Respondent Members of Congress brought suit under the Freedom of
Information Act of 1966 to compel disclosure of nine documents that
various officials had prepared for the President concerning a
scheduled underground nuclear test. All but three were classified
as Top Secret or Secret under E.O. 10501, and petitioners
represented that all were inter-agency or intra-agency documents
used in the Executive Branch's decisionmaking processes. The
District Court granted petitioners' motion for summary judgment on
the grounds that each of the documents was exempt from compelled
disclosure by 5 U.S.C. § 552(b)(1) (hereafter Exemption 1),
excluding matters "specifically required by Executive order to be
kept secret in the interest of the national defense or foreign
policy," and § 552(b)(5) (hereafter Exemption 5), excluding
"inter-agency or intra-agency memorandums or letters which would
not be available by law to a party . . . in litigation with the
agency." The Court of Appeals reversed, concluding (a) that
Exemption 1 permits nondisclosure of only the secret portions of
classified documents but requires disclosure of the nonsecret
components if separable, and (b) that Exemption 5 shields only
governmental "decisional processes" and not factual information
unless "inextricably intertwined with policymaking processes." The
District Court was ordered to examine the documents
in
camera to determine both aspects of separability.
Held:
1. Exemption 1 does not permit compelled disclosure of the six
classified documents or
in camera inspection to sift out
"non-secret components," and petitioners met their burden of
demonstrating that the documents were entitled to protection under
that exemption. Pp.
410 U. S.
79-84.
2. Exemption 5 does not require that otherwise confidential
documents be made available for a district court's
in
camera inspection regardless of how little, if any, purely
factual material they contain. In implying that such inspection be
automatic, the Court of Appeals order was overly rigid, and
petitioners should be afforded the opportunity of demonstrating by
means short of
Page 410 U. S. 74
in camera inspection that the documents sought are
clearly beyond the range of material that would be available to a
private part in litigation with a Government agency. Pp.
410 U. S.
85-94.
150 U.S. App. D.C. 233, 464 F.2d 742, reversed and remanded.
WHITE, J., delivered the opinion of the Court, in which BURGER,
C.J., and STEWART, BLACKMUN, and POWELL, JJ., joined. STEWART, J.,
filed a concurring opinion,
post, p.
410 U. S. 94.
BRENNAN, J., filed an opinion concurring in part and dissenting in
part, in which MARSHALL, J., joined,
post, p.
410 U. S. 95.
DOUGLAS, J., filed a dissenting opinion,
post, p.
410 U. S. 105.
REHNQUIST, J., tool no part in the consideration or decision of the
case.
MR. JUSTICE WHITE delivered the opinion of the Court.
The Freedom of Information Act of 1966, 5 U.S.C. § 552, provides
that Government agencies shall make available to the public a broad
spectrum of information, but exempts from its mandate certain
specified categories of information, including matters that are
"specifically required by Executive order to be kept secret in the
interest of the national defense or foreign policy," § 552(b)(1),
or are
"inter-agency or intra-agency memorandums or letters which would
not be available by law to a party other than an agency in
litigation with the agency,"
§ 552(b)(5). It is the construction and scope of these
exemptions that are at issue here.
Page 410 U. S. 75
I
Respondents' lawsuit began with an article that appeared in a
Washington, D.C. newspaper in late July, 1971. The article
indicated that the President had received conflicting
recommendations on the advisability of the underground nuclear test
scheduled for that coming fall and, in particular, noted that the
"latest recommendations" were the product of "a departmental
under-secretary committee named to investigate the controversy."
Two days later, Congresswoman Patsy Mink, a respondent, sent a
telegram to the President urgently requesting the "immediate
release of recommendations and report by inter-departmental
committee. . . ." When the request was denied, an action under the
Freedom of Information Act was commenced by Congresswoman Mink and
32 of her colleagues in the House. [
Footnote 1]
Petitioners immediately moved for summary judgment on the ground
that the materials sought were specifically exempted from
disclosure under subsections (b)(1) and (b)(5) of the Act.
[
Footnote 2] In support of the
motion, petitioners filed an affidavit of John N. Irwin II, the
Under Secretary
Page 410 U. S. 76
of State. Briefly, the affidavit states that Mr. Irwin was
appointed by President Nixon as Chairman of an "Under Secretaries
Committee," which was a part of the National Security Council
system organized by the President "so that he could use it as an
instrument for obtaining advice on important questions relating to
our national security." The Committee was directed by the President
in 1969
"to review the annual underground nuclear test program and to
encompass within this review requests for authorization of specific
scheduled tests."
Results of the Committee's reviews were to be transmitted to the
President "in time to allow him to give them full consideration
before the scheduled events." In � 5 of the affidavit, Mr. Irwin
stated that, pursuant to "the foregoing directions from the
President," the Under Secretaries Committee had prepared and
transmitted to the President a report on the proposed underground
nuclear test known as "Cannikin," scheduled to take place at
Amchitka Island, Alaska. The report was said to have consisted of a
covering memorandum from Mr. Irwin, the report of the Under
Secretaries Committee, five documents attached to that report, and
three additional letters separately sent to Mr. Irwin. [
Footnote 3] Of the
Page 410 U. S. 77
total of 10 documents, one, an Environmental Impact Statement
prepared by AEC, was publicly available and was not in dispute.
Each of the other nine was claimed in the Irwin affidavit to have
been
"prepared and used solely for transmittal to the President as
advice and recommendations and set forth the views and opinions of
the individuals and agencies preparing the documents so that the
President might be fully apprised of varying viewpoints and have
been used for no other purpose."
In addition, at least eight (by now reduced to six) of the nine
remaining documents were said to involve highly sensitive matter
vital to the national defense and foreign policy, and were
described as having been classified Top Secret or Secret pursuant
to Executive Order 10501. [
Footnote
4]
Page 410 U. S. 78
On the strength of this showing by petitioners, the District
Court granted summary judgment in their favor on the ground that
each of the nine documents sought was exempted from compelled
disclosure by §§ (b)(1) and (b)(5) of the Act. The Court of Appeals
reversed, concluding that subsection (b)(1) of the Act permits the
withholding of only the secret portions of those documents bearing
a separate classification under Executive Order 10501:
"If the nonsecret components [of such documents] are separable
from the secret remainder and my be read separately without
distortion of meaning, they too should be disclosed."
150 U.S.App.D.C. 233, 237, 464 F.2d 742, 746. The court
instructed the District Judge to examine the classified documents
"looking toward their possible separation for purposes of
disclosure or nondisclosure."
Ibid.
In addition, the Court of Appeals concluded that all nine
contested documents fell within subsection (b)(5) of the Act, but
construed that exemption as shielding only the "decisional
processes" reflected in internal Government memoranda, not "factual
information" unless that information is "inextricably intertwined
with policymaking processes." The court then ordered the District
Judge to examine the documents
in camera (including,
presumably, any "nonsecret components" of the six classified
documents) to determine if "factual data" could be separated out
and disclosed "without impinging on the policymaking decisional
processes intended to be protected by this exemption." We granted
certiorari, 405 U.S. 974, and now reverse the judgment of the Court
of Appeals.
Page 410 U. S. 79
II
The Freedom of Information Act, 5 U.S.C. § 552, [
Footnote 5] is a revision of § 3, the public
disclosure section, of the Administrative Procedure Act, 5 U.S.C. §
1002 (1964 ed.). Section 3 was generally recognized as falling far
short of its disclosure goals, and came to be looked upon more as a
withholding statute than a disclosure statute.
See S.Rep.
No. 813, 89th Cong., 1st Sess., 5 (1965) (hereinafter S.Rep. No.
813); H.R.Rep. No. 1497, 89th Cong., 2d Sess., 5-6 (1966)
(hereinafter H.R.Rep. No. 1497). The section was plagued with vague
phrases, such as that exempting from disclosure "any function of
the United States requiring secrecy in the public interest."
Moreover, even "matters of official record" were only to be made
available to "persons properly and directly concerned" with the
information. And the section provided no remedy for wrongful
withholding of information. The provisions of the Freedom of
Information Act stand in sharp relief against those of § 3. The Act
eliminates the "properly and directly concerned" test of access,
stating repeatedly that official information shall be made
available "to the public," "for public inspection." Subsection (b)
of the Act creates nine exemptions from compelled disclosures.
