Citizens for Responsibility and Ethics in Washington v. Spellings ( 2009 )


Menu:
  •                              UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    CITIZENS FOR RESPONSIBILITY
    AND ETHICS IN WASHINGTON,
    Plaintiff,
    v.                            Civil Action 06-02086 (HHK)
    ARNE DUNCAN, Secretary of
    Education, et al.,
    Defendants.
    MEMORANDUM OPINION
    Citizens for Responsibility and Ethics in Washington (“CREW”) brings this action against
    Arne Duncan, the Secretary of Education, in his official capacity, and the United States
    Department of Education (collectively, the “Department”) under the Administrative Procedure
    Act, 
    5 U.S.C. § 551
     et seq. CREW alleges that the Department failed to disclose documents as
    required by the Federal Advisory Committee Act, 5 U.S.C. App. 2 § 1 et seq. (“FACA”). CREW
    also alleges that the Department failed to comply with the open meetings and disclosure
    provisions of FACA and failed to publish a FACA charter. CREW seeks the full production of
    their requested documents, and declaratory and injunctive relief holding that the Department
    violated FACA and enjoining it from future violations.
    Before the Court is the Department’s motion to dismiss for lack of subject matter
    jurisdiction on grounds of mootness [#15]. Upon consideration of the motion, the opposition
    thereto, and the record of this case, the Court concludes that the motion should be granted.
    I. BACKGROUND
    In 2002, Congress enacted the Reading First Initiative, which requires the Secretary of
    Education to create a panel to evaluate state Reading First grant proposals and make approval
    recommendations to the Secretary. 
    20 U.S.C. § 6363
    (c)(2)(C). Accordingly, the former
    Secretary of Education, Margaret Spellings, created a panel consisting of three people selected by
    Secretary Spellings herself, three selected by the National Institute for Literacy, three selected by
    the National Research Council of the National Academy of Sciences, and three selected by the
    National Institute of Child Health and Human Development as required by the Reading First
    statute. Spellings then created sub-panels to review the State applications and recommend either
    approval or disapproval to the Secretary. The Department chose the majority of panelists on
    these sub-panels, allegedly in violation of statutory requirements. The Department refers to these
    sub-panels as the “Old Panel.” It is the “Old Panel” that CREW alleges violated FACA
    disclosure, open meeting and charter requirements.
    In September 2006, the Department’s Office of Inspector General issued a Final
    Inspection Report, which found that the Old Panel did not comply with the Elementary and
    Secondary Education Act of 1965. In response to this finding, CREW sent a letter to the
    Department requesting all documents related to the Old Panel’s review of grant proposals, the
    Old Panel’s charter, and detailed meeting minutes. CREW intended to analyze this information
    and share it with the public through various forms of media, including the CREW website. The
    Department did not initially respond to this request. Believing the non-disclosure to be a
    violation of FACA § 10(b) requirements, CREW instituted this suit in December 2006.
    After this suit was filed, the Department searched “every file drawer in every file cabinet
    2
    known to contain Reading First program files.” (Fourth Butler Decl. ¶ 4.) This search yielded
    62,000 pages of documents containing:
    a.      the preliminary and final versions of the Reading First applications that
    [State Educational Agencies] submitted to the Department;
    b.      the Reading First criteria for Review of State applications that the
    Department provided to peer reviewers;
    c.      the Technical Review Form Summary Sheets of individual panelists
    reviewing Reading First applications; and
    d.      the Panel Chair Summary Forms relative to all versions of the Reading
    First applications submitted by [State Educational Agencies].
    (Second Butler Decl. ¶ 4.) By July 17, 2007, the Department copied these documents onto
    compact discs and sent the discs to CREW. According to the Department, this disclosure
    represented “all of the documents in the Department’s possession that were made available to or
    prepared for or by the panels that reviewed the Reading First Applications.” (Id. ¶ 5.)
    After this suit was filed, Spellings also committed to “mov[e] swiftly to enact all of the
    Inspector General’s recommendations,” (Compl. Ex. E.), and on March 1, 2007, she announced
    the forthcoming establishment of a new panel (“New Panel”), which would replace the Old Panel.
