Judicial Watch, Inc. v. U.S. Department of State ( 2019 )


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  •                             UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    JUDICIAL WATCH, INC.,
    Plaintiff,
    v.                                             Civil Action No. 18-300 (TJK)
    U.S. DEPARTMENT OF STATE,
    Defendant.
    MEMORANDUM OPINION
    Plaintiff Judicial Watch made a Freedom of Information Act request for records about
    any requests by former Ambassador to the United Nations Samantha Power for intelligence
    reports related to Russia’s attempts to influence the 2016 presidential election and other
    associated matters. Both Plaintiff and Defendant Department of State have moved for summary
    judgment. Because Defendant has more than adequately justified its Glomar response, its
    motion will be granted, and Plaintiff’s motion will be denied.
    I.     Background
    In October 2017, Plaintiff submitted a request under the Freedom of Information Act
    (FOIA), 5 U.S.C. § 552, to the Department of State (“State”) for the following categories of
    records:
    First, “[a]ny and all requests for information, analyses, summaries, assessments,
    transcripts, or similar records submitted to any Intelligence Community member agency by
    former United States Ambassador to the United Nations Samantha Powers [sic] concerning,
    regarding, or relating to” (a) “[a]ny actual or suspected effort by the Russian government or any
    individual acting on behalf of the Russian government to influence or otherwise interfere with
    the 2016 presidential election”; (b) “[t]he alleged hacking of computer systems utilized by the
    Democratic National Committee and/or the Clinton presidential campaign”; (c) “[a]ny actual or
    suspected communication between any member of the Trump presidential campaign or transition
    team and any official or employee of the Russian government or any individual acting on behalf
    of the Russian government”; and (d) “[t]he identities of U.S. citizens associated with the Trump
    presidential campaign or transition team who were identified pursuant to intelligence collection
    activities.” ECF No. 8-2 at 1.
    Second, “[a]ny and all records or responses received by former United States
    Ambassador to the United Nations Samantha Powers [sic] and/or any employee, staff member,
    or representative of United States Mission to the United Nations in response to” those requests.
    
    Id. at 1–2.
    Third, “[a]ny and all records of communication between any official, employee, or
    representative of any Intelligence Community member agency and former United States
    Ambassador to the United Nation Samantha Powers [sic] and/or any employee, staff member, or
    representative of the United States Mission to the United Nations” related to those requests. 
    Id. at 2.
    On February 9, 2018, Plaintiff filed this action without having received a response to its
    request. ECF No. 1. And in May 2018, State provided a Glomar response, declining to confirm
    or deny the existence of the requested records because, it asserted, doing so would itself reveal
    classified information protected by FOIA Exemptions 1 and 3. 1 ECF No. 8-4. The next month,
    1
    This type of FOIA response received its name from Phillippi v. CIA, 
    546 F.2d 1009
    (D.C. Cir.
    1976), in which the CIA refused to confirm or deny whether records existed relating to a ship
    named Hughes Glomar Explorer. See Wolf v. CIA, 
    473 F.3d 370
    , 374 (D.C. Cir. 2007).
    2
    State moved for summary judgment on those grounds. ECF No. 8. And the month after that,
    Plaintiff moved for summary judgment as well. ECF No. 9. 2
    II.    Legal Standard
    To prevail on a motion for summary judgment, a movant must show “that there is no
    genuine dispute as to any material fact and the movant is entitled to judgment as a matter of
    law.” Fed. R. Civ. P. 56(a); see also Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 247 (1986);
    Celotex Corp. v. Catrett, 
    477 U.S. 317
    , 322 (1986). FOIA requires federal agencies to “disclose
    information to the public upon reasonable request unless the records at issue fall within
    specifically delineated exemptions.” Judicial Watch, Inc. v. FBI, 
    522 F.3d 364
    , 365–66 (D.C.
    Cir. 2008); see also 5 U.S.C. § 552(a)(3)(A). Thus, a FOIA defendant is entitled to summary
    judgment if it shows that there is no genuine dispute “that each document that falls within the
    class requested either has been produced, is unidentifiable or is wholly exempt from the Act’s
    inspection requirements.” See Weisberg v. Dep’t of Justice, 
    627 F.2d 365
    , 368 (D.C. Cir. 1980)
    (quoting Nat’l Cable Television Ass’n, Inc. v. FCC, 
    479 F.2d 183
    , 186 (D.C. Cir. 1973)). The
    “vast majority of FOIA cases” are decided on motions for summary judgment. See Brayton v.
