In re Appointment of a Special Prosecutor , 2017 IL App (1st) 161376 ( 2018 )


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    Appellate Court                            Date: 2018.02.08
    15:40:32 -06'00'
    In re Appointment of Special Prosecutor, 
    2017 IL App (1st) 161376
    Appellate Court        In re APPOINTMENT OF SPECIAL PROSECUTOR (The City of
    Caption                Chicago, Movant-Appellant, v. The Office of the Special Prosecutor
    and    Dan    K.   Webb,       Respondents-Appellees).–BETTER
    GOVERNMENT ASSOCIATION, Plaintiff-Appellant and Appellee,
    v. THE CITY OF CHICAGO LAW DEPARTMENT, THE CITY OF
    CHICAGO MAYOR’S OFFICE, THE CHICAGO POLICE
    DEPARTMENT, and THE OFFICE OF THE SPECIAL
    PROSECUTOR, Defendants-Appellants and Appellees.
    District & No.         First District, Sixth Division
    Docket Nos. 1-16-1376, 1-16-1892, 1-16-2071 cons.
    Filed                  October 20, 2017
    Decision Under         Appeal from the Circuit Court of Cook County, Nos. 2011-Misc-46,
    Review                 15-CH-4183; the Hon. Michael P. Toomin and the Hon. Mary Lane
    Mikva, Judges, presiding.
    Judgment               No. 1-16-1376, Affirmed.
    No. 1-16-1892, Affirmed in part, reversed in part, and remanded.
    No. 1-16-2071, Reversed; motion granted.
    Counsel on             Loevy & Loevy, of Chicago (Matthew Topic and Joshua H. Burday,
    Appeal                 of counsel), for appellant Better Government Association.
    Stephen R. Patton, Corporation Counsel, of Chicago (Benna Ruth
    Solomon, Myrian Zreczny Kasper, and Irina Y. Dmitrieva, Assistant
    Corporation Counsel, of counsel), for other appellants.
    Winston & Strawn , LLP, of Chicago (Daniel D. Rubinstein, Sean G.
    Wieber, and Patrick R. O’Meara, of counsel), for appellee.
    Panel                     JUSTICE DELORT delivered the judgment of the court, with opinion.
    Presiding Justice Hoffman and Justice Cunningham concurred in the
    judgment and opinion.
    OPINION
    ¶1         The consolidated cases in this appeal present questions regarding the competing interests
    of public disclosure and confidentiality in records generated because of a grand jury
    investigation. Historically, the cases had their genesis in 2004, when Richard J. Vanecko
    assaulted David Koschman in the Rush Street neighborhood of Chicago. Although the
    chronology of the two cases overlaps, we will set out the facts of each case separately.
    ¶2                                          BACKGROUND
    ¶3                      In re Appointment of a Special Prosecutor (No. 1-16-1376)
    ¶4         Although Koschman died from his injuries, the incident did not result in the filing of
    charges against Vanecko or anyone else. Dissatisfied with this outcome, members of the
    Koschman family filed a petition for appointment of a special prosecutor in the criminal
    division of the circuit court of Cook County (Case No. 
    2011 Misc. 46
    ). The petition alleged
    that a special prosecutor should be appointed because Vanecko was related to Chicago Mayor
    Richard M. Daley of Chicago and that “officials in the Police Department and the State’s
    Attorney’s Office may have been led by favoritism or other improper motives to obstruct the
    investigation so that [Vanecko] did not face criminal charges.” The petition was assigned to
    Judge Michael P. Toomin.1
    ¶5         On April 6, 2012, Judge Toomin granted the petition and appointed Dan K. Webb as a
    special State’s Attorney, directing him to determine (1) whether criminal charges should be
    brought against anyone in connection with Koschman’s death and (2) whether Chicago police
    or Cook County State’s Attorney employees “acted intentionally to suppress and conceal
    evidence, furnish false evidence, and generally impede” the Koschman investigation. Webb
    empaneled a special grand jury that investigated the incident, obtained information from over
    140 witnesses, and reviewed over 22,000 documents totalling more than 300,000 pages.
    1
    Because we must address three different appeals from two different judges who interacted with
    each other during the pendency of their respective cases, the need for clarity requires that we depart
    from convention and name the judges in this opinion.
