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John Cary SIMS et al.
v.
CENTRAL INTELLIGENCE AGENCY et al., Appellants.
642 F.2d 562
Nos. 79-2203, 79-2554.
United States Court of Appeals, District of Columbia Circuit.
Argued May 28, 1980.
Decided Sept. 29, 1980.
Counsel
Michael Kimmel, Atty., Dept. of Justice, Washington, D. C.,
with whom Alice Daniel, Asst. Atty. Gen., Charles F. C. Ruff,
U. S. Atty., and Robert E. Kopp, Atty., Dept. of Justice, Washington,
D. C., were on the brief, for appellants.
Paul Alan Levy, Washington, D. C., with whom David C. Vladeck
and Alan B. Morrison, Washington, D. C., were on the brief, for
appellees.
Opinion for the court filed by Chief Judge J. SKELLY WRIGHT.
Opinion dissenting in part filed by Chief Judge MARKEY.
J. SKELLY WRIGHT, Chief Judge:
This appeal presents two issues concerning the obligations
of the Central Intelligence Agency (CIA) under the Freedom of
Information Act (FOIA).[FN1] In response to a citizen request
for the names of persons and institutions who conducted scientific
and behavioral research under contracts with or funded by the
CIA, the Agency asserts two statutory exemptions from the disclosure
requirements of the FOIA. Invoking Exemption 3,[FN2] the Agency
claims that the requested material is "specifically exempted
from disclosure" by the terms of the National Security Act.[FN3]
The Agency also cites Exemption 6, which shields "personnel
and medical files and similar files the disclosure of which would
constitute a clearly unwarranted invasion of personal privacy
(.)" [FN4]
The District Court denied the applicability of either exemption
to the facts in issue and granted summary judgment to the appellees
who requested the documents.[FN5] In reviewing the District Court's
analysis of the issue presented under Exemption 3, we are unable
to conclude that the court reached its decision through application
of the proper legal standard. We therefore remand the case for
additional proceedings. With regard to Exemption 6, the decision
of the District Court is affirmed, although, as explained below,
we differ with the court's analysis of the issue presented.
FN1. 5 U.S.C. s 552 (1976).
FN2. 5 U.S.C. s 552(b)(3) (1976). Exemption 3 authorizes withholding
of documents that concern matters "specifically exempted
by statute" from the disclosure requirements of the FOIA.
See text at note 30 infra (quoting provision in full).
FN3. National Security Act of 1947, ch. 343, 61 Stat. 496
(1947) (codified in scattered sections of 5 & 50 U.S.C.).
The Agency relies on s 102(d)(3) of the Act, 50 U.S.C. s 403(d)(3)
(1976), which authorizes the Director of Central Intelligence
to protect "intelligence sources and methods from unauthorized
disclosure(.)" The CIA argues that the persons and institutions
who conducted the research involved in this case are "intelligence
sources" within the meaning of the statute.
FN4. 5 U.S.C. s 552(b)(6) (1976).
FN5. The opinion of the District Court, as amended August
13, 1979, is reported at 479 F.Supp. 84 (D. D.C. 1979).
I. FACTS AND PROCEDURAL BACKGROUND
A. Facts
Between 1953 and 1966 the CIA sponsored extensive research
concerning "chemical, biological, and radiological materials
capable of employment in clandestine operations to control human
behavior." [FN6] Code- named MKULTRA, the CIA's research
program included 149 subprojects undertaken on a contract basis.
CIA records document the participation of at least 80 institutions
and 185 researchers.[FN7] Because the CIA funded MKULTRA largely
through a front organization, many of the participating individuals
and institutions apparently had no knowledge of their involvement
with the Agency. [FN8]
FN6. Final Report of the Select Committee to Study Governmental
Operations with Respect to Intelligence Activities, S. Rep. No.
94-755, 94th Cong., 2d Sess., Book I at 389 (1976) (footnote
omitted) (hereinafter cited as "Church Committee Final Report").
FN7. Brief for appellants at 10.
FN8. Brief for appellants at 10.
On the basis of available documents, it appears that the CIA
originally conceived MKULTRA as a defensive response to possible
use by the Soviets and the Chinese of chemical and biological
agents as instruments of interrogation and brainwashing.[FN9]
Later, however, the Agency expanded the scope of the program
to include efforts to develop chemical and biological agents
for use by the CIA. At least some of the subprojects tested chemical
and biological substances by administering them to human subjects.
Some of the subjects volunteered for their experimental role.
Others were unwitting participants, who may never have known
what happened to them. At least two persons died as the result
of MKULTRA experiments. The extent of possible damage to the
health of others remains unknown, because CIA records fail to
disclose the identities of all experimental subjects.
FN9. For an account of MKULTRA research and abuses, see generally
Church Committee Final Report, supra note 6, at 385-422, 471-472,
reprinted in Addendum to Brief for Appellant at 12-51; Joint
Hearings Before the Senate Committee on Intelligence and the
Subcommittee on Health and Scientific Research of the Senate
Committee on Human Resources, "Project MKULTRA, The CIA's
Program of Research in Behavioral Modification," 95th Cong.,
1st Sess. (Aug. 3, 1977) (hereinafter cited as "Joint Hearings");
Report to the President by the Commission on CIA Activities Within
the United States 226- 228 (1975) (hereinafter cited as "Rockefeller
Commission Report").
The abuses associated with MKULTRA achieved broad publicity
as a result of investigations and published reports by an executive
commission chaired by Vice President Nelson Rockefeller [FN10]
and a congressional committee led by Senator Frank Church.[FN11]
Nonetheless, the details of the project's history remain mysterious.
At the direction of then Director Richard Helms, the CIA destroyed
most of its substantive records pertaining to the project in
1973. Investigative efforts therefore depended largely on oral
testimony. In 1977, however, the Agency located some 8,000 pages
of previously undisclosed documents related to the project.[FN12]
Consisting mostly of fiscal and financial records, the new material
had escaped the search of the archivists who conducted the earlier
purge. In addition to general descriptions of 149 subprojects,
the new documents contained the names of persons and institutions
who had contracted to undertake research.
FN10. The Rockefeller Commission Report, supra note 9, was
completed in 1975.
FN11. The Church Committee Final Report, supra note 6, was
compiled prior to the discovery by the CIA of the documents that
are the subject of the present FOIA request. Those documents
were, however, made available to the Joint Senate Committee comprised
of the Senate Select Committee on Intelligence and the Subcommittee
on Health and Scientific Research of the Senate Committee on
Human Resources. See Joint Hearings, supra note 9.
FN12. Brief for appellants at 12.
Upon discovery of the project data, CIA Director Stansfield
Turner notified the Senate Select Committee on Intelligence,
and he testified at a joint hearing of the Select Committee on
Intelligence and the Subcommittee on Health and Scientific Research
of the Senate Committee on Human Resources. The CIA subsequently
provided the Joint Committee first with summary reports and then
with copies of the documents themselves. Although the CIA's records
listed participating researchers and institutions, Admiral Turner
requested that the Committee treat the names as confidential.