These exemptions are explicitly made exclusive, 5 U.S.C. § 552(c),
and are plainly intended to set up concrete, workable standards for
determining whether particular material may be withheld or must be
disclosed. Aggrieved citizens are given a speedy remedy in district
courts, where "the court shall determine the matter
de
novo and the burden is on the agency to sustain its action." 5
U.S.C. § 552(a)(3). Noncompliance with court orders may be punished
by contempt.
Ibid.
Page 410 U. S. 80
Without question, the Act is broadly conceived. It seeks to
permit access to official information long shielded unnecessarily
from public view and attempts to create a judicially enforceable
public right to secure such information from possibly unwilling
official hands. Subsection (b) is part of this scheme, and
represents the congressional determination of the types of
information that the Executive Branch must have the option to keep
confidential, if it so chooses. As the Senate Committee explained,
it was not
"an easy task to balance the opposing interests, but it is not
an impossible one, either. . . . Success lies in providing a
workable formula which encompasses, balances, and protects all
interests, yet places emphasis on the fullest responsible
disclosure."
S.Rep. No. 813, p. 3. [
Footnote
6]
It is in the context of the Act's attempt to provide a "workable
formula" that "balances, and protects all interests," that the
conflicting claims over the documents in this case must be
considered.
Page 410 U. S. 81
A
Subsection (b)(1) of the Act exempts from forced disclosure
matters "specifically required by Executive order to be kept secret
in the interest of the national defense or foreign policy."
According to the Irwin affidavit, the six documents for which
Exemption 1 is now claimed were all duly classified Top Secret or
Secret, pursuant to Executive Order 10501, 3 CFR 280 (Jan. 1,
1970). That order was promulgated under the authority of the
President in 1953, 18 Fed.Reg. 7049, and, since that time, has
served as the basis for the classification by the Executive Branch
of information "which requires protection in the interests of
national defense." [
Footnote 7]
We do not believe that Exemption 1 permits compelled disclosure of
documents, such as the six here that were classified pursuant to
this Executive Order. Nor does the Exemption permit
in
camera inspection of such documents to sift out so-called
"nonsecret components." Obviously, this test was not the only
alternative available. But Congress chose to follow the Executive's
determination in these matters, and that choice must be
honored.
The language of Exemption 1 was chosen with care. According to
the Senate Committee,
"[t]he change of standard from 'in the public interest' is made
both to delimit more narrowly the exception and to give it a more
precise definition. The phrase 'public interest' in section 3(a) of
the Administrative Procedure Act has been subject
Page 410 U. S. 82
to conflicting interpretations, often colored by personal
prejudices and predilections. It admits of no clear
delineations."
S.Rep. No. 813, p. 8. The House Committee similarly pointed out
that Exemption 1 "both limits the present vague phrase,
in the
public interest,' and gives the area of necessary secrecy a more
precise definition." H.R.Rep. No. 1407, p. 9. Manifestly, Exemption
1 was intended to dispel uncertainty with respect to public access
to material affecting "national defense or foreign policy." Rather
than some vague standard, the test was to be simply whether the
President has determined by Executive Order that particular
documents are to be kept secret. The language of the Act itself is
sufficiently clear in this respect, but the legislative history
disposes of any possible argument that Congress intended the
Freedom of Information Act to subject executive security
classifications to judicial review at the insistence of anyone who
might seek to question them. Thus, the House Report stated with
respect to subsection (b)(1) that
"citizens both in and out of Government can agree to
restrictions on categories of information which the President has
determined must be kept secret to protect the national defense or
to advance foreign policy, such as matters classified pursuant to
Executive Order 10501."
H.R.Rep. No. 1497, pp. 9-10. [
Footnote 8] Similarly, Representative
Page 410 U. S. 83
Moss, Chairman of the House Subcommittee that considered the
bill, stated that the exemption "was intended to specifically
recognize that Executive order [No. 10501]," and was drafted "in
conformity with that Executive order." Hearings on Federal Public
Records Law before a Subcommittee of the House Committee on
Government Operations, 89th Cong., 1st Sess., 52, 55 (1965)
(hereinafter 1965 House Hearings). And a member of the Committee,
Representative Gallagher, stated that the legislation and the
Committee Report make it
"crystal clear that the bill in no way affects categories of
information which the President . . . has determined must be
classified to protect the national defense or to advance foreign
policy. These areas of information most generally are classified
under Executive Order No. 10501."
112 Cong.Rec. 13659.
These same sources make untenable the argument that
classification of material under Executive Order 10501 is somehow
insufficient for Exemption 1 purposes, or that the exemption
contemplates the issuance of orders, under some other authority,
for each document the Executive may want protected from disclosure
under the Act. Congress could certainly have provided that the
Executive Branch adopt new procedures, or it could have established
its own procedures -- subject only to whatever limitations the
Executive privilege may be held to impose upon such congressional
ordering.
Cf. United States v. Reynolds, 345 U. S.
1 (1953). But Exemption 1 does neither. It states with
the utmost directness that the Act exempts matters "specifically
required by Executive order to be kept secret." Congress was well
aware of the Order, and obviously accepted determinations pursuant
to that Order as qualifying for exempt status under § (b)(1). In
this context, it is patently unrealistic to
Page 410 U. S. 84
argue that the "Order has nothing to do with the first
exemption." [
Footnote 9]
What has been said thus far makes wholly untenable any claim
that the Act intended to subject the soundness of executive
security classifications to judicial review at the insistence of
any objecting citizen. It also negates the proposition that
Exemption 1 authorizes or permits
in camera inspection of
a contested document bearing a single classification so that the
court may separate the secret from the supposedly nonsecret and
order disclosure of the latter. The Court of Appeals was thus in
error. The Irwin affidavit stated that each of the six documents
for which Exemption 1 is now claimed "are and have been classified"
Top Secret and Secret "pursuant to Executive Order No. 10501," and
as involving "highly sensitive matter that is vital to our national
defense and foreign policy." The fact of those classifications and
the documents' characterizations have never been disputed by
respondents. Accordingly, upon such a showing and in such
circumstances petitioners had met their burden of demonstrating
that the documents were entitled to protection under Exemption 1,
and the duty of the District Court under § 552(a)(3) was therefore
at an end. [
Footnote 10]
Page 410 U. S. 85
B
Disclosure of the three documents conceded to be "unclassified"
is resisted solely on the basis of subsection (b)(5) of the Act
(hereafter Exemption 5). [
Footnote 11] That Exemption was also invoked,
alternatively, to support withholding the six documents for which
Exemption 1 was claimed. It is beyond question that the Irwin
affidavit, standing alone, is sufficient to establish that all of
the documents involved in this litigation are "inter-agency or
intra-agency" memoranda or "letters" that were used in the
decisionmaking processes of the Executive Branch. By its terms,
however, Exemption 5 creates an exemption for such documents only
insofar as they "would not be available by law to a party . . . in
litigation with the
Page 410 U. S. 86
agency." This language clearly contemplates that the public is
entitled to all such memoranda or letters that a private party
could discover in litigation with the agency. Drawing such a line
between what may be withheld and what must be disclosed is not
without difficulties. In many important respects, the rules
governing discovery in such litigation have remained uncertain from
the very beginnings of the Republic. [
Footnote 12] Moreover, at best, the discovery rules can
only be applied under Exemption 5 by way of rough analogies. For
example, we do not know whether the Government is to be treated as
though it were a prosecutor, a civil plaintiff, or a defendant.
[
Footnote 13] Nor does the
Act, by its terms, permit inquiry into particularized needs of the
individual seeking the information, although such an inquiry would
ordinarily be made of a private litigant. Still, the legislative
history of Exemption 5 demonstrates that Congress intended to
incorporate generally the recognized rule that "confidential
intra-agency advisory opinions . . . are privileged from
inspection."
Kaiser Aluminum & Chemical Corp. v. United
States, 141 Ct.Cl.
Page 410 U. S. 87
38, 49, 157 F. Supp. 939, 946 (1958) (Reed, J.). As Mr. Justice
Reed there stated:
"There is a public policy involved in this claim of privilege
for this advisory opinion -- the policy of open, frank discussion
between subordinate and chief concerning administrative
action."
Id. at 48, 157 F. Supp. at 946. The importance of this
underlying policy was echoed again and again during legislative
analysis and discussions of Exemption 5:
"It was pointed out in the comments of many of the agencies that
it would be impossible to have any frank discussion of legal or
policy matters in writing if all such writings were to be subjected
to public scrutiny. It was argued, and with merit, that efficiency
of Government would be greatly hampered if, with respect to legal
and policy matters, all Government agencies were prematurely forced
to 'operate in a fishbowl.' The committee is convinced of the
merits of this general proposition, but it has attempted to delimit
the exception as narrowly as consistent with efficient Government
operation."