    Office of the U.S. Trade Rep., 
    641 F.3d 521
    , 527 (D.C. Cir. 2011).
    An agency “may refuse to confirm or deny the existence of records where to answer the
    FOIA inquiry would cause harm cognizable under an FOIA exception.” Gardels v. CIA, 689
    2
    In reaching its conclusion, the Court considered all relevant filings, including, but not limited
    to, the following: Plaintiff’s Complaint, ECF No. 1; Defendant’s Answer, ECF No. 5;
    Defendant’s Motion for Summary Judgment (“Def.’s Mot.”), ECF No. 8; Plaintiff’s
    Consolidated Brief in Opposition to Defendant’s Motion for Summary Judgment and in Support
    of Its Cross-Motion for Summary Judgment (“Pl.’s Mot.”), ECF No. 9-1; Defendant’s
    Opposition to Plaintiff’s Cross-Motion for Summary Judgment and Reply in Support of
    Defendant’s Motion for Summary Judgment, ECF No. 11; and Plaintiff’s Reply Brief, ECF No.
    13.
    
    3 F.2d 1100
    , 1103 (D.C. Cir. 1982). In that circumstance, a Glomar response is “proper if the fact
    of the existence or nonexistence of agency records falls within a FOIA exemption.” 
    Wolf, 473 F.3d at 374
    . To determine whether a Glomar response “fits a FOIA exemption, courts apply the
    general exemption review standards established in non-Glomar cases.” 
    Id. An agency
    issuing a
    Glomar response must explain in as much detail as possible why it cannot confirm or deny the
    existence of certain records or categories of records, which it may seek to do by affidavit. James
    Madison Project v. Dep’t of Justice, 
    208 F. Supp. 3d 265
    , 283 (D.D.C. 2016). If a Glomar
    response is justified, “the agency need not conduct any search for responsive documents or
    perform any analysis to identify segregable portions of such documents.” People for the Ethical
    Treatment of Animals v. Nat’l Insts. of Health, Dep’t of Health & Human Servs., 
    745 F.3d 535
    ,
    540 (D.C. Cir. 2014).
    III.   Analysis
    A.      Exemption 1
    Exemption 1 provides that matters that are “specifically authorized under criteria
    established by an Executive [O]rder to be kept secret in the interest of national defense or foreign
    policy and . . . are in fact properly classified pursuant to such Executive [O]rder” are exempt
    from disclosure. 5 U.S.C. § 552(b)(1). While the burden is on the agency to sustain any asserted
    exemption, 
    id. at §
    552(a)(4)(B), the D.C. Circuit has advised courts to accord substantial
    deference to an agency’s Glomar response when the information requested “implicat[es] national
    security, a uniquely executive purview.” Elec. Privacy Info. Ctr. v. NSA, 
    678 F.3d 926
    , 931
    (D.C. Cir. 2012) (alteration in original) (quoting Ctr. for Nat’l Sec. Studies v. Dep’t of Justice,
    
    331 F.3d 918
    , 926–27 (D.C. Cir. 2003)). “[T]he text of Exemption 1 itself suggests that little
    proof or explanation is required beyond a plausible assertion that information is properly
    4
    classified.” Morley v. CIA, 
    508 F.3d 1108
    , 1124 (D.C. Cir. 2007). “Ultimately, an agency’s
    justification for invoking a FOIA exemption is sufficient if it appears ‘logical’ or ‘plausible’” in
    the national security context. 
    Wolf, 473 F.3d at 374
    –75 (quoting 
    Gardels, 689 F.2d at 1105
    ).
    State has more than cleared this bar by submitting the declaration of Catherine W.
    Brown, the Deputy Assistant Secretary for Intelligence Policy and Coordination in State’s
    Bureau of Intelligence and Research. According to Brown, the existence or nonexistence of
    records relating to Plaintiff’s request is a fact exempted from disclosure by Exemption 1 because
    that fact “is currently and properly classified under Section 1.4(c) of” Executive Order 13526,
    which pertains to intelligence activities, intelligence sources and methods, and cryptology. ECF
    No. 8-1 ¶ 7. Moreover, “[a]cknowledging the existence or nonexistence of responsive records
    would disclose information that . . . is currently and properly classified” under Section 1.2(a)(3)
    of that same Executive Order, “because it could reasonably be expected to reveal information
    about” those same topics “that would cause identifiable and describable damage to the national
    security.” 