    -2-
    ¶6         On June 14, 2012, while the grand jury was still empaneled, the Office of the Special
    Prosecutor (OSP) filed a motion requesting that Judge Toomin issue a protective order. The
    OSP explained that it requested the protective order “to prevent entities like the City from
    complying with [Freedom of Information Act] requests for the secret grand jury materials that
    would inevitably end up in its hands.” Noting that the interests of justice required secrecy in
    the grand jury proceeding, Judge Toomin granted OSP’s motion and entered an order placing
    under seal “all Grand Jury materials, including but not limited to subpoenas, target letters, and
    other correspondence related to the service of a Grand Jury subpoena, sent by the [OSP] to any
    individual or entity in connection with this investigation.” In addition, the order prohibited
    anyone who received “Grand Jury materials” from the OSP “from further disseminating that
    material or information contained therein.” The order defined “Grand Jury materials” to
    include “subpoenas, target letters, and other correspondence related to the service of a Grand
    Jury subpoena.” The protective order itself was sealed from public disclosure.
    ¶7         The special grand jury indicted Vanecko for involuntary manslaughter. After Webb
    informed the court that he would not prosecute any other individuals in connection with the
    Koschman death or the subsequent investigation, the special grand jury was discharged. On
    January 31, 2014, Vanecko entered into a guilty plea and was sentenced.
    ¶8         On February 3, 2014, Judge Toomin granted Webb permission to unseal and release a
    162-page report detailing the special grand jury’s investigation. This report was made
    available to the public and is included in the record before us.
    ¶9         At this stage, even though the special grand jury had been discharged, various parties
    began appearing before Judge Toomin to request that he unseal documents generated in the
    course of the special grand jury investigation. First, on March 21, 2014, the City of Chicago
    (City) filed a motion requesting that Judge Toomin unseal the June 12, 2012, protective order,
    because its scope was relevant to resolving a request that the Chicago Sun-Times had made to
    the City pursuant to the Freedom of Information Act (FOIA) (5 ILCS 140/1 et seq. (West
    2012)). On March 27, 2014, Judge Toomin granted the motion and unsealed the protective
    order.
    ¶ 10       Thereafter, a dispute arose between the City and the Illinois Attorney General’s Public
    Access Bureau regarding how the City should respond to the Chicago Sun-Times’ FOIA
    request. In particular, the City and Attorney General were uncertain what records were covered
    by Judge Toomin’s protective order. To resolve this uncertainty, the City appeared before
    Judge Toomin and filed a motion to clarify the June 12, 2012, protective order.
    ¶ 11       On June 25, 2014, Judge Toomin entered a second protective order prohibiting the City
    from complying with any FOIA request that identified or characterized documents as having
    been “disseminated to the [OSP] in furtherance of” the Koschman investigation. In addition,
    the second protective order stated that the June 12, 2012, protective order (1) remained in
    effect and (2) “limit[ed] only the identification of any documents or other records as being
    grand jury materials.” The order further stated that if “some or all the documents related to the
    death of David Koschman and subsequent investigations were sought by FOIA request or
    subpoena in a matter not connected with the work of the Special Prosecutor, such documents
    could be produced by the City or the [police department], subject to any other applicable
    restrictions or prohibitions.”
    ¶ 12       On February 25, 2016, the City again appeared before Judge Toomin and filed a motion to
    modify the June 12, 2012, and June 25, 2014, protective orders. The motion explained that in a
    -3-
    separate case regarding a FOIA request by the Better Government Association (BGA), Judge
    Mikva had made a preliminary ruling that the City was required to release certain documents
    whose disclosure was prohibited by Judge Toomin’s protective order. See infra ¶¶ 14-27.
    ¶ 13       On April 13, 2016, Judge Toomin denied the City’s motion to modify. In a detailed
    memorandum opinion, Judge Toomin explained that the City documents sought by the BGA
    were grand jury materials under the scope of his protective order and there was a continuing
    interest in keeping them secret. In particular, Judge Toomin noted the importance of
    safeguarding the deliberations of grand jurors and witnesses who provided information to the
    investigation. He further explained that, even though the need for secrecy in a specific grand
    jury may diminish after proceeding has resulted in an indictment and conviction, there
    nonetheless existed a general interest in preserving the legitimacy and functionality of the
    grand jury as an institution that justified, and necessitated, keeping the protective order in
    effect.