S.Rep. No. 813, p. 9.
See also H.R.Rep. No. 1497, p.
10. But the privilege that has been held to attach to
intra-governmental memoranda clearly has finite limits, even in
civil litigation. In each case, the question was whether production
of the contested document would be "injurious to the consultative
functions of government that the privilege of nondisclosure
protects."
Kaiser Aluminum & Chemical Corp., supra.,
at 49, 157 F. Supp. at 946. Thus, in the absence of a claim that
disclosure would jeopardize state secrets,
see United States v.
Reynolds, 345 U. S. 1 (1953),
memoranda consisting only of compiled factual material
Page 410 U. S. 88
or purely factual material contained in deliberative memoranda
and severable from its context would generally be available for
discovery by private parties in litigation with the Government.
[
Footnote 14] Moreover, in
applying the privilege, courts often were required to examine the
disputed documents
in camera in order to determine which
should be turned over or withheld. [
Footnote 15] We must
Page 410 U. S. 89
assume, therefore, that Congress legislated against the backdrop
of this case law, particularly since it expressly intended "to
delimit the exception [5] as narrowly as consistent with efficient
Government operation." S.Rep. No. 813, p. 9.
See H.R.Rep.
No. 1497, p. 10. Virtually all of the courts that have thus far
applied Exemption 5 have recognized that it requires different
treatment for materials reflecting deliberative or policymaking
processes, on the one hand, and purely factual, investigative
matters, on the other. [
Footnote
16]
Nothing in the legislative history of Exemption 5 is contrary to
such a construction. When the bill that ultimately became the
Freedom of Information Act,
Page 410 U. S. 90
S. 1160, was introduced in the 89th Congress, it contained an
exemption that excluded:
"inter-agency or intra-agency memorandums or letters dealing
solely with matters of law or policy. [
Footnote 17]"
This formulation was designed to permit "[a]ll
factual
material in Government records . . . to be made available to the
public." S.Rep. No. 1219, 88th Cong., 2d Sess., 7 (1964). (Emphasis
in original.) The formulation was severely criticized, however, on
the ground that it would permit compelled disclosure of an
otherwise private document simply because the document did not deal
"solely" with legal or policy matters. Documents dealing with mixed
questions of fact, law, and policy would inevitably, under the
proposed exemption, become available to the public. [
Footnote 18] As a result of this
criticism,
Page 410 U. S. 91
Exemption 5 was changed to substantially its present form. But
plainly the change cannot be read as suggesting that all factual
material was to be rendered exempt from compelled disclosure.
Congress sensibly discarded a wooden exemption that could have
meant disclosure of manifestly private and confidential policy
recommendations simply because the document containing them also
happened to contain factual data. That decision should not be
taken, however, to embrace an equally wooden exemption permitting
the withholding of factual material otherwise available on
discovery merely because it was placed in a memorandum with matters
of law, policy, or opinion. It appears to us that Exemption 5
contemplates that the public's access to internal memoranda will be
governed by the same flexible, common sense approach that has long
governed private parties' discovery of such documents involved in
litigation with Government agencies. And, as noted, that approach
extended and continues to extend to the discovery of purely factual
material appearing in those documents in a form that is severable
without compromising the private remainder of the documents.
Petitioners further argue that, although
in camera
inspection and disclosure of "low-level, routine, factual reports"
[
Footnote 19] may be
contemplated by Exemption 5, that type of document is not involved
in this case. Rather,
Page 410 U. S. 92
it is argued, the documents here were submitted directly to the
President by top-level Government official, involve matters of
major significance, and contain, by their very nature, a blending
of factual presentations and policy recommendations that are
necessarily "inextricably intertwined with policymaking processes."
150 U.S.App.D.C. at 237, 464 F.2d at 746. For these reasons, the
petitioners object both to disclosure of any portions of the
documents and to
in camera inspection by the District
Court.
To some extent, this argument was answered by the Court of
Appeals, for its remand expressly directed the District Judge to
disclose only such factual material that is not "intertwined with
policymaking processes" and that may safely be disclosed "without
impinging on the policymaking decisional processes intended to be
protected by this exemption." We have no reason to believe that, if
petitioners' characterization of the documents is accurate, the
District Judge would go beyond the limits of the remand and in any
way compromise the confidentiality of deliberative information that
is entitled to protection under Exemption 5.
We believe, however, that the remand now ordered by the Court of
Appeals is unnecessarily rigid. The Freedom of Information Act may
be invoked by any member of "the public" -- without a showing of
need -- to compel disclosure of confidential Government documents.
The unmistakable implication of the decision below is that any
member of the public invoking the Act may require that otherwise
confidential documents be brought forward and placed before the
District Court for
in camera inspection -- no matter how
little, if any, purely factual material may actually be contained
therein. Exemption 5 mandates no such result. As was said in
Page 410 U. S. 93
Kaiser Aluminum & Chemical Corp., 141 Ct.Cl. at 50,
157 F.Supp. at 947:
"It seems . . . obvious that the very purpose of the privilege,
the encouragement of open expression of opinion as to governmental
policy, is somewhat impaired by a requirement to submit the
evidence even [
in camera]."
Plainly, in some situations,
in camera inspection will
be necessary and appropriate. But it need not be automatic. An
agency should be given the opportunity, by means of detailed
affidavits or oral testimony, to establish to the satisfaction of
the District Court that the documents sought fall clearly beyond
the range of material that would be available to a private party in
litigation with the agency. The burden is, of course, on the agency
resisting disclosure, 5 U.S.C. 552(a)(3), and, if it fails to meet
its burden without
in camera inspection, the District
Court may order such inspection. But the agency may demonstrate, by
surrounding circumstances, that particular documents are purely
advisory, and contain no separable, factual information. A
representative document of those sought may be selected for
in
camera inspection. And, of course, the agency may itself
disclose the factual portions of the contested documents and
attempt to show, again by circumstances, that the excised portions
constitute the barebones of protected matter. In short,
in
camera inspection of all documents is not a necessary or
inevitable tool in every case. Others are available.
Cf. United
States v. Reynolds, 345 U. S. 1 (1953).
In the present case, the petitioners proceeded on the theory that
all of the nine documents were exempt from disclosure in their
entirety under Exemption 5 by virtue of their use in the
decisionmaking process. On remand, petitioners are entitled to
attempt to demonstrate the propriety of withholding any documents,
or portions
Page 410 U. S. 94
thereof, by means short of submitting them for
in
camera inspection.
The judgment is reversed and the case is remanded for further
proceedings consistent with this opinion.
It is so ordered.
MR. JUSTICE REHNQUIST took no part in the consideration or
decision of this case.
[
Footnote 1]
A separate action was brought to enjoin the test itself.
Committee for Nuclear Responsibility v. Seaborg (DC, Civ.
Action No. 1346-71). After adverse decisions below, plaintiffs in
that case applied for an injunction in this Court. On November 6,
1971, we denied the application,
Committee for Nuclear
Responsibility v. Schlesinger, 404 U.
S. 917, and the test was conducted that same day.
It should be noted that in the District Court respondents stated
that they "have exhausted their administrative remedies [and] . . .
have complied with all applicable regulations." Petitioners did not
contest those assertions.
[
Footnote 2]
Petitioners also moved for dismissal of the suit insofar as
respondents sought disclosure of the documents in their official
capacities as Members of Congress. The District Court granted this
motion, but the Court of Appeals did not reach the issue.
Accordingly, the issue is not before this Court.
[
Footnote 3]
According to the Irwin affidavit, the report contained the
following documents:
A. A covering memorandum from Mr. Irwin to the President, dated
July 17, 1971. This memorandum is classified Top Secret pursuant to
Executive Order 10501.
B. The Report of the Under Secretaries Committee. This report
was also classified Top Secret. Attached to the report were
additional documents:
1. A letter, classified Secret, from the Chairman of the Atomic
Energy Commission (AEC) to Mr. Irwin.
2. A report, classified Top Secret, from the Defense Program
Review Committee, of which Dr. Henry Kissinger was the
Chairman.
3. The Environmental Impact Statement on the proposed Cannikin
test, prepared by the AEC in 1971, pursuant to § 102(C) of the
National Environmental Policy Act of 1969, 83 Stat. 853, 42 U.S.C.
§ 4332(C). This document had always been "publicly available," and
a copy was attached to the Irwin affidavit.
