communications between high Government officials,
e.g.,
those who advise the President, and that
"[h]uman experience teaches that those who expect public
dissemination of their remarks may well temper candor with a
concern for appearances and for their own interests to the
detriment of the decisionmaking process."
418 U.S. at
418 U. S.
705.
[
Footnote 11]
Indeed, the opinion noted,
id. at
418 U. S. 705
n. 15, that Government confidentiality has been a concern from the
time of the Constitutional Convention in 1787, the meetings of
which were conducted in private, 1 M. Farrand, The Records of the
Federal Convention of 1787, pp. xi-xxv (1911), and the records of
which were sealed for more than 30 years after the Convention.
See 3 Stat. 475, 15th Cong., 1st Sess., Res. 8 (1818).
See generally C. Warren, The Making of the Constitution
134-139 (1937).
[
Footnote 12]
The District Court found that, in the Hoover Library, there are
no restrictions on Presidential papers, although some restrictions
exist with respect to personal and private materials, and, in the
Roosevelt Library, less than 0.5% of the materials is restricted.
There is no evidence in the record as to the percentage of
materials currently under restriction in the Truman or Eisenhower
Libraries, but in the Kennedy Library, 85% of the materials has
been processed, and of the processed materials, only 0.6% is under
donor (as distinguished from security-related) restriction. In the
Johnson Library, review of nonclassified materials is virtually
complete, and more than 99% of all nonsecurity classified materials
is unrestricted. In each of the Presidential libraries, provision
has been made for the removal of the restrictions with the passage
of time. 408 F. Supp. at 346 n. 31.
[
Footnote 13]
Aside from the public access eventually to be provided under §
104, the Act mandates two other access routes to the materials.
First, under § 102(b), access is available in accordance with
lawful process served upon the Administrator. As we have noted,
see n 7,
supra, the appellant is to be advised prior to any access
to the materials, and he is thereafter free to review the specific
materials at issue,
see § 102(c); 41 CFR § 1063.301
(1976), in order to determine whether to assert any rights,
privileges, or defenses. Section 102(b) expressly conditions
ultimate access by way of lawful process upon the right of
appellant to invoke any rights, defenses, or privileges.
Second, § 102(d) of the Act states:
"Any agency or department in the executive branch of the Federal
Government shall at all times have access to the tape recordings
and other materials . . . for lawful Government use. . . ."
The District Court eschewed a broad reading of that section as
permitting wholesale access by any executive official for any
conceivable executive purpose. Instead, it construed § 102(d) in
light of Congress' presumed intent that the Act operate within
constitutional bounds -- an intent manifested throughout the
statute,
see 408 F. Supp. at 337 n. 15. The District Court
thus interpreted § 102(d), and, in particular, the phrase "lawful
use," as requiring that, once appellant is notified of requested
access by an executive official,
see n 7,
supra, he be allowed to assert any
constitutional right or privilege that, in his view, would bar
access.
See 408 F. Supp. at 338 n. 18. We agree with that
interpretation.
[
Footnote 14]
From its exhaustive survey of the legislative history, the
District Court concluded that the public interests served by the
Act could be merged under "the rubric of preservation of an
accurate and complete historical record."
Id. at
348-349.
[
Footnote 15]
S.Rep. No. 93-1181, pp. 3-5 (1974); H.R. Rep. No. 93-1507, p. 3
(1974); 120 Cong.Rec. 37904 (remarks of Rep. Abzug).
See
also § 102(d) of the Act.
Presidents in the past have had to apply to the Presidential
libraries of their predecessors for permission to examine records
of past governmental actions relating to current governmental
problems.
See 408 F. Supp. at 351-352. Although it appears
that most such requests have been granted, Congress could
legitimately conclude that the situation was unstable, and ripe for
change. It is clear from the face of the Act that making the
materials available for the ongoing conduct of Presidential policy
was at least one of the objectives of the Act.
See §
102(d).
[
Footnote 16]
S.Rep. No. 93-1181, pp. 1, 3 (1974); H.R.Rep. No. 93-1507, pp.
2-3, 8 (1974); Hearing on GSA Regulations Implementing Presidential
Recordings and Materials Preservation Act before the Senate
Committee on Government Operations, 94th Cong., 1st Sess., 256
(1975); 120 Cong.Rec. 31549-31550 (1974) (remarks of Sen. Nelson);
id. at 33850-33851;
id. at 33863 (remarks of Sen.
Ervin);
id. at 33874-33875 (remarks of Sen. Huddleston);
id. at 33875-33876 (remarks of Sen. Ribicoff);
id. at 33876 (remarks of Sen. Muskie);
id. at
33964-33965 (remarks of Sen. Nelson);
id. at 37900-37901
(remarks of Rep. Brademas).
See also §§ 101(b)(1),
104(a)(7) of the Act.
[
Footnote 17]
As to these several objectives of the legislature,
see
S.Rep. No. 93-1181, pp. 1, 3-4, 6 (1974); H.R. Rep. No. 93-1507,
pp. 2-3, 8 (1974); 120 Cong.Rec. 31549-31550 (1974) (remarks of
Sen. Nelson);
id. at 33849-33851;
id. at
37900-37901 (remarks of Rep. Brademas);
id. at 37905
(remarks of Rep. McKinney).
See also §§ 102(b), 104(a) of
the Act.
[
Footnote 18]
Insofar as appellant argues a privacy claim based upon the First
Amendment,
see 433 U. S.
infra. In joining this part of the opinion, MR. JUSTICE
STEWART adheres to his views on privacy as expressed in his
concurring opinion in
Whalen v. Roe, 429 U.
S. 589,
429 U. S. 607
(1977).
[
Footnote 19]
The District Court, 408 F. Supp. at 360 n. 54, surveyed evidence
in the record respecting depository restrictions for all Presidents
since President Hoover. It is unclear whether President Hoover
actually excluded any of his personal and private materials from
the scope of his gift, although his offer to deposit materials in a
Presidential library reserved the right to do so. President
Franklin D. Roosevelt also indicated his intention to select
certain materials from his papers to be retained by his family.
Because of his death, this function was performed by designated
individuals and by his secretary. Again, the record is unclear as
to how many materials were removed. A number of personal documents
deemed to be personal family correspondence were turned over to the
Roosevelt family library in 1948, later returned to the official
library in 1954-1955, and have been on loan to the family since
then. It is unclear to what extent these materials were reviewed by
the library personnel.
President Truman withheld from deposit the personal file
maintained in the White House by his personal secretary. This file
was deposited with the library upon his death in 1974, although the
terms of his will excluded a small number of items determined by
the executors of his will to pertain to personal or business
affairs of the Truman family. President Eisenhower's offer to
deposit his Presidential materials excluded materials determined by
him or his representative to be personal or private. President
Kennedy's materials deposited with GSA did not include certain
materials relating to his private affairs, and some recordings of
meetings involving President Kennedy, although physically stored in
the Kennedy Library, have not yet been turned over to the library
or reviewed by Government archivists. President Johnson's offer to
deposit materials excluded items which he determined to be of
special or private interest pertaining to personal or family
affairs.
[
Footnote 20]
Even if prior Presidents had declined to assert their privacy
interests in such materials, their failure to do so would not
necessarily bind appellant, for privacy interests are not solely
dependent for their constitutional protection upon established
practice of governmental toleration.
[
Footnote 21]
We agree with the District Court that the Fourth Amendment's
warrant requirement is not involved. 408 F. Supp. at 361-362.
[
Footnote 22]
Some materials are still in appellant's possession, as the
Administrator has not yet attempted to act on his authority under §
101(b)(1) to take custody of them.
See Brief for Federal
Appellees 4 n. 1. Moreover, the Solicitor General conceded at oral
argument that there are certain purely private materials which
"should be returned to [appellant] once . . . identified." Tr. of
Oral Arg. 58-59. The District Court enjoined the Government from
"processing, disclosing, inspecting, transferring, or otherwise
disposing of any materials . . . which might fall within the
coverage of . . . the . . . Act. . . ."
408 F.
Supp. at 375. As the District Court's stay is no longer in
effect, the Government should now promptly disclaim any interest in
materials conceded to be appellant's purely private communications,
and deliver them to him.
[
Footnote 23]
The Solicitor General implied at oral argument that the
requirement of the guidelines directing the Administrator to
consider the need to return to appellant "for his sole custody and
use . . . materials which are not [Watergate-related] . . . and are
not otherwise of general historical significance," § 104(a)(7), is
further qualified by the requirement under §§ 102(b) and 104(a)(5)
that the regulations promulgated by the Administrator take into
account the need to protect appellant's rights, defenses, or
privileges. Tr. of Oral Arg. 37-38.
[
Footnote 24]
Appellant argues that screening under the Act contrasts with the
screening procedures followed by earlier Presidents who,
"in donating materials to Presidential libraries, have been able
. . . to participate in the selection of persons who would review
the materials for classification purposes."
Brief for Appellant 151 n. 68. We are unable to say that the
record substantiates this assertion. The record is most complete
with respect to President Johnson, who appears to have recommended
the individual who was later selected as Director of the Johnson
Library, but seems not to have played any role in the selection of
the archivists actually performing the day-to-day processing. 408
F. Supp. at 365 n. 60. Moreover, we agree with the District Court
that it is difficult to see how professional archivists performing
a screening task under proper standards would be meaningfully
affected in the performance of their duties by loyalty to
individuals or institutions.
Ibid.
[
Footnote 25]
Appellant argues that, unlike electronic surveillance, where
success depends upon the subject's ignorance of its existence,
appellant could have been allowed to separate his personal from
official materials. But Congress enacted the Act in part to
displace the Nixon-Sampson agreement that expressly provided for
automatic destruction of the tape recordings in the event of
appellant's death and that allowed appellant complete discretion in
the destruction of materials after the initial three-year storage
period.
Moreover, appellant's view of what constitutes official as
distinguished from personal and private materials might differ from
the view of Congress, the Executive Branch, or a reviewing court.
Not only may the use of disinterested archivists lead to
application of uniform standards in separating private from
nonprivate communications, but the Act provides for judicial review
of their determinations. This would not be the case as to
appellant's determinations.
[
Footnote 26]
The District Court found, 408 F. Supp. at 364 n. 58, and we
agree, that it is irrelevant that Title III, unlike this Act,
requires adherence to a detailed warrant requirement, 18 U.S.C. §
2518. That requirement is inapplicable to this Act, since we deal
not with standards governing a generalized right to search by law
enforcement officials or other Government personnel, but with a
particularized legislative judgment, supplemented by judicial
review, similar to condemnation under the power of eminent domain,
that certain materials are of value to the public.
[
Footnote 27]
The fact that the overwhelming majority of the materials is
relevant to Congress' lawful objectives is in contrast to the
experience under the Omnibus Crime Control Act. A recent report on
surveillance conducted under the Omnibus Act indicates that, for
the calendar year 1976, more than one-half of all wire intercepts
authorized by judicial order yielded only nonincriminating
communications. Administrative Office of the U.S. Courts, Report on
Applications for Orders Authorizing or Approving the Interception
of Wire or Oral Communications, Jan. 1, 1976, to Dec. 31, 1976, p.
XII (Table 4).
[
Footnote 28]
Throughout this litigation, appellant has claimed that his
privacy will necessarily be unconstitutionally invaded because the
screening requires a staff of
"over one hundred archivists, accompanied by lawyers,
technicians and secretaries [who] will have a right to review
word-by-word five and one-half years of a man's life. . . ."
Tr. of Oral Arg. 16. The size of the staff is, of course,
necessarily a function of the enormous quantity of materials
involved. But clearly not all engaged in the screening will examine
each document. The Administrator initially proposed that only one
archivist examine most documents.
See 408 F. Supp. at 365
n. 59.
[
Footnote 29]
Appellant argues that
Shuttlesworth v. Birmingham,
394 U. S. 147,
394 U. S.
150-151 (1969);
Cox v. Louisiana, 379 U.
S. 536 (1965);
Staub v. Baxley, 355 U.
S. 313,
355 U. S.
319-321 (1958);
Thomas v. Collins, 323 U.
S. 516,
323 U. S.
538-541 (1945); and
Lovell v. Griffin,
303 U. S. 444,
303 U. S.
452-453 (1938), support his contention that
"[a] statute which vests such broad authority [with respect to
First Amendment rights] is unconstitutional on its face, and the
party subjected to it may treat it as a nullity
even if its
actual implementation would not harm him."
Brief for Appellant 169. The argument is without merit. Those
cases involved regulations that permitted public officials in their
arbitrary discretion to impose prior restraints on expressional or
associational activities. In contrast, the Act is concerned only
with materials that record past activities and with a screening
process guided by longstanding archival screening standards.
[
Footnote 30]
Article I, § 9, applicable to Congress, provides that "[n]o Bill
of Attainder or
ex post facto Law shall be passed," and
Art. I, § 10, applicable to the States, provides that "[n]o State
shall . . . pass any Bill of Attainder,
ex post facto Law.
. . ." The linking of bills of attainder and
ex post facto
laws is explained by the fact that a legislative denunciation and
condemnation of an individual often acted to impose retroactive
punishment.
See Z. Chafee, Jr., Three Human Rights in the
Constitution of 1787, pp. 993 (1956).
[
Footnote 31]
In this case, for example, appellant faults the Act for taking
custody of his papers but not those of other Presidents. Brief for
Appellant 130. But even a congressional definition of the class
consisting of all Presidents would have been vulnerable to the
claim of being overly specific, since the definition might more
generally include all members of the Executive Branch, or all
members of the Government, or all in possession of Presidential
papers, or all in possession of Government papers. This does not
dispose of appellant's contention that the Act focuses upon him
with the requisite degree of specificity for a bill of attainder,
see infra at
433 U. S.
471-472, but it demonstrates that simple reference to
the breadth of the Act's focus cannot be determinative of the reach
of the Bill of Attainder Clause as a limitation upon legislative
action that disadvantages a person or group.
See, e.g., United
States v. Brown, 381 U. S. 437,
381 U. S.
474-475 (1965) (WHITE, J., dissenting);
n 34,
infra.
[
Footnote 32]
"The fact that harm is inflicted by governmental authority does
not make it punishment. Figuratively speaking, all discomforting
action may be deemed punishment ,because it deprives of what
otherwise would be enjoyed. But there may be reasons other than
punitive for such deprivation."
[
Footnote 33]
We observe that appellant originally argued that, "for similar
reasons," the Act violates both the Bill of Attainder Clause and
equal protection of the laws. Jurisdictional Statement 27-28. He
has since abandoned reliance upon the equal protection argument,
apparently recognizing that mere underinclusiveness is not fatal to
the validity of a law under the equal protection component of the
Fifth Amendment,
New Orleans v. Dukes, 427 U.
S. 297 (1976);
Katzenbach v. Morgan,
384 U. S. 641,
384 U. S. 657
(1966), even if the law disadvantages an individual or identifiable
members of a group,
see, e.g., Williamson v. Lee Optical
Co., 348 U. S. 483
(1955) (opticians);
Daniel v. Family Ins. Co.,
336 U. S. 220
(1949) (insurance agents). "For similar reasons" the mere
specificity of a law does not call into play the Bill of Attainder
Clause.
Cf. Comment, The Supreme Court's Bill of Attainder
Doctrine: A Need for Clarification, 54 Calif.L.Rev. 212, 234-236
(1966);
but see Comment, The Bounds of Legislative
Specification: A Suggested Approach to the Bill of Attainder
Clause, 72 Yale L.J. 330 (1962).
[
Footnote 34]
Brown recognized this by making clear that conflict of
interest laws, which inevitably prohibit conduct on the part of
designated individuals or classes of individuals, do not contravene
the bill of attainder guarantee.
Brown specifically noted
the validity of § 32 of the Banking Act of 1933, 12 U.S.C. § 78,
which disqualified identifiable members of a group -- officers and
employees of underwriting organizations -- from serving as officers
of Federal Reserve banks, 381 U.S. at
381 U. S. 453.
Other valid federal conflict of interest statutes which also single
out identifiable members of groups to bear burdens or
disqualifications are collected,
id. at
381 U. S.
467-468, n. 2 (WHITE, J., dissenting).
See also
Regional Rail Reorganization Act Cases, 419 U.
S. 102 (1974) (upholding transfer of rail properties of
eight railroad companies to Government-organized corporation).
[
Footnote 35]
See, for example, the 1685 attainder of James, Duke of
Monmouth, for high treason:
"WHEREAS James duke of Monmouth has in an hostile manner invaded
this kingdom, and is now in open rebellion, levying war against the
king, contrary to the duty of his allegiance; Be it enacted by the
King's most excellent majesty, by and with the advice and consent
of the lords spiritual and temporal, and commons in this parliament
assembled, and by the authority of the same, That the said James
duke of Monmouth stand and be convicted and attainted of high
treason, and that he suffer pains of death, and incur all
forfeitures as a traitor convicted and attainted of high
treason."
1 Jac. 2, c. 2 (1685) (emphasis omitted).
The attainder of death was usually accompanied by a forfeiture
of the condemned person's property to the King and the corruption
of his blood, whereby his heirs were denied the right to inherit
his estate. Blackstone traced the practice of "corruption of blood"
to the Norman conquest. He considered the practice an "oppressive
mark of feudal tenure" and hoped that it "may, in process of time,
be abolished by act of parliament." 4 W. Blackstone Commentaries
*388. The Framers of the United States Constitution responded to
this recommendation. Art. III, § 3.
[
Footnote 36]
See, e.g., 10 & 11 Will. 3, c. 13 (1701):
"An Act for continuing the Imprisonment of
Counter and
others, for the late horrid Conspiracy to assassinate the Person of
his sacred Majesty."
[
Footnote 37]
See, e.g., 4 U. S. Telfair,
4 Dall. 14 (1800) ("
all and every the persons, named and
included in the said act [declaring persons guilty of treason] are
banished from the said state [Georgia]'"); 2 R. Wooddeson, A
Systematical View of the Laws of England 638-639 (1792) (banishment
of Lord Clarendon and the Bishop Atterbury). See Kennedy v.
Mendza-Martinez, 372 U. S. 144,
372 U. S. 168,
n. 23 (1963).
[
Footnote 38]
Following the Revolutionary War, States often seized the
property of alleged Tory sympathizers.
See, e.g., 1 U.
S. 1 Dall. 47 (1780) ("John Parrock was attainted
of High Treason, and his estate seized and advertised for sale");
Respublica v.
Gordon, 1 Dall. 233 (1788) ("attainted of treason
for adhering to the king of Great Britain, in consequence of which
his estate was confiscated to the use of the commonwealth . .
.").
[
Footnote 39]
In fact, it remains unsettled whether the materials in question
are the property of appellant or of the Government.
See
n 8,
supra.
[
Footnote 40]
In determining whether punitive or nonpunitive objectives
underlie a law,
United States v. Brown established that
punishment is not restricted purely to retribution for past events,
but may include inflicting deprivations on some blameworthy or
tainted individual in order to prevent his future misconduct. 381
U.S. at
381 U. S.
458-459. This view is consistent with the traditional
purposes of criminal punishment, which also include a preventive
aspect.
See, e.g., H. Packer, The Limits of the Criminal
Sanction 48-61 (1968). In
Brown, the element of punishment
was found in the fact that
"the purpose of the statute before us is to purge the governing
boards of labor unions of those whom Congress regards as guilty of
subversive acts and associations, and therefore unfit to fill
[union] positions. . . ."
381 U.S. at
381 U. S. 460.
Thus,
Brown left undisturbed the requirement that one who
complains of being attainted must establish that the legislature's
action constituted punishment, and not merely the legitimate
regulation of conduct. Indeed, just three Terms later,
United
States v. O'Brien, 391 U. S. 367,
391 U. S. 383
n. 30 (1968), which, like
Brown, was also written by Mr.