    ¶ 14       On May 12, 2016, the City filed a timely notice of appeal from the April 13, 2016, order
    (appeal No. 1-16-1376).
    ¶ 15               Better Government Ass’n v. City of Chicago (Nos. 1-16-1892 and 1-16-2071)
    ¶ 16       On January 23, 2015, Bob Herguth of the BGA sent a FOIA request to the City seeking (1)
    “any and all subpoenas issued to the Chicago Police Department, the Law Department and the
    Mayor’s Office in regards to the Vanecko/Koschman investigation/special prosecution” and
    (2) “all emails and other communications between special prosecutor Dan Webb’s office and
    [the police department], the Law Department and the Mayor’s Office in regards to the same
    investigation/special prosecution.”
    ¶ 17       The City denied the requests based on Judge Toomin’s June 14, 2012, and June 25, 2014,
    protective orders. The City cited section 7(1)(a) of FOIA, which exempts documents from
    disclosure if disclosure is prohibited by “State law.” 5 ILCS 140/7(1)(a) (West 2014).
    ¶ 18       From the OSP, the BGA sought (1) documents sufficient to show the name of everyone
    interviewed by the OSP; (2) statements by and communications with Daley family members,
    their attorney, and Mara Georges, the City’s Corporation Counsel; and (3) itemized invoices
    and billing records. The OSP denied the BGA’s request pursuant to FOIA’s “State law”
    exception, but instead of relying on Judge Toomin’s order, it cited section 112-6 of the Code of
    Criminal Procedure of 1963 (Code) (725 ILCS 5/112-6 (West 2014)).2
    ¶ 19       On March 12, 2015, the BGA filed a complaint for injunctive and declaratory relief against
    the City, various City departments, the OSP, and Webb (case No. 15 CH 4183). Count I related
    to the OSP’s denial of the BGA’s FOIA request. Counts II, III, and IV related to the City’s
    denial of the BGA’s FOIA request.
    ¶ 20       The BGA’s case was assigned to Judge Mikva. Judge Mikva declined to transfer the case to
    Judge Toomin, so the two cases proceeded separately before their respective judges.
    ¶ 21       The City moved to dismiss BGA’s complaint pursuant to section 2-619(a)(9) of the Code
    of Civil Procedure (735 ILCS 5/2-619(a)(9) (West 2014)), arguing that section 7(1)(a) of
    FOIA, which provides that a public agency is not required to disclose “[i]nformation
    In their briefs, the parties incorrectly refer to this statute as part of the “Grand Jury Act” or the
    2
    “Grand Jury Secrecy Act.” No law by that title exists in Illinois.
    -4-
    specifically prohibited from disclosure by federal or State law,” exempted the requested
    materials from disclosure. See 5 ILCS 140.7(1)(a) (West 2014). As it did in its original denial,
    the City argued that Judge Toomin’s protective order was a “State law” for the purpose of
    section 7(1)(a) of FOIA. The OSP and Webb, for their part, also moved to dismiss the BGA’s
    complaint pursuant to section 2-619(a)(9) of the Code of Civil Procedure, on the basis that the
    records were exempt from disclosure under section 112-6 of the Code.
    ¶ 22        On December 17, 2015, Judge Mikva denied the City’s motion to dismiss, finding that for
    purposes of section 7(1)(a) of FOIA, Judge Toomin’s protective order was not a “State law.”
    Judge Mikva specifically disagreed with Judge Toomin’s construction of section 112-6 of the
    Code, holding that it did “not extend to protecting persons who provide information to the
    Grand Jury, unless such person is a State’s Attorney or government personnel as provided in”
    section 112-6(c)(1) of the Code. Therefore, Judge Mikva reasoned, the City could not rely on
    FOIA’s “State law” exemption to justify withholding the records. However, Judge Mikva did
    grant the OSP’s and Webb’s motion to dismiss, finding that records sought from them were
    exempt from disclosure under FOIA under section 112-6 of the Code. Citing Board of
    Education, Community Unit School District No. 200 v. Verisario, 
    143 Ill. App. 3d 1000
    , 1008
    (1986), Judge Mikva reasoned that FOIA was not the kind of “specific law that would ‘direct’
    the disclosure of otherwise confidential grand jury materials” and that the secrecy provisions
    of section 112-6 of the Code extended to records and information possessed by a prosecutor,
    even if the information was never presented to the grand jury, because they could tend to
    “ ‘reveal the direction and purpose of the grand jury investigation.’ ” (quoting 
    Verisario, 143 Ill. App. 3d at 1008
    ).