4. A transcript of an oral briefing given by the AEC to the
Committee. This document was classified Secret.
5. A memorandum from the Council on Environmental Quality to Mr.
Irwin. This memorandum was separately unclassified.
C. In addition to the covering memorandum and the Committee's
report (with attached documents), were three letters that had been
transmitted to Mr. Irwin:
1. A letter from Mr. William Ruckelshaus, for the Environmental
Protection Agency. This letter was classified Top Secret, but has
now been declassified.
2. A letter from Mr. Russell Train, for the Council on
Environmental Quality. Although the Irwin affidavit states that
this letter was classified Top Secret, petitioners concede that it
was so classified "only because it was to be attached to the
Undersecretary's Report." Brief for Petitioners 6 n. 5.
3. A letter of Dr. Edward E. David, Jr., for the Office of
Science and Technology. This letter is classified Top Secret.
[
Footnote 4]
These eight documents were also described as having been
classified as "Restricted Data . . . pursuant to the Atomic Energy
Act of 1954, as amended. (42 U.S.C. [§§ 2014(y)], 2161 and 2162.)"
Petitioners have not asserted that these provisions, standing
alone, would justify withholding the documents in this case.
But see 5 U.S.C. § 552(b)(3), relating to matters
"specifically exempted from disclosure by statute."
[
Footnote 5]
The Act was passed in 1966, 80 Stat. 383, and codified in its
present form in 1967. 81 Stat. 54.
[
Footnote 6]
The Report states (
ibid.):
"It is the purpose of the present bill . . . to establish a
general philosophy of full agency disclosure unless information is
exempted under clearly delineated statutory language. . . ."
"At the same time that a broad philosophy of 'freedom of
information' is enacted into law, it is necessary to protect
certain equally important rights of privacy with respect to certain
information in Government files, such as medical and personnel
records. It is also necessary for the very operation of our
Government to allow it to keep confidential certain material, such
as the investigatory files of the Federal Bureau of
Investigation."
"It is not an easy task to balance the opposing interests, but
it is not an impossible one, either. It is not necessary to
conclude that, to protect one of the interests, the other must, of
necessity, either be abrogated or substantially subordinated.
Success lies in providing a workable formula which encompasses,
balances, and protects all interests, yet places emphasis on the
fullest responsible disclosure."
See also H.R.Rep. No. 1497, p. 6.
[
Footnote 7]
Executive Order 10501 has been superseded, as of June 1, 1972,
by Executive Order 11652, 37 Fed.Reg. 5209, which similarly
provides for the classification of material "in the interest of the
national defense or foreign relations."
Portions of two documents for which Exemption 1 is claimed were
ordered disclosed in connection with the action brought to enjoin
the test (
see n 1,
supra). Petitioners seek no relief with respect to any
matters already disclosed.
[
Footnote 8]
The House Report, it is true, indicates that the President must
determine that the exempted matter be kept secret. Clearly,
however, Executive Order 10501 is based on presidential authority,
and specifically delegates that authority to "the departments,
agencies, and other units of the executive branch
as
hereinafter specified." 3 CFR § 281 (Jan. 1, 1970) (emphasis
added). One may disagree with the scope of the delegation or with
how the delegated authority is exercised in particular cases, but
the authority itself nevertheless remains the President's, and it
is his judgment that the first exemption was designed to
respect.
[
Footnote 9]
Brief for Respondents 18. Respondents note that the preamble of
the new Executive Order 11652 (
see n 7,
supra), specifies that material
classified pursuant to its provisions "is expressly exempted from
public disclosure by Section 552(b)(1) of Title 5, United States
Code." Executive Order 10501 has no comparable recital, but only
the sheerest ritualism would distinguish the effect of the two
orders on any such basis. Indeed, respondents' apparent acceptance
of the new order as a justifiable ground for resisting disclosure
under Exemption 1 points to the absurdity of maintaining that
Executive Order 10501 is irrelevant to the Act.
[
Footnote 10]
This conclusion is not undermined by the new Executive Order
11652, which calls for the separation of documents into classified
and unclassified portions, where practicable. 37 Fed.Reg. 5212. On
the contrary, that new order provides that the separating be done
by the Executive, not the Judiciary, and, like its predecessor,
permits declassification of material only in accordance with its
procedures. More importantly, the very existence of the new order
demonstrates that the Executive exercises a continuing
responsibility for determining the need for secrecy in matters that
affect national defense and foreign policy. Exemption 1 recognizes
that responsibility by leaving to the Executive, under such orders
as shall be developed, the decision of what may be disclosed and
what must be kept secret.
[
Footnote 11]
Title 5 U.S.C. § 552 reads in part as follows:
"(a) Each agency shall make available to the public information
as follows:"
"
* * * *"
"(b) This section does not apply to matters that are --"
"
* * * *"
"(5) inter-agency or intra-agency memorandums or letters which
would not be available by law to a party other than an agency in
litigation with the agency."
The three documents are: the CEQ memorandum to Mr. Irwin, the
Train letter, and the Ruckelshaus letter, which has now been
declassified.
[
Footnote 12]
See generally 4 J. Moore, Federal Practice � 26.61
(1972), and authorities collected (
id. at � 26.61[1] n. 2)
(hereinafter Moore); 8 J. Wigmore, Evidence §§ 2378, 2379
(McNaughton rev.1961) (hereinafter Wigmore).
There were early disputes over the issue of Executive privilege.
See Chief Justice Marshall's decisions in the trial of
United States v. Burr, 25 F. Cas. 30 (No. 14,692d) and 25
F. Cas. 187, 191-192 (No. 14,694) (CCD Va. 1807), discussed in 8
Wigmore § 2371, pp. 739-741 (3d ed.1940) and 4 Moore � 26.61[6.-4].
See also Wigmore § 2378, p. 805 and n. 21.
[
Footnote 13]
Different rules have been held to apply in each situation.
See, e.g., United States v. Andolschek, 142 F.2d 503, 506
(CA2 1944) (L. Hand, J.) (United States as prosecutor);
Bank
Line, Ltd. v. United States, 76 F.
Supp. 801 (SDNY 1948) (United States as defendant). Moreover,
in actions under the Freedom of Information Act, courts are not
given the option to impose alternative sanctions -- short of
compelled disclosure -- such as striking a particular defense or
dismissing the Government's action.
[
Footnote 14]
See, e.g., Machin v. Zuckert, 114 U.S.App.D.C. 335, 316
F.2d 336,
cert. denied, 375 U.S. 896 (1963) (Air Force
Aircraft Accident Investigation Report);
Boeing Airplane Co. v.
Coggeshall, 108 U.S.App.D.C. 106, 112-113, 280 F.2d 654,
660-661 (1960) (Renegotiation Board documents);
Olson Rug Co.
v. NLRB, 291 F.2d 655, 662 (CA7 1961) (no claim that NLRB
documents are "exclusively policy recommendations");
Carl Zeiss
Stiftung v. V.E.B. Carl Zeiss, Jena, 40 F.R.D. 318, 327 (DC
1966),
aff'd, 128 U.S.App.D.C. 10, 384 F.2d 979,
cert.
denied, 389 U.S. 952 (1967) (discovery denied because
documents "wholly of opinions, recommendations and deliberations");
McFadden v. Avco Corp., 278 F. Supp.
57, 59-60 (MD Ala.1967), and cases cited therein.
In
United States v. Cotton Valley Operators Comm., 9
F.R.D. 719, 720 (WD La.1949),
aff'd by equally divided
court, 339 U.S. 940 (1950), the United States offered to file
"an abstract of factual information" contained in the contested
documents (FBI reports).
[
Footnote 15]
See, e.g., Machin v. Zuckert, supra, at 340, 316 F.2d
at 341 (private tort action; discovery of Air Force Aircraft
Accident Investigation Report);
Boeing Airplane Co. v.
Cogeshall, supra, at 114, 280 F.2d at 662 (excess profits tax
redetermination);
Olson Rug Co. v. NLRB, supra, at 662
(discover for use in defense against contempt proceedings);
O'Keefe v. Boeing Co., 38 F.R.D. 329, 336 (SDNY 1965)
(private tort action; Air Force Investigation Reports);
Rosee
v. Board of Trade, 36 F.R.D. 684, 687-688 (ND Ill.1965);
United States v. Cotton Valley Operators Comm., supra,
(civil antitrust suit).
Cf. United States v. Procter &
Gamble Co., 5 F.R.D. 485, 492 (NJ 1960) (criminal antitrust
prosecution).