The Committee has honored this request.
B. FOIA Request and Litigation
In a letter dated August 22, 1977, following the conclusion
of congressional hearings, John C. Sims and Dr. Sidney M. Wolfe
respectively an attorney and a physician employed by the Nader
group Public Citizen filed a request under the Freedom of Information
Act for a list of the names of institutions and researchers who
had conducted research under the MKULTRA program, as revealed
in any existing MKULTRA documents.[FN13] According to submissions
filed with the court by the CIA, the documents within the scope
of the appellees' request contain a total of 265 names: the names
of 80 institutions and 185 individual researchers. Upon receipt
of the document request, the CIA contacted each of the 80 institutions
to ask if they would consent to disclosure of their identities.
The Agency made no parallel effort to communicate with the individual
researchers. Of the 80 institutions, 59 agreed to disclosure.
Their names were revealed to appellees on June 13, 1978. The
Agency has also permitted appellees to examine the surviving
financial records for the MKULTRA subprojects undertaken by the
other persons and institutions, but with their names deleted.
In other words, the CIA continues to withhold the names of the
21 research institutions that declined to authorize release of
their identities as well as the names of all of the 185 individual
researchers listed in MKULTRA files. Dissatisfied with the extent
of the information provided to them, appellees brought this FOIA
action on November 30, 1978.
FN13. Although the FOIA imposes no burden of justification,
appellees Sims and Wolfe have argued that only by identifying
and approaching individual researchers would it be possible to
discover information of great public interest: the scope of MKULTRA
experimentation, the substantive findings of the research, the
side effects of various drugs, and the identities of experimental
subjects. Brief for appellees at 26-28.
In a memorandum opinion dated April 12, 1979 [FN14] the District
Court held that the institutions and researchers did not, as
asserted by the CIA, qualify for withholding under Exemption
3 because they did not constitute "intelligence sources"
within the meaning of 50 U.S.C. s 403(d)(3). With regard to the
Exemption 6 argument, the court requested that the parties submit
supplemental memoranda on the relevance of possible express or
implied promises by the CIA to maintain the confidentiality of
the researchers whose work it had funded. [FN15] The court also
asked the CIA to draft letters to the researchers and institutions
soliciting their understandings of Agency obligations to maintain
secrecy.[FN16] On May 14, 1979 the CIA submitted a further memorandum,
an affidavit by Admiral Turner,[FN17] and a draft of a form letter
suitable for mailing to individual researchers. But the Agency
declined to assert reliance on a contract theory as its basis
for withholding, and it reargued its position that the involved
institutions and researchers should be considered "intelligence
sources" as a matter of law. In an opinion of August 7,
1979 Judge Oberdorfer rejected both defenses.[FN18] The court
adhered to its prior holding that the institutions and researchers
did not constitute "intelligence sources" because the
Agency had not shown that "its decision to treat the MK-
ULTRA institutions and researchers as 'intelligence sources'
under s 403(d)(3) is not an overbroad application of the term,
too susceptible to administrative discretion to pass muster under
(FOIA Exemption) (b)(3)." [FN19] Regarding Exemption, the
court determined that it could not accept the position of the
Agency without additional information as to whether "any
researcher had any reasonable expectation that his or her participation
would be anonymous, as to whether any researcher has any other
privacy interests which might be compromised by disclosure *
* * or whether any researcher has any other objection or reason
for objection to disclosure of his or her name." [FN20]
Judge Oberdorfer again invited the CIA to communicate with the
individual researchers and apprise the court of their responses
by October 1, 1979. The court also gave the Agency additional
time to reconsider its decision not to rely on Exemption 1 to
the FOIA, which authorizes withholding
of documents that are properly classified in order to protect
national security interests in defense or foreign policy.[FN21]
The CIA chose not to pursue the suggestions of the District Court.
The Agency adhered to its view that its Exemption 6 claim required
no communication with the individual researchers, and it filed
no papers asserting that the names in issue could properly be
classified to protect the national security under Exemption 1.
[FN22] A final judgment ordering disclosure of the researchers'
names was entered on November 30, 1979.[FN23] This appeal ensued.
FN14. The opinion is printed in the Appendix (App.) at 81-85.
FN15. App. 84.
FN16. Id.
FN17. Reprinted in App. at 88-97.
FN18. Sims v. CIA, 479 F.Supp. 84 (D. D.C. 1979) (as amended
Aug. 13, 1979).
FN19. Id. at 87.
FN20. Id. at 89.
FN21. Exemption 1, 5 U.S.C. s 552(b)(1) (1976), immunizes
from compulsory disclosure matters that are:
(A) specifically authorized under criteria established by
an Executive order to be kept secret in the interest of national
defense or foreign policy and (B) are in fact properly classified
pursuant to such Executive order(.)
Executive Order 12065, 43 Fed.Reg. 28949 (July 3, 1978), currently
permits classification of information within three categories:
1-102. "Top Secret" shall be applied only to information,
the unauthorized disclosure of which reasonably could be expected
to cause exceptionally grave damage to the national security.
1-103. "Secret" shall be applied only to information,
the unauthorized disclosure of which reasonably could be expected
to cause serious damage to the national security.
1-104. "Confidential" shall be applied to information,
the unauthorized disclosure of which reasonably could be expected
to cause identifiable damage to the national security. Id. at
28950, ss 1-102-1-104. The court's invitation to the CIA to cite
Exemption 1 could scarcely have been more explicit:
The Court also notes that the policy objectives which concern
the Director might very well be accommodated by classifying the
lists of names of institutions and researchers pursuant to Executive
Order 12065, so that the lists would be exempt from disclosure
by 5 U.S.C. s 552(b)(1). In fact, the lists were once so classified,
but the defendant has since elected to declassify them so that
they are not now exempt under (b)(1). Nothing in the Court's
ruling that (b)(3) is inapplicable to the lists here at issue
is intended to foreclose (or approve) new classification of the
lists and resort to section (b)(1) in order to protect any commitment
to anonymity made by defendants to any institution or researchers.
The effective date of the accompanying order has been set forward
to October 1, 1979 in order to permit the defendant to reexamine
and act on the possibility of classifying the names of institutions
and researchers which would otherwise be disclosable and to amend
the motion and opposition to invoke (b)(1), if it should elect
to do so.
Sims v. CIA, supra note 18, 479 F.Supp. at 88 (footnote omitted).
FN22. Defendant's Response to Plaintiffs' Motion for Issuance
of a Final Order, App. at 113, 114-115 (Nov. 27, 1979).
FN23. Reprinted in App. at 117.