    ¶ 23        Judge Mikva recognized that this disposition put the City in the untenable position of
    having to decide which of two conflicting court orders it should obey. She suggested that the
    BGA request Judge Toomin to modify his protective order in light of her evaluation of the
    City’s obligations under FOIA. Her order had the effect of terminating the OSP and Webb’s
    party status in the case, but it was not immediately appealable because the BGA’s claims
    against the City remained, and the court did not enter any finding pursuant to Illinois Supreme
    Court Rule 304(a) (eff. Mar. 8, 2016), making the order appealable.
    ¶ 24        The BGA chose not to seek any relief from Judge Toomin, so the City filed its own motion
    asking him to modify the protective orders in light of Judge Mikva’s ruling. After considering
    the City’s request, Judge Toomin issued his April 13, 2016, opinion declining to modify the
    protective orders (see supra ¶ 11).
    ¶ 25        The City filed a motion to reconsider the denial of its motion to dismiss. Judge Mikva
    denied the motion, reiterating her position that the term “State law” in section 7(1)(a) of FOIA
    did not include court orders.
    ¶ 26        Thereafter, the City filed an answer and affirmative defenses to the BGA’s complaint. The
    City then moved for judgment on the pleadings pursuant to section 2-615(e) of the Code of
    Civil Procedure (735 ILCS 5/2-615(e) (West 2014)), arguing that Judge Toomin’s order was a
    “State law” preventing it from complying with the BGA’s FOIA request. In turn, the BGA
    filed its own motion for judgment on the pleadings, which adopted the arguments it made in
    opposition to the City’s motion to dismiss.
    ¶ 27        On July 12, 2016, Judge Mikva (1) granted the BGA’s motion for judgment on the
    pleadings and (2) denied the City’s motion for judgment on the pleadings. Judge Mikva
    ordered the City to release to the BGA “the subpoenas and emails requested in the Freedom of
    -5-
    Information Act requests directed to the City Defendants that are attached the Complaint in
    this action,” subject to other FOIA exemptions. Noting the conflict between her order and
    Judge Toomin’s order, Judge Mikva stayed the City’s disclosure obligations pending appeal.
    She also entered a finding pursuant to Illinois Supreme Court Rule 304(a) (eff. Mar. 8, 2016)
    that the July 12, 2016, orders on the motions for judgment on the pleadings and the December
    17, 2015, order dismissing the OSP and Webb were final and appealable.
    ¶ 28       On July 13, 2016, the City filed a notice of appeal from the July 12 order (appeal No.
    1-16-1892). On August 1, the BGA filed a notice of appeal from the December 17, 2015, order
    which had dismissed its claims against the OSP and Webb (appeal No. 1-16-2071).
    ¶ 29       On August 12, 2016, this court consolidated appeal Nos. 1-16-1376, 1-16-1892, and
    1-16-2071.
    ¶ 30                                            ANALYSIS
    ¶ 31       We begin with the City’s appeal from Judge Toomin’s order denying the City’s motion to
    modify the protective order. A protective order “circumscribing the publication of information
    is reviewable as an interlocutory injunctive order, pursuant to Rule 307(a)(1).” Skolnick v.
    Altheimer & Gray, 
    191 Ill. 2d 214
    , 221 (2000) (citing In re A Minor, 
    127 Ill. 2d 247
    , 263
    (1989)). We therefore have jurisdiction over the appeal from the order denying reconsideration
    of the protective order.
    ¶ 32       Illinois Supreme Court Rule 201(c)(1) (eff. July 1, 2014) states:
    “The court may at any time on its own initiative, or on motion of any party or witness,
    make a protective order as justice requires, denying, limiting, conditioning, or
    regulating discovery to prevent unreasonable annoyance, expense, embarrassment,
    disadvantage, or oppression.”