Chief Justice Warren, reconfirmed the need to examine the purposes
served by a purported bill of attainder in determining whether it,
in fact, represents a punitive law.
[
Footnote 41]
The Senate pointed to these same objectives in nullifying the
Nixon-Sampson agreement:
"[1] To begin with, prosecutors, defendants, and the courts
probably would be deprived of crucial evidence bearing on the
defendants' innocence or guilt of the Watergate crimes for which
they stand accused. [2] Moreover, the American people would be
denied full access to all facts about the Watergate affair, and the
efforts of Congress, the executive branch, and others to take
measures to prevent a recurrence of the Watergate affair may be
inhibited."
S.Rep. No. 93-1181, p. 4 (1974).
[
Footnote 42]
These cases upheld exercises of the power of eminent domain in
preserving historical monuments and like facilities for public use.
The power of eminent domain, however, is not restricted to tangible
property or realty, but extends both to intangibles and to personal
effects as involved here.
See Cincinnati v. Louisville &
Nashville R. Co., 223 U. S. 390,
223 U. S. 400
(1912);
Porter v. United States, 473 F.2d 1329 (CA5
1973).
[
Footnote 43]
Particularly troublesome was the provision of the agreement
requiring the automatic destruction of tape recordings upon
appellant's death.
[
Footnote 44]
In condemning the enactment as a bill of attainder, Senator
Hruska argued that the bill seizes appellant's papers and
distributes them to litigants without affording appellant the
opportunity judicially "to assert a defense or privilege to the
production of the papers." 120 Cong.Rec. 33871 (1974). In fact, the
Act expressly recognizes appellant's right to present all such
defenses and privileges through an expedited judicial proceeding.
See infra at
433 U. S.
481-482.
[
Footnote 45]
The Court, in
United States v. Brown, 381 U.S. at
381 U. S. 444,
referred to Alexander Hamilton's concern that legislatures might
cater to the "momentary passions" of a "
free people, in times
of heat and violence. . . .'" In this case, it is obvious that the
supporters of this Act steadfastly avoided inflaming or appealing
to any "passions" in the community. Indeed, rather than seek
expediently to impose punishment and to circumvent the courts,
Congress expressly provided for access to the Judiciary for
resolution of any constitutional and legal rights appellant might
assert. S.Rep. No. 93-1181, pp. 2-6 (1974).
[
Footnote 46]
Regulations guaranteeing appellant's unrestricted access to the
materials have been promulgated by the Administrator, and have not
been challenged.
See 41 CFR § 105-63.3 (1976).
[
Footnote 47]
In brief, the legislative history of the Act offers a paradigm
of a Congress aware of constitutional constraints on its power and
carefully seeking to act within those limitations.
See
generally Brest, The Conscientious Legislator's Guide to
Constitutional Interpretation, 27 Stan.L.Rev. 585 (1975).
[
Footnote 48]
For example, in his deposition taken in this case, appellant
refused to answer questions pertaining to the accuracy and
reliability of his prior public statements as President concerning
the contents of the tape recordings and other materials in issue.
He invoked a claim of privilege, and asserted that the questions
were irrelevant to the judicial inquiry.
See, e.g., App.
586-590.
MR. JUSTICE STEVENS, concurring.
The statute before the Court does not apply to all Presidents or
former Presidents. It singles out one, by name, for special
treatment. Unlike all other former Presidents in our history, he is
denied custody of his own Presidential papers; he is subjected to
the burden of prolonged litigation over the administration of the
statute; and his most private papers and conversations are to be
scrutinized by Government archivists. The statute implicitly
condemns him as an unreliable custodian of his papers. Legislation
which subjects a named individual to this humiliating treatment
must raise serious questions under the Bill of Attainder
Clause.
Bills of attainder were typically directed at once powerful
leaders of government. By special legislative Acts, Parliament
deprived one statesman after another of his reputation, his
property, and his potential for future leadership. The motivation
for such bills was as much political as it was punitive -- and
often the victims were those who had been the most relentless in
attacking their political enemies at the height of
Page 433 U. S. 485
their own power. [
Footnote 2/1]
In light of this history, legislation like that before us must be
scrutinized with great care.
Our cases
"stand for the proposition that legislative acts, no matter what
their form, that apply either to named individuals or to easily
ascertainable members of a group in such a way as to inflict
punishment on them without a judicial trial are bills of attainder
prohibited by the Constitution."
United States v. Lovett, 328 U.
S. 303,
328 U. S.
315-316. The concept of punishment involves not only the
character of the deprivation, but also the manner in which that
deprivation is imposed. It has been held permissible for Congress
to deprive Communist deportees, as a group, of their social
security benefits,
Flemming v. Nestor, 363 U.
S. 603, but it would surely be a bill of attainder for
Congress to deprive a single, named individual of the same benefit.
Cf. id. at
363 U. S. 614.
The very
Page 433 U. S. 486
specificity of the statute would mark it as punishment, for
there is rarely any valid reason for such narrow legislation; and
normally the Constitution requires Congress to proceed by general
rulemaking, rather than by deciding individual cases.
United
States v. Brown, 381 U. S. 437,
381 U. S.
442-446.
Like the Court, however, I am persuaded that "appellant
constituted a legitimate class of one. . . ."
Ante at
433 U. S. 472.
The opinion of the Court leaves unmentioned the two facts which I
consider decisive in this regard. Appellant resigned his office
under unique circumstances, and accepted a pardon [
Footnote 2/2] for any offenses committed while in
office. By so doing, he placed himself in a different class from
all other Presidents.
Cf. Orloff v. Willoughby,
345 U. S. 83,
345 U. S. 90-91.
Even though unmentioned, it would be unrealistic to assume that
historic facts of this consequence did not affect the legislative
decision. [
Footnote 2/3]
Since these facts provide a legitimate justification for the
specificity of the statute, they also avoid the conclusion that
this otherwise nonpunitive statute is made punitive by its
specificity. If I did not consider it appropriate to take judicial
notice of those facts, I would be unwilling to uphold the power of
Congress to enact special legislation directed only at one former
President at a time when his popularity was at its nadir. For even
when it deals with Presidents or former Presidents, the legislative
focus should be upon "the calling," rather than "the person."
Cf. 71 U. S.
Missouri, 4 Wall. 277,
71 U. S. 320.
In short, in my view, this case will not be a precedent for future
legislation which relates not to the Office of President, but just
to one of its occupants.
Page 433 U. S. 487
Without imputing a similar reservation to the Court, I join its
opinion with the qualification that these unmentioned facts have
had a critical influence on my vote to affirm.
[
Footnote 2/1]
At the debate on the impeachment of the Earl of Danby, the Earl
of Carnarvon recounted this history:
"My Lords, I understand but little of Latin, but a good deal of
English, and not a little of the English history, from which I have
learnt the mischiefs of such kind of prosecutions as these, and the
ill fate of the prosecutors. I shall go no farther back than the
latter end of Queen Elizabeth's reign, at which time the Earl of
Essex was run down by Sir Walter Raleigh, and your Lordships very
well know what became of Sir Walter Raleigh. My Lord Bacon, he ran
down Sir Walter Raleigh, and your Lordships know what became of my
Lord Bacon. The Duke of Buckingham, he ran down my Lord Bacon, and
your Lordships know what happened to the Duke of Buckingham. Sir
Thomas Wentworth, afterwards Earl of Strafford, ran down the Duke
of Buckingham, and you all know what became of him. Sir Harry Vane,
he ran down the Earl of Strafford, and your Lordships know what
became of Sir Harry Vane. Chancellor Hyde, he ran down Sir Harry
Vane, and your Lordships know what became of the Chancellor. Sir
Thomas Osborne, now Earl of Danby, ran down Chancellor Hyde; but
what will become of the Earl of Danby, your Lordships best can
tell. But let me see that man that dare run the Earl of Danby down,
and we shall soon see what will become of him."
(Footnote omitted.) As quoted in Z. Chafee, Jr., Three Human
Rights in the Constitution of 1787, p. 127 (1956).
[
Footnote 2/2]
See Burdick v. United States, 236 U. S.
79,
236 U. S.
94.
[
Footnote 2/3]
Cf. 3 U. S. Bull, 3
Dall. 386,
3 U. S. 390:
"That Charles 1st, king of England, was beheaded; that Oliver
Cromwell was Protecter of England; that Louis 16th, late King of
France, was guillotined; are all facts, that have happened; but it
would be nonsense to suppose that the States were prohibited from
making any law after either of these events, and with reference
thereto."
MR. JUSTICE WHITE, concurring in part and concurring in the
judgment.
I concur in the judgment and, except for
433 U.
S. in the Court's opinion. With respect to the bill of
attainder issue, I concur in the result reached in
433 U.
S. the statute does not impose "punishment" and is not,
therefore, a bill of attainder.
See United States v.
Brown, 381 U. S. 437,
381 U. S. 462
(1965) (WHITE, J., dissenting). I also append the following
observations with respect to one of the many issues in this
case.
It is conceded by all concerned that a very small portion of the
vast collection of Presidential materials now in possession of the
Administrator consists of purely private materials, such as
diaries, recordings of family conversations, private correspondence
-- "personal property of an kind not involving the actual
transaction of government business." Tr. of Oral Arg. 55. It is
also conceded by the federal and other appellees that these private
materials, once identified, must be returned to Mr. Nixon.
Id. at 38-40, 57-59. The Court now declares that
"the Government [without awaiting a court order] should now
promptly disclaim any interest in materials conceded to be
appellant's purely private communications and deliver them to
him."
Ante at
433 U. S. 459
n. 22. I agree that the separation and return of these materials
should proceed without delay. Furthermore, even if, under the Act,
this process can occur only after the issuance of regulations under
§ 104 that are subject to congressional approval, surely
regulations covering this narrow subject matter need not take long
to effectuate.
Also, § 104(a)(7) suggests that the private materials to be
returned to Mr. Nixon are limited to those that "are not otherwise
of general historical significance." But, as I see it, the validity
of the Act would be questionable if mere historical
Page 433 U. S. 488
significance sufficed to withhold purely private letters or
diaries; and in view of the other provisions of the Act,
particularly § 104(a)(5), it need not be so construed. Purely
private materials, whether or not of historical interest, are to be
delivered to Mr. Nixon. The federal and other appellees conceded as
much at oral argument.
*
Page 433 U. S. 489
Similarly, although the Court relies to some extent on the
statutory recognition of the constitutional right to compensation
in the event it is determined that the Government has
Page 433 U. S. 490
confiscated Mr. Nixon's property, I would question whether a
mere historical interest in purely private communications would be
a sufficient predicate for taking them for public use. Historical
considerations are normally sufficient grounds for condemning
property,
United States v. Gettysburg Electric R. Co.,
160 U. S. 668
(1896);
Roe v. Kansas, 278 U. S. 191
Page 433 U. S. 491
(1929); but whatever may be true of the great bulk of the
materials in the event they are declared to be Mr. Nixon's
property, I doubt that the Government is entitled to his purely
private communications merely because it wants to preserve them and
offers compensation.
*
"QUESTION: Well now, suppose Mr. Nixon has prepared a diary
every day and put down what, exactly what he did, and let's suppose
that someone thought that was a purely personal account. Now, I can
just imagine that someone might think that it nevertheless is of
general historical significance."
"MR. McCREE: May I refer the Court to need No. 5?"
"The need to protect any party's opportunity to assert any
legally or constitutionally based right or privilege which would
prevent or otherwise limit access to such recordings and
materials."
"And I submit that this Act affords Richard M. Nixon the
opportunity to assert the contention that this diary of his is
personal, and has not the kind of general historical significance
that will permit his deprivation; and that would then have to be
adjudicated in a court."
"QUESTION: Well, do -- "
"MR. McCREE: And ultimately this Court will answer that
question."
"QUESTION: Well, how do you -- so you would agree, then, that
104 must be construed -- must be construed to sooner or later
return to Mr. Nixon what we might call purely private papers?"
"MR. McCREE: Indeed I do."
"QUESTION: Can you imagine any diary -- thinking of Mr. Truman's
diary, which, it is reported, was a result of being dictated every
evening, after the day's work -- can you conceive of any such
material that would not be of general historical interest?"
"MR. McCREE: I must concede, being acquainted with some
historians, that it's difficult to conceive of anything that might
not be of historical interest. But -- "
"[Laughter.]"
"QUESTION: Yes. Archivists and historians, like journalists, --
"
"MR. McCREE: Indeed they are."
"QUESTION: -- think that everything is."
"[Laughter.]"
"MR. McCREE: But this legislation recognizes that a claim of
privacy, a claim of privilege must be protected, and if the
regulations are insufficient to do that, again a court will have an
opportunity to address itself to a particular item such as the
diary before it can be turned over."
"And for that reason, we suggest that the attack at this time is
premature, because the statute, in recognizing the right of
privacy, is facially adequate. And the attack that was made the day
after it became effective brought to this Court a marvelous
opportunity to speculate about what might happen, but the
regulations haven't even been promulgated and acquiesced in so that
they have become effective."
Tr. of Oral Arg. 380.
"[Mr. HERZSTEIN, for the private appellees:]"
"But there's just no question about the return of personal
diaries, Dictabelts, so long as they are not the materials involved
in the transaction of government business."
"Now, the statute, I agree, could have been drafted a little
more clearly, but we think there are several points which make it
quite clear that his personal materials are to be returned to
him."
"One is the fact that statute refers to the presidential
historical materials of Richard Nixon, not to the person[al] or
private materials."
"The second is that, as Judge McCree mentioned, criterion 7
calls for a return of materials to him, and if you read those two
in conjunction with the legislative history, there are statements
on the Floor of the Senate, on the floor of the House, and in the
Committee Reports indicating the expectation that Nixon's personal
records would be returned to him."
"QUESTION: Could you give us a capsule summary of the difference
between what you have just referred to as Nixon's personal records,
which will be returned, and the matter which will not be
returned?"
"MR. HERZSTEIN: Well, yes. Certainly any personal letters, among
his family or friends, certainly a diary made at the end of the
day, as it were, after the event -- "
"QUESTION: Even though the Dictabelt was paid for out of White
House appropriations?"
"MR. HERZSTEIN: That's right. That doesn't bother us. I think
it's incidental now. But we do have a different view on the tapes,
which actually recorded the transaction of government business by
government employees on government time and so on. The normal tapes
that we've heard so much about."
"The Dictabelts, Mr. Nixon has said, are his personal diary.
Instead of writing it down, in other words, he dictated it at the
end of the day. And we think that's -- "
"QUESTION: I want to be sure about that concession, because this
certainly is of historical interest."
"MR. HERZSTEIN: That's right, it is, but we do not feel it's
covered by the statute. We have acknowledged that from the
start."
"QUESTION: Is this concession shared by the Solicitor General,
do you think?"
"MR. HERZSTEIN: We believe it is."
"QUESTION: What about that?"
"MR. McCREE: About the fact that the paper belongs to the
government and so forth, we don't believe that makes a document a
government documen[t]. We certainly agree with that."
"Beyond that, if the Court please -- "
"QUESTION: What about the Dictabelts representing his daily
diary?"
"MR. McCREE: I would think that's a personal matter that would
be -- should be returned to him once it was identified."
"QUESTION: Well, is there any problem about, right this very
minute, of picking those up and giving them back to Mr. Nixon?"
"MR. McCREE: I know of no problem. Whether it would have to
await the adoption of the regulation, which has been stymied by Mr.
Nixon's lawsuit, which has been delayed for three years, -- "
"QUESTION: How has that stymied the issuance of regulations, Mr.
Solicitor General?"
"MR. McCREE: One of the dispositions of the district court was
to stay the effectiveness of regulations. Now, I think it held up
principally the regulations for public access. The other
regulations are not part of this record, and I cannot speak to the
Court with any knowledge about them."
Id. at 57-59.
MR. JUSTICE BLACKMUN, concurring in part and concurring in the
judgment.
My posture in this case is essentially that of MR. JUSTICE
POWELL,
post, p.
433 U. S. 492.
I refrain from joining his opinion, however, because I fall
somewhat short of sharing his view,
post at
433 U. S. 498
and
433 U. S.
501-502, that the incumbent President's submission, made
through the Solicitor General, that the Act serves, rather than
hinders, the Chief Executive's Art. II functions, is dispositive of
the separation of powers issue. I would be willing to agree that it
is significant and that it is entitled to serious consideration,
but I am not convinced that it is dispositive. The fact that
President Ford signed the Act does not mean that he necessarily
approved of its every detail. Political realities often guide a
President to a decision not to veto.
One must remind oneself that our Nation's history reveals a
number of instances where Presidential transition has not been
particularly friendly or easy. On occasion, it has been openly
hostile. It is my hope and anticipation -- as it obviously is of
the others who have written in this case -- that this Act,
concerned as it is with what the Court describes,
ante at
433 U. S. 472,
as "a legitimate class of one," will not become a model for the
disposition of the papers of each President who leaves office at a
time when his successor or the Congress is not of his political
persuasion.
I agree fully with my Brother POWELL when he observes,
post at
433 U. S. 503,
that the "difficult constitutional questions lie ahead" for
resolution in the future. Reserving judgment on
Page 433 U. S. 492
those issues for a more appropriate time -- certainly not now --
I, too, join the judgment of the Court, and agree with much of its
opinion. I specifically join Part VII of the Court's opinion.
MR. JUSTICE POWELL, concurring in part and concurring in the
judgment.
I join the judgment of the Court and all but Parts
433 U.
S. S. 455|>V of its opinion. For substantially the
reasons stated by the Court, I agree that the Presidential
Recordings and Materials Preservation Act (Act), on its face, does
not violate appellant's rights under the First, Fourth, and Fifth
Amendments and the Bill of Attainder Clause. [
Footnote 3/1] For reasons quite different from those
stated by the Court, I also would hold that the Act is consistent,
on its face, with the principle of separation of powers.
I
The Court begins its analysis of the issues by limiting its
inquiry to those constitutional claims that are addressed to
"the facial validity of the provisions of the Act requiring the
Administrator to take the recordings and materials into the
Government's custody subject to screening by Government
archivists."
Ante at
433 U. S. 439.
I agree that the inquiry must be limited in this manner, but I
would add two qualifications that, in my view, further restrict the
reach of today's decision.
First, Title I of Pub.L. 93-526 (the Act) does not purport to be
a generalized provision addressed to the complex problem of
disposition of the accumulated papers of Presidents or other
federal officers. Unlike Title II of Pub.L. 93-526 (the Public
Documents Act), which authorizes a study of that problem,
Page 433 U. S. 493
Title I is addressed specifically and narrowly to the need to
preserve the papers of former President Nixon after his resignation
under threat of impeachment. It is legislation, as the Court
properly observes, directed against "a legitimate class of one."
Ante at
433 U. S.
472.
President Nixon resigned on August 9, 1974. Less than two weeks
earlier, the House Judiciary Committee had voted to recommend his
impeachment, H.R.Rep. No. 93-1305, pp. 10-11 (1974), including
among the charges of impeachable offenses allegations that the
President had obstructed investigation of the Watergate break-in
and had engaged in other unlawful activities during his
administration.
Id. at 1-4. One month after President
Nixon's resignation, on September 8, 1974, President Ford granted
him a general pardon for all offenses against the United States
that he might have committed in his term of office.
On the same day, the Nixon-Sampson agreement was made public.