II. FREEDOM OF INFORMATION ACT
The Freedom of Information Act, under which this case arises,
prescribes with unmistakable clarity the role of the courts in
evaluating agency claims of exemption. The basic policy of the
Act is to compel disclosure. The burden is always on the agency
to support any claim of a right to withhold, 5 U.S.C. s 552(a)(3)
(1976), and the courts are authorized to undertake de novo review
of agency constructions of applicable statutes and of agency
determinations that particular records fall within exemption
classifications. Id.[FN24]
FN24. Courts were given authority to review de novo any denial
of access "in order that the ultimate decision as to the
propriety of the agency's action is made by the court and (to)
prevent (review) from becoming meaningless judicial sanctioning
of agency discretion." S. Rep. No. 813, 89th Cong., 1st
Sess. 8 (1965).
In weighing claims asserted by an agency as intimately connected
with national security as the CIA, courts may feel a natural
disposition to proceed with some deference. Even in this delicate
context, however, Congress has indicated that the basic FOIA
policy of maximum disclosure must be enforced in appropriate
cases by the courts.[FN25]
FN25. Congress specifically addressed this issue when it overrode
President Ford's veto to pass the 1974 Amendment authorizing
de novo review of agency classification decisions in national
security cases. The legislative history of this provision, which
became 5 U.S.C. s 552(b)(1), is extensively rehearsed in Ray
v. Turner, 587 F.2d 1187, 1206-1214 (D.C. Cir. 1978) (Wright,
C. J., concurring).
Two amendments to the Freedom of Information Act, both adopted
in response to deferential decisions by the Supreme Court, clearly
signal congressional intent concerning the judicial role. The
first amendment responded to EPA v. Mink, 410 U.S. 73, 81-84,
93 S.Ct. 827, 833-34, 35 L.Ed.2d 119 (1973), in which the Court
affirmed nondisclosure under Exemption 1, the "national
security" exemption to the FOIA, solely on the basis of
an agency affidavit. Exemption 1 then covered matters "specifically
required by Executive order to be kept secret in the interest
of the national defense or foreign policy," [FN26] and the
Court construed the provision as withholding judicial authority
to test the propriety of executive classifications. Within two
years Congress reversed Mink by legislation. As modified, Exemption
1 now requires that, in order to qualify for the exemption, information
must "in fact (be) properly classified pursuant to * * *
Executive order." [FN27] Its terms thus demand judicial
determination of the relation of various documents to the national
security and, accordingly, review of agency records in order
for courts to determine the propriety of classification.[FN28]
FN26. 5 U.S.C. s 552(b)(1) (1970).
FN27. 5 U.S.C. s 552(b)(1) (1976).
FN28. 5 U.S.C. s 552(a)(4)(B) (1976).
Congress moved similarly to nullify the decision rendered
by the Supreme Court in FAA Administrator v. Robertson, 422 U.S.
255, 95 S.Ct. 2140, 45 L.Ed.2d 164 (1975). Exemption 3 originally
applied to any "matters specifically exempted from disclosure
by statute." [FN29] After the Robertson Court held that
this language encompassed a statute granting broad agency discretion
to determine whether information should be withheld, Congress,
concerned that the Court's construction threatened the purposes
of the FOIA, quickly amended the Act. Exemption 3 now authorizes
nondisclosure of matters "specifically exempted from disclosure
by statute" only where the exempting provision either "(A)
requires that the matters be withheld from the public in such
a manner as to leave no discretion on the issue, or (B) establishes
particular criteria for withholding or refers to particular types
of matters to be withheld(.)" [FN30]
FN29. 5 U.S.C. s 552(b)(3) (1970).
FN30. 5 U.S.C. s 552(b)(3) (1976).
In the case at bar the CIA rests its claim of a right to withhold,
as it must, on specific exemptions provided by the FOIA. The
CIA is not exempt from the FOIA. Congress has determined that
the requirements of national security are satisfied by the specific
structure of exemptions created by statute.
Within the statutory framework the CIA is entitled to rely
on any or all of the nine FOIA exemptions. In previous cases
brought before this court the Agency has relied most frequently
on Exemption 1, pertaining to matters classified in order to
protect the national security.[FN31] But the CIA is not limited
to that exemption, or required to invoke it in a particular case.
It has chosen not to invoke it in this one.
FN31. See, e. g., Ray v. Turner, supra note 25; Phillippi
v. CIA, 546 F.2d 1109 (D.C. Cir. 1976).
Denial of protection claimed for documents under one exemption
does not, of course, mean that the same or similar material would
not be exempt from disclosure if another exemption were invoked
and its procedures properly satisfied. But the burden is always
on the agency to justify nondisclosure under the terms of the
specific exemption or exemptions that it claims. In this case
the CIA has based its claim on two exemptions from among the
nine: the Exemption 3 exception for matters specifically protected
by statute and the Exemption 6 shield for personnel and similar
files.
III. EXEMPTION 3
A. Issue Presented
This court has held consistently that Section 102(d)(3) of
the National Security Act of 1947, 50 U.S.C. s 403(d)(3) (1976),
which authorizes the Director of Central Intelligence to protect
"intelligence sources and methods" from unauthorized
disclosure, "establishes particular criteria for withholding
or refers to particular types of matters to be withheld"
and thus qualifies as a withholding statute under Exemption 3.
E.g., Goland v. CIA, 607 F.2d 339, 350 (D.C. Cir. 1978), cert.
denied, 445 U.S. 927, 100 S.Ct. 1312, 63 L.Ed.2d 759 (1980);
Marks v. CIA, 590 F.2d 997 (D.C. Cir. 1978). Our Section 403(d)(3)
cases have mostly involved questions of the degree of factual
specificity a CIA affidavit must attain in order to enable a
court to determine that particular documents come within its
terms. E.g., Goland v. CIA, supra, 607 F.2d at 351; Ray v. Turner,
587 F.2d 1187, 1196-1197 (D.C. Cir. 1978). Other cases have considered
the conditions under which a court should undertake de novo review
of the accuracy of facts alleged in a CIA affidavit claiming
a right to withhold under Exemption 3. E.g., Ray v. Turner, supra,
387 F.2d at 1194-1195; Weissman v. CIA, 565 F.2d 692 (D.C. Cir.
1977). Never, however, have we undertaken expressly to construe
the term "intelligence sources and methods." We have
simply assumed the phrase to have a plain meaning. The question
of statutory construction presented by this case is therefore
one of first impression, in which there is little precedent to
guide us. We must determine, or provide guidelines for determining,
whether the researchers and institutions whose names the CIA
seeks to withhold constitute "intelligence sources"
within the meaning of Section 403(d)(3).[FN32]
FN32. The Agency makes no claim that any of the information
here in issue must be withheld in order to protect intelligence
"methods."