    Trial courts enjoy a great deal of latitude in determining whether a protective order is
    necessary. 
    Skolnick, 191 Ill. 2d at 223
    . We review an order refusing to modify a protective
    order for abuse of discretion, which means “[w]e will alter the terms of a protective order only
    if no reasonable person could adopt the view taken by the circuit court.” 
    Id. at 224.
    ¶ 33       Judge Toomin explained why he denied the City’s motion to modify the protective order.
    Citing United States v. Procter & Gamble Co., 
    356 U.S. 677
    (1958), Judge Toomin
    specifically found that even though the grand jury had been discharged, and Vanecko had been
    indicted and sentenced, secrecy was still justified by (1) the institutional legitimacy of the
    grand jury, (2) the need to “assure freedom of deliberation of future grand juries and the
    participation of future witnesses,” and (3) the need to ensure witnesses that the confidentiality
    of their testimony would not be “ ‘lifted tomorrow.’ ” 
    Id. at 682.
    ¶ 34       The City argues that once Judge Toomin learned of Judge Mikva’s order, and Koschman
    had been prosecuted and sentenced, he should have modified his protective orders so as to
    accommodate her determination that the records were disclosable under FOIA. In the
    alternative, the City argues that Judge Mikva erred in finding that the protective orders did not
    constitute a “State law” preventing release of the documents under FOIA. At bottom, the City
    asks this court to free it from the burden of having to choose which of two conflicting orders it
    must obey.
    ¶ 35       The OSP submits that, by requesting the protective order in the first instance, it specifically
    “sought to prevent entities like the City from complying with FOIA requests for the secret
    -6-
    grand jury materials that would inevitably end up in its hands.” It contends that Judge Toomin
    did not abuse his discretion in imposing a protective order regarding the grand jury’s sensitive
    investigation and proceedings.
    ¶ 36       “[T]he veil of secrecy surrounding a grand jury proceeding is a fundamental element of a
    grand jury investigation.” People v. Fassler, 
    153 Ill. 2d 49
    , 62 (1992). The grand jury is an
    integral part of the court and not the tool of the prosecutor. People v. Sears, 
    49 Ill. 2d 14
    , 36
    (1971). The court has inherent power to supervise the grand jury so as to prevent the perversion
    of its process. 
    Id. at 35
    (citing In re National Window Glass Workers, 
    287 F. 219
    , 224 (N.D.
    Ohio 1922)).
    ¶ 37       The justification for grand jury secrecy is well established:
    “[T]he proper functioning of our grand jury system depends upon the secrecy of grand
    jury proceedings. [Citation.] In particular, we have noted several distinct interests
    served by safeguarding the confidentiality of grand jury proceedings. First, if
    preindictment proceedings were made public, many prospective witnesses would be
    hesitant to come forward voluntarily, knowing that those against whom they testify
    would be aware of that testimony. Moreover, witnesses who appeared before the grand
    jury would be less likely to testify fully and frankly, as they would be open to
    retribution as well as to inducements. There also would be the risk that those about to
    be indicted would flee, or would try to influence individual grand jurors to vote against
    indictment. Finally, by preserving the secrecy of the proceedings, we assure that
    persons who are accused but exonerated by the grand jury will not be held up to public
    ridicule.” Douglas Oil Co. of California v. Petrol Stops Northwest, 
    441 U.S. 211
    ,
    218-19 (1979).
    ¶ 38       In recognition of these interests, section 112-6 of the Code expressly mandates secrecy
    regarding “matters occurring before the Grand Jury.” 725 ILCS 5/112-6(c)(1) (West 2014); see
    also Ill. S. Ct. R. 201(c)(1) (eff. July 1, 2014) (providing that courts may enter protective
    orders).
    ¶ 39       In the City’s view, Judge Toomin’s concern that disclosure might undermine future
    investigations was unjustified. We cannot agree. Candid, complete, and trustworthy testimony
    is vital to the grand jury’s role. As a matter of common sense, a witness who knows that
    testimony and material he provides to the grand jury is secret, and will be kept secret, will be
    more frank and truthful than a witness who fears his identity might be disclosed at some later
    time. As such, we cannot find that Judge Toomin abused his discretion when he found that the
    need for particularized secrecy still existed with respect to certain aspects of the grand jury’s
    investigation. Accordingly, we affirm Judge Toomin’s April 13, 2016, order refusing to
    modify his earlier protective order.