    Spellings issued a charter for the New Panel and stated that the New Panel would take over the
    duties of the Old Panel. Pursuant to FACA, the Department then published in the Federal
    Register “the date and location of the first meeting of the New Panel, as well as a tentative
    agenda.” (Def’s. Mot. Dismiss at 8.) CREW does not dispute the Department’s assertion that the
    New Panel’s activities have thus far complied with FACA.
    In August 2008, the Department’s Office of Elementary and Secondary Education moved
    to a new office space. During this move, a banker’s box thought to contain only personnel-
    3
    related documents was delivered to the new office of Dr. Joseph Conaty.1 After reviewing the
    box’s contents, Dr. Conaty found 285 pages worth of Reading First documents. These
    documents were sent to CREW on September 15, 2008. In his fourth declaration, James Butler2
    declared that “[t]o the best of [his] knowledge, information, and belief, the Department possesses
    no additional documents that were made available to or prepared for or by the panels that
    reviewed the Reading First applications.” (Fourth Butler Decl. ¶ 12.)
    II. ANALYSIS
    The Department moves to dismiss this case for lack of subject matter jurisdiction because
    the Department produced the requested documents and established a new advisory panel in
    compliance with FACA. As a result, the Department contends that CREW’s claims are all moot.
    CREW responds that the Department has not produced all of the requested material and that
    CREW’s claims for declaratory and injunctive relief still present a live issue. CREW seeks the
    full production of the requested documents, declaratory relief, and an injunction enjoining the
    Department from utilizing the advice of Reading First panels until the Department complies with
    FACA.
    Article III requires that its “case or controversy requirement subsist[] through all stages of
    federal judicial proceedings, trial and appellate.” Spencer v. Kemna, 
    523 U.S. 1
    , 7 (1998)
    (internal quotation omitted). To satisfy the requirement of a case or controversy, “the plaintiff
    1
    Dr. Conaty is the Director of the Academic Improvement and Teacher Quality Programs
    Division of the Department of Education’s Office of Elementary and Secondary Education.
    (Fourth Butler Decl. ¶ 7.)
    2
    James Butler is the Group Leader of Teacher Quality Programs in the Academic
    Improvement and Teacher Quality Programs Division of the U.S. Department of Education’s
    Office of Elementary and Secondary Education. (Fourth Butler Decl. ¶ 1.)
    4
    must have suffered or be threatened with, an actual injury traceable to the defendant and likely to
    be redressed by a favorable judicial decision.” 
    Id.
     (internal quotation omitted). When the injury
    dissipates, a case has “lost its character as a present, live controversy of the kind that must exist if
    [the court is] to avoid advisory opinions on abstract questions of law.” Princeton Univ. v.
    Schmid, 
    455 U.S. 100
    , 103 (1982) (internal quotation omitted). At this point, the case becomes
    moot. Id.; see also U.S. Parole Comm’n v. Geraghty, 
    445 U.S. 388
    , 397 (1980) (describing
    mootness as “the doctrine of standing set in a time frame: The requisite personal interest that
    must exist at the commencement of the litigation (standing) must continue throughout its
    existence (mootness).”) (internal quotation omitted).
    The Court will first consider whether CREW’s claim for production of documents is moot
    and then turn to the question of whether its claims for declaratory and injunctive relief are moot.
    A.      The Department’s Demonstration of Full Document Production Moots CREW’s
    Claim to Compel Production.
    The first of CREW’s claims seeks full production of the documents it requested pursuant
    to FACA § 10(b). CREW argues that the Department has not demonstrated that it has conducted
    an adequate search for the requested records. CREW contends that the Department’ declarations
    are conclusory because the Department has not shown the scope and method of its search or
    demonstrated that it contacted the members of the working group regarding the requested
    documents. Additionally, CREW points to the Department’s failure to account for certain
    requested documents, including Old Panel members’ conflict of interest forms, as evidence that
    the Department’s search was inadequate.