Although we have never before been asked to construe this
term, our cases make clear the guidelines within which construction
of exempting statutes under Exemption 3 must proceed. "The
words of the statute and the relevant precedents establish the
kinds of matters that are exempt and any necessary procedural
steps that are required for exemption." Ray v. Turner, supra,
587 F.2d at 1214 (Wright, C.J., concurring). Moreover, we must
take care that terms susceptible of expansive interpretation
are construed "with sensitivity to the 'hazard(s) that Congress
foresaw.' " Founding Church of Scientology v. Nat'l Security
Agency, 610 F.2d 824, 829 (D.C. Cir. 1979) (brackets in original),
quoting American Jewish Congress v. Kreps, 574 F.2d 624, 629
(D.C. Cir. 1978). In order to carry out "Congress' intent
to close the loophole created in Robertson," Founding Church
of Scientology v. Nat'l Security Agency, supra, 610 F.2d at 829,
quoting Ray v. Turner, supra, 587 F.2d at 1220 (Wright, C.J.,
concurring), courts must guard against expansion of the "particular
types of matters" Congress has exempted from disclosure
in a way that would create broad agency discretion of the very
type that Congress sought to eliminate.
Because the term "intelligence methods and sources"
appears in the text of the National Security Act, it is appropriate
for us to begin our analysis with the construction proposed by
the CIA, an agency chartered by that statute and charged with
major responsibility for its administration. See, e.g., Albemarle
Paper Co. v. Moody, 422 U.S. 405, 431, 95 S.Ct. 2362, 2378, 45
L.Ed.2d 280 (1975); Skidmore v. Swift, 323 U.S. 134, 138-140,
65 S.Ct. 161, 164, 89 L.Ed. 124 (1944). But we must not shrink
from the responsibility vested in us by Congress. The question
presented is one of law reserved ultimately to our determination.
B. CIA Interpretation
On this appeal the CIA argues for a standard under which the
term "intelligence source" is defined to mean "any
individual, entity or medium that is engaged to provide, or in
fact provides, the CIA with substantive information having a
rational relation to the nation's external national security."
[FN33] The Agency candidly concedes that this is a broad definition,
which would apply even to periodicals including Pravda and the
New York Times from which it culls information that informs its
view of foreign nations and their policy intentions.[FN34]
FN33. Brief for appellants at 24.
FN34. See reply brief for appellants at 5.
The CIA supports its construction of the National Security
Act primarily through an appeal to policy considerations.[FN35]
The Agency argues that the complexity of its mission makes necessary
an expansive definition broad enough to encompass those who give
assistance to clandestine agents and those who develop intelligence
devices and techniques on which agents rely, even if they do
not themselves provide the CIA directly with information about
foreign
governments. Noting that information about mind-altering drugs,
like all research leading to development of investigative devices
and technology, is rationally related to national security and
threats thereto, the Agency worries that scientists may hesitate
to undertake research for the Agency in the future, or that exposure
of researchers' identities might expose them to foreign surveillance
or interference. The Agency also argues that its responsibilities
include analysis as well as collection of secret information,
and that it should not, consistent with the demands of national
security, be compelled to make public the names of those persons
and even those publications that it consults. Finally, the Agency
insists that a standard weakening its power to withhold information
in one area of its activities may cause persons associated with
it in other areas to lose confidence in the Agency's promises
and hence to break contact with it.
FN35. See generally brief for appellants at 25-28; reply brief
for appellants at 3-9.
C. The Statutory Context
[1] In assessing the arguments proffered by the CIA we must
be mindful that the "unmistakable thrust" of the Robertson
amendment to the FOIA "is to assure that basic policy decisions
on governmental secrecy be made by the Legislative rather than
the Executive branch," American Jewish Congress v. Kreps,
supra, 574 F.2d at 628 & n.33; see Founding Church of Scientology
v. Nat'l Security Agency, supra, 610 F.2d at 827-829, and that
it is the responsibility of the courts under the FOIA "to
insure that agencies do not impermissibly expand by unreviewed
interpretations the 'particular types of matters' Congress has
exempted from disclosure," Ray v. Turner, supra, 587 F.2d
at 1221 (Wright, C.J., concurring). Taking seriously the responsibilities
vested in us by the Congress, we are unable to agree with the
CIA that Congress intended the term "intelligence sources"
to refer so broadly. Although the legislative history is sparse,
the mosaic of relevant statutory enactments reflects Congress'
sensitivity to the need for discrimination in identifying particular
types of matters exempted from disclosure. This sensitivity can
be seen, not only in the Freedom of Information Act,[FN36] but
also in the relationship between the National Security Act [FN37]
and the Central Intelligence Agency Act [FN38] a relationship
that belies the suggestion that Congress intended the term "intelligence
sources" to receive an elastic construction in order to
preserve vital secrets that would otherwise lack protection.
FN36. 5 U.S.C. s 552 (1976).
FN37. National Security Act of 1947, ch. 343, 61 Stat. 496
(1947) (codified in scattered sections of 5 & 50 U.S.C.).
FN38. Central Intelligence Agency Act of 1949, ch. 227, s
1, 63 Stat. 208 (1949) (codified at 50 U.S.C. ss 403a-403j (1976).
The principal purpose of Congress in enacting the National
Security Act of 1947, in which Section 403(d)(3) appears, was
to unify the armed forces under a single Secretary of Defense.
As part of an overall effort "to provide for the establishment
of integrated policies and procedures for the departments, agencies,
and functions of the Government relating to national security
(,)" [FN39] the Act created the National Security Council
and the Central Intelligence Agency. The statute vests in the
CIA responsibility for correlating and evaluating intelligence
generated, not only through its own facilities, but also through
those of other government agencies. It then states, without further
elucidation or definition of terms, that "the Director of
Central Intelligence shall be responsible for protecting intelligence
sources and methods from unauthorized disclosure(.)" [FN40]
FN39. National Security Act of 1947 s 2, 50 U.S.C. s 401 (1976).
FN40. National Security Act s 102(d), 50 U.S.C. s 403(d) (1976),
recites the powers and duties of the CIA as follows:
For the purpose of coordinating the intelligence activities
of the several Government departments and agencies in the interest
of national security, it shall be the duty of the Agency, under
the direction of the National Security Council
(1) to advise the National Security Council in matters concerning
such intelligence activities of the Government departments and
agencies as relate to national security;
(2) to make recommendations to the National Security Council
for the coordination of such intelligence activities of the departments
and agencies of the Government as relate to the national security;
(3) to correlate and evaluate intelligence relating to the
national security, and provide for the appropriate dissemination
of such intelligence within the Government using where appropriate
existing agencies and facilities: Provided, That the Agency shall
have no police, subpena, law-enforcement powers, or internal-security
functions: Provided further, That the departments and other agencies
of the Government shall continue to collect, evaluate, correlate,
and disseminate departmental intelligence: And provided further,
That the Director of Central Intelligence shall be responsible
for protecting intelligence sources and methods from unauthorized
disclosure;
(4) to perform, for the benefit of the existing intelligence
agencies, such additional services of common concern as the National
Security Council determines can be more efficiently accomplished
centrally;
(5) to perform such other functions and duties related to
intelligence affecting the national security as the National
Security Council may from time to time direct.