See Wigmore § 2379, p. 812.
In
Kaiser Aluminum & Chemical Corp. v. United
States, 141 Ct.Cl. 38, 157 F. Supp. 939 (1958), where
in
camera inspection of a document was refused because of
plaintiff's failure to make a definite showing of necessity,
id. at 50, 157 F. Supp. at 947, the "objective facts"
contained in the disputed document were "otherwise available."
Id. at 489, 157 F. Supp. at 946.
[
Footnote 16]
See, e.g., Soucie v. David, 145 U.S.App.D.C. 144, 448
F.2d 1067 (1971);
Grumman Aircraft Eng. Corp. v. Renegotiation
Bd., 138 U.S.App.D.C. 147, 151, 425 F.2d 578, 582 (1970);
Bristol-Myers Co. v. FTC, 138 U.S.App.D.C. 22, 424 F.2d
935 (1970);
International Paper Co. v. FPC, 438 F.2d 1349,
1358-1359 CA2),
cert. denied, 404 U.S. 827 (1971);
General Services Admin. v. Benson, 415 F.2d 878 (CA9
1969),
aff'g 289 F.
Supp. 590 (WD Wash.1968;
Long Island R. Co. v. United
States, 318 F.
Supp. 490, 499 n. 9 (EDNY 1970);
Consumers Union v.
Veterans Admin., 301 F.
Supp. 796 (SDNY 1969),
appeal dismissed as moot, 436
F.2d 1363 (CA2 1971);
Olsen v. Camp, 328 F.
Supp. 728, 731 (ED Mich.1970);
Reliable Transfer Co. v.
United States, 53 F.R.D. 24 (EDNY 1971).
The proposed Federal Rules of Evidence appear to recognize this
construction of Exemption 5. Proposed Rule 509(a)(2)(A) defines
"official information" to include "intra-governmental opinions or
recommendations submitted for consideration in the performance of
decisional or policymaking functions." Rule 509(c) further provides
that, "[i]n the case of privilege claimed for official information,
the court may require examination
in camera of the
information itself."
[
Footnote 17]
Hearings on S. 1160, S. 1336, S. 1758, and S. 1879 before the
Subcommittee on Administrative Practice and Procedure of the Senate
Committee on the Judiciary, 89th Cong., 1st Sess., 7 (1965)
(hereinafter 1965 Senate Hearings). This exemption itself had been
broadened during its course through the Senate in the 88th
Congress. The exemption originally applied only to internal
memoranda "relating to the consideration and disposition of
adjudicatory and rulemaking matters." Section 3(c) of S. 1666, 88th
Cong., 2d Sess. (1964), introduced in 110 Cong.Rec. 17086. That
early formulation came under attack for not sufficiently protecting
material dealing with general policy matters not directly related
to adjudication or rulemaking.
See Hearings on S. 1666 and
S. 1663 before the Subcommittee on Administrative Practice and
Procedure of the Senate Committee on the Judiciary, 88th Cong., 1st
Sess., 202-203. 247 (1963).
[
Footnote 18]
See 1965 Senate Hearings 36, 94-95, 112-113, 205,
236-237, 24, 366-367, 382-383, 402-403, 406-407, 417, 437, 445-446,
450, 490.
See 1965 House Hearings 27-28, 49, 208, 220,
223-224, 229-230, 245-246, 255-257. Examples of these many
statements are:
Federal Aviation Administration (1965 Senate Hearings 446):
"Few records would be entirely devoid of factual data, thus
leaving papers on law and policy relatively unprotected. Staff
working papers and reports prepared for use within the agency of
the executive branch would not be protected by the proposed
exemptions."
Department of Commerce (1965 Senate Hearings 406):
"Under this provision, internal memorandums dealing with
mixed questions of fact, law and policy could well become
public information."
(Emphasis in original.)
[
Footnote 19]
Tr of Oral Arg. 23.
MR. JUSTICE STEWART, concurring.
This case presents no constitutional claims, and no issues
regarding the nature or scope of "Executive privilege." It involves
no effort to invoke judicial power to require any documents to be
reclassified under the mandate of the new Executive Order 11652.
The case before us involves only the meaning of two exemptive
provisions of the so-called Freedom of Information Act, 5 U.S.C. §
552.
My Brother DOUGLAS says that the Court makes a "shambles" of the
announced purpose of that Act. But it is Congress, not the Court,
that, in § 552(b)(1), has ordained unquestioning deference to the
Executive's use of the "secret" stamp. As the opinion of the Court
demonstrates, the language of the exemption, confirmed by its
legislative history, plainly withholds from disclosure matters
"specifically required by Executive order to be kept secret in the
interest of the national defense or foreign policy." In short, once
a federal court has determined that the Executive has imposed that
requirement, it may go no further under the Act.
One would suppose that a nuclear test that engendered fierce
controversy within the Executive Branch of our Government would be
precisely the kind of event that should be opened to the fullest
possible disclosure consistent with legitimate interests of
national defense. Without such disclosure, factual information
available to the concerned Executive agencies cannot be
considered
Page 410 U. S. 95
by the people or evaluated by the Congress. And with the people
and their representatives reduced to a state of ignorance, the
democratic process is paralyzed.
But the Court's opinion demonstrates that Congress has
conspicuously failed to attack the problem that my Brother DOUGLAS
discusses. Instead, it has built into the Freedom of Information
Act an exemption that provides no means to question an Executive
decision to stamp a document "secret," however cynical, myopic, or
even corrupt that decision might have been.
The opinion of my Brother BRENNAN dissenting in part makes an
admirably valiant effort to deflect the impact of this rigid
exemption. His dissent focuses on the statutory requirement that
"the court shall determine the matter
de novo. . . ." But
the only "matter" to be determined
de novo under §
552(b)(1) is whether, in fact, the President has required by
Executive Order that the documents in question are to be kept
secret. Under the Act as written, that is the end of a court's
inquiry.
*
As the Court points out,
"Congress could certainly have provided that the Executive
Branch adopt new procedures, or it could have established its own
procedures subject only to whatever limitations the Executive
privilege may be held to impose upon such congressional
ordering."
But in enacting § 552(b)(1), Congress chose, instead, to decree
blind acceptance of Executive fiat.
* Similarly rigid is § 552(b)(3), which forbids disclosure of
materials that are "specifically exempted from disclosure by
statute." Here, too, the only "matter" to be determined in a
district court's
de novo inquiry is the factual existence
of such a statute, regardless of how unwise, self-protective, or
inadvertent the enactment might be.
MR. JUSTICE BRENNAN, with whom MR. JUSTICE MARSHALL joins,
concurring in part and dissenting in part.
The Court holds today that the Freedom of Information Act, 5
U.S.C. § 552, authorizes the District
Page 410 U. S. 96
Court to make an
in camera inspection of documents
claimed to be exempt from public disclosure under Exemption 5 of
the Act. In addition, the Court concludes that, as an exception to
this rule, the Government may, in at least some instances, attempt
to avoid
in camera inspection through use of detailed
affidavits or oral testimony. I concur in those aspects of the
Court's opinion. In my view, however, those procedures should also
govern matters for which Exemption 1 is claimed, and I therefore
dissent from the Court's holding to the contrary. I find nothing
whatever on the face of the statute or in its legislative history
that distinguishes the two Exemptions in this respect, and the
Court suggests none. Rather, I agree with my Brother Douglas that
the mandate of § 552(a)(3) -- "the court shall determine the matter
de novo and the burden is on the agency to sustain its
action" -- is the procedure that Congress prescribed for both
Exemptions.
The Court holds that Exemption 1 immunizes from judicial
scrutiny any document classified pursuant to Executive Order 10501,
3 CFR 280 (Jan. 1, 1970). [
Footnote
2/1] In reaching this result, however, the Court adopts a
construction of Exemption 1 that is flatly inconsistent with the
legislative history, and, indeed, the unambiguous language of the
Act itself. [
Footnote 2/2] In plain
words, Exemption 1 exempts from disclosure only material
"
specifically required by Executive order to be kept secret in
the interest of the national defense or foreign policy."