    The Department responds that it has produced all responsive documents and that its
    5
    declarations demonstrate the adequacy of its search. Furthermore, the Department asserts that it
    is under no obligation to contact former working group members without evidence that such
    members possess any of the requested documents, and avers that the conflict of interest forms
    requested by CREW do not exist.
    When determining whether an agency has performed an adequate search for documents, a
    court may rely on agency affidavits because “these affidavits are equally as trustworthy when
    they aver that all documents have been produced or are unidentifiable as when they aver that
    identified documents are exempt.” Goland v. CIA, 
    607 F.2d 339
    , 352 (D.C. Cir. 1978). Agency
    affidavits “enjoy a presumption of good faith, which will withstand purely speculative claims
    about the existence and discoverability of other documents.” Ground Saucer Watch, Inc., v. CIA,
    
    692 F.2d 770
    , 771 (D.C. Cir. 1981). These affidavits, however, must be “‘relatively detailed’ and
    non-conclusory and . . . submitted in good faith.” 
    Id.
     (citing Goland, 
    607 F.2d at 352
    ). The
    affidavits should explain “the scope and method of the search.” Perry v. Block, 
    684 F.2d 121
    ,
    127 (D.C. Cir. 1982); see also Weisberg v. U. S. Dep’t of Justice, 
    745 F.2d 1476
    , 1487 (D.C. Cir.
    1984) (affidavits must demonstrate a “good-faith effort to locate responsive materials.”).
    Once a defendant has presented an adequately detailed affidavit, the burden then shifts to
    the plaintiff to present evidence suggesting that the search was not adequate. Ground Saucer
    Watch, Inc., 
    692 F.2d at 771
    . If the plaintiff does not present such evidence, the agency
    maintains a “presumption of good faith.” Id; see Physicians Comm. for Responsible Medicine v.
    Glickman, 
    117 F. Supp. 2d 1
    , 4 (D.D.C. 2000) (“Discovery to pursue a suspicion or a hunch is
    unwarranted.”).
    The Fourth Declaration of James Butler, submitted with the Department’s “Notice of
    6
    Newly Discovered Documents” [#19] is sufficiently detailed and non-conclusory to warrant this
    Court’s presumption of good faith regarding the Department’s search. By stating in the Fourth
    Butler Declaration that the two review sessions were carried out by James Butler and his staff,
    and Dr. Joseph Conaty, respectively, and that each session covered “every file drawer of every
    file cabinet known to contain Reading First program files,” (Fourth Butler Decl. ¶¶ 4, 6.), the
    Department identified the scope and method of its search. The Department has thus met its
    burden of providing an adequately detailed and non-conclusory affidavit. See Perry, 
    684 F.2d at 127
     (“Neither Weisberg nor Founding Church of Scientology demands . . . that the affidavits of
    the responding agency set forth with meticulous documentation the details of an epic search for
    the requested records.”).3
    Furthermore, CREW fails to provide any evidence to support its belief that documents
    outside of those already provided are unaccounted for or exist. In order to successfully challenge
    the adequacy of an agency document search, a party “must point to evidence sufficient to put the
    Agency’s good faith into doubt.” Ground Saucer Watch, Inc., 
    692 F.2d at 771
    . Perry
    3
    The D.C. Circuit has acknowledged that “the discovery of additional documents is more
    probative that the search was not thorough than if no other documents were found to exist.”
    Goland, 
    607 F.2d at 370
    . The Circuit has also recognized, however, that it must consider “all of
    the surrounding circumstances” when ruling on the adequacy of a documents search, Perry, 
    684 F.2d at 128
    , and that “a disappointed litigant may not avail herself of every imaginable inference
    from newly discovered facts in order to upset a final judgment,” Goland, 
    607 F.2d at 370
    . Thus,
    the fact that the agency found more documents alone is not illustrative of a bad faith search. As
    was the case in Perry, where only ten additional pages were found subsequent to the initial 600
    page disclosure, Perry, 
    684 F.2d at 128
    , the 285 additional pages of documents found in this case
    represent a small percentage of the more than 62,000 pages of the disclosed documents.