The agreement provided for the materials to be deposited
temporarily with the General Services Administration in a
California facility, but gave the former President the right to
withdraw or direct the destruction of any materials after an
initial period of three years or, in the case of tape recordings,
five years. During this initial period, access would be limited to
President Nixon and persons authorized by him, subject only to
legal process ordering materials to be produced. Upon President
Nixon's death, the tapes were to be destroyed immediately. 10
Weekly Comp. of Pres. Doc. 1104-1105 (1974).
Those who drafted and sponsored Title I in Congress uniformly
viewed its provisions as emergency legislation, necessitated by the
extraordinary events that led to the resignation and pardon and to
the former President's arrangement for the disposition of his
papers. Senator Nelson, for example, referred to the bill as "an
emergency measure" whose principal
Page 433 U. S. 494
purpose was to assure "protective custody" of the materials. 120
Cong.Rec. 33848, 33850-33851 (1974).
"[T]here is an urgency in the situation now before us. Under the
existing agreement between the GSA and Mr. Nixon, if Mr. Nixon died
tomorrow, those tapes -- if I read the agreement correctly -- are
to be destroyed immediately; it is also possible that the Nixon
papers could be destroyed by 1977. This would be a catastroph[e]
from an historical standpoint."
Id. at 33857.
Senator Erving similarly remarked:
"This bill really deals with an emergency situation, because
some of these documents are needed in the courts and by the general
public in order that they might know the full story of what is
known collectively as the Watergate affair."
Id. at 33855. Efforts to apply the legislation more
generally to all Presidents or to other federal officers were
resisted on the Senate floor. Thus, speaking again of the unique
needs created by the Nixon-Sampson agreement and the Watergate
scandals, Senator Javits stressed that "we seek to deal in this
particular legislation, only with this particular set of papers of
this particular ex-President."
Id. at 33860.
See
generally S.Rep. No. 93-1181 (1974).
It is essential in addressing the constitutional issues before
us not to lose sight of the limited justification for and
objectives of this legislation. The extraordinary events that led
to the resignation and pardon, and the agreement providing that the
record of those events might be destroyed by President Nixon,
created an impetus for congressional action that may -- without
overstatement -- be termed unique. I therefore do not share my
Brother REHNQUIST's foreboding that this Act "will daily stand as a
veritable sword of Damocles over every succeeding President and his
advisers."
Post at
433 U. S. 545.
If the study authorized by Title II should lead to
Page 433 U. S. 495
more general legislation, there will be time enough to consider
its validity if a proper case comes before us.
My second reservation follows from the first. Because Congress
acted in what it perceived to be an emergency, it concentrated on
the immediate problem of establishing governmental custody for the
purpose of safeguarding the materials. It deliberately left to the
rulemaking process, and to subsequent judicial review, the
difficult and sensitive task of reconciling the long-range
interests of President Nixon, his advisors, the three branches of
Government, and the American public, once custody was established.
As the District Court observed:
"The Act, in terms, merely directs GSA to take custody of the
materials that fall within the scope of section 101, and to
promulgate regulations after taking into consideration the seven
factors listed in section 104(a). Those factors provide broad
latitude to the Administrator in establishing the processes and
standards under which the materials will be reviewed and public
access to them afforded. . . ."
408 F.
Supp. 321, 335 (1976) (footnote omitted). In view of the
latitude that the Act gives to GSA in framing regulations, I agree
with the District Court that the question to be resolved in this
case is a narrow one:
"Is the regulatory scheme enacted by Congress unconstitutional
without reference to the content of any conceivable set of
regulations falling within the scope of the Administrator's
authority under section 104(a)?"
Id. at 334-335.
No regulations have yet taken effect under § 104(a).
Ante at
433 U. S. 437.
In these circumstances, I believe it is appropriate to address
appellant's constitutional claims, as did the District Court, with
an eye toward the kind of regulations and screening practices that
would be consistent with the Act and yet that would afford
protection to the important
Page 433 U. S. 496
constitutional interests asserted. Section 104(a)(5) of the Act
directs the Administrator to take into account
"the need to protect any party's opportunity to assert any
legally or constitutionally based right or privilege which would
prevent or otherwise limit access to such recordings and
materials."
The District Court observed that, in considering this factor,
the Administrator might well provide for meaningful participation
by appellant in the screening process and in the selection of the
archivists who would review the materials. The court also observed
that procedures might be adopted that would minimize any intrusion
into private materials and that would permit appellant an
opportunity to obtain administrative and judicial review of all
proposed classifications of the materials. 408 F. Supp. at 339-340.
[
Footnote 3/2] Finally,
Page 433 U. S. 497
the court noted that substantive restrictions on access might be
adopted, consistent with traditional restrictions placed on access
to Presidential papers, and that such restrictions could forbid
public disclosure of any confidential communications between
appellant and his advisors "for a fixed period of years, or until
the death of Mr. Nixon and others participating in or the subject
of communications."
Id. at 338. [
Footnote 3/3]
I have no doubt that procedural safeguards and substantive
restrictions such as these are within the authority of the
Administrator to adopt under the broad mandate of § 104(a). While
there can be no positive assurance that such protections will, in
fact, be afforded, we nonetheless may assume, in reviewing the
facial validity of the Act, that all constitutional and legal
rights will be given full protection. Indeed, that assumption is
the basis on which I join today's judgment
Page 433 U. S. 498
upholding the facial validity of the Act. As the Court makes
clear in its opinion, the Act plainly requires the Administrator,
in designing the regulations, to
"consider the need to protect the constitutional rights of
appellant and other individuals against infringement by the
processing itself or, ultimately, by public access to the materials
retained."
Ante at
433 U. S.
436.
II
I agree that the Act cannot be held unconstitutional on its face
as a violation of the principle of separation of powers or of the
Presidential privilege that derives from that principle. This is
not a case in which the Legislative Branch has exceeded its
enumerated powers by assuming a function reserved to the Executive
under Art. II.
E.g., Buckley v. Valeo, 424 U. S.
1 (1976);
Myers v. United States, 272 U. S.
52 (1926). The question of governmental power in this
case is whether the Act, by mandating seizure and eventual public
access to the papers of the Nixon Presidency, impermissibly
interferes with the President's power to carry out his Art. II
obligations. In concluding that the Act is not facially invalid on
this ground, I consider it dispositive, in the circumstances of
this case, that the incumbent President has represented to this
Court, through the Solicitor General, that the Act serves, rather
than hinders, the Art. II functions of the Chief Executive.
I would begin by asking whether, putting to one side other
limiting provisions of the Constitution, Congress has acted beyond
the scope of its enumerated powers.
Cf. Reid v. Covert,
354 U. S. 1,
354 U. S. 70
(1957) (Harlan, J., concurring). Apart from the legislative
concerns mentioned by the Court,
ante at
433 U. S.
476-478, I believe that Congress unquestionably has
acted within the ambit of its broad authority to investigate, to
inform the public, and, ultimately, to legislate against suspected
corruption and abuse of power in the Executive Branch.
Page 433 U. S. 499
This Court has recognized inherent power in Congress to pass
appropriate legislation to
"preserve the departments and institutions of the general
government from impairment or destruction, whether threatened by
force or by corruption."
Burroughs v. United States, 290 U.
S. 534,
290 U. S. 545
(1934). Congress has the power, for example, to restrict the
political activities of civil servants,
e.g., CSC v. Letter
Carriers, 413 U. S. 548
(1973); to punish bribery and conflicts of interest,
e.g.,
Burton v. United States, 202 U. S. 344
(1906); to punish obstructions of lawful governmental functions,
Haas v. Henkel, 216 U. S. 462
(1910); and -- with important exceptions -- to make executive
documents available to the public,
EPA v. Mink,
410 U. S. 73
(1973). The Court also has recognized that, in aid of such
legislation, Congress has a broad power "to inquire into and
publicize corruption, maladministration or inefficiency in agencies
of the Government."
Watkins v. United States, 354 U.
S. 178,
354 U. S. 200
n. 33 (1957).
See also Buckley v. Valeo, supra at
424 U. S.
137-138;
Eastland v. United States Servicemen's
Fund, 421 U. S. 491
(1975).
The legislation before us rationally serves these investigative
and informative powers. Congress legitimately could conclude that
the Nixon-Sampson agreement, following the recommendation of
impeachment and the resignation of President Nixon, might lead to
destruction of those of the former President's papers that would be
most likely to assure public understanding of the unprecedented
events that led to the premature termination of the Nixon
administration. Congress similarly could conclude that preservation
of the papers was important to its own eventual understanding of
whether that administration had been characterized by deficiencies
susceptible of legislative correction. Providing for retention of
the materials by the Administrator and for the selection of
appropriate materials for eventual disclosure to the public was a
rational means of serving these legitimate congressional
objectives.
Page 433 U. S. 500
Congress still might be said to have exceeded its enumerated
powers, however, if the Act could be viewed as an assumption by the
Legislative Branch of functions reserved exclusively to the
Executive by Art. II. In
Youngstown Sheet & Tube Co. v.
Sawyer, 343 U. S. 579
(1952), for example, the Court buttressed its conclusion that the
President had acted beyond his power under Art. II by
characterizing his seizure of the steel mills as an exercise of a
"legislative" function reserved exclusively to Congress by Art. I.
343 U.S. at
343 U. S.
588-589. And last Term we reaffirmed the fundamental
principle that the appointment of executive officers is an
"Executive" function that Congress is without power to vest in
itself.
Buckley v. Valeo, supra at
424 U. S.
124-141. But the Act before us presumptively avoids
these difficulties by entrusting the task of ensuring that its
provisions are faithfully executed to an officer of the Executive
Branch. [
Footnote 3/4]
I therefore conclude that the Act cannot be held invalid on the
ground that Congress has exceeded its affirmative grant of power
under the Constitution. But it is further argued that Congress
nonetheless has contravened the limitations on legislative power
implicitly imposed by the creation of a coequal Executive Branch in
Art. II. It is said that, by opening up the operations of a past
administration to eventual public scrutiny, the Act impairs the
ability of present and future Presidents to obtain unfettered
information and candid advice, and thereby limits executive power
in contravention of Art. II and the principle of separation of
powers. I see no material distinction between such an argument and
the collateral claim that the Act violates the residential
privilege in confidential communications.
In
United States v. Nixon, 418 U.
S. 683 (1974) (
Nixon I),
Page 433 U. S. 501
we recognized a presumptive, yet qualified, privilege for
confidential communications between the President and his advisors.
Observing that
"those who expect public dissemination of their remarks may well
temper candor with a concern for appearances and for their own
interests to the detriment of the decisionmaking process,"
id. at
418 U. S. 705,
we recognized that a President's generalized interest in
confidentiality is "constitutionally based" to the extent that it
relates to "the effective discharge of a President's powers."
Id. at
418 U. S. 711.
We held nonetheless that "[t]he generalized assertion of privilege
must yield to the demonstrated, specified need for evidence in a
pending criminal trial."
Id. at
418 U. S.
713.
Appellant understandably relies on
Nixon I. Comparing
the narrow scope of the judicial subpoenas considered there with
the comprehensive reach of this Act -- encompassing all of the
communications of his administration -- appellant argues that there
is no "demonstrated, specific need" here that can outweigh the
extraordinary intrusion worked by this legislation. On the ground
that the result will be to destroy "the effective discharge of the
President's powers," appellant urges that the Act be held
unconstitutional on its face.
These arguments undoubtedly have considerable force, but I do
not think they can support a decision invalidating this Act on its
face. Section 1 of Art. II vests all of the executive power in the
sitting President, and limits his term of office to four years. It
is his sole responsibility to "take Care that the Laws be
faithfully executed." Art. II, § 3. Here, as previously noted,
President Carter has represented to this Court through the
Solicitor General that the Act is consistent with "the effective
discharge of the President's powers:"
"Far from constituting a breach of executive autonomy, the Act .
. . is an appropriate means of ensuring that the Executive Branch
will have access to the materials necessary to the performance of
its duties."
Brief for Federal Appellees 29.
Page 433 U. S. 502
This representation is similar to one made earlier on behalf of
President Ford, who signed the Act. Motion of Federal Appellees to
Affirm 15. I would hold that these representations must be given
precedence over appellant's claim of Presidential privilege. Since
the incumbent President views this Act as furthering, rather than
hindering, effective execution of the laws, I do not believe it is
within the province of this Court to hold otherwise.
This is not to say that a former President lacks standing to
assert a claim of Presidential privilege. I agree with the Court
that the former President may raise such a claim, whether before a
court or a congressional committee. In some circumstances, the
intervention of the incumbent President will be impractical, or his
views unknown, and, in such a case, I assume that the former
President's views on the effective operation of the Executive
Branch would be entitled to the greatest deference. It is
uncontroverted, I believe, that the privilege in confidential
Presidential communications survives a change in administrations. I
would only hold that, in the circumstances here presented, the
incumbent, having made clear in the appropriate forum his
opposition to the former President's claim, alone can speak for the
Executive Branch. [
Footnote
3/5]
Page 433 U. S. 503
I am not unmindful that "[i]t is emphatically the province and
duty of the judicial department to say what the law is."
Marbury v.
Madison, 1 Cranch 137,
5 U. S. 177
(180). As we reiterated in
Nixon I:
"'Deciding whether a matter has, in any measure, been committed
by the Constitution to another branch of government . . . is itself
a delicate exercise in constitutional interpretation, and is a
responsibility of this Court as ultimate interpreter of the
Constitution.'"
418 U.S. at
418 U. S. 704,
quoting
Baker v. Carr, 369 U. S. 186,
369 U. S. 211
(1962). My position is simply that a decision to waive the
privileges inhering in the Office of the President with respect to
an otherwise valid Act of Congress is the President's alone to make
under the Constitution. [
Footnote
3/6]
III
The difficult constitutional questions lie ahead. The President
no doubt will see to it that the interests in confidentiality so
forcefully urged by THE CHIEF JUSTICE and MR. JUSTICE REHNQUIST in
their dissenting opinions are taken into account in the final
regulations that are promulgated under
Page 433 U. S. 504
§ 104(a). While the incumbent President has supported the
constitutionality of the Act as it is written, there is no
indication that he will oppose appellant's assertions of
Presidential privilege as they relate to the rules that will govern
the screening process and the timing of disclosure, and
particularly the restrictions that may be placed on certain
documents and recordings. I emphasize that the validity of such
assertions of Presidential privilege is not properly before us at
this time.
Similarly, difficult and important questions concerning
individual rights remain to be resolved. At stake are not only the
rights of appellant, but also those of other individuals whose
First, Fourth, and Fifth Amendment interests may be implicated by
disclosure of communications as to which a legitimate expectation
of privacy existed. I agree with the Court that, even in the
councils of Government, an individual "has a legitimate expectation
of privacy in his personal communications,"
ante at
433 U. S. 465,
and also that compelled disclosure of an individual's political
associations, in and out of Government, can be justified only by "a
compelling public need that cannot be met in a less restrictive
way,"
ante at
433 U. S. 467.
Today's decision is limited to the facial validity of the Act's
provisions for retention and screening of the materials. The
Court's discussion of the interests served by those provisions
should not foreclose in any way the search that must yet be
undertaken for means of assuring eventual access to important
historical records without infringing individual rights protected
by the First, Fourth, and Fifth Amendments.
[
Footnote 3/1]
Although I agree with much of Parts IV and V, I am unable to
join those parts of the Court's opinion because of my uncertainty
as to the reach of its extended discussion of the competing
constitutional interests implicated by the Act.
[
Footnote 3/2]
By way of illustration, the District Court observed that the
following archival practices might be adopted to limit invasion of
appellant's constitutionally protected interests:
"1. A practice of requiring archivists to make the minimal
intrusion necessary to classify material. Identification by
signature, the file within which material is found, general nature
(as with diaries, or dictabelts serving the same function), a
cursory glance at the contents, or other means could significantly
limit infringement of plaintiff's interests without undermining the
effectiveness of screening by governmental personnel. Participation
by Mr. Nixon in preliminary identification of material that might
be processed without word-by-word review would facilitate such a
procedure."
"2. A practice of giving Mr. Nixon some voice in the designation
of the personnel who will review the materials, perhaps by
selecting from a body of archivists approved by the
government."
"3. A practice of giving Mr. Nixon notice of all proposed
classifications of materials and an opportunity to obtain
administrative and judicial review of them, on constitutional or
other grounds, before they are effectuated."
408 F. Supp. at 339-340 (footnotes omitted).
I agree with the views expressed by MR. JUSTICE WHITE,
ante at
433 U. S.
487-491, on the need to return private materials to
appellant.
[
Footnote 3/3]
The District Court noted the existence of:
"a basic set of donor-imposed access restrictions that was first
formulated by Herbert Hoover [and] followed by Presidents
Eisenhower, Kennedy, and Johnson. Under this scheme, the following
materials would be restricted:"
"1) materials that are security-classified;"
"2) materials whose disclosure would be prejudicial to foreign
affairs;"
"3) materials containing statements made by or to a President in
confidence;"
"4) materials relating to the President's family, personal, or
business affairs or to such affairs of individuals corresponding
with the President;"
"5) materials containing statements about individuals that might
be used to embarrass or harass them or members of their
families;"
"6) such other materials as the President or his representative
might designate as appropriate for restriction."
"President Franklin Roosevelt imposed restrictions very similar
to numbers 1, 2, 4, and 5, and in addition restricted (a)
investigative reports on individuals, (b) applications and
recommendations for positions, and (c) documents containing
derogatory remarks about an individual. President Truman's
restrictions were like those of Hoover, Eisenhower, Kennedy, and
Johnson, except that he made no provision, like number 6 above, for
restriction merely at his own instance."
408 F. Supp. at 338-339 n.19 (citations omitted).
[
Footnote 3/4]
The validity of the provision of § 104(b) for possible
disapproval of the Administrator's regulations by either House of
Congress is not before us at this time.
See 408 F. Supp.
at 338 n. 17; Brief for Federal Appellees 26, and n. 11.
[
Footnote 3/5]
There is at least some risk that political, and even personal,
antagonisms could motivate Congress and the President to join in a
legislative seizure and public exposure of a former President's
papers without due regard to the long-range implications of such
action for the Art. II functions of the Chief Executive. Even if
such legislation did not violate the principle of separation of
powers, it might well infringe individual liberties protected by
the Bill of Attainder Clause or the Bill of Rights. But this is not
the case before us. In passing this legislation, Congress acted to
further legitimate objectives in circumstances that were wholly
unique in the history of our country. The legislation was approved
by President Ford, personally chosen by President Nixon as his
successor, and is now also supported by President Carter. In view
of the circumstances leading to its passage and the protection it
provides for "
any . . . constitutionally based right or
privilege,'" supra at 433 U. S. 496,
this Act, on its face, does not violate the personal constitutional
rights asserted by appellant.
[
Footnote 3/6]
Cf. Youngstown Sheet & Tube Co. v. Sawyer,
343 U. S. 579,
343 U. S.
635-637 (1952) (Jackson, J., concurring):
"When the President acts pursuant to an express or implied
authorization of Congress, his authority is at its maximum, for it
includes all that he possesses in his own right plus all that
Congress can delegate. In these circumstances, and in these only,
may he be said (for what it may be worth) to personify the federal
sovereignty. If his act is held unconstitutional under these
circumstances, it usually means that the Federal Government, as an
undivided whole, lacks power. . . ."
(Footnote omitted.)
See also
Williams v. Suffolk
Insurance Co., 13 Pet. 415,
38 U. S. 420
(1839):
"[T]his Court ha[s] laid down the rule that the action of the
political branches of the government, in a matter that belongs to
them, is conclusive."
MR. CHIEF JUSTICE BURGER, dissenting.