(Emphasis
Page 410 U. S. 97
added.) Executive Order 10501, however, which was promulgated 13
years before the passage of the Act, does not require that any
specific documents be classified. Rather, the Executive Order
simply delegates the right to classify to agency heads, who are
empowered to classify information as Confidential, Secret, or Top
Secret. Thus, the classification decision is left to the sole
discretion of these agency heads. Moreover, in exercising this
discretion, agency heads are not required to examine each document
separately to determine the need for secrecy but, instead, may
adopt blanket classifications, without regard to the content of any
particular document. Thus, as §§ 3(b) and 3(c) of the Order make
clear, matters for which there is no need for secrecy "in the
interest of the national defense or foreign policy" may be
indiscriminately classified in conjunction with those matters for
which there is a genuine need for secrecy:
"3(b)
Physically Connected Documents. The
classification of a file or group of physically connected documents
shall be at least as high as that of the most highly classified
document therein. Documents separated from the file or group shall
be handled in accordance with their individual defense
classification."
"3(c)
Multiple Classification. A document, product, or
substance shall bear a classification at least as high as that of
its highest classified component. The document, product, or
substance shall bear only one over-all classification,
notwithstanding that pages, paragraphs, sections, or components
thereof bear different classifications."
Even the petitioners concede, [
Footnote 2/3] no doubt in response to the "specifically
required" standard of § 552(b)(1)
Page 410 U. S. 98
and the "specifically stated" requirement of § 552(C), [
Footnote 2/4] that documents classified
pursuant to § 3(b) of Executive Order 10501 cannot qualify under
Exemption 1. Indeed, petitioners apparently accept the conclusion
of the Court of Appeals that, as to § 3(b):
"This court sees no basis for withholding on security grounds a
document that, although separately unclassified, is regarded secret
merely because it has been incorporated into a secret file. To the
extent that our position in this respect is inconsistent with the
above-quoted paragraph of Section 3 of Executive Order 10501, we
deem it required by the terms and purpose of the [Freedom of
Information Act], enacted subsequently to the Executive Order."
150 U.S.App.D.C. at 236, 464 F.2d at 745.
Page 410 U. S. 99
Nevertheless, petitioners maintain that information classified
pursuant to § 3(c) of the Order is exempt from disclosure under
Exemption 1. The Court of Appeals rejected that contention, and, in
my view, correctly. The Court of Appeals stated:
"The same reasoning applies to this provision as to the one
dealing with physically connected documents. Secrecy by association
is not favored. If the non-secret components are separable from the
secret remainder and may be read separately without distortion of
meaning, they too should be disclosed."
150 U.S.App.D.C. at 237, 464 F.2d at 746.
Petitioners' argument, adopted by the Court, is that this
construction of the Act imputes to Congress an intent to authorize
judges independently to review the Executive's decision to classify
documents in the interest of the national defense or foreign
policy. That argument simply misconceives the holding of the Court
of Appeals. Information classified pursuant to § 3(c), it must be
emphasized, may receive the stamp of secrecy not because such
secrecy is necessary to promote "the national defense or foreign
policy," but simply because it constitutes a part of such other
information which genuinely merits secrecy. Thus, to rectify this
situation, the Court of Appeals ordered only that the District
Court
in camera determine "[i]f the non-secret components
are separable from the secret remainder and may be read separately
without distortion of meaning. . . ." The determination whether any
components are in fact, "non-secret" is left exclusively to the
agency head representing the Executive Branch. The District Court
is not authorized to declassify or to release information that the
Executive, in its sound discretion, determines must be classified
to "be kept secret in the interest of the national defense or
Page 410 U. S. 100
foreign policy." [
Footnote 2/5]
The District Court's authority stops with the inquiry whether there
are components of the documents that would not have been
independently classified as secret. If the District Court finds, on
in camera inspection, that there are such components, and
that they can be read separately without distortion of meaning, the
District Court may order their release. The District Court's
authority to make that determination is unambiguously stated in §
552(a)(3): "the [district] court shall determine the matter
de
novo and the burden is on the agency to sustain its action."
The Court's contrary holding is in flat defiance of that
congressional mandate. [
Footnote
2/6]
Indeed, only the Court of Appeals' construction is consistent
with the congressional plan in enacting the Freedom of Information
Act. We have the word of both Houses of Congress that the
de
novo proceeding requirement was enacted expressly
"in order that the ultimate decision as to the propriety of the
agency's action is made by the court and prevent it from becoming
meaningless judicial sanctioning of agency discretion."
S.Rep. No. 813, 89th Cong., 1st Sess., 8 (1965) (hereinafter
cited as S.Rep. No. 813); H.R.Rep. No. 1497, 89th Cong., 2d Sess.,
9 (1966) (hereinafter cited as H.R.Rep. No. 1497). What was
granted, and purposely so, was a broad grant
Page 410 U. S. 101
to the District Court of
"authority whenever it considers such action equitable and
appropriate to enjoin the agency from withholding its records and
to order the production of agency records improperly withheld."
H.R.Rep. No. 1497, p. 9. And to underscore its meaning, Congress
rejected the traditional rule of deference to administrative
determinations by "[p]lacing the burden of proof upon the agency"
to justify the withholding. S.Rep. No. 813, p. 8; H.R.Rep. No.
1497, p. 9. The Court's rejection of the Court of Appeals'
construction is inexplicable in the face of this overwhelming
evidence of the congressional design.
The Court's reliance on isolated references to Executive Order
10501 in the congressional proceedings is erroneous and misleading.
The Court points to a single passing reference to the Order in the
House Report which even a superficial reading reveals to be merely
suggestive of the kinds of information that the Executive Branch
might classify. Nothing whatever in the Report even remotely
implies that the Order was to be recognized as immunizing from
public disclosure the entire file of documents merely because one
or even a single paragraph of one has been stamped secret. The
Court also calls to its support some comments out of context of
Congressmen Moss and Gallagher on the House floor. But, on their
face, these comments do no more than confirm that Exemption 1 was
written with awareness of the existence of Executive Order 10501.
Certainly, whatever significance may be attached to debating points
in construing a statute, [
Footnote
2/7] these comments hardly support the Court's conclusion that
a classification pursuant to Executive Order 10501, without more,
immunizes an entire document from disclosure under Exemption 1.
Page 410 U. S. 102
Executive Order 10501 was promulgated more than a decade before
the Freedom of Information Act was debated in Congress. Yet no
reference to the Order can be found in either the language of the
Act or the Senate Report. Under these circumstances, it would seem
odd, to say the least, to attribute to Congress an intent to
incorporate "without reference" Executive Order 10501 into
Exemption 1. Indeed, petitioners' concession that "physically
connected documents," classified under § 3(b) of the Order, are not
immune from judicial inspection serves only to reinforce the
conclusion that the mere fact of classification under § 3(c) cannot
immunize the identical documents from judicial scrutiny.
The Court's rejection of the Court of Appeals' construction of
Exemption 1 is particularly insupportable in light of the cogent
confirmation of its soundness supplied by the Executive Branch
itself. In direct response to the Act, Order 10501 has been revoked
and replaced by Order 11652, which expressly requires
classification of documents in the manner the Court of Appeals
required the District Court to attempt
in camera. The
Order, which was issued on March 8, 1972, and became effective on
June 1, 1972, 37 Fed.Reg. 5209 (Mar. 10, 1972), explicitly
attributes its form to the Executive's desire to accommodate its
procedures to the objectives of the Freedom of Information Act:
"The interests of the United States and its citizens are best
served by making information regarding the affairs of Government
readily available to the public. This concept of an informed
citizenry is reflected in the Freedom of Information Act and in the
current public information policies of the executive branch."
Moreover, in his statement accompanying the promulgation of the
new Order, the President stated:
"The Executive order I have signed today is based upon . . .
Page 410 U. S. 103
a reexamination of the rationale underlying the Freedom of
Information Act."
8 Presidential Documents 542 (Mar. 13, 1972).
The new Order recites that
"
some official information and material . . . bears
directly on the effectiveness of our national defense and the
conduct of our foreign relations"
and that
"
[t]his official information or material, referred to
as classified information or material in this order, is expressly
exempted from public disclosure by Section 552(b)(1) of [the
Freedom of Information Act]."
(Emphasis added.) Thus, the Executive clearly recognized that
Exemption 1 applies only to matter
specifically classified
"in the interest of the national defense or foreign policy." And,
in an effort to comply with the Act's mandate that genuinely secret
matters be carefully separated from the nonsecret components, §
4(A) of the new Order provides:
"
Documents in General. Each classified document shall .
. . to the extent practicable, be so marked as to indicate which
portions are classified, at what level, and which portions are not
classified in order to facilitate excerpting and other use."
The President emphasized this requirement in his statement:
"A major source of unnecessary classification under the old
Executive order was the practical impossibility of discerning which
portions of a classified document actually required
classification. Incorporation of any material from a classified
paper into another document usually resulted in the classification
of the new document, and
innocuous portions of neither paper
could be released."