    Id. Brown explains
    in detail why this is so. In general, State considers “requests for
    classified information made by senior policy makers . . . highly sensitive and protected” because
    they can reveal insights into the policymaker’s areas of interest, into deliberations within the
    Intelligence Community and with the policymaker, and into knowledge gaps within the U.S.
    government. 
    Id. ¶ 8.
    Moreover, in this specific case, the records concern a “highly sensitive
    issue of clear counterintelligence interest,” which “would reveal information that would allow
    U.S. adversaries to draw sensitive inferences about U.S. government awareness, or lack of
    awareness, about activities of counterintelligence concern, and therefore cause damage to
    national security.” 
    Id. ¶ 9.
    Specifically, acknowledgement of the existence or nonexistence of
    5
    the information requested would “reveal sensitive information concerning what a senior U.S.
    policy maker might or might not have known at a particular point in time about U.S.
    counterintelligence information and efforts related to Russian interference in the 2016
    Presidential election.” 
    Id. ¶ 10.
    For example, Brown explains, if State were to acknowledge that it had no responsive
    records, “a hostile foreign government might surmise that the U.S. Ambassador to the United
    Nations was unwitting of any interference in the relevant timeframe and from that draw
    inferences about her access to intelligence or the availability of relevant intelligence -
    information we would want to protect for counterintelligence purposes.” 
    Id. ¶ 11.
    But on the
    other hand, if State were to acknowledge that it possessed responsive records, “this could alert a
    hostile foreign government that its activities had been detected and/or to the time frame within
    which that detection occurred, as well as to information about the Ambassador’s access to
    intelligence.” 
    Id. And “[t]his
    would be true even if we were to withhold the documents under a
    FOIA exemption.” 
    Id. Brown also
    points out that unless State relied on a Glomar response here, multiple FOIA
    requests aimed at different senior government officials could end up allowing “an adversary to
    map out which of these government officials were or were not involved in relevant
    counterintelligence efforts based on which officials had responsive records. In other words, a
    U.S. adversary could potentially piece together key classified information about how the United
    States government conducts counterintelligence efforts based on responses to FOIA requests like
    this one.” 
    Id. ¶ 12.
    This is, as State argues, a version of the “mosaic” theory, which courts have
    long upheld as a basis for nondisclosure in the national security context. See, e.g., CIA v. Sims,
    
    471 U.S. 159
    , 178 (1985).
    6
    Finally, Brown also notes that if State acknowledged whether responsive records exist
    and argued that any such records should be withheld under a FOIA exemption, doing so could
    “reveal classified information regarding intelligence sources and methods.” 
    Id. ¶ 13.
    For
    example, any request directed to, or response received from, a particular Intelligence Community
    component that collects a particular kind of intelligence “could itself reveal details about the
    sources and methods of intelligence collection that were used, or not used, to obtain” responsive
    information. 
    Id. The Court
    finds that State’s justification for its invocation of Exemption 1 is plausible
    and logical. Therefore, its Glomar response is sustained. See 
    Wolf, 473 F.3d at 375
    .
    B.      Exemption 3
    State also argues that it properly withheld the existence or nonexistence of responsive
    records under Exemption 3. That exemption permits an agency to withhold records that are
    “specifically exempted from disclosure by statute,” provided that the statute either “requires that
    the matters be withheld from the public in such a manner as to leave no discretion on the issue;
    or . . . establishes particular criteria for withholding or refers to particular types of matters to be
    withheld.” 5 U.S.C. § 552(b)(3). To determine whether Exemption 3 has been properly
    invoked, courts ask: (1) whether the statute in question is a statute of exemption; and, if so, (2)
    whether the information at issue satisfies the criteria in the statute. See 
    Sims, 471 U.S. at 167
    .
    Here, the Director of National Intelligence has, under his authority in Section 102A(i)(1)
    of the National Security Act of 1947, as amended, 50 U.S.C. § 3024(i)(1), “ordered the heads of
    Intelligence Community elements, including the Secretary of State, to ‘[p]rotect national
    intelligence and intelligence sources, methods and activities from unauthorized disclosure.’”
    ECF No. 8-1 ¶ 17 (quoting Intelligence Community Directive 700, at 3 (June 7, 2012), available
    7
    at http://www.dni.gov/files/documents/ICD/ICD_700.pdf). The National Security Act is without
    question an exempting statute that State may invoke for purposes of Exemption 3. See Talbot v.