In my view, the Court's holding is a grave repudiation of nearly
200 years of judicial precedent and historical practice. That
repudiation arises out of an Act of Congress passed in the
aftermath of a great national crisis which culminated in the
resignation of a President. The Act (Title I of Pub.L. 9526)
violates firmly established constitutional principles in several
respects.
Page 433 U. S. 505
I find it very disturbing that fundamental principles of
constitutional law are subordinated to what seem the needs of a
particular situation. That moments of great national distress give
rise to passions reminds us why the three branches of Government
were created as separate and coequal, each intended as a check, in
turn, on possible excesses by one or both of the others. The Court,
however, has now joined a Congress, in haste to "do something," and
has invaded historic, fundamental principles of the separate powers
of coequal branches of Government. To "punish" one person, Congress
-- and now the Court -- tears into the fabric of our constitutional
framework.
Any case in this Court calling upon principles of separation of
powers, rights of privacy, and the prohibitions against bills of
attainder, whether urged by a former President -- or any citizen --
is inevitably a major constitutional holding. Mr. Justice Holmes,
speaking of the tendency of "[g]reat cases like hard cases [to
make] bad law," went on to observe the dangers inherent when
"some accident of immediate overwhelming interest . . . appeals
to the feelings and distorts the judgment. These immediate
interests exercise a kind of hydraulic pressure which makes what
previously was clear seem doubtful, and before which even well
settled principles of law will bend."
Northern Securities Co. v. United States, 193 U.
S. 197,
193 U. S.
400-401 (1904) (dissenting opinion). Well-settled
principles of law are bent today by the Court under that kind of
"hydraulic pressure."
I
Separation of Powers
Appellant urges that Title I is an unconstitutional intrusion by
Congress into the internal workings of the Office of the President,
in violation of the constitutional principles of separation of
powers. Three reasons support that conclusion.
Page 433 U. S. 506
The well established principles of separation of powers, as
developed in the decisions of this Court, are violated if Congress
compels or coerces the President, in matters relating to the
operation and conduct of his office. [
Footnote 4/1] Next, the Act is an exercise of executive
-- not legislative -- power by the Legislative Branch. Finally,
Title I works a sweeping modification of the constitutional
privilege and historical practice of confidentiality of every Chief
Executive since 1789.
A
As a threshold matter, we should first establish the standard of
constitutional review by which Title I is to be judged. In the
usual case, of course, legislation challenged in this Court
benefits from a presumption of constitutionality. To survive
judicial scrutiny, a statutory enactment need only have a
reasonable relationship to the promotion of an objective which the
Constitution does not independently forbid, unless the legislation
trenches on fundamental constitutional rights.
But where challenged legislation implicates fundamental
constitutional guarantees, a far more demanding scrutiny is
required. For example, this Court has held that the presumption of
constitutionality does not apply with equal force where the very
legitimacy of the composition of representative institutions is at
stake.
Reynolds v. Simms, 377 U.
S. 533 (1964). Similarly, the presumption of
constitutionality is lessened when the Court reviews legislation
endangering fundamental constitutional rights, such as freedom of
speech, or denying persons governmental rights or benefits because
of race. Legislation touching substantially on these areas comes
here bearing a heavy burden which its proponents must carry.
Long ago, this Court found the ordinary presumption of
constitutionality inappropriate in measuring legislation directly
impinging on the basic tripartite structure of our Government.
Page 433 U. S. 507
In
Kilbourn v. Thompson, 103 U.
S. 168,
103 U. S. 19
(1881), Mr. Justice Miller observed for the Court that
encroachments by Congress posed the greatest threat to the
continued independence of the other branches. [
Footnote 4/2] Accordingly, he cautioned that the
exercise of power by one branch directly affecting the potential
independence of another "should be watched with vigilance, and,
when called in question before any other tribunal . . . , should
receive
the most careful scrutiny."
Ibid.
(Emphasis supplied.)
See also Buckley v. Valeo,
424 U. S. 1
(1976).
Our role in reviewing legislation which touches on the
fundamental structure of our Government is therefore akin to that
which obtains when reviewing legislation touching on other
fundamental constitutional guarantees. Because separation of powers
is the base framework of our governmental system and the means by
which all our liberties depend, Title I can be upheld only if it is
necessary to secure some overriding governmental objective, and if
there is no reasonable alternative which will trench less heavily
on separation of powers principles.
B
Separation of powers is in no sense a formalism. It is the
characteristic that distinguished our system from all others
conceived up to the time of our Constitution. With federalism,
separation of powers is "one of the two great structural principles
of the American constitutional system. . . ." E. Corwin, The
President 9 (1957).
See also Griswold v. Connecticut,
381 U. S. 479,
381 U. S. 501
(1965) (Harlan, J., concurring in judgment).
Page 433 U. S. 508
In pursuit of that principle, executive power was vested in the
President; no other offices in the Executive Branch, other than the
Presidency and Vice Presidency, were mandated by the Constitution.
Only two Executive Branch offices, therefore, are creatures of the
Constitution; all other departments and agencies, from the State
Department to the General Services Administration, are creatures of
the Congress and owe their very existence to the Legislative
Branch. [
Footnote 4/3] The
Presidency, in contrast, stands on a very different footing. Unlike
the vast array of departments which the President oversees, the
Presidency is in no sense a creature of the Legislature. The
President's powers originate not from statute, but from the
constitutional command to "take Care that the Laws be faithfully
executed. . . ." These independent, constitutional origins of the
Presidency have an important bearing on determining the appropriate
extent of congressional power over the Chief Executive or his
records and workpapers. For, although the branches of Government
are obviously not divided into "watertight compartments,"
Springer v. Philippine Islands, 277 U.
S. 189,
277 U. S. 211
(1928) (Holmes, J., dissenting), the office of the Presidency, as a
constitutional equal of Congress, must, as a general proposition,
be free from Congress' coercive powers. [
Footnote 4/4] This is not simply an abstract
proposition
Page 433 U. S. 509
of political philosophy; it is a fundamental prohibition plainly
established by the decisions of this Court.
A unanimous Court, including Mr. Chief Justice Taft, Mr. Justice
Holmes, and Mr. Justice Brandeis stated:
"The general rule is that neither department [of Government] may
. . . control, direct, or restrain the action of the other."
Massachusetts v. Mellon, 262 U.
S. 447,
262 U. S. 488
(1923). Similarly, in
O'Donoghue v. United States,
289 U. S. 516,
289 U. S. 530
(1933), the Court emphasized the need for each branch of Government
to be free from the coercive influence of the other branches:
"[E]ach department should be kept completely independent of the
others -- independent not in the sense that they shall not
cooperate to the common end of carrying into effect the purposes of
the Constitution, but in the sense that the acts of each shall
never be controlled by, or subjected,
directly or
indirectly, to, the coercive influence of either of the other
departments."
In
Humphrey's Executor v. United States, 295 U.
S. 602,
295 U. S.
629-630 (1935), the Court again held:
"The fundamental necessity of maintaining each of the three
general departments of government entirely free from the control or
coercive influence, direct or indirect, of either of the others,
has often been stressed, and is hardly open to serious question. So
much is implied in the very fact of the separation of the powers. .
. ."
(Emphasis supplied.)
Consistent with the principle of noncoercion, the unbroken
practice since George Washington with respect to congressional
demands for White House papers has been, in Mr. Chief Justice
Taft's words, that, "while either house [of Congress]
Page 433 U. S. 510
may request information, it cannot compel it. . . ." W. Taft,
The Presidency 110 (1916). President Washington established the
tradition by declining to produce papers requested by the House of
Representatives relating to matters of foreign policy:
"To admit, then, a right in the House of Representatives to
demand and to have as a matter of course all the papers respecting
a negotiation with a foreign power would be to establish a
dangerous precedent."
1 Messages and Papers of the Presidents 195 (J. Richardson
comp., 1899). In noting the first President's practice, this Court
stated in
United States v. Courtiss-Wright Corp.,
299 U. S. 304,
299 U. S. 320
(1936), that Washington's historic precedent was "a refusal the
wisdom of which was recognized by the House itself, and has never
since been doubted." [
Footnote
4/5]
Part of our constitutional fabric, then, from the beginning has
been the President's freedom from control or coercion by Congress,
including attempts to procure documents that, though clearly
pertaining to matters of important governmental interests, belong
and pertain to the President. This freedom from Congress' coercive
influence, in the words of
Humphrey's Executor, "is
implied in the very fact of the separation of the powers. . . ."
295 U.S. at
295 U. S.
629-630. Moreover, it is not constitutionally
significant that Congress has not directed that the papers be
turned over to it for examination or retention, rather than to GSA.
Separation of powers is fully implicated simply by Congress'
mandating what disposition is to be made of the papers of another
branch.
This independence of the three branches of Government, including
control over the papers of each, lies at the heart of
Page 433 U. S. 511
this Court's broad holdings concerning the immunity of
congressional papers from outside scrutiny. The
Constitution, of course, expressly grants immunity to Members of
Congress as to any "Speech or Debate in either House . . . ;" yet
the Court has refused to confine that Clause literally "to words
spoken in debate."
Powell v. McCormack, 395 U.
S. 486,
395 U. S. 502
(1969). Congressional papers, including congressional reports, have
been held protected by the Clause in order "
to prevent
intimidation [of legislators] by the executive and accountability
before a possibly hostile judiciary.'" Ibid. In a word, to
preserve the constitutionally rooted independence of each branch of
Government, each branch must be able to control its own
papers.
Title I is an unprecedented departure from the constitutional
tradition of noncompulsion. The statute commands the head of a
legislatively created department to take and maintain
custody of appellant's Presidential papers, including many purely
personal papers wholly unrelated to any operations of the
Government. Title I does not concern itself in any way with
materials belonging to departments of the Executive Branch created
and controlled by Congress.
The Court brushes aside the fundamental principle of
noncompulsion, abandoning outright the careful, previously
unchallenged holdings of this Court in
Mellon, O'Donoghue,
and
Humphrey's Executor. In place of this firmly
established doctrine, [
Footnote
4/6] the Court substitutes, without analysis, an
ill-defined
Page 433 U. S. 512
"pragmatic, flexible approach."
Ante at
433 U. S. 442.
Recasting, for the immediate purposes of this case, our narrow
holding in
United States v. Nixon, 418 U.
S. 683 (1974),
see infra at
433 U. S.
515-516, the Court distills separation of powers
principles into a simplistic rule which requires a "potential for
disruption" or an "unduly disruptive" intrusion, before a measure
will be held to trench on Presidential powers. [
Footnote 4/7]
The Court's approach patently ignores
Buckley v. Valeo,
where, only one year ago, we
unanimously found a
separation of powers violation without any allegation, much less a
showing, of "undue disruption." There, we held that Congress could
not impinge, even to the modest extent of six appointments to the
Federal Election Commission, on the appointing powers of the
President. We reached this conclusion in the face of the fact that
President Ford had signed the bill into law. [
Footnote 4/8]
Page 433 U. S. 513
But even taking the "undue disruption" test as postulated, the
Court engages in a facile analysis, as MR. JUSTICE REHNQUIST so
well demonstrates. We are told, under the Court's view, that no
"undue disruption" arises because GSA officials have taken custody
of appellant's Presidential papers, and since, for the time being,
only GSA and other Executive Branch officials will have access to
them.
Ante at
433 U. S.
443-444.
This analysis is superficial in the extreme. Separation of
powers principles are no less eroded simply because
Congress goes through a "minuet" of directing Executive
Department employees, rather than the Secretary of the Senate or
the Doorkeeper of the House, to possess and control Presidential
papers. Whether there has been a violation of separation of powers
principles depends, not on the identity of the custodians, but upon
which branch has commanded the custodians to act. Here, Congress
has given the command.
If separation of powers principles can be so easily evaded, then
the constitutional separation is a sham.
Congress' power to regulate
Executive Department
documents, as contrasted with
Presidential papers,
under such measures as the Freedom of Information Act, 5 U.S.C. §
552 (1970 ed. and Supp. V), does not bear on the question. No one
challenges Congress' power to provide for access to records of the
Executive Departments which Congress itself created. But the
Freedom of Information Act, the Privacy Act of 1974, and similar
measures never contemplated mandatory production of Presidential
papers. What is instructive, by contrast, is the nonmandatory,
noncoercive manner in which Congress has previously legislated with
respect to Presidential papers, by providing for Presidential
libraries
at the option of every
Page 433 U. S. 514
former President. Title I, however, breaches the nonmandatory
tradition that has long been a vital incident of separation of
powers.
C
The statute, therefore, violates separation of powers
principles, because it exercises a coercive influence by another
branch over the Presidency. The legislation is also invalid on
another ground pertaining to separation of powers; it is an attempt
by Congress to exercise powers vested exclusively in the President
-- the power to control files, records, and papers of the office,
which are comparable to the internal workpapers of Members of the
House and Senate.
The general principle as to this aspect of separation of powers
was stated in
Kilbourn v. Thompson:
"[Each branch] shall, by the law of its creation, be limited to
the exercise of the powers appropriate to its own department, and
no other."
"
* * * *"
"[A]s a general rule . . . , the powers confided by the
Constitution to one of these departments cannot be exercised by
another."
103 U.S. at
103 U. S. 191.
Madison also expressed this:
"For this reason, that Convention, which passed the ordinance of
government, laid its foundation on this basis, that the
legislative, executive and judiciary departments should be separate
and distinct, so that no person should exercise the powers of more
than one of them at the same time."
The Federalist No. 48, p. 335 (J. Cooke ed.1961) (quoting
Jefferson). In the 1975 Term, in the face of a holding by a Court
of Appeals that the separation of powers challenge was meritless,
we unanimously invalidated an attempt by Congress to exercise
appointing powers constitutionally vested in the Chief Executive.
Buckley v. Valeo, 424 U.S. at
424 U. S.
109-143.
Page 433 U. S. 515
The Constitution does not speak of Presidential papers, just as
it does not speak of workpapers of Members of Congress or of
judges. [
Footnote 4/9] But there
can be no room for doubt that, up to now, it has been the implied
prerogative of the President -- as of Members of Congress and of
judges -- to memorialize matters, establish filing systems, and
provide unilaterally for disposition of his workpapers. Control of
Presidential papers is, obviously, a natural and necessary incident
of the broad discretion vested in the President in order for him to
discharge his duties. [
Footnote
4/10]
To be sure, we recognized a narrowly limited exception to
Presidential control of Presidential papers in
United States v.
Nixon, 418 U. S. 683
(1974). But that case permits compulsory judicial intrusions only
when a vital constitutional function,
i.e., the conduct of
criminal proceedings, would be impaired, and when the President
makes no more "than a generalized claim of . . . public interest .
. . ,"
id. at
418 U. S. 707,
in maintaining complete control of papers and in preserving
confidentiality. That case, in short, was essentially a conflict
between the Judicial Branch and the President, where the effective
functioning of both branches demanded an accommodation, and where
the prosecutorial and judicial demands upon the President were very
narrowly restricted with great
Page 433 U. S. 516
specificity "to a limited number of conversations . . ."
Moreover, the request for production there was limited to materials
that might themselves contain evidence of criminal activity of
persons then under investigation or indictment. Finally, the
intrusion was carefully limited to an
in camera
examination, under strict limits, by a single United States
District Judge. That case does not stand for the proposition that
the Judiciary is at liberty to order
all papers of a
President into custody of United States Marshals. [
Footnote 4/11]
United States v. Nixon, therefore, provides no
authority for Congress' mandatory regulation of Presidential papers
simply "to promote the general Welfare" which, of course, is a
generalized purpose. No showing has been made, nor could it, that
Congress' functions will be impaired by the former President's
being allowed to control his own Presidential papers. [
Footnote 4/12] Without any threat
whatever to its own functions, Congress has, by this statute, as in
Buckley v. Valeo, exercised authority entrusted to the
Executive Branch. [
Footnote
4/13]
Page 433 U. S. 517
D
Finally, in my view, the Act violates principles of separation
of powers by intruding into the confidentiality of Presidential
communications protected by the constitutionally based doctrine of
Presidential privilege. A unanimous Court, in
United States v.
Nixon, could not have been clearer in holding that the
privilege guaranteeing confidentiality of such communications
derives from the Constitution, subject to compelled disclosure only
in narrowly limited circumstances:
"A President and those who assist him must be free to explore
alternatives in the process of shaping policies and making
decisions, and to do so in a way many would be unwilling to express
except privately. These are the considerations justifying a
presumptive privilege for Presidential communications. The
privilege is fundamental to the operation of Government, and
inextricably rooted in the separation of powers under the
Constitution."
418 U.S. at
418 U. S.
708.
President Lyndon Johnson expressed the historic view of
Presidential confidentiality in even stronger terms in a letter to
the GSA Administrator:
"[S]ince the President . . . is the recipient of many
confidences from others, and since the inviolability of such
confidence is essential to the functioning of the constitutional
office of the Presidency, it will be necessary to withhold from
public scrutiny certain papers and
Page 433 U. S. 518
classes of papers for varying periods of time. Therefore . . . I
hereby reserve the right to restrict the use and availability of
any materials . . . for such time as I, in my sole discretion, may
. . . specify. . . ."
Hearing before a Subcommittee of the House Committee on
Government Operations, on H.J.Res. 632, 89th Cong., 1st Sess., 17
(1965).
As a constitutionally based prerogative, Presidential privilege
inures to the President himself; it is personal in the same sense
as the privilege against compelled self-incrimination. Presidential
privilege would therefore be largely illusory unless it could be
interposed by the President against the countless thousands of
persons in the Executive Branch, and most certainly if the
executive officials are acting, as this statute contemplates, at
the command of a different branch of Government. [
Footnote 4/14]
This statute requires that persons not designated or approved by
the former President will review all Presidential papers. Even if
the Government agents, in culling through the materials, follow the
"advisory" suggestions offered by the District Court, the fact
remains that their function abrogates the Presidential privilege.
Congress has, in essence, commanded them to review and catalog
thousands of papers and recordings that are undoubtedly privileged.
Given that fact, it is clear that the Presidential privilege of one
occupant of that office will have been rendered a nullity.
[
Footnote 4/15]
Page 433 U. S. 519
E
There remains another inquiry under the issue of separation of
powers. Does the fact that the Act applies' only to a former
President, described as "a legitimate class of one,"
ante
at
433 U. S. 472,
after he has left office, justify what would otherwise be
unconstitutional if applicable to an incumbent President?
On the face of it, congressional regulation of the papers of a
former President obviously will have less disruptive impact on the
operations of an incumbent President than an effort at regulation
or control over the same papers of an incumbent President. But this
"remoteness" does not eliminate the separation of powers defects.
First, the principle that a President must be free from coercion
should apply to a former President, so long as Congress is
inquiring or acting with respect to operations of the Government
while the former President was in office. [
Footnote 4/16]
To the extent Congress is empowered to coerce a former
President, every future President is at risk of denial of a large
measure of the autonomy and independence contemplated by the
Constitution, and of the confidentiality attending it.
Myers v.
United States, 272 U. S. 52
(1926). Indeed, the President, if he is to have autonomy while in
office, needs the assurance that Congress will not immediately be
free to coerce him to open all his files and records and give an
account of Presidential actions at the instant his successor is
sworn in. [
Footnote 4/17] Absent
the validity of the expectation of
Page 433 U. S. 520
privacy of such papers (save for a subpoena under
United
States v. Nixon), future Presidents and those they consult
will be well advised to take into account the possibility that
their most confidential correspondence, workpapers, and diaries may
well be open to congressionally mandated review, with no time
limit, should some political issue give rise to an interbranch
conflict.