8 Presidential Documents 544 (Mar. 13, 1972) (emphasis
added).
It is, of course, true, as the Court observes, that the Order
"provides that the separating be done by the Executive,
Page 410 U. S. 104
not the Judiciary. . . ."
Ante at
410 U. S. 85 n.
10. But that fact lends no support to a construction of Exemption 1
precluding judicial inspection to enforce the congressional purpose
to effect release of nonsecret components separable from the secret
remainder. Rather, the requirement of judicial inspection, made
explicit in § 552(a)(3), is the keystone of the congressional plan,
expressly deemed
"essential in order that the ultimate decision as to the
propriety of the agency's action is made by the court [to] prevent
it from becoming meaningless judicial sanctioning of agency
discretion."
S.Rep. No. 813, p. 8; H.R.Rep. No. 1497, p. 9. It could not be
more clear, therefore, that Congress sought to make certain that
the ordinary principle of judicial deference to agency discretion
was discarded under this Act. The Executive was not to be allowed
"to file an affidavit stating [the] conclusion [that documents are
exempt], and, by so doing, foreclose any other determination of the
fact."
Cowles Communications v. Department of
Justice, 325 F.
Supp. 726, 727 (ND Cal.1971).
Accord, Frankel v.
SEC, 336 F.
Supp. 675, 677 n. 4 (SDNY 1971),
rev'd on other
grounds, 460 F.2d 813 (CA2 1972);
Philadelphia Newspapers
v. HUD, 343 F.
Supp. 1176, 1180 (ED Pa.1972). [
Footnote 2/8]
Page 410 U. S. 105
The Court's interpretation of Exemption 1 as a complete bar to
judicial inspection of matters claimed by the Executive to fall
within it wholly frustrates the objective of the Freedom of
Information Act. That interpretation makes a nullity of the Act's
requirement of
de novo judicial review. The judicial role
becomes "meaningless judicial sanctioning of agency discretion,"
S.Rep. No. 813, p. 8; H.R.Rep. No. 1497, p. 9, the very result
Congress sought to prevent by incorporating the
de novo
requirement.
[
Footnote 2/1]
Executive Order 10501 was revoked on March 8, 1972, and replaced
with Executive Order 11652, 37 Fed.Reg. 5209, which became
effective June 1, 1972.
[
Footnote 2/2]
"The policy of the Act requires that the . . . exemptions [be
construed narrowly]."
Soucie v. David, 145 U.S.App.D.C.
144, 157, 448 F.2d 1067, 1080 (1971). "A broad construction of the
exemptions would be contrary to the express language of the Act."
Wellford v. Hardin, 444 F.2d 21, 25 (CA4 1971).
[
Footnote 2/3]
Petition for Cert. 9 n. 4.
[
Footnote 2/4]
Section 652(c) provides:
"This section does not authorize withholding of information or
limit the availability of records to the public, except as
specifically stated in this section. This section is not authority
to withhold information from Congress."
"The accompanying Senate Report emphasizes that § 552(c) places
a heavy burden on the Government to justify nondisclosure: "
"The purpose of [§ 552(c)] is to make it clear beyond doubt that
all materials of the Government are to be made available to the
public by publication or otherwise unless
explicitly
allowed to be kept secret by one of the exemptions in [§
552(b)]."
S.Rep. No. 813, 89th Cong., 1st Sess., 10 (1965) (emphasis
added). A commentator cogently argues that the "pull of the word
specifically' [in § 552(c)] is toward emphasis on [the]
statutory language" of the nine stated exemptions. The
"specifically stated" Clause in § 552(c), he notes, "is often
relevant in determining the proper interpretation of particular
exemptions." K. Davis, Administrative Law § 3 A. 15, p. 142 (Supp.
1970). See also Davis, The Information Act: A Preliminary
Analysis, 34 U.Chi.L.Rev. 761 (1967).
For a detailed study of the Freedom of Information Act and its
background,
see Note, Comments on Proposed Amendments to
Section 3 of the Administrative Procedure Act: The Freedom of
Information Bill, 40 Notre Dame Law. 417 (1965).
[
Footnote 2/5]
See Developments in the Law -- The National Security
Interest and Civil Liberties, 85 Harv.L.Rev. 1130, 1224-1225
(1972).
[
Footnote 2/6]
"[G]iven the requirement that a file or document is generally
classified at the highest level of classification of any
information enclosed, it will often be the case that a classified
file will contain information that could be released separately to
the public. Because it is not specifically required by Executive
order to be kept secret, such information is not privileged under
the Information Act. To ensure that an overall classification is
not being used to protect unprivileged papers, a reviewing court
should inspect the documents sought by a litigant."
Developments in the Law,
supra, 410 U.S.
73fn2/5|>n. 5, at 1223.
[
Footnote 2/7]
See Schwegmann Bros. v. Calvert Distillers Corp.,
341 U. S. 384,
341 U. S. 395,
341 U. S. 397
(1951) (Jackson. J., concurring) (Frankfurter, J., dissenting).
[
Footnote 2/8]
In support of their claim that Executive Order 10501
automatically and without judicial review activates the exemption
of § 552(b)(1), petitioners rely upon
Epstein v. Resor,
421 F.2d 930 (CA9 1970). Rather,
Epstein confirms the
Court of Appeals' interpretation of the Act. The
Epstein
court refused a request to review
in camera documents
classified pursuant to Executive Order 10501, but only because the
Government, at the plaintiff's request, had begun a current review
of the documents on "a paper-by-paper basis." Moreover,. in
response to the argument that petitioners advance here -- namely,
that the mere classification of a document precludes judicial
review --
Epstein states:
"[I]n view of the legislative purpose to make it easier for
private citizens to secure Government information, it seems most
unlikely that [the Act] was intended to foreclose an (a)(3)
judicial review of the circumstances of exemption. Rather, it would
seem that [subsection] (b) was intended to specify the basis for
withholding under (a)(3) and that judicial review
de novo
with the burden of proof on the agency should be had as to whether
the conditions of exemption in truth exist."
421 F.2d at 932-933.
MR JUSTICE DOUGLAS, dissenting.
The starting point of a decision usually indicates the result.
My starting point is what I believe to be the philosophy of
Congress expressed in the Freedom of Information Act, 5 U.S.C. §
552.
Henry Steele Commager, our noted historian, recently wrote:
"The generation that made the nation thought secrecy in
government one of the instruments of Old World tyranny and
committed itself to the principle that a democracy cannot function
unless the people are permitted to know what their government is up
to. Now almost everything that the Pentagon and the CIA do is
shrouded in secrecy. Not only are the American people not permitted
to know what they are up to, but even the Congress and, one
suspects, the President [witness the 'unauthorized' bombing of the
North last fall and winter] are kept in darkness."
The New York Review of Books, Oct. 5, 1972, p. 7.
Page 410 U. S. 106
Two days after we granted certiorari in the case on March 6,
1972, the President revoked the old Executive Order 10501 and
substituted a new one, Executive Order 11652, dated March 8, 1972,
and effective June 1, 1972. The new Order states in its first
paragraph that:
"The interests of the United States and its citizens are best
served by making information regarding the affairs of Government
readily available to the public. This concept of an informed
citizenry is reflected in the Freedom of Information Act and in the
current public information policies of the Executive branch."
While "classified information or material," as used in the
Order, is exempted from public disclosure, § 4 of the Order states
that each classified document shall
"to the extent practicable, be so marked as to indicate which
portions are classified, at what level, and which portions are not
classified in order to facilitate excerpting and other use."
§ 4(A). And it goes on to say: "Material containing references
to classified materials, which references do not reveal classified
information, shall not be classified."
Ibid.
The Freedom of Information Act does not clash with the Executive
Order. Indeed, the new Executive Order precisely meshes with the
Act and with the construction given it by the Court of Appeals.
Section 552(a)(3) of the Act gives the District Court
"jurisdiction to enjoin the agency from withholding agency
records and to order the production of any agency records
improperly withheld from the complainant."
Section 552(a)(3) goes on to prescribe the procedure to be
employed by the District Court. It says "the court shall determine
the matter
de novo and the burden is on the agency to
sustain its action."
The Act and the Executive Order read together mean at the very
minimum that the District Court has power
Page 410 U. S. 107
to direct the agency in question to go through the suppressed
document and make the portion-by-portion classification to
facilitate the excerpting as required by the Executive Order.