In the context, the phrase "intelligence sources and
methods" is ambiguous. It would support the CIA's construction
that the identity of anyone providing information rationally
related to national security is ipso facto protected. Yet the
Act's underlying purpose of safeguarding national security gives
equal plausibility to the inference that persons are intended
to be regarded as protected intelligence sources only if nondisclosure
of their identities would itself be justifiable on national security
grounds the construction probably most compatible with the position
of appellees on this appeal.
Against this background, the Central Intelligence Agency Act
of 1949, and particularly Section 7 of that Act, 50 U.S.C. s
403g (1976), assumes some significance. As it appears in the
United States Code, Section 403g, "in order further to implement
the (protection of intelligence sources) proviso of section 403(d)(3),"
recites in greater detail specific kinds of information that
are statutorily exempt from disclosure: "(T)he Agency shall
be exempted
from the provisions * * * of any * * * law(s) which require
the publication or disclosure of the organization, functions,
names, official titles, salaries, or numbers of personnel employed
by the Agency(.)" [FN41]
FN41. 50 U.S.C. s 403g (1976).
We believe the specificity of Section 403g is important to
this case for two reasons. First, it suggests that the parade
of horribles feared by the CIA if its definition is not accepted
would simply not occur. Section 403g provides specific protection
for most of the CIA activities and contractual relationships
about which the Agency has expressed greatest concern. This conclusion
is strengthened by the fact that the Agency may always though
it has not chosen to do so in this case invoke Exemption 1 to
justify nondisclosure of any material it properly decides to
classify in order to protect a specific interest in national
security. Second, Section 403g evinces a congressional awareness
that Section 403(d)(3) as originally written is not and was not
intended to be endlessly expansive. Congress recognized that
Section 403(d)(3) would require construction and interpretation
limiting executive discretion to withhold; otherwise it would
have felt no need to "implement" the original proviso
by listing the specific matters exempted from disclosure under
Section 403g.
As a result of congressional action the meaning of "intelligence
sources" in Section 403(d)(3) unambiguously encompasses
all classes of persons and entities within the listing of Section
403g. In order to preserve, yet also to limit, the range of matters
additionally protected, we must look, in the absence of clear
legislative history, to the congressionally mandated and valid
purposes of the Central Intelligence Agency, whose effective
functioning Congress sought in Section 403(d)(3) to promote.
In chartering the CIA Congress set out, not to protect secrecy
as an end in itself, but to provide for effective collection
and analysis of foreign intelligence pertinent to concerns of
national security. Secrecy seems to have been a concern only
insofar as it was pertinent to protection of the national security.
Analysis should therefore focus on the practical necessity of
secrecy. In order to avoid an overbroad discretionary standard,
see Founding Church of Scientology v. Nat'l Security Agency,
supra, 610 F.2d at 829, yet at the same time to protect the underlying
concerns of Congress, Section 403(d)(3) must be interpreted in
functional terms: an "intelligence source" is a person
or institution that provides, has provided, or has been engaged
to provide the CIA with information of a kind the Agency needs
to perform its intelligence function effectively, yet could not
reasonably expect to obtain without guaranteeing the confidentiality
of those who provide it.
D. Issues on Remand
Application of this standard will entail a number of complex
determinations for which this case must be remanded to the District
Court. Conceptually distinct, yet implicating similar if not
identical factual concerns, these include definition of the class
or "kind" of information involved and assessment of
the likelihood that disclosure would undermine CIA access to
information of that kind.
[2] The inquiries requisite to these determinations will be
heavily factual, and, as an opinion by Judge Wilkey recently
emphasized, courts should accord "substantial weight"
to the factual allegations of the CIA in the area of national
security. Halperin v. CIA, 629 F.2d 144, 148 (D.C. Cir. 1980).
Congress intended no less, but also no more.
In amending the Freedom of Information Act to reverse the
Mink case and to provide for de novo review in the District Courts
of agency decisions to classify information under the national
security exemption, Congress carefully considered the weight
to which agency determinations were entitled. One proposal called
for agency classifications in the national security context to
be subject only to minimal judicial scrutiny: courts would be
limited to determining whether there was a "reasonable basis"
for the agency decision to withhold a document.[FN42] Congress
explicitly rejected this position.[FN43] De novo review was provided
in every case.
FN42. The bill reported by the Senate Judiciary Committee
would have prescribed this standard. S. 2543, 93d Cong., 2d Sess.
s (b)(2), reprinted in Staffs of Senate Committee on the Judiciary
and House Committee on Government Operations, Freedom of Information
Act and Amendments of 1974 (Pub. L. 93-502), Source Book: Legislative
History, Texts, and Other Documents, at 282 (Committee Print
1975) (hereinafter cited as "Source Book").
FN43. The "reasonable basis" language was deleted
from the Senate bill pursuant to an amendment introduced by Senator
Muskie. See 120 Cong.Rec. 17022-17032 (1974). Senator Ervin supported
the Amendment with the following remarks:
The (unamended) bill provides that a court cannot reverse
an agency even though it finds it was wrong in classifying the
document as being one affecting national security, unless it
further finds that the agency was not only wrong, but also unreasonably
wrong.
Why not let the judge determine that question, because national
security is information that affects national defense and our
dealings with foreign countries? That is all it amounts to.
If a judge does not have enough sense to make that kind of
judgment, he ought not to be a judge * * *. Id. at 17030.
Congressional intent emerges clearly from the report of the
Conference Committee to which the "substantial weight"
standard can be traced. [FN44] The report recognized that "the
Executive departments responsible for national defense and foreign
policy matters have unique insights into what adverse affects
(sic ) might occur as a result of public exposure of a particular
classified record." Accordingly, it was "expect(ed)
that Federal courts, in making de novo determinations in section
552(b)(1) cases under the Freedom of Information law, will accord
substantial weight to an agency's affidavit concerning the details
of the classified status of the disputed record." [FN45]
But the Conference Committee reiterated its intention to authorize
de novo judicial decisions. And it specified that "(t)he
burden remains on the Government under this law." [FN46]
FN44. S. Rep. No.93-1200, 93d Cong., 2d Sess. 9 (1974). The
Conference Committee explicitly rejected a proposal by President
Ford to return to the "reasonable basis" standard of
review. See letter from President Gerald R. Ford to Honorable
William S. Moorehead, August 20, 1974, reprinted in Source Book,
supra note 42, at 380.
FN45. S. Rep. No. 93-1200, supra note 44, at 12.
FN46. Id. at 9.
As the Halperin case illustrates, the "substantial weight"
formula is most likely to assist the Government in meeting its
burden when answering questions about the future effects of document
disclosure on national security. As the court stated, a predictive
statement "will always be speculative to some extent(.)"
Halperin v. CIA, supra, 629 F.2d at 149. In holding the Government
to the burden of justification imposed on it by Congress, courts
should not require the impossible. On the other hand, there are
other inquiries in which the CIA must stand on essentially the
same footing as any other litigant. For example, final resolution
of FOIA cases typically demands an application of law to fact.