The Need for Confidentiality
The consequences of this development on what a President
expresses to others in writing and orally are incalculable; perhaps
even more crucial is the inhibiting impact on those to whom the
President turns for information and for counsel, whether they are
officials in the Government, business or labor leaders, or foreign
diplomats and statesmen. I have little doubt that Title I -- and
the Court's opinion -- will be the subject of careful scrutiny and
analysis in the foreign offices of other countries whose
representatives speak to a President on matters they prefer not to
put in writing, but which may be memorialized by a President or an
aide. Similarly, Title I may well be a "ghost" at future White
House conferences, with conferees choosing their words more
cautiously because of the enlarged prospect of compelled disclosure
to others. A unanimous Court carefully took this into account in
United States v. Nixon:
"The expectation of a President to the confidentiality of his
conversations and correspondence, like the claim of confidentiality
of judicial deliberations, for example, has all the values to which
we accord deference for the privacy of all citizens and, added to
those values, is the necessity for protection of the public
interest in candid, objective, and even blunt or harsh opinions in
Presidential decisionmaking."
418 U.S. at
418 U. S.
708.
Page 433 U. S. 521
In this same vein, MR. JUSTICE POWELL argues that President
Carter's representation to the Court through the Solicitor General
that Title I enhances the efficiency of the Executive Branch is
dispositive of appellant's separation of powers claim. This
deference to the views of one administration, expressed
approximately 100 days after its inception, as to the permanent
structure of our Government is not supported by precedent, and
conflicts with 188 years of history. First, there is no principled
basis for limiting this unique deference. If and when the one-House
veto issue, for example, comes before us, are we to accept the
opinion of the Department of Justice as to the effects of that
legislative device on the Executive Branch's operations? Second, if
Title I is thus efficacious, why did the President who signed this
bill into law decide to establish a Presidential library in Ann
Arbor, Mich. rather than turn all of his Presidential materials
over to GSA for screening and retention in Washington, D.C., where
the materials would be readily accessible to officials of the
Executive Branch? And why, suddenly, is Congress' acquiescence in
President Ford's actions consistent with the supposed foundation of
Title I?
Third, as pointed out by MR. JUSTICE BLACKMUN,
ante at
433 U. S. 491:
"Political realities often guide a President to a decision not to
veto" or, indeed, a decision not to challenge in court the actions
of Congress.
See 433
U.S. 425fn4/18|>n. 18,
infra. Finally, it is
perhaps not inappropriate to note that, on occasion, Presidents
disagree with their predecessors on issues of policy. Some have
believed in "Congressional Government"; others adhered to expansive
notions of Presidential power. It is, I respectfully submit, a
unique idea that this Court accept as controlling the
representations of any administration on a constitutional question
going to the permanent structure of Government.
Title I is also objectionable on separation of powers grounds,
despite its applicability only to a former President, because
compelling the disposition of all of a former President's
papers
Page 433 U. S. 522
is a legislative exercise of what have historically been
regarded as executive powers. Presidential papers do not, after
all, instantly lose their nature quadrennially at high noon on
January 20. Moreover, under Title I, it is now the Congress, not
the incumbent President, [
Footnote
4/18] that has decided what to do with all the papers of one
entire administration.
Finally, the federal appellees concede that Presidential
privilege, a vital incident of our separation of powers system,
does not terminate instantly upon a President's departure from
office. They candidly acknowledge that "the privilege survives the
individual President's tenure," Brief for Federal Appellees 33,
because of the vital public interests underlying the privilege.
This principle, as all parties concede, finds explicit support in
history; former President Truman, in 1953, refused to provide
information to the Congress on matters occurring during his
administration, advising Congress:
"It must be obvious to you that, if the doctrine of separation
of powers and the independence of the Presidency is to have any
validity at all,
it must be equally applicable to a President
after his term of office has expired when he is sought to be
examined with respect to any acts occurring while he [was]
President."
120 Cong.Rec. 33419 (1974). (Emphasis supplied.) [
Footnote 4/19]
Page 433 U. S. 523
To ensure institutional integrity and confidentiality,
Presidents and their advisers must have assurance, as do judges and
Members of Congress, that their internal communications will not
become subject to retroactive legislation mandating intrusions into
matters as to which there was a well founded expectation of privacy
when the communications took place. Just as Mr. Truman rejected
congressional efforts to inquire of him, after he left office, as
to his activities while President, this Court has always assumed
that the immunity conferred by the Speech or Debate Clause is
available to a Member of Congress after he leaves office.
United States v. Brewster, 408 U.
S. 501 (1972). It would therefore be illogical to
conclude that the President loses all immunity from legislative
coercion as to his Presidential papers from the moment he leaves
office.
The Court correctly concedes that a former President retains the
Presidential privilege after leaving office,
ante at
433 U. S.
448-449; but it then concludes that several
considerations cut against recognition of the privilege as to one
former President. First, the Court places great emphasis on the
fact that neither President Ford nor President Carter "supports
appellant's claim. . . ."
Ante at
433 U. S. 449.
The relevance of that fact is not immediately clear. The validity
of one person's constitutional privilege does not depend on whether
some other holder of the same privilege supports his claim.
[
Footnote 4/20] The fact that an
incumbent President has signed or supports a particular
measure cannot defeat a
former President's claim of
privilege. If the Court is correct today, it was wrong one year ago
in
Buckley v. Valeo, when we unanimously held that
Presidential approval of the Federal Election Campaign
Page 433 U. S. 524
Act could not validate an unconstitutional invasion of
Presidential appointing authority.
Second, the Court suggests that many of the papers are
unprivileged. Of the great volume of pages, appellant estimated
that he saw only about 200,000 items while he was President.
Several points are relevant in this regard. We do not know how many
pages the 200,000 items represent; the critical factor is that all
papers are presumptively privileged. Regardless of the number of
pages, the fact remains that the 200,000 items that the President
personally reviewed or prepared while in office obviously have
greater historical value than the mass of routine papers coming to
the White House. Mountains of Government reports tucked away in
Presidential files will not likely engage the interest of
archivists or historians, since most such reports are not
historically important, and are, in any event, available elsewhere.
Rather, archivists and historians will want to find and preserve
the materials that reflect the President's internal decisionmaking
processes. Those are precisely the papers which will be subjected
to the most intensive review, and which have always been afforded
absolute protection. The Court's analytically void invocation of
sheer numbers cannot mask the fact that the targets of the review
are privileged papers, diaries, and conversations.
I agree that, under
United States v. Nixon, the
Presidential privilege is qualified. From that premise, however,
the Court leaps to the conclusion that future regulations governing
public access to the materials are sufficient to protect
that qualified privilege. The Act does indeed provide for a number
of safeguards before the public at large obtains access to the
materials.
See § 104(a). But the Court cannot have it both
ways. The opinion expressly recognizes again and again that
public access is not now the issue. The constitutionality
of a statute cannot rest on the presumed validity of regulations
not yet issued; moreover, no regulations governing public access
can remedy the statute's basic flaw of
Page 433 U. S. 525
permitting Congress to seize the confidential papers of a
President.
F
In concluding that Title I, on its face, violates the principle
of separation of powers, I do not address the issue whether some
circumstances might justify legislation for the disposition of
Presidential papers without the President's consent. Here, nothing
remotely like the
particularized need we found in
United States v. Nixon has been shown with respect to
these Presidential papers. No one has suggested that Congress will
find its own "core" functioning impaired by lack of the impounded
papers, as we expressly found the judicial function would be
impaired by lack of the material subpoenaed in
United States v.
Nixon.
I leave to another day the question whether, under exigent
circumstances, a
narrowly defined congressional demand for
Presidential materials might be justified. But Title I fails to
satisfy either the required narrowness demanded by
United
States v. Nixon or the requirement that the coequal powers of
the Presidency not be injured by congressional legislation.
II
Privacy
The discussion of separation of powers concerns, of course, the
structure of government, not the rights of the sole individual
ostensibly affected by this legislation. But Title I touches not
only upon the independence of a coordinate branch of government, it
also affects, in the most direct way, the basic rights of one named
individual. The statute provides, as we have seen, for governmental
custody over -- and review of -- all of the former President's
written and recorded materials at the time he left office,
including diary recordings and conversations in his private
residences outside Washington, D.C. § 101(a)(2).
The District Court was deeply troubled by this admittedly
Page 433 U. S. 526
unprecedented intrusion. Its opinion candidly acknowledged that
the personal privacy claim was the "most troublesome" point raised
by this unique statute. [
Footnote
4/21] In addition to communications and memoranda reflecting
the President's confidential deliberations, the District Court
admitted that the materials subject to GSA review included highly
personal communications.
"Among all of the papers and tape recordings falling within the
Act, however, are some papers and materials containing extremely
private communications between [Mr. Nixon] and, among others,. his
wife, his daughters, his physician, lawyer, and clergyman, and his
close friends, as well as personal diary dictabelts and his wife's
personal files. . . . Segregating those that are private from those
that are not private requires rather comprehensive screening, and
archivists entrusted with that duty will be required to read or
listen to private communications."
408 F.
Supp. 321, 359 (DC 1976).
A
Given this admitted intrusion, the legislation before us must be
subjected to the most searching kind of judicial scrutiny.
[
Footnote 4/22] Statutes that
trench on fundamental liberties, like
Page 433 U. S. 527
those affecting significantly the structure of our government,
are not entitled to the same presumption of constitutionality we
normally accord legislation.
Moore v. East Cleveland,
431 U. S. 494,
431 U. S. 499
(1977). The burden of justification is reversed; the burden rests
upon government, not on the individual whose liberties are
affected, to justify the measure.
Abood v. Detroit Board of
Education, 431 U. S. 209,
431 U. S.
263-264 (1977) (POWELL, J., concurring in judgment). We
recently reaffirmed the standard of review in such cases as one of
"exacting scrutiny."
"We long have recognized that significant encroachments on First
Amendment rights of the sort that compelled disclosure imposes
cannot be justified by a mere showing of some legitimate
governmental interest. . . . [W]e have required that the
subordinating interests of the State must survive exacting
scrutiny."
Buckley v. Valeo, 424 U.S. at
424 U. S. 64.
B
Constitutional analysis must, of course, take fully into account
the nature of the Government's interests underlying challenged
legislation. Once those interests are identified, we must then
focus on the nature of the individual interests affected by the
statute.
Id. at
424 U. S. 14-15.
Finally, we must decide whether the Government's interests are of
sufficient weight to subordinate the individual's interests, and,
if so, whether the Government has nonetheless employed
unnecessarily broad means for achieving its purposes.
Lamont v.
Postmaster General, 381 U. S. 301,
381 U. S. 310
(1965) (BRENNAN, J., concurring).
Two governmental interests are asserted as the justification for
this statute: to ensure the general efficiency of the Executive
Page 433 U. S. 528
Branch's operations [
Footnote
4/23] and to preserve historically significant papers and tape
recordings for posterity. [
Footnote
4/24] Both these purposes are legitimate and important. Yet
there was no serious suggestion by Congress that the operations of
the Executive Branch would actually be impaired unless, contrary to
nearly 200 years' past practice, all Presidential papers of the one
named incumbent were required by law to be impounded in the sole
control of Government agents. The statute, on its face, moreover,
does not purport to address a particularized need, such as the need
to secure Presidential papers concerning the Middle East, the SALT
talks, or problems in Panama. [
Footnote 4/25] Indeed, the congressionally perceived
"need" is a
Page 433 U. S. 529
far more "generalized need" than that rejected in
United
States v. Nixon by a unanimous Court.
As to the interest in preserving historical materials, there is
nothing whatever in our national experience to suggest that
existing mechanisms, such as the 20-year-old Presidential Libraries
Act, were insufficient to achieve that purpose. [
Footnote 4/26] In any event, the interest in
preserving "historical materials" cannot justify seizing, without
notice or hearing, private papers preliminary to a line-by-line
examination by Government agents.
In contrast to Congress' purposes underlying the statute, this
Act intrudes significantly on two areas of traditional privacy
interests of Presidents. One embraces Presidential papers relating
to his decisions, development of policies, appointments, and
communications in his role as leader of a political party; the
other encompasses purely private matters of family, property,
investments, diaries, and intimate conversations. Both interests
are of the highest order, with perhaps some primacy for family
papers. [
Footnote 4/27]
Cf.
Moore v. East Cleveland, supra at
431 U. S.
499.
Title I thus touches directly on what MR. JUSTICE POWELL once
referred to as the "intimate areas of an individual's personal
affairs,"
California Bankers Assn. v.
Shultz, 416 U.S.
Page 433 U. S. 530
21,
416 U. S. 78
(1974) (concurring opinion). The papers in both of these areas --
family and political decisionmaking -- are of the most private
nature, enjoying the highest status under our law. MR. JUSTICE
BRENNAN recently put it this way: "Personal letters constitute an
integral aspect of a person's private enclave."
Fisher v.
United States, 425 U. S. 391,
425 U. S. 427
(1976) (concurring in judgment). An individual's papers, he said,
are "an extension of his person."
Id. at
425 U. S. 420.
MR. JUSTICE MARSHALL made the same point: "Diaries and personal
letters that record only their author's personal thoughts lie at
the heart of our sense of privacy."
Couch v. United
States, 409 U. S. 322,
409 U. S. 350
(1973) (dissenting opinion). In discussing private papers, he
referred even more emphatically to the
"deeply held belief on the part of the Members of this Court
throughout its history that there are certain documents
no
person ought to be compelled to produce at the Government's
request."
Fisher v. United States, supra at
425 U. S.
431-432 (emphasis supplied) (concurring in judgment).
This echoes Lord Camden's oft-quoted description of personal papers
as a man's "dearest property."
Bod v. United States,
116 U. S. 616,
116 U. S. 628
(1886).
One point emerges clearly: the papers here involve the most
fundamental First and Fourth Amendment interests. Since the Act
asserts
exclusive Government custody over
all
papers of a former President, the Fourth Amendment's prohibition
against unreasonable searches and seizures is surely implicated.
[
Footnote 4/28] Indeed, where
papers or books are the subject
Page 433 U. S. 531
of a government intrusion, our cases uniformly hold that the
Fourth Amendment prohibition against a general search requires that
warrants contain descriptions reflecting "the most scrupulous
exactitude . . . ,"
Stanford v. Texas, 379 U.
S. 476,
379 U. S. 485
(1965). Those cases proscribe general language in a warrant -- or a
statute -- of "indiscriminate sweep. . . ."
Id. at
379 U. S. 486.
Title I, commanding seizure followed by permanent control of all
materials having "historical or commemorative value," evidences the
"indiscriminate sweep" we have long denounced. This "broad broom"
statute provides virtually no standard at all to guide the
Government agents combing through the papers; the agents are left
to roam at large through confidential materials, something to which
no other President and no Member of Congress or of the Judicial
Branch has been subjected.
The Court, while recognizing that Government agents will
necessarily be reviewing the most private kinds of communications
covering a period of five and one-half years, tells us that
Stanford is inapposite. Several reasons are given. The
Court suggests that, unlike the instant case, the seizure in
Stanford included vast quantities of materials unrelated
to any legitimate government objective; in addition, the
Stanford intrusion constituted an invasion of the home in
connection with a criminal investigation. That last consideration
relied on by the Court can be disposed of quickly, for, by its
terms, just as in
Stanford, Title I commands seizure and
review of papers from appellant's
private residences
within and outside Washington, D.C. § 101(a), for the purpose,
among others, of criminal proceedings brought by the Special
Prosecutor, § 102(b), and to make the materials available more
broadly "for use in judicial proceedings." § 104(a)(2). Title I is
not needed for this purpose, since a narrowly defined subpoena can
accomplish those purposes under
United State v. Nixon.
Title I is, in effect, a "legislative warrant" reminiscent of the
odious general warrants of the colonial era.
Page 433 U. S. 532
As to the Court's first consideration, its "quantity" test is
fallacious. The intrusion in
Stanford was unlawful not
because the State had an interest in only part of many items in
Stanford's home, but rather because the warrant failed to describe
the objects of seizure with the "most scrupulous exactitude."
Stanford is not a "numbers" test, the protection of which
vanishes if unprotected materials outnumber protected materials; it
is, rather, a test designed to ensure that protected materials are
not seized at all. Title I, on its face, commands that protected
materials be seized wherever found -- including the private
residences mentioned -- reviewed, and returned only if the
Government agents decide that certain protected materials lack
historical significance. The Act plainly accomplishes exactly what
Stanford expressly forbids.
In addition to Fourth Amendment considerations, highly important
First Amendment interests pervade all Presidential papers, since
they include expressions of privately held views about politics,
diplomacy, or people of all walks of life, within and outside this
country. Appellant's freedom of association is also implicated,
since his recordings and papers will likely reveal much about his
relationships with both individuals and organizations. In
NAACP
v. Alabama, 357 U. S. 449,
357 U. S. 462
(1958), the Court said:
"This Court has recognized the vital relationship between
freedom to associate and privacy in one's associations."
Accordingly, in passing on a statute compelling disclosure of
political contributions, the Court, in
Buckley v. Valeo,
imposed the strict standard of "exacting scrutiny" because of the
significant impact on First Amendment rights.
The fact that the former President was an important national and
world political figure obviously does not diminish the traditional
privacy interest in his papers. Forced disclosure of private
information, even to Government officials, is by no means
sanctioned by this Court's decisions, except for
Page 433 U. S. 533
the most compelling reasons.
Cf. Whalen v. Roe,
429 U. S. 589
(1977). I do not think, for example, that this Court would readily
sustain, as a condition to holding public office, a requirement
that a candidate reveal publicly membership in every organization
whether religious, social, or political. After all, our decision in
NAACP v. Alabama, supra, was presumably intended to
protect from compelled disclosure members of the organization who
were actively involved in public affairs or who held public office
in Alabama.
The Court's reliance on
Whalen v. Roe, supra, in
rejecting appellant's privacy claim is surprising. That case dealt
with the State's undoubted police power to regulate dispensing of
dangerous drugs, the very use or possession of which the State
could forbid. 429 U.S. at
429 U. S. 603,
and
429 U. S. 597
n. 20. Hence, we had no difficulty whatever in reaching a unanimous
holding that the public interest in regulating dangerous drugs
outweighed any privacy interest in reporting to the State all
prescriptions, those reports being made confidential by statute. No
personal, private business, or political confidences were
involved.
C
In short, a former President up to now has had essentially the
same expectation of privacy with respect to his papers and records
as every other person. This expectation is soundly based on two
factors: first, under our constitutional traditions, Presidential
papers have been, for more than 180 years, deemed by the Congress
to belong to the President. Congress ratified this tradition by
specific Acts: (a) congressional appropriations following
authorization to purchase Presidential papers; (b) congressional
enactment of a nonmandatory system of Presidential libraries; and
(c) statutes permitting, until 1969, a charitable contribution
deduction for papers of Presidents donated to the United States or
to nonprofit institutions.
Page 433 U. S. 534
Second, in the absence of any legislation to the contrary, there
was no reason whatever for a President to take time from his
official duties to ensure that there was no "commingling" of
"public" and "private" papers. Indeed, the fact that the former
President commingled Presidential and private family papers, absent
any then-existing laws to the contrary, points strongly to the
conclusion that he did, in fact, have an expectation of privacy
with respect to both categories of papers.
On the basis of this Court's holdings, I cannot understand why
the former President's privacy interests do not outweigh the
generalized, undifferentiated goals sought to be achieved by Title
I. Without a more carefully defined focus, these legislative goals
do not represent "paramount Government interests," nor is this
particular piece of legislation needed to achieve those goals, even
if we assume,
arguendo, that they are of a "compelling" or
"overriding" nature. But even if other Members of the Court strike
the balance differently, the Government has nonetheless failed to
choose narrowly tailored means of carrying out its purposes so as
not unnecessarily to invade important First and Fourth Amendment
liberties. The Court demanded no less in
Buckley v. Valeo,
and nothing less will do here.