    Furthermore, the delay was caused because the files were placed in a banker’s box that otherwise
    contained personnel files. This suggests “neither artifice nor subterfuge but rather, at worse,
    administrative inefficiency” and does not put the Department’s presumptive good faith in
    jeopardy. See 
    id.
    7
    summarized the type of evidence needed to instill such doubt:
    In Weisberg, the agency’s own assertions supported an inference that specifically
    identified material, solicited by the requester, might have remained in the agency’s
    possession. The appellant in Weisberg also adduced specific evidence tending to
    show that the search conducted for the records had been inadequate. 
    Id.
    Perry, 
    684 F.2d at 127
     (internal citation omitted). Here, CREW does not point to sufficient
    evidence indicating that the Department conducted an inadequate search, or that the Department
    possesses unproduced Reading First documents. As evidence that “conflict of interest forms”
    exist and were not produced, CREW points to a letter in which the Department’s attorney
    referenced “conflict of interest forms.” Pl.’s Opp’n to Defs.’ Mot. Dismiss at 14. The
    Department’s attorney only referenced these forms, however, in response to CREW’s own
    request for them.
    Lastly, the Department is not obliged to produce the remaining documents, requested by
    CREW and listed in Exhibit A of plaintiff’s opposition, because CREW has not provided
    evidence that the Department actually possesses them. See Glickman, 
    117 F. Supp. 2d at 4
     (“An
    agency is ‘under no duty to disclose documents not in its possession.’”) (citing Rothschild v.
    Dep’t of Energy, 
    6 F. Supp. 2d 38
    , 40 (D.D.C. 1998)). CREW’s argument amounts to no more
    than “mere speculation that as yet uncovered documents may exist.” See Iturralude v.
    Comptroller of the Currency, 
    315 F.3d 311
    , 316 (D.C. Cir. 2003) (citing SafeCard Servs., Inc. v.
    SEC, 
    926 F.2d 1197
    , 1201 (D.C. Cir. 1991)).
    Because the evidence indicates that the Department has now produced all available
    documents, and CREW does not defeat the Department’s presumptive good faith, see Ground
    Saucer Watch, Inc., 
    692 F.2d at 771
    , the Court is satisfied that CREW’s requested documents
    8
    “[have] been produced, [are] unidentifiable, or [are] wholly exempt.” See Nat’l Cable Television
    Ass’n, 
    479 F.2d 183
    , 186 (D.C. Cir. 1973). Therefore, an order compelling document production
    can no longer redress CREW’s informational injury, and the claim to compel production is moot.
    B.      Declaratory and Injunctive Relief Can No Longer Redress CREW’s Injuries.
    CREW’s claim for declaratory and injunctive relief is two-fold. CREW seeks declaratory
    and injunctive relief with respect to the Department’s allegedly inadequate document production.
    CREW also seeks declaratory and injunctive relief with respect to the Old Panel’s other FACA
    violations, including the violation of FACA’s open meetings and charter requirements. CREW
    argues that these past FACA violations still present a live issue for adjudication, noting
    specifically that the termination of a committee does not moot a claim for declaratory and
    injunctive relief. The Department rejoins that the establishment of the New Panel and its
    production of the requested documents operate to moot both elements of CREW’s claim for
    declaratory and injunctive relief.
    CREW is correct that termination of the Old Panel does not necessarily moot its claims.
    See United States v. W.T. Grant, 
    345 U.S. 629
    , 632 (1953) (“voluntary cessation of allegedly
    illegal conduct does not deprive the tribunal of power to hear and determine the case, i.e. does
    not make the case moot.”). To survive a mootness inquiry, however, CREW must demonstrate
    that:
    the facts alleged, under all circumstances, show that there is a substantial
    controversy, between parties having adverse legal interests, of sufficient
    immediacy and reality to warrant the issuance of a declaratory judgment.