    ¶ 40       We next turn to the appeals from Judge Mikva’s orders, beginning with the City’s appeal of
    Judge Mikva’s order granting the BGA judgment on the pleadings. “Judgment on the
    pleadings is proper only where no genuine issue of material fact exists and the moving party is
    entitled to judgment as a matter of law.” Hooker v. Illinois State Board of Elections, 
    2016 IL 121077
    , ¶ 21. When ruling on a motion for judgment on the pleadings, “a court may consider
    only those facts appearing on the face of the pleadings, matters subject to judicial notice, and
    any judicial admissions in the record.” 
    Id. Moreover, the
    court must take as true all well-pled
    facts and reasonable inferences which can be drawn from those facts. 
    Id. We review
    an order
    granting judgment on the pleadings de novo. 
    Id. -7- ¶
    41        Section 1 of the FOIA states:
    “Pursuant to the fundamental philosophy of the American constitutional form of
    government, it is declared to be the public policy of the State of Illinois that all persons
    are entitled to full and complete information regarding the affairs of government and
    the official acts and policies of those who represent them as public officials and public
    employees consistent with the terms of this Act. Such access is necessary to enable the
    people to fulfill their duties of discussing public issues fully and freely, making
    informed political judgments and monitoring government to ensure that it is being
    conducted in the public interest.” 5 ILCS 140/1 (West 2014).
    ¶ 42        The breadth of its policy statement notwithstanding, FOIA provides that certain materials
    are exempt from disclosure. The exception at issue here is contained in section 7(1)(a), which
    provides: “[T]he following shall be exempt from inspection and copying: (a) Information
    specifically prohibited from disclosure by federal or State law or rules and regulations
    implementing federal or State law.” 5 ILCS 140/7(1)(a) (West 2014).
    ¶ 43        The BGA correctly notes that no Illinois case has held that a court order constitutes a “State
    law” so as to insulate documents from release under FOIA. The City contends that a court
    order constitutes a “State law.” But the City also relies on GTE Sylvania Inc. v. Consumers
    Union of the United States, Inc., 
    445 U.S. 375
    (1980), in which the United States Supreme
    Court considered whether a federal agency could withhold records subject to disclosure under
    federal FOIA (5 U.S.C § 552 et seq. (1976)) that were sealed pursuant to an injunction
    imposed by a federal district court. The Court noted that the remedial provisions of the federal
    FOIA are only activated when an agency “improperly” withholds documents. GTE Sylvania
    
    Inc., 445 U.S. at 384-87
    . Since the agency was subject to an injunction, the broad purposes of
    federal FOIA promoting public disclosure were “inapplicable,” with the result that it had no
    authority to release the documents. The Court explained:
    “The conclusion that the information in this case is not being ‘improperly’ withheld
    is further supported by the established doctrine that persons subject to an injunctive
    order issued by a court with jurisdiction are expected to obey that decree until it is
    modified or reversed, even if they have proper grounds to object to the order.
    [Citations.] *** Under these circumstances, the [agency] was required to obey the
    injunctions out of ‘respect for judicial process.’
    There is nothing in the legislative history to suggest that in adopting the Freedom of
    Information Act ***, Congress intended to require an agency to commit contempt of
    court in order to release documents. Indeed, Congress viewed the federal courts as the
    necessary protectors of the public’s right to know. To construe the lawful obedience of
    an injunction issued by a federal district court with jurisdiction to enter such a decree as
    ‘improperly’ withholding documents under the Freedom of Information Act would do
    violence to the common understanding of the term ‘improperly’ and would extend the
    Act well beyond the intent of Congress.” 
    Id. at 386-87.
    ¶ 44        Because the Illinois FOIA was modeled on the federal Freedom of Information Act,
    Illinois courts look to case law regarding the federal FOIA when interpreting the Illinois FOIA.
    See Hamer v. Lentz, 
    132 Ill. 2d 49
    , 58 (1989).