Cf. Hynes v. Mayor of
Oradell, 425 U. S. 610,
425 U. S. 620
(1976).
The federal appellees point to two factors as mitigating the
effects of this admitted intrusion: first, in their view, most of
the President's papers and conversations relate to the business of
Government, rather than to personal, family, or political matters;
second, it is said that the intrusion is limited as much as
possible, since the review will be carried out by specially trained
Government agents.
Even accepting the Government's interest in identifying and
preserving governmentally related papers in order to preserve them
for historical purposes, that interest cannot justify a seizure and
search of
all the papers taken here.
Page 433 U. S. 535
Since compulsory review of personal and family papers and tape
recordings is an admittedly improper invasion of privacy, no
constitutional principle justifies an intrusion into indisputably
protected areas in order to carry out the "generalized" statutory
objectives.
Second, the intrusion cannot be saved by the credentials,
however impeccable, of the Government agents. The initial problem
with this justification is that no one knows whether these agents
are, as the federal appellees contend, uniformly discreet. Despite
the lip service paid by the District Court and appellees to the
record of archivists generally, there is nothing before us to
justify the conclusion that each of the more than 100 persons who
apparently will have access to, and will monitor and examine, the
materials is indeed reliably discreet.
The Act, furthermore, provides GSA with no meaningful standards
to minimize the extent of intrusions upon appellant's privacy. We
are thus faced with precisely the same standardless discretion
vested in governmental officials which this Court has
unhesitatingly struck down in other First Amendment areas.
See,
e.g., Hynes v. Mayor of Oradell, supra. In the absence of any
meaningful statutory standards, which might help secure the privacy
interests at stake, I question whether we can assume, as a matter
of law, that Government agents will be able to formulate for
themselves constitutionally valid standards of review in examining,
segregating, and cataloging the papers of the former President.
Nor does the possibility that, had Title I not been passed,
appellant would perhaps use Government specialists to help classify
and catalog his papers eliminate the objections to this intrusion.
Had appellant, like all his recent predecessors, been permitted to
deposit his papers in a Presidential library, Government archivists
would have been working directly under appellant's guidance and
direction, not solely that of Congress or GSA. He, not Congress,
would have established standards
Page 433 U. S. 536
for preservation, to ensure that his privacy would be protected.
Similarly, he would have been able to participate personally in the
reviewing process, and could thus assure that any governmental
review of purely personal papers was minimized or entirely
eliminated. He, not Congress, would have controlled the selection
of which experts, if any, would have access to his papers. Finally,
and most important, the "intrusion" would have been consented to,
eliminating any constitutional question. But the possibility of a
consent intrusion cannot, under our law, justify a nonconsensual
invasion. Actual consent is required,
cf. Schneckloth v.
Bustamonte, 412 U. S. 218
(1973), not the mere possibility of consent under drastically
different circumstances.
Finally, even if the Government agents are completely discreet,
they are still Government officials charged with reviewing highly
private papers and tape recordings. Unless we are to say that a
police seizure and examination of private papers is justified by
the "impeccable" record of a discreet police officer, I have
considerable difficulty understanding how a compulsory review of
admittedly private papers, in which there is no conceivable
governmental interest, by Government agents is constitutionally
permissible.
III
Bill of Attainder
A
Under Art. I, § 9, cl. 3, as construed and applied by this Court
since the time of Mr. Chief Justice Marshall, Title I violates the
Bill of Attainder Clause. In contrast to Title II of Pub.L. 93-526,
the Public Documents Act, which establishes a National Study
Commission to study questions concerning the preservation of
records of all federal officials, Title I commands the
Administrator to seize all tape recordings "involv[ing] former
President Richard M. Nixon" and all "Presidential historical
materials of Richard M. Nixon. . . ."
Page 433 U. S. 537
§§ 101(a)(1), (b)(1). By contrast with Title II, which is
general legislation, Title I is special legislation singling out
one individual as the target.
Although the prohibition against bills of attainder has been
addressed only infrequently by this Court, it is now settled beyond
dispute that a bill of attainder, within the meaning of Art. I, is
by no means the same as a bill of attainder at common law. The
definition departed from the common law concept very early in our
history, in a most fundamental way. At common law, the bill was a
death sentence imposed by legislative Act. Anything less than death
was not a bill of attainder, but was, rather, "a bill of pains and
penalties." This restrictive definition was recognized tangentially
in
Marbury v.
Madison, 1 Cranch 137,
5 U. S. 179
(1803), [
Footnote 4/29] but the
Court soon thereafter rejected conclusively any notion that only a
legislative death sentence or even incarceration imposed on named
individuals fell within the prohibition. Mr. Chief Justice Marshall
firmly settled the matter in 1810, holding that legislative
punishment in the form of a deprivation of property was prohibited
by the Bill of Attainder Clause:
"A bill of attainder may affect the life of an individual,
or may confiscate his property, or may do both."
Fletcher v.
Peck, 6 Cranch 87,
10 U. S. 138.
(Emphasis supplied.) The same point was made 17 years later in
Ogden v.
Saunders, 12 Wheat. 213,
25 U. S. 286,
where the Court stated:
"By classing bills of attainder,
ex post facto laws,
and laws impairing the obligation of contracts together, the
Page 433 U. S. 538
general intent becomes very apparent;
it is a general
provision against arbitrary and tyrannical legislation over
existing rights, whether of person or property."
(Emphasis supplied.) More than 100 years ago this Court struck
down statutes which had the effect of preventing defined categories
of persons from practicing their professions.
Cummings
v. Missouri, 4 Wall. 277 (1867) (a priest);
Ex parte
Garland, 4 Wall. 333 (1867) (a lawyer). Those two
cases established more broadly that "punishment" for purposes of
bills of attainder is not limited to criminal sanctions; rather,
"[t]he deprivation of
any rights, civil or political,
previously enjoyed, may be punishment. . . ."
Cummings, supra at 4 Wall. 320320.
Mr. Chief Justice Warren pointed out that the Constitution, in
prohibiting bills of attainder, did not envision "a narrow,
technical (and therefore soon to be outmoded) prohibition. . . ."
United States v. Brown, 381 U. S. 437,
381 U. S. 442
(1965). To the contrary, the evil was a
legislatively
imposed deprivation of existing rights, including property
rights, directed at named individuals. Mr Justice Black, in
United States v. Lovett, 328 U. S. 303,
328 U. S.
315-316 (1946), stated:
"[The cases] stand for the proposition that legislative acts,
no matter what their form, that apply either to named
individuals or to easily ascertainable members of a group in such a
way as to inflict punishment on them without a judicial trial are
bills of attainder prohibited by the Constitution."
(Emphasis supplied.) The only "punishment" in
Lovett,
in fact, was the deprivation of Lovett's salary as a Government
employee -- an indirect punishment for his "bad" associations.
Under our cases, therefore, bills of attainder require two
elements: first, a specific designation of persons or groups as
subjects of the legislation, and, second, a
Garland-Cummings-Lovett-Brown-type arbitrary deprivation,
including deprivation
Page 433 U. S. 539
of property rights, without notice, trial, or other hearing.
[
Footnote 4/30] No one disputes
that Title I suffers from the first infirmity, since it applies
only to one former President. The issue that remains is whether
there has been a legislatively mandated deprivation of an existing
right.
B
Since George Washington's Presidency, our constitutional
tradition, without a single exception, has treated Presidential
papers as the President's personal property. This view has been
congressionally and judicially ratified, both as to the ownership
of Presidential papers,
Folsom v. Marsh, 9 F. Cas. 342
(No. 4,901) (CC Mass. 1841) (Story, J., sitting as Circuit
Justice), and, by the practice of Justices as to ownership of their
judicial papers.
Congress itself has consistently legislated on this assumption.
I have noted earlier that appropriation legislation has been
enacted on various occasions providing for Congress' purchase of
Presidential papers.
See Hearing before a Special
Subcommittee of the House Committee on Government Operations on
H.J.Res. 330, 84th Cong., 1st Sess., 28 (1955). Those hearings led
Congress to establish a nonmandatory system
Page 433 U. S. 540
of Presidential libraries, again explicitly recognizing that
Presidential papers were the personal property of the Chief
Executive. In the floor debate on that measure, Congressman John
Moss, a supporter of the legislation, stated: "Finally, it should
be remembered that Presidential papers belong to the President. . .
." 101 Cong.Rec. 9935 (1955). Indeed, in 1955, in testimony
pertaining to this proposed legislation, the Archivist of the
United States confirmed:
"The papers of the Presidents have always been considered to be
their personal property, both during their incumbency and
afterward. This has the sanction of law and custom, and has never
been authoritatively challenged."
Similarly, the GSA Administrator testified:
"As a matter of ordinary practice, the President has removed his
papers from the White House at the end of his term. This has been
in keeping with the tradition
and the fact that the papers are
the personal property of the retiring Presidents."
Id. at 14. (Emphasis supplied.)
In keeping with this background, it was not surprising that the
Attorney General stated in an opinion in September, 1974:
"To conclude that such materials are not the property of former
President Nixon would be to reverse what has apparently been the
almost unvaried understanding of all three branches of the
Government since the beginning of the Republic, and to call into
question the practices of our Presidents since the earliest
times."
I see no escape, therefore, from the conclusion that, on the
basis of more than 180 years' history, the appellant has been
deprived of a property right enjoyed by all other Presidents
Page 433 U. S. 541
after leaving office, namely, the control of his Presidential
papers.
Even more starkly, Title I deprives only one former President of
the right vested by statute in other former Presidents by the 1955
Act -- the right to have a Presidential library at a facility of
his own choosing for the deposit of such Presidential papers as he
unilaterally selects. Title I did not purport to repeal the
Presidential Libraries Act; that statute remains in effect,
available to present and future Presidents, and has already been
availed of by former President Ford. The operative effect of Title
I, therefore, is to exclude, by name, one former President, and
deprive him of what his predecessors -- and his successor -- have
already been allowed. This invokes what Mr. Justice Black said in
Lovett could not be constitutionally done:
"Those who wrote our Constitution well knew the danger inherent
in
special legislative acts which take away the life,
liberty, or property of particular named persons because the
legislature thinks them guilty of conduct which deserves
punishment. They intended to safeguard the people of this country
from punishment without trial by duly constituted courts."
328 U.S. at
328 U. S. 317.
(Emphasis supplied.)
But apart from Presidential papers generally, Title I, on its
face, contemplates that even the former President's purely family
and personal papers and tape recordings are likewise to be taken
into custody for whatever period of time is required for review.
Some items, such as the originals of tape recordings of the former
President's conversations, will never be returned to him under the
Act.
I need not, and do not, inquire into the motives of Congress in
imposing this deprivation on only one named person. Our cases
plainly hold that retribution and vindictiveness are not requisite
elements of a bill of attainder. The Court
Page 433 U. S. 542
appears to overlook that Mr. Chief Justice Warren, in
United
States v. Brown, supra, concluded that retributive motives on
the part of Congress were irrelevant to bill of attainder analysis.
To the contrary, he said flatly: "It would be archaic to limit the
definition of punishment to
retribution.'" Indeed, he expressly
noted that bills of attainder had historically been enacted for
regulatory or preventive purposes:
"Historical considerations by no means compel restriction of the
bill of attainder ban to instances of retribution. A number of
English bills of attainder were enacted for preventive purposes --
that is, the legislature made a judgment, undoubtedly based largely
on past acts and associations . . , that a given person or group
was likely to cause trouble . . . , and therefore inflicted
deprivations upon that person or group in order to keep it from
bringing about the feared event."
381 U.S. at
381 U. S.
458-459.
Under the long line of our decisions, therefore, the Court has
the heavy burden of demonstrating that legislation which singles
out one named individual for deprivation -- without any procedural
safeguards -- of what had, for nearly 200 years, been treated by
all three branches of Government as private property, can survive
the prohibition of the Bill of Attainder Clause. In deciding this
case, the Court provides the basis for a future Congress to enact
yet another Title I, directed at some future former President, or a
Member of the House or the Senate, because the individual has
incurred public disfavor and that of the Congress.
Cf. Powell
v. McCormack, 395 U. S. 486
(1969). As in
United States v. Brown, Title I, in contrast
to Title II, does "not set forth a generally applicable rule," 381
U.S. at
381 U. S. 450;
it is, beyond doubt, special legislation doing precisely the evil
against which the prohibitions of the "bills of attainder,
ex
post facto laws, and laws impairing the obligation of
contracts. . ." were aimed.
Ogden v. Saunders, 12 Wheat.
at
25 U. S.
286.
Page 433 U. S. 543
The concurring opinions make explicit what is implicit
throughout the Court's opinion,
i.e., (a) that Title I
would be unconstitutional under separation of powers principles if
it applied to any other President; (b) that the Court's holding
rests on appellant's being a "legitimate class of one,"
ante at
433 U. S. 472;
and (c) that the Court's holding "will not be a precedent."
Ante at
433 U. S. 486.
Nothing in our cases supports the analysis of MR. JUSTICE STEVENS,
ibid. Under his view, appellant's resignation and
subsequent acceptance of a pardon set him apart as a
"
legitimate class of one.'" The two events upon which he
relies, however, are beside the point. Correct analysis under the
Bill of Attainder Clause focuses solely upon the nature of the
measure adopted by Congress, not upon the actions of the target of
the legislation. Even if this approach were analytically sound, the
two events singled out are relevant only to two possible theories:
first, that appellant is culpably deserving of punishment by virtue
of his resignation and pardon; or second, that appellant's actions
were so unique as to justify legislation confiscating his
Presidential materials but not those of any other President. The
first point can be disposed of quickly, since the Bill of Attainder
Clause was, of course, intended to prevent legislatively imposed
deprivations of rights upon persons whom the Legislature thought to
be culpably deserving of punishment.
The remaining question, then, is whether appellant's
"uniqueness" permits individualized legislation of the sort passed
here. It does not. The point is not that Congress is powerless to
act as to exigencies arising during or in the immediate aftermath
of a particular administration; rather, the point is that Congress
cannot punish a particular individual on account of his
"uniqueness." If Congress had declared forfeited appellant's
retirement pay to which he otherwise would be entitled, instead of
confiscating his Presidential materials, it would not avoid the
bill of attainder prohibition to say that appellant was guilty of
unprecedented actions
Page 433 U. S. 544
setting him apart from his predecessors in office. In short,
appellant's uniqueness does not justify serious deprivations of
existing rights, including the statutory right abrogated by Title I
to establish a Presidential library.
The novel arguments advanced in the several concurring opinions
serve to emphasize how clearly Title I violates the Bill of
Attainder Clause; MR. JUSTICE STEVENS although finding no violation
of the Clause, admirably states the case which, for me,
demonstrates the unconstitutionality of Title I:
"The statute before the Court does not apply to all Presidents
or former Presidents. It singles out one, by name, for special
treatment. Unlike all former Presidents in our history, he is
denied custody of his own Presidential papers; he is subjected to
the burden of prolonged litigation over the administration of the
statute; and his most private papers and conversations are to be
scrutinized by Government archivists. The statute implicitly
condemns him as an unreliable custodian of his papers. Legislation
which subjects a named individual to this humiliating treatment
must raise serious questions under the Bill of Attainder
Clause."
Ante at
433 U. S.
484.
IV
The immediate consequences of the Court's holding may be
discounted by some on the ground it is justified by the uniqueness
of the circumstances -- in short, that the end justifies the means
-- and that, after all, the Court's holding is really not to be
regarded as precedent. Yet the reported decisions of this Court
reflect other instances in which unique situations confronted the
Judicial Branch -- for example, the alleged treason of one of the
Founding Fathers.
United States v. Burr, 25 F. Cas. 187
(No. 14,694) (CC Va. 1807). Burr may or may not have been
blameless; Father Cummings and Lawyer Garland, in common with
hundreds of thousands of others, may have been technically guilty
of "carrying on
Page 433 U. S. 545
rebellion" against the United States. But this Court did not
weigh the culpability of Cummings, Garland, or of Lovett or Brown,
in according to each of them the full measure of the protection
guaranteed by the literal language of the Constitution. For nearly
200 years, this Court has not viewed either a "class" or a "class
of one" as "legitimate" under the Bill of Attainder Clause.
It may be, as three Justices intimate in their concurring
opinions, that today's holding will be confined to this particular
"class of one"; if so, it may not do great harm to our
constitutional jurisprudence but neither will it enhance the
Court's credit in terms of adherence to
stare decisis.
Only with future analysis, in perspective, and free from the
"hydraulic pressure" Holmes spoke of, will we be able to render
judgment on whether the Court has today enforced the Constitution
or eroded it.
[
Footnote 4/1]
Later, I will discuss the importance of the legislation's
applicability to only one ex-President.
[
Footnote 4/2]
In this, Mr. Justice Miller was but expressing the earlier
opinion of Madison, who declared, in The Federalist No. 48, p. 334
(J. Cooke ed., 1961):
"The legislative department derives a superiority in our
governments from other circumstances. Its constitutional powers
being at once more extensive and less susceptible of precise
limits, it can, with the greater facility, mask, under complicated
and indirect measures, the encroachments which it makes on the
coordinate departments."
[
Footnote 4/3]
Statutes relating to departments or agencies created by Congress
frequently are phrased in mandatory terms. For example, in the 1949
legislation creating the General Services Administration, Congress
provided as follows:
"The Administrator is authorized and directed to coordinate and
provide for the . . . efficient purchase, lease and maintenance of
. . . equipment by Federal agencies."
40 U.S.C. § 759(a). Even with respect to international
relations, Congress has affirmatively imposed certain requirements
on the Secretary of State:
"The Secretary of State shall furnish to the Public Printer a
correct copy of every treaty between the United States and any
foreign government. . . ."
22 U.S.C. § 2660.
[
Footnote 4/4]
Cf. MR. JUSTICE WHITE's discussion in
United States
v. Brewster, 408 U. S. 501,
408 U. S. 558
(1972) (dissenting opinion), where he spoke of the "evil" of
"executive
control of legislative behavior. . . ."
(Emphasis supplied.)
[
Footnote 4/5]
This Presidential prerogative has not been limited to foreign
affairs, where, of course, secrecy and confidentiality may be of
the utmost importance.
See A. Bickel, The Morality of
Consent 79 (1975); W. Taft, The Presidency 110 (1916).
[
Footnote 4/6]
The Court's references to the historical understanding of
separation of powers principles omit a crucial part of that
history. Madison's statements in The Federalist No. 47 as to one
department's exercising the "whole power" of another department do
not purport to be his total treatment of the subject. The
Federalist No. 48, two days later, states the central theme of
Madison's view:
"It is equally evident, that neither [department] ought to
possess, directly or indirectly, an overruling influence over the
others in the
administration of their respective
powers."
The Federalist No. 48, p. 332 (J. Cooke ed.1961). (Emphasis
supplied.) Indeed, Madison expressly warned at length in No. 48 of
the inevitable dangers of "encroachments" by the Legislative Branch
upon the coordinate departments of Government.
But aside from the Court's highly selective discussion of the
Framers' understanding, the Court cannot obscure the fact that this
Court has never required, in order to show a separation of powers
violation, that Congress usurped
the whole of executive
power. Any such requirement was rejected by the Court in
Buckley v. Valeo, 424 U. S. 1 (1976).
There, we held that Congress could not constitutionally exercise
the President's appointing powers, even though, under that statute,
the President had the power to appoint one-fourth of the Federal
Election Commission members, and even though the President had
"approved" the statute when he signed the bill into law.