Once the facts are found, it may remain to be determined whether
they fall within the exempting ambit of one or another statute.
Construction of statutes is an area of special judicial competence.
Agency interpretations should not, in this context, receive any
more "substantial weight" than their intrinsic merit
commands.
The Halperin case is again illustrative. One section of the
court's opinion settled the narrow point of law that private
attorneys who work under contract for the CIA in matters pertaining
to necessarily clandestine activities constitute "personnel
employed by the Agency" whose names are exempt from disclosure
under Exemption 3 and Section 403g. See id., 629 F.2d at 151.
Before reaching this narrow legal conclusion the court, in other
parts of its opinion, accorded substantial weight to the Agency's
assertion that disclosure of the names of such attorneys would
lead to exposure of intelligence sources. Id., 629 F.2d at 147-150.
But the court indicated no reliance on the Agency in determining
the legal issue. It would be inappropriate for a court to abdicate
any part of its responsibility to decide whether a factual showing
of the likely consequences of disclosure should suffice to bring
a particular document within the protective intent of a pertinent
statute.
IV. EXEMPTION 6
[3] Exemption 6 to the Freedom of Information Act authorizes
withholding of "personnel and medical files and similar
files the disclosure of which would constitute a clearly unwarranted
invasion of personal privacy(.)" [FN47] In order for an
agency to justify nondisclosure under this provision, the Government
must carry each of three burdens. First, the agency must establish
that the requested file is in fact appropriately classified as
"personnel," "medical," or "similar."
Second, it must demonstrate that release of the information would
violate substantial privacy interests of the person or persons
involved. Finally, but only if the first two burdens are met,
the statute prescribes a balancing test on which the agency must
also prevail. In order to resist disclosure, the agency must
show that the substantial interest in personal privacy is not
outweighed by the public interest in disclosure. Dep't of Air
Force v. Rose, 425 U.S. 352, 373, 96 S.Ct. 1592, 1604, 48 L.Ed.2d
11 (1976); Getman v. NLRB, 450 F.2d 670, 674-677 (D.C. Cir. 1971).
FN47. 5 U.S.C. s 552(b)(6) (1976). The CIA invokes Exemption
6 to protect the names of individual researchers, but makes no
claim that the names of the institutions participating in MKULTRA
could be withheld on that basis. Exemption 6 is applicable only
to individuals. Nat'l Parks and Conservation Ass'n v. Kleppe,
547 F.2d 673, 685 n.44 (D.C. Cir. 1976); Robertson v. Dep't of
Defense, 402 F.Supp. 1342, 1348 (D. D.C. 1975).
Although finding that a list of names of individual researchers
comprised "similar files" under Exemption 6, the District
Court rejected the Government's claimed right to withhold by
determining that the CIA had failed to satisfy the third requirement
of nondisclosure.[FN48] The court noted that the Agency had not
supplied information the court deemed essential to accurate assessment
of the privacy interests involved.[FN49] And without such information
the Government could not prevail on the balancing test.
FN48. Any ambiguity in the court's opinion arises because
the second and third inquiries are so intimately connected. Although
the court's conclusion that the public interest in disclosure
outweighs the privacy interest in nondisclosure clearly assumes
some weighing of the relevant privacy interest, it is unclear
whether the District Court in this case decided the second issue
whether there was an invasion of personal privacy sufficiently
deep and severe to qualify under any circumstances as "clearly
unwarranted." The court might merely have assumed the existence
of such an interest arguendo and then found that interest to
be overridden. See Sims v. CIA, supra note 18, 479 F.Supp. at
89.
FN49. Although the District Court held that the CIA had not
provided adequate factual support for its claim to invoke Exemption
6, it invited the CIA to communicate with individual researchers
to elicit "additional information as to whether any researcher
has any reasonable expectation that his or her participation
would be anonymous, as to whether any researcher has any other
privacy interests which might be compromised by disclosure of
participation in the project or whether any researcher has any
other objection or reason for objection to disclosure of his
or her name." Id. Believing it possible that the CIA might
somehow justify its Exemption 6 claim on the basis of facts developed
from the suggested communications, the District Court deferred
the effective date of its order to disclose for nearly two months
to give the CIA time to elicit more facts and develop legal arguments
based thereon. The CIA, however, chose not to communicate with
the researchers. It merely repeated the legal theories urged
earlier.
After the District Court rendered its decision in this case
Judge Robinson's opinion for this court in Board of Trade of
City of Chicago v. Commodity Futures Trading Comm'n, 627 F.2d
392, 396-400 (D.C.Cir. 1980), has analyzed and clarified the
features that a document must possess to meet the threshold,
definitional requirements of a "similar" file under
Exemption 6. Had Judge Oberdorfer had the benefit of this opinion,
he might well have concluded, as we do, that the CIA records
requested in this case cannot be considered "personnel and
medical files (or) similar files" eligible for withholding.
Exemption 6 was intended by Congress to protect individuals
from public disclosure of "intimate details of their lives,
whether the disclosure be of personnel files, medical files,
or other similar files." Board of Trade of City of Chicago
v. Commodity Futures Trading Comm'n, supra, 627 F.2d at 399,
quoting Rural Housing Alliance v. U.S. Dep't of Agriculture,
498 F.2d 73, 77 (D.C. Cir. 1974); see Robles v. EPA, 484 F.2d
843, 845 (4th Cir. 1973). Although the opinion in Rural Housing
stated that the exemption "is phrased broadly to protect
individuals from a wide range of embarrassing disclosures,"
498 F.2d at 77, the context makes clear the court's recognition
that the disclosures with which the statute is concerned are
those involving matters of an intimate personal nature. Because
of its intimate personal nature, information regarding "marital
status, legitimacy of children, identity of fathers of children,
medical condition, welfare payments, alcoholic consumption, family
fights, reputation, and so on" falls within the ambit of
Exemption 6. Id. By contrast, as Judge Robinson stated in the
Chicago Board of Trade case, 627 F.2d at 399, the decisions of
this court have established that information connected with professional
relationships does not qualify for the exemption.
In Getman v. NLRB, supra, for example, we ordered disclosure
of a list of names and addresses of persons eligible to vote
in union representation elections, despite assertions that their
privacy would be compromised.[FN50] Although holding explicitly
only that release would not constitute a clearly unwarranted
invasion of privacy, we strongly suggested that the requested
lists of names and addresses failed to qualify as "similar
files." "(T)he real thrust of Exemption (6),"
we wrote, "is to guard against unnecessary disclosure of
files of such agencies as the Veterans Administration or the
Welfare Department or Selective Service or Bureau of Prisons
* * *. The giving of names and addresses is a very much lower
degree of disclosure(.)" 450 F.2d at 675.