    Md. Cas. Co. v. Pac. Coal & Oil Co., 
    312 U.S. 270
    , 273 (1941). A claim arising under FACA for
    declaratory judgment will become moot when “the working group has been terminated and all
    9
    appropriate working group documents have been publicly released,” Ass’n of Am. Physicians &
    Surgeons v. Clinton, 
    879 F. Supp. 103
    , 106 (D.D.C. 1994), so long as defendants “demonstrate
    that ‘there is no reasonable expectation that the wrong will be repeated.’” W.T. Grant Co., 
    345 U.S. at 633
     (internal quotation omitted). Once a defendant has satisfied these two requirements,
    “there will simply be no continuing case or controversy for judicial resolution,” because there
    will be no Committee proceedings left to challenge and no documents in need of production. See
    Am. Physicians & Surgeons, 
    879 F. Supp. at 106
    . Likewise, there will be no basis for injunctive
    or other equitable relief. 
    Id.
    CREW argues that its request for declaratory and injunctive relief with respect to the
    Department’s allegedly deficient document production is not moot, citing Byrd v. EPA for
    support. Byrd is distinguishable, however, because in Byrd, the need for declaratory relief
    turned on the timeliness of the production. See Byrd v. U.S. EPA, 
    174 F.3d 239
    , 244 (D.C. Cir.
    1999). The District of Columbia Circuit draws a clear distinction between an injury resulting
    only from a failure to produce and one resulting from a failure to produce in a timely fashion:
    If Byrd had simply complained that EPA failed to release the documents he
    requested, his alleged injury could not be redressed by any action of this court
    because he ultimately received the materials. Byrd’s injury, however, resulted
    from EPA’s failure to furnish him with the documents until long after they would
    have been of any use to him.
    
    Id.
     Unlike Byrd, here CREW does not allege any injury due to the Department’ tardy disclosure
    of the requested documents. CREW does not indicate that it had any intention to use the
    requested documents for anything more than information dissemination, a task that the
    organization is now capable of carrying out.
    In arguing that its claims for declaratory and injunctive relief are not moot, CREW makes
    10
    several references to the ongoing nature of these violations. “So long as an agency’s refusal to
    supply information evidences a policy or practice of delayed disclosure . . . and not merely
    isolated mistakes by agency officials, a party’s challenge to the policy or practice cannot be
    mooted by the release of the specific documents that prompted the suit.” Payne Enters. v. United
    States, 
    837 F.2d 486
    , 491 (D.C. Cir. 1988) (footnote omitted). CREW has not, however, alleged
    the existence of an agency policy or practice of withholding information, only a “persistent
    refusal to admit [the Department’s] past violations.” (Pl. Opp’n to Defs.’ Mot. to Dismiss at 11.)
    Therefore, CREW has not established a reasonable expectation that the Department will repeat its
    disclosure violations. See W.T. Grant, 
    345 U.S. at 633
    .
    Regarding the Department’s other alleged FACA violations, including the violation of
    FACA’s open meetings and charter requirements, the Department’s establishment of the New
    Panel renders these claims moot. See Am. Physicians & Surgeons, 
    879 F. Supp. at 106
    . The New
    Panel performs the same tasks as the Old Panel, illustrating the termination and replacement of
    the Old Panel. Moreover, it is undisputed that the New Panel is chartered under FACA, and to
    date, this panel has satisfied all of its requirements under FACA. These actions by the
    Department eliminate the need for this Court to grant declaratory and injunctive relief. See Byrd,
    
    174 F.3d at 244
    , (“[Byrd’s] injury would be mooted if EPA convened another panel . . . in
    compliance with FACA.”); see also Am. Physicians & Surgeons, 
    879 F. Supp. at 106
     (holding
    that a FACA claim becomes moot when “the working group has been terminated and all
    appropriate working group documents have been publicly released.”). Without further evidence
    to the contrary, this Court has “no reasonable expectation that [the Department’s FACA
    violations] will be repeated.” See W.T. Grant, 
    345 U.S. at 633
     (internal quotation omitted).
    11
    Accordingly, declaratory and injunctive relief can no longer redress CREW’s injuries and its
    claims are moot.
    III. CONCLUSION
    For the foregoing reasons, the Court concludes that Department’s motion to dismiss for
    lack of subject matter jurisdiction on grounds of mootness [#15] should be granted. An
    appropriate order accompanies this memorandum opinion.
    Henry H. Kennedy, Jr.
    United Sates District Judge
    12