[
Footnote 4/7]
Nowhere is the standard clarified in the majority's opinion. We
are left to guess whether only a "potential for disruption" is
required, or whether "undue disruption," whatever that may be, is
required.
[
Footnote 4/8]
The federal parties filed three briefs in
Buckley. The
main brief, styled the "Brief for the Attorney General as Appellee
and for the United States as
Amicus Curie," explicitly
stated that the method of appointment of four of the members of the
Commission was unconstitutional.
See pp. 6-7, 110-120. The
Attorney General signed this portion of the brief as a party
(
see pp. 2, 103 n. 65). The Executive Branch therefore
made it clear that, in its view, the statute was unconstitutional
to the extent it reposed appointing powers in Congress. The second
brief, styled the "Brief for the Attorney General and the Federal
Election Commission," generally defended the Act, but took no
position concerning the method of appointing the Commission.
See p. 1 n. 1. The third brief was filed by the Commission
on its own behalf only; it defended the appointment procedures, but
it was not joined by the Attorney General, and did not express the
view of the President or of any other portion of the Executive
Branch.
[
Footnote 4/9]
As to congressional papers,
see supra at
433 U. S.
510-511. Despite the Constitution's silence as to the
papers of the Legislative Branch, this Court had no
difficulty holding those papers to be protected from control by
other branches.
See also MR. JUSTICE BRENNAN's dissenting
opinion in
United States v. Brewster, 408 U.
S. 501,
408 U. S.
532-533 (1972), where he quotes approvingly from
Kilbourn v. Thompson, 103 U. S. 168
(1881), and
Coffin v. Coffin, 4 Mass. 1 (1808). In both of
those cases, written materials by legislators were deemed to be
protected by legislative immunity from intrusion or seizure.
[
Footnote 4/10]
This discretion was exercised, as we have seen, by President
Washington in the face of a congressional demand for production of
his workpapers.
Obviously,
official documents fall into an entirely
different category, and are not involved in this case.
[
Footnote 4/11]
Appellees, of course, would view that sort of intrusion as an
intrabranch confrontation, since United States Marshals are
officials of the Executive Branch, at least so long as the District
Judge simply ordered the Marshals to take custody of and to review
the documents without turning them over to the court. This is, of
course, sheer sophistry.
[
Footnote 4/12]
Of course,
United States v. Nixon pertained only to the
setting of Judicial-Executive conflict. Nothing in our holding
suggests that, even if Congress needed Presidential documents in
connection with its legislative functions, the constitutional
tradition of Presidential control over Presidential documents in
the face of legislative demands could be abrogated. We expressly
stated in
Nixon that "[w]e are not here concerned with the
balance between . . . the confidentiality interest and
congressional demands for information. . . ." 418 U.S. at
418 U. S. 712
n.19.
[
Footnote 4/13]
In his concurring opinion, MR. JUSTICE POWELL concludes that
Title I was addressed essentially to an "emergency" situation in
the wake of appellant's resignation. But his opinion does not
present any analysis as to whether this particular legislation, not
some other legislation, is necessary to achieve that end.
Since Title I commands confiscation of all materials of an entire
Presidential administration, Title I was simply not drafted to meet
the specific emergency it purports to address. Besides omitting any
discussion justifying the need for Title I, MR. JUSTICE POWELL's
opinion relies entirely on the possibly limiting regulations to be
promulgated at some future point by the GSA Administrator, which
will protect "all constitutional and legal rights. . . ."
Ante at
433 U. S. 497.
This conclusion, of course, begs the precise question before us,
which is whether the act of congressionally mandated seizure of all
Presidential materials of one President violates the
Constitution.
[
Footnote 4/14]
Civil service statutes aside, we know now that an executive
official cannot replace all of his underlings on the basis of a
patronage system. Thus, as a matter of constitutional law, a Chief
Executive would not be at liberty to replace all Executive Branch
officials with persons who, for political reasons, enjoy the
President's trust and confidence.
Elrod v. Burns,
427 U. S. 347
(1976).
[
Footnote 4/15]
I cannot accept the argument pressed by appellees that review is
rendered harmless by the fact that many of the documents may not be
protected by Presidential privilege. How "harmless" review
justifies manifestly "harmful" review escapes me.
[
Footnote 4/16]
President Truman, for one, objected to Congress' efforts to
coerce him after he was no longer in office in connection with
matters pertaining to his administration.
See infra at
433 U. S.
522.
[
Footnote 4/17]
It would be the height of impertinence, after all, to serve a
legislative subpoena on an outgoing President as he is departing
from the inauguration of his successor. So too, the people would
rightly be offended, and more important, so would the Constitution,
by a congressional resolution, designed to ensure the smooth
functioning of the Executive Branch, requiring a former President,
upon leaving office, to remain in Washington, D.C. in order to be
available for consultations with his successor for a prescribed
period of time.
[
Footnote 4/18]
The fact that the President signs a bill into law, and
thereafter defends it, without more, does not mean, of course, that
the policy embodied in the legislation is that of the President,
nor does it even mean that the President personally approves of the
measure. When signing a bill into law, numerous Presidents have
actually expressed disagreement with the legislation, but felt
constrained for a variety of reasons to permit the bill to become
law. President Franklin D. Roosevelt repudiated the "Lovett Rider"
later struck down by this Court in
United States v.
Lovett, 328 U. S. 303,
328 U. S. 325
(1946) (Frankfurter, J., concurring). President Ford did not
request this legislation in order to assure the effective
functioning of the Executive Branch.
[
Footnote 4/19]
Since, by definition, the concern is with former Presidents, I
see no distinction in Congress' seeking to compel the appearance
and testimony of a former President and in, alternatively, seeking
to compel the production of Presidential papers over the former
President's objection.
[
Footnote 4/20]
Clients asserting the attorney-client privilege have not, up to
now, been foreclosed from interposing the privilege unless a
similarly situated client is willing to support the particular
claim.
[
Footnote 4/21]
The District Court concluded its discussion of the privacy
challenge as follows:
"We would be less than candid were we to state that we find it
as easy to dispose of Mr. Nixon's privacy claims as his claim of
presidential privilege."
408 F. Supp. at 367.
[
Footnote 4/22]
Although the District Court expressly concluded that the former
President had a "legitimate expectation" that his Presidential
materials would not be subject to "comprehensive review by
government personnel without his consent,"
id. at 361, the
Court nonetheless deemed the compulsory intrusion permissible given
the constitutionality of the federal wiretap statute, 18 U.S.C. §§
2510-2520, which, of course, permits substantial governmental
intrusions into the privacy of individuals. Not only is this
analogy imperfect, as the District Court itself admitted, 408 F.
Supp. at 364, but this analysis fails to apply the "exacting
scrutiny" called for by our decisions. Above all, the present
statute fails to provide
any of the stringent safeguards,
including a warrant, mandated by Title III of the Omnibus Crime
Control and Safe Streets Act of 1968. Indeed, the District Court
flatly admitted as much.
Ibid.
[
Footnote 4/23]
Administrative efficiency is obviously a highly desirable goal.
See, e.g., Dixon v. Love, 431 U.
S. 105,
431 U. S. 114
(1977);
Mathews v. Eldridge, 424 U.
S. 319,
424 U. S.
347-349 (1976). However, I am constrained to recall that
"administrative efficiency" has not uniformly been regarded as of
"overriding importance." Indeed, claims of administrative
efficiency have been swiftly dismissed at times as mere "bald
assertion[s]."
Richardson v. Wright, 405 U.
S. 208,
405 U. S. 223
(1972) (BRENNAN, J., dissenting). Numerous other opinions have held
that individual interests, including the right to welfare payments,
"clearly outweigh" government interests in promoting
"administrative efficiency,"
Goldberg v. Kelly,
397 U. S. 254
(1970) (opinion of BRENNAN, J.). And, MR. JUSTICE MARSHALL, in
Shapiro v. Thompson, 394 U. S. 618,
394 U. S. 634
(1969), stated that, when "fundamental" rights are at stake, such
as the "right to travel," government must demonstrate a
"compelling" interest, not merely a "rational relationship between
[the underlying statute] and [the] . . . admittedly permissible
state objectives. . . ."
[
Footnote 4/24]
The initial interest in preserving the materials for judicial
purposes has diminished substantially. Since the Special Prosecutor
has disclaimed any further interest in the materials for purposes
of possible criminal investigations, the only conceivably remaining
judicial need is to preserve the materials for possible use in
civil litigation between private parties. The admittedly important
interests in the enforcement of the criminal law, recognized in
United States v. Nixon, are no longer pressed by the
Government.
[
Footnote 4/25]
If there were a particularized need, the statute suffers from
greater overbreadth than others we have invalidated.
[
Footnote 4/26]
At the time Title I was passed, appellant had made tentative
arrangements with the University of Southern California in Los
Angeles for the establishment of a Presidential library, under the
terms of the Presidential Libraries Act. App. 167-168. That has now
ripened into a formal agreement, so that, in the event Title I is
invalidated, appellant's historical materials will be housed in a
facility on the USC campus under terms applicable to other
Presidential libraries of past Presidents.
[
Footnote 4/27]
The Court's refusal to afford constitutional protection to such
commercial matters as bank records,
California Bankers Assn. v.
Shultz, 416 U. S. 21
(1974), or drug prescription records,
Whalen v. Roe,
429 U. S. 589
(1977), only serves to emphasize the importance of truly private
papers or communications, such as a personal diary or family
correspondence. These private papers lie at the core of First and
Fourth Amendment interests.
[
Footnote 4/28]
The fact that GSA initially secured possession of the
Presidential papers through the agreement with the former President
does not change the fact that the agency was commanded by Congress
to take exclusive custody of
and retain all Presidential
historical materials. Moreover, everyone admits that the Act
contemplates a careful screening process by Government agents. The
fact that the governmental intrusion is noncriminal in nature does
not, of course, render the Fourth Amendment's prohibitions
inapplicable.
See South Dakota v. Opperman, 428 U.
S. 364 (1976).
[
Footnote 4/29]
"The constitution declares that 'no bill of attainder or
ex
post facto law shall be passed.'"
"If, however, such a bill should be passed and a person should
be prosecuted under it, must the court condemn to death those
victims whom the constitution endeavors to preserve?"
Marbury v. Madison, 1 Cranch at
5 U. S. 179.
[
Footnote 4/30]
Title I fails to provide any procedural due process safeguards,
either before or after seizure of the Presidential materials. There
is no provision whatever permitting appellant to be heard in the
decisionmaking process by which GSA employees will determine, with
no statutory standards to guide them, whether particular materials
have "general historical value." No time restraints are placed upon
GSA's decisionmaking process, even though this Court has
consistently recognized that, when dealing with First Amendment
interests, the timing of governmental decisionmaking is crucial.
E.g., Freedman v. Maryland, 380 U. S.
51 (1965);
Marcus v. Search Warrant,
367 U. S. 717
(1961). Under those holdings, any statute which separates an
individual, against his will, from First Amendment protected
materials must be strictly limited within a timeframe. Title I, in
contrast, places no limits with respect to GSA's retention of
custody over appellant's papers; three years have already elapsed
since seizure of the papers in question.
MR. JUSTICE REHNQUIST, dissenting.
Appellant resigned the Office of the Presidency nearly three
years ago, and if the issue here were limited to the right of
Congress to dispose of his particular Presidential papers, this
case would not be of major constitutional significance.
Unfortunately, however, today's decision countenances the power of
any future Congress to seize the official papers of an outgoing
President as he leaves the inaugural stand. In so doing, it poses a
real threat to the ability of future Presidents to receive candid
advice and to give candid instructions. This result, so at odds
with our previous case law on the separation of powers, will daily
stand as a veritable sword of Damocles over every succeeding
President and his advisers. Believing as I do that the Act is a
clear violation of the constitutional principle of separation of
powers, I need not address the other issues considered by the
Court. [
Footnote 5/1]
Page 433 U. S. 546
My conclusion that the Act violates the principle of separation
of powers is based upon three fundamental propositions. First,
candid and open discourse among the President, his
Page 433 U. S. 547
advisers, foreign heads of state and ambassadors, Members of
Congress, and the others who deal with the White House on a
sensitive basis is an absolute prerequisite to the effective
discharge of the duties of that high office. Second, the effect of
the Act, and of this Court's decision upholding its
constitutionality, will undoubtedly restrain the necessary free
flow of information to and from the present President and future
Presidents. Third, any substantial intrusion upon the effective
discharge of the duties of the President is sufficient to violate
the principle of separation of powers, and our prior cases do not
permit the sustaining of an Act such as this by "balancing" an
intrusion of substantial magnitude against the interests assertedly
fostered by the Act.
Page 433 U. S. 548
With respect to the second point, it is, of course, true that
the Act is directed solely at the papers of former President Nixon.
[
Footnote 5/2] Although the terms
of the Act, therefore, have no direct application to the present
occupant or future occupants of the Office, the effect upon candid
communication to and from these future Presidents depends, in the
long run, not upon the limited nature of the present Act, but upon
the precedential effect of today's decision. Unless the authority
of Congress to seize the papers of this appellant is limited only
to him in some principled way, future Presidents and their advisers
will be wary of a similar Act directed at their papers out of pure
political hostility.
We are dealing with a privilege, albeit a qualified one, that
both the Court and the Solicitor General concede may be asserted by
an ex-President. It is a privilege which has been relied upon by
Chief Executives since the time of George Washington.
See,
e.g., the dissenting opinion of THE CHIEF JUSTICE,
ante at
433 U. S.
509-510. Unfortunately, the Court's opinion upholding
the constitutionality of this Act is obscure, to say the least, as
to the circumstances that will justify Congress in seizing the
papers of an ex-President. [
Footnote
5/3] A potpourri of reasons is advanced as to why the Act is
not an unconstitutional
Page 433 U. S. 549
infringement upon the principle of separation of powers,
[
Footnote 5/4] but the weight to be
attached to any of the factors is left wholly unclear.
The Court speaks of the need to establish procedures to preserve
Presidential materials, to allow a successor President access to
the papers of the prior President, to grant the American public
historical access, and to rectify the present "hit-or-miss"
approach by entrusting the materials to the expert handling of the
archivists.
Ante at
433 U. S.
452-453. These justifications are equally applicable to
each and every future President, and, other than one cryptic
paragraph,
ante at
433 U. S.
453-454, the Court's treatment contains no suggestion
that Congress might not permissibly seize the papers of any
outgoing future President. The unclear scope of today's opinion
will cause future Presidents and their advisers to be uneasy
over
Page 433 U. S. 550
the confidentiality of their communications, thereby restraining
those communications.
The position of my Brothers POWELL and BLACKMUN is that today's
opinion will not result in an impediment to future Presidential
communications, since this case is "unique" [
Footnote 5/5] -- appellant resigned in disgrace from the
Presidency during events unique in the history of our Nation. MR.
JUSTICE POWELL recognizes that this position is quite different
from that of the Court.
Ante at
433 U. S.
492-498. Unfortunately his concurring view that the
authority of Congress is limited to the situation he describes does
not itself change the expansive scope of the Court's opinion, and
will serve as scant consolation to future Presidential advisers.
For so long as the Court's opinion represents a threat to
confidential communications, the concurrences of MR. JUSTICE POWELL
and MR. JUSTICE BLACKMUN, I fear, are based on no more than wishful
thinking.
Were the Court to advance a principled justification for
affirming the judgment solely on the facts surrounding appellant's
fall from office, the effect of its decision upon future
Presidential communications would be far less serious. But the
Court does not advance any such justification.
A
It would require far more of a discourse than could profitably
be included in an opinion such as this to fully describe the
preeminent position that the President of the United States
occupies with respect to our Republic. Suffice it to say that the
President is made the sole repository of the executive powers of
the United States, and the powers entrusted to him as well as the
duties imposed upon him
Page 433 U. S. 551
are awesome indeed. [
Footnote
5/6] Given the vast spectrum of the decisions that confront him
-- domestic affairs, relationships with foreign powers, direction
of the military as Commander in
Page 433 U. S. 552
Chief -- it is by no means an overstatement to conclude that
current, accurate, and absolutely candid information is essential
to the proper performance of his office. Nor is it an overstatement
to conclude that the President must be free to give frank and
candid instructions to his subordinates. It cannot be denied that
one of the principal determinants of the quality of the information
furnished to the President will be the degree of trust placed in
him by those who confide in him. The Court itself,
ante at
433 U. S.
448-449, cites approvingly the following language of the
Solicitor General:
"'Unless he can give his advisers some assurance of
confidentiality, a President could not expect to receive the full
and frank submission of facts and opinions upon which effective
discharge of his duties depends.'"
See Brief for Federal Appellees 33.
The public papers of Dwight D. Eisenhower, who had the advantage
of discharging executive responsibilities first as the Commander in
Chief of the United States forces in Europe during the Second World
War and then as President of the United States for two terms,
attest to the critical importance of this trust in the President's
discretion:
"And if any commander is going to get the free, unprejudiced
opinions of his subordinates, he had better protect what they have
to say to him on a confidential basis."
Public Papers of the Presidents of the United States: Dwight D.
Eisenhower, 1955, p. 674 (1959). The effect of a contrary course
likewise impressed President Eisenhower:
"But when it comes to the conversations that take place
Page 433 U. S. 553
between any responsible official and his advisers or exchange of
little, mere slips of this or that, expressing personal opinions on
the most confidential basis, those are not subject to investigation
by anybody,
and, if they are, will wreck the
Government."
Ibid. (Emphasis added.) There simply can be no doubt
that it is of the utmost importance for sensitive communications to
the President to be viewed as confidential, and generally
unreachable without the President's consent.
B
In order to fully understand the impact of this Act upon the
confidential communications in the White House, it must be
understood that the Act will affect not merely former President
Nixon, but the present President and future Presidents. As
discussed above, while this Act itself addresses only the papers of
former President Nixon, today's decision upholding its
constitutionality renders uncertain the constitutionality of future
congressional action directed at any ex-President. Thus,
Presidential confidants will assume, correctly, that any records of
communications to the President could be subject to "appropriation"
in much the same manner as the present Act seized the records of
confidential communications to and from President Nixon. When
advice is sought by future Presidents, no one will be unmindful of
the fact that, as a result of the uncertainty engendered by today's
decision, all confidential communications of any ex-President could
be subject to seizure over his objection, as he leaves the
inaugural stand on January 20.
And Presidential communications will undoubtedly be impeded by
the recognition that there is a substantial probability of public
disclosure of material seized under this Act, which, by today's
decision, is a constitutional blueprint for future Acts. First, the
Act, on its face, requires that 100-odd Government archivists study
and review Presidential papers
Page 433 U. S. 554
heretofore accessible only with the specific consent of the
President. Second, the Act requires that public access is to be
granted by future regulations consistent with "the need to provide
public access to those materials which have general historical
significance. . . ." § 104(a)(6). Either of these provisions is
sufficient to detract markedly from the candor of communications to
and from the President.
In brushing aside the fact that the archivists are empowered to
review the papers, the Court concludes that the archivists will be
discreet.
Ante at
433 U. S. 451-452. But there is no foundation for the
Court's assumption that there will be no leaks. Any reviews that
the archivists have made of Presidential papers in the past have
been done only after authorization by the President, and after the
President has had an opportunity to cull the most sensitive
documents. It strikes me as extremely naive, and I daresay that
this view will be shared by a large number of potential confidants
of future Presidents, to suppose that each and every one of the
archivists who might participate in a similar screening by virtue
of a future Act would remain completely silent with respect to
those portions of the Presidential papers which are extremely
newsworthy. The Solicitor General, supporting the constitutionality
of the Act, candidly conceded as much in oral argument:
"Question: . . . I now ask you a question that may sound
frivolous, but do you think if a hundred people know anything of
great interest in the City of Washington, it will remain a
secret?"