Section 552(a)(3) means also that the District Court may in its
discretion collaborate with the agency to make certain that the
congressional policy of disclosure is effectuated.
The Court of Appeals, in an exceedingly responsible opinion,
directed the District Court to proceed as follows:
Where material is separately
unclassified, but
nonetheless under the umbrella of a "secret" file, the District
Court should make sure that it is disclosed under the Act. This
seems clear from § 552(b), which states:
"This section does not apply to matters that are -- (1)
specifically required by Executive order to be kept secret in the
interest of the national defense or foreign policy."
Unless the
unclassified appendage to a "secret" file
falls under some other exception in § 552(b), it seems clear that
it must be disclosed. The only other exception under which refuge
is now sought is subsection (b)(5), which reads that the section
does not apply to
"inter-agency or intra-agency memorandums or letters which would
not be available by law to a party other than an agency in
litigation with the agency."
This exemption was described in the House Report as covering
"any internal memorandums which would routinely be disclosed to a
private party through the discovery process in litigation with the
agency." H.R.Rep. No. 1497, 89th Cong., 2d Sess., 10. It is clear
from the legislative history that, while opinions and staff advice
are exempt, factual matters are not.
Ibid.; S.Rep. No.
813, 89th Cong., 1st Sess., 9. And the courts have uniformly agreed
on that construction of the Act.
See Soucie v. David, 145
U.S.App.D.C. 144, 448 F.2d 1067;
Grumman Aircraft Eng. Corp. v.
Renegotiation Bd., 138 U.S.App.D.C.
Page 410 U. S. 108
147, 425 F.2d 578;
Long Island R. Co. v. United
States, 318 F.
Supp. 490;
Consumers Union v. Veterans
Admin., 301 F.
Supp. 796.
Facts and opinions may, as the Court of Appeals noted, be
"inextricably intertwined with policymaking processes" in some
cases. In such an event, secrecy prevails. Yet, where facts and
opinions can be separated, the Act allows the full light of
publicity to be placed on the facts.
Section 552(c) seems to seal the case against the Government
when it says:
"This section does not authorize withholding of information or
limit the availability of records to the public, except as
specifically stated in this section."
Disclosure, rather than secrecy, is the rule, save for the
specific exceptions in subsection (b).
The Government seeks to escape from the Act by making the
Government stamp of "Top Secret" or "Secret" a barrier to the
performance of the District Court's functions under § 552(a)(3) of
the Act. The majority makes the stamp sacrosanct, thereby
immunizing stamped documents from judicial scrutiny, whether or not
factual information contained in the document is, in fact,
colorably related to interests of the national defense or foreign
policy. Yet anyone who has ever been in the Executive Branch knows
how convenient the "Top Secret" or "Secret" stamp is, how easy it
is to use, and how it covers, perhaps for decades, the footprints
of a nervous bureaucrat or a wary executive.
I repeat what I said in
Gravel v. United States,
408 U. S. 606,
408 U. S.
641-642 (dissenting opinion):
"[A]s has been revealed by such exposes as the Pentagon Papers,
the My Lai massacres, the Gulf of Tonkin 'incident,' and the Bay of
Pigs invasion, the Government usually suppresses damaging news but
highlights favorable news. In this filtering process, the secrecy
stamp is the officials' tool of suppression, and it has been used
to withhold information
Page 410 U. S. 109
which in '99 1/2%' of the cases, would present no danger to
national security. To refuse to publish 'classified' reports would
at times relegate a publisher to distributing only the press
releases of Government or remaining silent; if it printed only the
press releases or 'leaks,' it would become an arm of officialdom,
not its critic. Rather, in my view, when a publisher obtains a
classified document, he should be free to print it without fear of
retribution unless it contains material directly bearing on future,
sensitive planning of the Government."
The Government is aghast at a federal judge's even looking at
the secret files and views with disdain the prospect of responsible
judicial action in the area. It suggests that judges have no
business declassifying "secrets," that judges are not familiar with
the stuff with which these "Top Secret" or "Secret" documents
deal.
That is to misconceive and distort the judicial function under §
552(a)(3) of the Act. The Court of Appeals never dreamed that the
trial judge would declassify documents. His first task would be to
determine whether nonsecret material was a mere appendage to a
"Secret" or "Top Secret" file. His second task would be to
determine whether under normal discovery procedures contained in
Fed.Rule Civ.Proc. 26, factual material in these "Secret" or "Top
Secret" materials is detached from the "Secret," and would,
therefore, be available to litigants confronting the agency in
ordinary lawsuits.
Unless the District Court can do those things, the
much-advertised Freedom of Information Act is on its way to
becoming a shambles. [
Footnote 3/1]
Unless federal courts can be
Page 410 U. S. 110
trusted, the Executive will hold complete sway and by
ipse
dixit make even the time of day "Top Secret." Certainly, the
decision today will upset the "workable formula," at the heart of
the legislative scheme, "which encompasses, balances, and protects
all interests, yet places emphasis on the fullest responsible
disclosure." S.Rep. No. 813, p. 3. The Executive Branch now has
carte blanche to insulate information from public scrutiny
whether or not that information bears any discernible relation to
the interests sought to be protected by subsection (b)(1) of the
Act. We should remember the words of Madison:
"A popular Government, without popular information, or the means
of acquiring it, is but a Prologue
Page 410 U. S. 111
to a Farce or a Tragedy, or, perhaps both. Knowledge will
forever govern ignorance: and a people who mean to be their own
Governors, must arm themselves with the power which knowledge
gives. [
Footnote 3/2]"
I would affirm the judgment below.
|
410 U.S.
73app|
APPENDIX TO OPINION OF DOUGLAS, J., DISSENTING
Sections 552(b) and (c) of the Freedom of Information Act read
as follows:
"(b) This section does not apply to matters that are --"
"(1) specifically required by Executive order to be kept secret
in the interest of the national defense or foreign policy;"
"(2) related solely to the internal personnel rules and
practices of an agency;"
"(3) specifically exempted from disclosure by statute;"
"(4) trade secrets and commercial or financial information
obtained from a person and privileged or confidential;"
"(5) inter-agency or intra-agency memorandums or letters which
would not be available by law to a party other than an agency in
litigation with the agency;"
"(6) personnel and medical files and similar files the
disclosure of which would constitute a clearly unwarranted invasion
of personal privacy;"
"(7) investigatory files compiled for law enforcement purposes
except to the extent available by law to a party other than an
agency;"
"(8) contained in or related to examination, operating, or
condition reports prepared by, on behalf of, or for the use of an
agency responsible for the regulation or supervision of financial
institutions; or "
Page 410 U. S. 112
"(9) geological and geophysical information and data, including
maps, concerning wells."
"(c) This section does not authorize withholding of information
or limit the availability of records to the public, except as
specifically stated in this section. This section is not authority
to withhold information from Congress."
[
Footnote 3/1]
My Brother STEWART, with all deference, helps make a shambles of
the Act by reading § 552(b)(1) as swallowing all the other eight
exceptions. While § 552(b)(1) exempts matters "specifically
required by Executive order to be kept secret in the interest of
the national defense or foreign policy," § 4 of Executive Order
11652, as I have noted, contemplates that not all portions of a
document classified as "secret" are necessarily "secret," for the
order contemplates "excerpting" of some material. Refereeing what
may properly be excerpted is part of the judicial task. This is
made obvious by § 552(b)(5), which keeps secret
"inter-agency or intra-agency memorandums or letters which would
not be available by law to a party other than an agency in
litigation with the agency."
The bureaucrat who uses the "secret" stamp obviously does not
have the final say as to what "memorandums or letters" would be
available by law under Exemption 5, for § 552(a)(3) gives the
District Court authority, where agency records are alleged to be
"improperly withheld," to "determine the matter
de novo,"
the "burden" being on the agency "to sustain its action." Hence, §
552(b)(5), behind which the executive agency seeks refuge here,
establishes a policy which is served by the fact/opinion
distinction long established in federal discovery. The question is
whether a private party would routinely be entitled to disclosure
through discovery of some or all of the material sought to be
excerpted. When the Court answers that no such inquiry can be made
under § 552(b)(1), it makes a shambles of the disclosure mechanism
which Congress tried to create. To make obvious the interplay of
the nine exemptions listed in § 552(b), as well as § 552(c), I have
attached them as an Appendix to this dissent.
[
Footnote 3/2]
Letter to W. T. Barry, Aug. 4, 1822, 9 The Writings of James
Madison 103 (Hunt ed.1910).