    CIA, 
    578 F. Supp. 2d 24
    , 29 (D.D.C. 2008). And the D.C. Circuit has interpreted the second part
    of the Sims test broadly in this context, holding that an agency may withhold information if it
    “relates to intelligence sources and methods,” Larson v. Dep’t of State, 
    565 F.3d 857
    , 865 (D.C.
    Cir. 2009) (citing Fitzgibbon v. CIA, 
    911 F.2d 755
    , 762 (D.C. Cir. 1990)), or “can reasonably be
    expected to lead to unauthorized disclosure of intelligence sources and methods,” Halperin v.
    CIA, 
    629 F.2d 144
    , 147 (D.C. Cir. 1980) (quoting Halperin v. CIA, No. 77-1859, slip op. at 5
    (D.D.C. July 25, 1979)). For all the reasons already explained, Brown asserts, State may
    withhold the existence or nonexistence of responsive records under Exemption 3 because that
    information satisfies the criteria in the statute. For those same reasons, the Court agrees that
    State’s Glomar response is justified on that basis as well.
    C.      Plaintiff’s Arguments
    Plaintiff concedes that State’s “brief meets all the standard criteria for establishing a
    Glomar defense . . . In any normal case, the government’s brief and declaration would likely be
    sufficient to obtain judgment in its favor.” Pl.’s Mot. at 4. It makes two main arguments in
    response, but neither has merit.
    First, Plaintiff claims that because “the U.N. Ambassador does not have a known
    intelligence function,” “State has not met the preliminary burden applicable somewhat uniquely
    to this case to show that the specific alleged counter-espionage activities of the former U.N.
    Ambassador would be considered ordinary government intelligence activity.” 
    Id. This is
    all
    wrong. Nothing about the merits of State’s claimed exemptions turns on whether the U.N.
    Ambassador has a “known intelligence function.” And the Court has no authority to place a
    8
    “preliminary burden” on State—let alone one “unique to this case”—to show that the activities
    that may have been undertaken by the U.N. Ambassador here were “ordinary intelligence
    activity.” It suffices to say that nothing about Plaintiff’s assertions undermines the Court’s
    conclusion that State has plausibly and logically justified its assertion of Exemption 1 to cover
    the U.N. Ambassador’s requests for intelligence about this sensitive counterintelligence matter
    directed to “any Intelligence Community member agency,” as well as communications about
    those requests. In reaching this determination, the Court has no basis—as implicitly urged by
    Plaintiff—to question the reasons this Cabinet-level official at State may have had to request this
    intelligence, if indeed she did so. And neither do Plaintiff’s assertions affect the Court’s
    conclusion that State has properly invoked Exemption 3, because the information at issue
    manifestly “relates to intelligence sources and methods,” 
    Larson, 565 F.3d at 865
    , or “can
    reasonably be expected to lead to unauthorized disclosure of intelligence sources and methods,”
    
    Halperin, 629 F.2d at 147
    (quoting Halperin, No. 77-1859 at 5).
    Second, Plaintiff argues that certain media reports undermine State’s claims of
    Exemptions 1 and 3. Plaintiff notes that “[e]veryone knows about the Russian election
    investigation,” and identifies a report that “[a] sitting Congressman has confirmed the former
    U.N. Ambassador was involved in unmasking requests.” 
    Id. at 6-7.
    But these reports do not cast
    doubt on State’s asserted reasons why a Glomar response is necessary to protect sensitive
    intelligence interests or harm to the national security. Nor do they necessitate any response from
    State, since doing so would reveal they type of information its Glomar claim is intended to
    forestall. And finally, to the extent that Plaintiff asserts that State has somehow waived its right
    to claim these exemptions because of these media reports, an agency may only waive its FOIA
    rights though “‘official and documented’ disclosure” of the information at issue. Frugone v.
    9
    CIA, 
    169 F.3d 772
    , 774 (D.C. Cir. 1999) (quoting 
    Fitzgibbon, 911 F.2d at 765
    ). And such a
    disclosure cannot be “made by someone other than the agency from which the information is
    being sought.” 
    Id. IV. Conclusion
    For the above reasons, the Court will grant Defendant’s Motion for Summary Judgment,
    ECF No. 8, and deny Plaintiff’s Motion for Summary Judgment, ECF No. 9. A separate order
    will issue.
    /s/ Timothy J. Kelly
    TIMOTHY J. KELLY
    United States District Judge
    Date: March 13, 2019
    10