"[Laughter.]"
"Mr. McCree: MR. JUSTICE POWELL, I have heard that, if two
people have heard it, it will not."
Tr. of Oral Arg. 46.
It borders on the absurd for the Court to cite our recent
decision in
Whalen v. Roe, 429 U.
S. 589 (1977), as a precedent for the proposition that
Government officials will invariably
Page 433 U. S. 555
honor provisions in a law dedicated to the preservation of
privacy. It is quite doubtful, at least to my mind, that columnists
or investigative reporters will be avidly searching for what doctor
prescribed what drug for what patient in the State of New York,
which was the information required to be furnished in
Whalen v.
Roe. But with respect to the advice received by a President,
or the instructions given by him, on highly sensitive matters of
great historical significance, the case is quite the opposite.
Hence, at the minimum, today's decision upholding the
constitutionality of this Act, mandating review by archivists, will
engender the expectation that future confidential communications to
the President may be subject to leaks or public disclosure without
his consent.
In addition to this review by archivists, Presidential papers
may now be seized and shown to the public if they are of "general
historical significance." The Court attempts to avoid this problem
with the wishful expectation that the regulations regarding public
access, when promulgated, will be narrowly drawn. However, this
assumes that a Presidential adviser will speak candidly based upon
this same wishful assumption that the regulations, when ultimately
issued and interpreted, will protect his confidences. But the
current Act is over two and one-half years old, and no binding
regulations have yet been promulgated. And it is anyone's guess as
to how long it will take before such ambiguous terms as "historical
significance" are definitively interpreted, and as to whether some
future Administrator as yet unknown might issue a broader
definition. Thus, the public access required by this Act will, at
the very least, engender substantial uncertainty regarding whether
future confidential communications will, in fact, remain
confidential.
The critical factor in all of this is not that confidential
material might be disclosed, since the President himself might
choose to "go public" with it. The critical factor is that the
determination as to whether to disclose is wrested by the
Page 433 U. S. 556
Act from the President. When one speaks in confidence to a
President, he necessarily relies upon the President's discretion
not to disclose the sensitive. The President similarly relies on
the discretion of a subordinate when instructing him. Thus it is no
answer to suggest, as does the Court,
ante at
433 U. S.
450-451, that the expectation of confidentiality has
always been limited because Presidential papers have in the past
been turned over to Presidential libraries or otherwise
subsequently disclosed. In those cases, ultimate reliance was upon
the discretion of the President to cull the sensitive ones before
disclosure. But when, as is the case under this Act, the decision
whether to disclose no longer resides in the President,
communication will inevitably be restrained.
The Court, as does MR. JUSTICE POWELL, seeks to diminish the
impact of this Act on the Office of the President by virtue of the
fact that neither President Ford nor President Carter supports
appellant's claim.
Ante at
433 U. S. 441,
433 U. S. 502
n. 5. It is quite true that President Ford signed the Act into law,
and that the Solicitor General, representing President Carter,
supports its constitutionality. While we must give due regard to
the fact that these President have not opposed the Act, we must
also give due regard to the unusual political forces that have
contributed to making this situation "unique."
Ante at
433 U. S. 494
(POWELL, J., concurring). MR. JUSTICE POWELL refers to the stance
of the current Executive as "dispositive,"
ante at
433 U. S. 498,
and the Court places great emphasis upon it. I think this analysis
is mistaken.
The current occupant of the Presidency cannot, by signing into
law a bill passed by Congress, waive the claim of a successor
President that the Act violates the principle of separation of
powers. We so held in
Myers v. United States, 272 U. S.
52 (1926). And only last Term we unanimously held in
Buckley v. Valeo, 424 U. S. 1 (1976),
that persons with no connection with the Executive Branch of the
Government may attack the constitutionality of a law signed by the
President on the
Page 433 U. S. 557
ground that it invaded authority reserved for the Executive
Branch under the principle of separation of powers. This principle,
perhaps the most fundamental in our constitutional framework, may
not be signed away by the temporary incumbent of the office which
it was designed to protect.
MR. JUSTICE POWELL's view that the incumbent President must join
the challenge of the ex-President places Presidential
communications in limbo, since advisers, at the time of the
communication, cannot know who the successor will be or what his
stance will be regarding seizure by Congress of his predecessor's
papers. Since the advisers cannot be sure that the President to
whom they are communicating can protect their confidences,
communication will be inhibited. MR. JUSTICE POWELL's view,
requiring an ex-President to depend upon his successor, blinks at
political and historical reality. The tripartite system of
Government established by the Constitution has on more than one
occasion bred political hostility not merely between Congress and a
lame-duck President, but between the latter and his successor. To
substantiate this view, one need only recall the relationship at
the time of the transfer to the reins of power from John Adams to
Thomas Jefferson, from James Buchanan to Abraham Lincoln, from
Herbert Hoover to Franklin Roosevelt, and from Harry Truman to
Dwight Eisenhower. Thus, while the Court's decision is an
invitation for a hostile Congress to legislate against an unpopular
lame-duck President, MR. JUSTICE POWELL's position places the
ultimate disposition of a challenge to such legislation in the
hands of what history has shown may be a hostile incoming
President. I cannot believe that the Constitution countenances this
result. One may ascribe no such motives to Congress and the
successor Presidents in this case without nevertheless harboring a
fear that they may play a part in some succeeding case.
The shadow that today's decision casts upon the daily operation
of the Office of the President during his entire
Page 433 U. S. 558
four-year term sharply differentiates it from our previous
separation of powers decisions, which have dealt with much more
specific and limited intrusions. These cases have focused upon
unique aspects of the operation of a particular branch of
government, rather than upon an intrusion, such as the present one,
that permeates the entire decisionmaking process of the Office of
the President. For example, in
Youngstown Sheet & Tube Co.
v. Sawyer, 343 U. S. 579
(1952) (
Steel Seizure Cases), this Court held that the
President could not, by Executive Order, seize steel mills in order
to prevent a work stoppage when Congress had provided other methods
for dealing with such an eventuality. In
Myers v. United
States, supra, the Court struck down an 1876 statute which had
attempted to restrict the President's power to remove postmasters
without congressional approval. In
Buckley v. Valeo,
supra, the Court struck down Congress' attempt to vest the
power to appoint members of the Federal Election Commission in
persons other than the President.
To say that these cases dealt with discrete instances of
governmental action is by no means to disparage their importance in
the development of our constitutional law. But it does contrast
them quite sharply with the issue involved in the present case. To
uphold the Presidential Recordings and Materials Preservation Act
is not simply to sustain or invalidate a particular instance of the
exercise of governmental power by Congress or by the President; it
has the much more far-reaching effect of significantly hampering
the President, during his entire term of office, in his ability to
gather the necessary information to perform the countless discrete
acts which are the prerogative of his office under Art. II of the
Constitution.
C
It thus appears to me indisputable that this Act is a
significant intrusion into the operations of the Presidency. I do
not think that this severe dampening of free communication
Page 433 U. S. 559
to and from the President may be discounted by the Court's
adoption of a novel "balancing" test for determining whether it is
constitutional. [
Footnote 5/7] I
agree with the Court that the three branches of Government need not
be airtight,
ante at
433 U. S. 443,
and that the separate branches are not intended to operate
Page 433 U. S. 560
with absolute independence,
United States v. Nixon,
418 U. S. 683,
418 U. S. 707
(1974). But I find no support in the Constitution or in our cases
for the Court's pronouncement that the operations of the Office of
the President may be severely impeded by Congress simply because
Congress had a good reason for doing so.
Surely if ever there were a case for "balancing," and giving
weight to the asserted "national interest" to sustain governmental
action, it was in the
Steel Seizure Cases, supra. There
the challenged Presidential Executive Order recited, without
contradiction by its challengers, that
"American fighting men and fighting men of other nations of the
United Nations are now engaged in deadly combat with the forces of
aggression in Korea'"
that
"the weapons and other materials needed by our armed forces and
by those joined with us in the defense of the free world are
produced to a great extent in this country, and steel is an
indispensable component of substantially all of such weapons and
materials;"
and that a work stoppage in the steel industry
"would immediately jeopardize and imperil our national defense
and the defense of those joined with us in resisting aggression,
and would add to the continuing danger of our soldiers, sailors,
and airmen engaged in combat in the field."
343 U.S. at
343 U. S.
590-591 (App. to opinion). Although the "legislative"
actions by the President could have been quickly overridden by an
Act of Congress,
id. at
343 U. S. 677
(Vinson, C.J., dissenting), this Court struck down the Executive
Order as violative of the separation of powers principle with nary
a mention of the national interest to be fostered by what could
have been characterized as a relatively minimal and temporary
intrusion upon the role of Congress. The analysis was simple and
straightforward: Congress had exclusive authority to legislate; the
President's Executive Order was an exercise of legislative power
that impinged upon that authority of Congress, and was therefore
unconstitutional.
Id. at
343 U. S.
588-589.
See also Buckley v. Valeo. [
Footnote 5/8]
Page 433 U. S. 561
I think that not only the Executive Branch of the Federal
Government, but the Legislative and Judicial Branches as well, will
come to regret this day when the Court has upheld an Act of
Congress that trenches so significantly on the functioning of the
Office of the President. I dissent.
[
Footnote 5/1]
While the entire substance of this dissent is devoted to the
constitutional principle of separation of powers, and not to the
other issues that the Court addresses separately, it seems to me
that the Court is too facile in separating appellant's "privacy"
claims from his "separation of powers" claims, as if they were two
separate and wholly unrelated attacks on the statute. The concept
of "privacy" can be a coat of many colors, and quite differing
kinds of rights to "privacy" have been recognized in the law.
Property may be "private," in the sense that the Fifth Amendment
prohibits the Government from seizing it without paying just
compensation. A dictabelt tape or diary may be "private" in that
sense, but may also be "private" in the sense that the Fourth
Amendment would prohibit an unreasonable seizure of it even though
in making such a seizure the Government agreed to pay for the fair
value of the diary so as not to run afoul of the Eminent Domain
Clause of the Fifth Amendment. Many states have recognized a common
law "right of privacy" first publicized in the famous Warren and
Brandeis article, The Right to Privacy, 4 Harv.L.Rev.193 (1890).
Privileges, such as the executive privilege embodied in the
Constitution as a result of the separation of powers,
United
States v. Nixon, 418 U. S. 683
(1974), and the attorney-client privilege, recognized under case
and statutory law in most jurisdictions, protect still a different
form of privacy. The invocation of such privileges has the effect
of protecting the privacy of a communication made confidentially to
the President or by a client to an attorney; the purpose of the
privilege, in each case, is to assure free communication on the
part of the confidant and of the client, respectively.
The Court states,
ante at
433 U. S. 459,
that
"it is logical to assume that the tape recordings made in the
Presidential offices primarily relate to the conduct and business
of the Presidency."
Whatever the merits of this argument may be against a claim
based on other types of privacy, it makes crystal clear that the
Act is a serious intrusion upon the type of "privacy" that is
protected by the principle of executive privilege. The Court's
complete separation of its discussion of the executive privilege
claim from the privacy claim thus enables it to take inconsistent
positions in the different sections of its opinion.
The Court's position with respect to the appellant's individual
privacy heightens my concern regarding the privacy interest served
by executive privilege. In attempting to minimize the Act's impact
upon appellant's privacy, the Court concludes that "purely private
papers and recordings will be returned to appellant under §
104(a)(7) of the Act."
Ibid. However, this conclusion
raises more questions than answers. Under § 104(a)(7), the return
of papers to the appellant is conditioned on their being "not
otherwise of general historical significance." Given the expansive
nature of this phrase,
see Tr. of Oral Arg. 39, it is
quite conceivable that virtually none of the papers will be
returned, and the Court's representation is an empty gesture.
See also § 104(a)(6). What is meant by "
purely
private papers"? Is a personal letter to or from the President, but
concerning the duties of the President considered "private," or is
a document replete with personal communications, but containing
some reference to the affairs of state, "purely private"? The
dictabelts of the President's personal recollections, dictated in
diary form at the end of each day, are assumedly private, and are
to be returned.
See Tr. of Oral Arg. 59. But the dictabelt
dictation is also recorded on the voice-activated White House
taping system, and those tapes will be retained and reviewed.
Hence, appellant's privacy interest will not be served by the
return of the dictabelts, and the retention of the tapes will
seriously erode Presidential communications, as discussed
infra at
433 U. S.
553-558. By approaching these issues in
compartmentalized fashion the Court obscures the fallacy of its
result.
I fully subscribe to most of what is said respecting the
separation of powers in the dissent of THE CHIEF JUSTICE. Indeed,
it is because I so thoroughly agree with his observation that the
Court's holding today is a "grave repudiation of nearly 200 years
of judicial precedent and historical practice" that I take this
opportunity to write separately on the subject, thinking that its
importance justifies such an opinion.
[
Footnote 5/2]
I am not unmindful of the excesses of Watergate, and of the
impetus it gave to this legislation. However, the Court's opinion
does not set forth a principled distinction that would limit the
constitutionality of an Act such as this to President Nixon's
papers. Absent such a distinction:
"The emotional aspects of the case make it difficult to decide
dispassionately, but do not qualify our obligation to apply the law
with an eye to the future as well as with concern for the result in
the particular case before us."
Brewer v. Williams, 430 U. S. 387,
430 U. S. 415
(1977) (STEVENS, J., concurring).
[
Footnote 5/3]
Indeed, there is nothing in the Court's logic which would
invalidate such an Act if it applied to an
incumbent
President
during his term of office. It is, of course, not
likely that an incumbent would sign such a measure, but a
sufficiently determined Congress could pass it over his veto
nonetheless.
[
Footnote 5/4]
In my view, the Court's decision itself, by not offering any
principled basis for distinguishing appellant's case from that of
any future President, has a present and future impact on the
functioning of the Office of the Presidency. Hence, the validity of
the reasons asserted by the Court for upholding this particular Act
is a subject which I find it unnecessary to address in detail. I
feel bound to observe, however, that the Court, in emphasizing,
e.g., ante at
433 U. S.
443-444, the fact that the seized papers are to be
lodged with the General Services Administration, an agency created
by Congress but housed in the Executive Branch of the Government,
relies upon a thin reed indeed.
Control and management of an agency such as the General Services
Administration is shared between the incumbent President, by virtue
of his authority to nominate its officials, and Congress, by virtue
of its authority to enact substantive legislation defining the
functions of the agency. But the physical placement of the seized
Presidential papers with such an agency does not solve the
separation of powers problem. The principle of separation of powers
is infringed when, by Act of Congress, Presidential communications
are impeded because the President no longer has exclusive control
over the release of his confidential papers. The fact that this Act
places physical custody in the hands of the General Services
Administration, rather than a congressional committee, makes little
difference so far as divestiture of Presidential control is
concerned.
[
Footnote 5/5]
My Brother STEVENS,
ante at
433 U. S.
486-487, seeks to attribute a similar uniqueness to the
precedential value of this case, but his observations are directed
to appellant's bill of attainder claim, rather than to the
separation of powers claim.
[
Footnote 5/6]
Article II empowers him, "by and with the Advice and Consent of
the Senate," to make treaties, to appoint numerous other high
officials of the Federal Government, to receive ambassadors and
other public ministers, and to commission all the officers of the
United States. That Article enjoins him to "take Care that the Laws
be faithfully executed," and authorizes him to
"give to the Congress Information of the State of the Union, and
recommend to their Consideration such Measures as he shall judge
necessary and expedient."
It is difficult to imagine a public office whose occupant would
be more dependent upon the confidentiality of the advice which he
received, and the confidentiality of the instructions which he
gave, for the successful execution of his duties. This is
particularly true in the area of foreign affairs and international
relations; in
United States v. Courtiss-Wright Corp.,
299 U. S. 304,
299 U. S. 319
(1936), this Court stated:
"Not only, as we have shown, is the federal power over external
affairs in origin and essential character different from that over
internal affairs, but participation in the exercise of the power is
significantly limited. In this vast external realm, with its
important, complicated, delicate and manifold problems, the
President alone has the power to speak or listen as a
representative of the nation. He makes treaties with the advice and
consent of the Senate, but he alone negotiates. Into the field of
negotiation the Senate cannot intrude; and Congress itself is
powerless to invade it. As Marshall said in his great argument of
March 7, 1800, in the House of Representatives, 'The President is
the sole organ of the nation in its external relations, and its
sole representative with foreign nations.' Annals, 6th Cong., col.
613. The Senate Committee on Foreign Relations, at a very early day
in our history (February 15, 1816), reported to the Senate, among
other things, as follows:"
"'The President is the constitutional representative of the
United States with regard to foreign nations. He manages our
concerns with foreign nations, and must necessarily be most
competent to determine when, how, and upon what subjects
negotiation may be urged with the greatest prospect of success. For
his conduct he is responsible to the Constitution. The committee
consider this responsibility the surest pledge for the faithful
discharge of his duty. They think the interference of the Senate in
the direction of foreign negotiations calculated to diminish that
responsibility, and thereby to impair the best security for the
national safety. The nature of transactions with foreign nations,
moreover, requires caution and unity of design, and their success
frequently depends on secrecy and dispatch.' U.S. Senate, Reports,
Committee on Foreign Relations, vol. 8, p. 24."
[
Footnote 5/7]
As a matter of original inquiry, it might plausibly be claimed
that the concerns expressed by the Framers of the Constitution
during their debates, and similar expressions found in the
Federalist Papers, by no means require the conclusion that the
Judicial Branch is the ultimate arbiter of whether one branch has
transgressed upon powers constitutionally reserved to another. It
could have been plausibly maintained that the Framers thought that
the Constitution itself had armed each branch with sufficient
political weapons to fend off intrusions by another which would
violate the principle of separation of powers, and that therefore
there was neither warrant nor necessity for judicial invalidation
of such intrusion. But that is not the way the law has developed in
this Court.
Marbury v.
Madison, 1 Cranch 137 (1803), not only established
the authority of this Court to hold an Act of Congress
unconstitutional, but the particular constitutional question which
it decided was essentially a "separation of powers" issue: whether
Congress was empowered under the Constitution to expand the
original jurisdiction conferred upon this Court by Art. III of the
Constitution.
Any argument that
Marbury is limited to cases involving
the powers of the Judicial Branch and that the Court had no power
to intervene in any dispute relating to separation of powers
between the other two branches has been rejected in
Myers v.
United States, 272 U. S. 52
(1926);
Humphrey's Executor v. United States, 295 U.
S. 602 (1935); and
Buckley v. Valeo,
424 U. S. 1 (1976).
In so doing, these cases are entirely consistent with the following
language from
United States v. Nixon, 418 U.
S. 683 (1974):
"In the performance of assigned constitutional duties, each
branch of the Government must initially interpret the Constitution,
and the interpretation of its powers by any branch is due great
respect from the others. The President's counsel, as we have noted,
reads the Constitution as providing an absolute privilege of
confidentiality for all Presidential communications. Many decisions
of this Court, however, have unequivocally reaffirmed the holding
of
Marbury v. Madison, 1 Cranch
137 (1803), that '[i]t is emphatically the province and duty of the
judicial department to say what the law is.'
Id. at
5 U. S. 177."
Id. at
418 U. S.
703.
[
Footnote 5/8]
For the reasons set forth by THE CHIEF JUSTICE,
ante at
433 U. S. 512,
it is clear that the circumstances in
United States v.
Nixon, involving a narrow request for specified documents in
connection with a criminal prosecution, provide no support for the
Court's use of a balancing test in a case such as this where the
seizure is a broad and undifferentiated intrusion into the daily
operations of the Office of the President.