FN50. In Getman we held that the law professors conducting
an NLRB voting study were entitled to compel the NLRB to provide
them with the names and addresses of employees eligible to vote
in certain union elections. Because the avowed purpose of the
professors was to telephone selected employees and ask them to
submit to interviews, the court recognized that "disclosure
does involve some invasion of privacy(.)" Getman v. NLRB,
450 F.2d 670, 675 (D.C. Cir. 1971). But we stressed that disclosure
of the business connection between union and employee bared no
intimately personal facts and left "any disclosure of information
(that is) more personal * * * wholly consensual and within the
control of the employee." Id.
Board of Trade of City of Chicago v. Commodity Futures Trading
Comm'n, supra, provides more direct authority. That case arose
from an investigation by the Commodity Futures Trading Commission
of the Board of Trade's contract to operate a commodity futures
market in Chicago.[FN51] As part of its inquiry into the plywood
futures contract the Commission solicited criticisms and suggestions
from persons trading under the contract, at least some of whom
responded with the understanding that their identities would
be kept confidential. The Commission therefore asked the Board
to respond to complaints and suggestions that it identified only
as issuing from "trade sources."
Arguing that it could not assess the criticisms and suggestions
without knowing their sources, the Board refused to respond until
the names in question were released. The Commission still declined
to reveal the names of its informants, and an FOIA action ensued.
In an opinion by Judge Robinson this court concluded that Exemption
6 did not apply to the challenged records, due to their essentially
business nature. There was present in the case a privacy interest,
implicated "insofar as release of identifying details would
expose the occupations of these sources, their relationship to
the Board, and how they perceive the workings of the market enterprise
from which they derive at least part of their livelihood."
627 F.2d at 399. "But," the court continued, "the
fact remains that the withheld information associates these individuals
with business of the Board, and not with any aspect of their
personal lives. The interest in nondisclosure thus asserted is
not in continued privacy of personal matters, but in anonymity
* * * on purely commercial matters." Id. at 399- 400.
FN51. The Commodity Futures Trading Commission is an independent
regulatory agency created by the Commodity Futures Trading Act
of 1974. Commodity Exchange Act, 42 Stat. 998 (1922), as amended
by the Commodity Futures Trading Commission Act of 1974, Pub.
L. No. 93-463, 88 Stat. 1389, 7 U.S.C. s 1 et seq. (1976). To
function lawfully as a futures contract market, a Board of Trade
must meet certain standards as well as comply with Commission
guidelines. The Commission periodically conducts investigations
to determine whether all requirements are being satisfied.
[4][5] We adhere to the analysis of Exemption 6 developed
in the Chicago Board of Trade case. Exemption 6 was developed
to protect intimate details of personal and family life, not
business judgments and relationships. Surely it was not intended
to shield matters of such clear public concern as the names of
those entering into contracts with the federal government.
To support its claim to invoke Exemption 6 the CIA relies
principally on Dep't of Air Force v. Rose, supra, a case in which
the Supreme Court ordered release of files summarizing disciplinary
proceedings against cadets at the Air Force Academy but approved
deletion of individual names therein. In holding that records
of disciplinary proceedings triggered the "similar files"
provision of Exemption 6, the Court noted, among other factors,
the possibility of "lifelong embarrassment" ensuing
from disclosure. The CIA argues that the possibility of embarrassment
to CIA researchers brings the records requested in the present
case within the holding of Rose. We cannot agree.
Although the threat of embarrassment was a significant factor
in Rose, see 425 U.S. at 376-377, 96 S.Ct. 1592 at 1606-07, 48
L.Ed.2d 11, the Court was also at pains to note that the records
of the panels at the Air Force Academy involved judgments about
matters that are intimate and personal in the highest degree
judgments of ethical propriety and individual honor. There was
no implication that "embarrassment" alone would have
sufficed to justify nondisclosure. Clearly Exemption 6 could
not be invoked, under Rose, to protect the concerns of a contractor
who would be embarrassed by disclosure of his responsibility
for shoddy work. No more should it reach the names of those embarrassed
by the nature of contract work they have undertaken.[FN52]
FN52. The fact that an embarrassing disclosure might have
costly business consequences was implicitly held to be irrelevent
in Board of Trade of City of Chicago v. Commodity Futures Trading
Comm'n, 627 F.2d 392, 400 (D.C. Cir. 1980).
Moreover, even if we were to reach the stage of weighing the
privacy interest in nondisclosure and ultimately that of balancing,[FN53]
we would be compelled to agree with the District Court that the
CIA has failed to justify nondisclosure. Eschewing suggestions
by the District Court that it communicate with the individual
researchers, the Agency has failed to particularize their objections
to disclosure or to establish the likely consequences of disclosure
in individual cases. In the absence of a more detailed and conclusive
factual showing, we could hardly find that the Agency had shown
an invasion of personal privacy so deep and severe as to count
as "clearly unwarranted" when measured against the
countervailing public interest in full disclosure. And in applying
a statute whose language "instructs the court to tilt the
balance in favor of disclosure," Getman v. NLRB, supra,
450 F.2d at 674, we have to accord substantial weight to the
claims of possible public profit. These include possible increases
in public knowledge of specific experimental projects and possible
identification of additional victims of drug testing.
FN53. See text following note 47 supra.
V. CONCLUSION
For the reasons stated herein, the judgment of the District
Court must be vacated and the case remanded for further action
not inconsistent with this opinion. Vacated and remanded.
DISSENTING OPINION: MARKEY, Chief Judge, dissenting in part:
I join Chief Judge Wright's typically lucid opinion for the
court, dissenting, with utmost respect, only from the conclusion
that a remand in respect of Exemption 3 is either necessary or
advisable.
Three years is enough. Plaintiffs filed their request in August,
1977. After more than a year of delay, they filed suit in November,
1978. After a year of litigation, they prevailed in 1979. It
is now September, 1980. The information sought is at least 14
years old. Absent some imperative, plaintiffs should not be forced
to return for further litigation in the district court.
I agree that courts, while shirking none of their statutory
responsibilities under FOIA, should approach with sheathed swords
when our nation's security is involved. The CIA is not the EPA
or the FAA. Here, however, the Agency has specifically declined
to refuse disclosure on national security grounds.
Indeed, the Agency has declined and disdained the deference-in-depth
shown it by the district court. It has elected to confront the
courts with a broad interpretation of Exemption 3, declining
the district court's grant of additional time to consider Exemption
1, to assert a contract theory, to contact the researchers, and
to show facts indicating that its interpretation of "intelligence
sources" as here applied is not so overbroad as to amount
to untrammeled agency discretion. Before us, the Agency presents
policy questions more properly presented to the Congress. The
resulting impression is one of noblesse oblige. It does the Agency
no injustice to remark that one who appears to have thrown down
a gauntlet should not be surprised when it appears to have been
picked up. The Agency's implicit invitation to supply a usable
definition of "intelligence source," as that phrase
is employed in Section 403(d)(3), has been well met in Chief
Judge Wright's opinion.
The clarity and applicability of that definition to the facts
of record, coupled with the conduct of the Agency, prompt my
view that remand is unnecessary and inadvisable.
It is true that neither the Agency in 1977, nor the district
court in 1978, had the present definition available. Nonetheless,
the differences between the definition here established and that
employed by the Agency are not, in light of the record, such
as to compel remand.
The present definition is broader in some senses and narrower
in others.[FN1] It is broader in substituting "provides,
has provided, or has been engaged to provide" for the Agency's
"is engaged to provide, or in fact provides." It is
narrower in eliminating "medium," and in supplanting
the broad terms "substantive information" and "having
a rational relation to the nation's external national security"
with a more usable "information of a kind the Agency needs
to perform its intelligence function effectively." It is
narrower also in adding the eminently appropriate requirement
that the information be of a kind the CIA "could not reasonably
expect to obtain without guaranteeing the confidentiality of
those who provide it."
FN1. For convenience, the definitions are juxtaposed:
Present definition:
"(A)n 'intelligence source' is a person or institution
that provides, has provided, or has been engaged to provide the
CIA with information of a kind the Agency needs to perform its
intelligence function effectively, yet could not reasonably expect
to obtain without guaranteeing the confidentiality of those who
provide it."
The Agency's definition:
"An 'intelligence source' generally is any individual,
entity or medium that is engaged to provide, or in fact provides,
the CIA with substantive information having a rational relation
to the nation's external national security."
The Agency's definition effectively reads "intelligence
source" as "information source," requiring protection
of all sources of all information "rationally related"
to national security.[FN2] As the majority opinion makes clear,
that sucks into secrecy's maw too many sources of too many kinds
of information. That the Agency's definition is unacceptable,
however, is not alone sufficient basis for remand here.
FN2. We deal here only with Exemption 3, not with Exemption
1. Considerations of national security may go beyond inquiries
on whether a potential adversary may already have certain information,
and may encompass inquiries on whether the adversary knows the
Agency knows, whether the adversary may learn the Agency is interested
in knowing, and, of course, whether the adversary may learn of
the Agency's source or sources of that certain information.
Application of the standard, that is, the majority's definition,
does not in my view require determinations "conceptually
distinct" from those made by, or foreclosed by the Agency
to, the district court. Further, I find the implicated factual
concerns identical.
Presumably, remand is thought necessary to allow the Agency
to show that the 21 institutions and 185 researchers provided
"information of a kind the Agency needs to perform its intelligence
function effectively, yet could not reasonably expect to obtain
without guaranteeing the confidentiality of those who provide
it." But, as the record shows, the Agency has already established
the "kind" of information here involved (research data
on behavior modifying drugs). It has established its claimed
need for the information, that is, to counter use of such drugs
by potential adversaries and to develop its own capacity for
their use. Whatever may be said of the wisdom or morality of
the MKULTRA program and its operation, the Agency's need for
the research data "to perform its intelligence function
effectively" has not been challenged on this record. Hence,
a remand is unnecessary to prove that element of the standard.
That leaves only the question of whether the information was
of a kind the Agency "could not reasonably expect to obtain
without guaranteeing the confidentiality of those who provide
it." Yet proof of the answer to that question is precisely
what the Agency has adamantly refused to seek or present, though
the district court twice invited it to do so. The Agency effectively
refused the district court's request for evidence of express
or implied confidentiality promises by the Agency. It declined
the district court's suggestion that it ask the researchers,
in connection with Exemption 6, whether they even expected confidentiality.
A remand to enable a party to do what it had specifically refused
to do when initially before the district court, thereby allowing
that party to force the conduct of piecemeal litigation, is in
my view entirely inappropriate.
Further, what there is in the record on the subject indicates
that the Agency had good reason for not attempting to prove the
information unobtainable without a guarantee of confidentiality.
From all that appears, the information was obtained without that
guarantee, express or implied. The Agency dealt primarily through
a front organization. If the Agency had promised confidentiality,
explicitly or implicitly, it could have so established in the
court below. That it did not, even in response to the court's
invitation, should be taken as evidence that it could not and
cannot do so on remand.[FN3]
FN3. Similarly, reclassification of the names, reliance on
Exemption 1, or similar post-appeal actions in avoidance of disclosure
by the Agency, would create an impression of playing fast and
loose with the judicial process. With three years to consider
reclassification, and more than two years to consider reliance
before the courts on Exemption 1, the Agency may be presumed
to have no sound basis for those actions. A contrary view would
make the Agency appear to have engaged in judicial gamesmanship,
holding back some defenses while it tries out others through
an appeal, a practice not required to obtain a judicial pronouncement
on the defenses asserted. The courts' treatment here of two defenses
could have easily included a third.
Though the "substantial weight" standard was initially
phrased in relation to classified records and those here are
declassified, it is not necessary to base a present refusal to
remand on that ground. That the court in Halperin gave substantial
weight to the Agency's assertion respecting the effect of disclosure
of the names of attorneys under contract for the CIA might have
relevance if we were considering a "factual showing"
of the effect of disclosure here.[FN4] The district court and
this court have here been denied that showing, though the Agency
has had more than ample opportunity to make it and to rely on
a "substantial weight" standard. If, as the majority
correctly says, it would be "inappropriate for a court to
abdicate any part of its responsibility to decide" when
presented with such a factual showing, even in the face of a
substantial weight standard, it would appear even more inappropriate
for an appellate court to remand when the district court was
specifically and unequivocally denied that showing.[FN5]
FN4. The Agency has not here asserted that the institutions
or researchers were working under a contract with the Agency
or were otherwise "employees" under 50 U.S.C. s 403g
(1976).
FN5. It is true that courts should not require the impossible,
and that predictions of what others might do if the names here
sought were disclosed are necessarily speculative, but the time
for those considerations is in my view past. Moreover, nothing
of record remotely hints that the Agency will be able to do any
more than repeat the bald assertions already made, namely, that
disclosure of these names will impede willingness of others to
work with the Agency. Whether the public today perceives the
Agency as a pariah is not established on the record, but the
disclosure of the names of institutions and researchers who were
under the impression that they were not working for the Agency
cannot be assumed to impede a willingness of others to work for
the Agency when asked to do so. Presumably, also, those employing
the FOIA to obtain the names here sought do not intend to risk
continued viability of the statute by unnecessarily exposing
those institutions and researchers to public ridicule solely
on the ground that they were caught up without their knowledge
in MKULTRA.
Hence I cannot join the conclusion that the district court
applied an improper legal standard to the Exemption 3 defense.
That defense rested on the Agency's definition of "intelligence
sources." The district court, viewing that definition as
overbroad (a proper legal standard), held the defense inadequate.
We do the same, on the same ground. That we also "provide
guidelines" will be helpful to the Agency, to others, and
to the interests of judicial economy in future cases. Where,
however, as here, the Agency cannot meet those guidelines, indeed,
declined to even try meeting them when the district court (in
different words) invited that effort, I would not remand. I would
affirm the district court's judgment respecting
Exemption 3.
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