    ¶ 45        We recognize that the Illinois FOIA, in its current form, is more generous with respect to
    public access than the federal Freedom of Information Act. Even so, GE Sylvania is no less
    persuasive. Like the federal law at issue in GE Sylvania, the Illinois FOIA only allows a court
    -8-
    to order a public agency to produce documents when the agency has “improperly” withheld
    them. Compare 5 U.S.C. § 552(a)(4)(B) (2012) (federal court “has jurisdiction to enjoin the
    agency from withholding agency records and to order the production of any agency records
    improperly withheld from the complainant” (emphasis added)), with 5 ILCS 140/11 (West
    2016) (“The circuit court shall have the jurisdiction to enjoin the public body from withholding
    public records and to order the production of any public records improperly withheld from the
    person seeking access.” (Emphasis added.)).
    ¶ 46       The GTE Sylvania Court expressed a straightforward rule that “respect for the judicial
    process” required that an injunction could theoretically allow a public agency to withhold
    materials otherwise disclosable under FOIA. We see no reason, nor any textual distinction in
    the Illinois FOIA, why the rule articulated in GTE Sylvania should not apply with equal force
    here. In so holding, we need not address whether a court order is a “State law” under section
    7(1)(a) of FOIA. We merely hold, as did the United States Supreme Court in GTE Sylvania,
    that “respect for judicial process” requires that a lawful court order must take precedence over
    the disclosure requirements of FOIA and that a public body refusing to disclose documents
    because a court order commands it to do so does not always withhold those documents
    “improperly.”
    ¶ 47       The BGA’s arguments to the contrary are not persuasive. The BGA cites two cases in
    which Illinois appellate courts have ordered disclosure of documents pursuant to FOIA even
    though disclosure was prohibited by a court order. Both are inapposite. In Carbondale
    Convention Center, Inc. v. City of Carbondale, 
    245 Ill. App. 3d 474
    , 477 (1993), a
    governmental body sought to keep a settlement agreement confidential, arguing that the court
    that dismissed the underlying action entered an order prohibiting disclosure of the agreement,
    “and that such an order constitutes State law.” 
    Id. The court
    explained that even “[a]ssuming
    *** and without so holding that such an order is a ‘State law,’ ” that the agency’s position was
    incompatible with the intent of FOIA. 
    Id. The court
    pointed out that because the agency itself
    requested the court to impose the gag order, the “State law” prohibiting disclosure existed, in
    part, through the actions of the agency itself. 
    Id. The Carbondale
    court concluded that such an
    action contradicted “the purpose and intent of [FOIA] under which the exemptions are
    intended as shields rather than swords,” the agency could not rely on the “State law”
    exemption in section 7(1)(a) of FOIA. 
    Id. ¶ 48
          And in Watkins v. McCarthy, 
    2012 IL App (1st) 100632
    , the court held that a federal
    court’s protective order regarding materials exchanged in discovery in a civil rights lawsuit
    against the City did not prevent the City from releasing the materials under a proper FOIA
    request. The Watkins court did so for two reasons. First, the protective order in the federal case
    did not—unlike Judge Toomin’s order—specifically prohibit dissemination of discovery
    materials to a non-party who made a FOIA request. 
    Id. ¶ 43.
    Second, by the time the Watkins
    case was resolved, the federal case had been settled and dismissed, so the protective order was
    no longer in force. 
    Id. As in
    Carbondale, the court assumed that the court order in question was
    a “State law” within the meaning of FOIA’s section 7(1)(a) exception. 
    Id. ¶ 49
          Carbondale and Watkins thus stand for the general proposition that an agency
    cannot—through its own participation, action, collusion, or acquiescence—help obtain a court
    order and then claim that the order prevents it from releasing otherwise disclosable records.
    The City did not obtain the protective order at issue here, so these cases do not inform our
    analysis.
    -9-
    ¶ 50        Kibort v. Westrom, 
    371 Ill. App. 3d 247
    (2007), is instructive. There, a board of election
    commissioners received a FOIA request for ballot materials which were, as required by law,
    kept under seal following an election. The court held that the board properly denied the FOIA
    request. Even though the Election Code lacked specific language prohibiting public access to
    the records, it did establish a comprehensive regulatory scheme through which ballot materials
    were to be secured and sealed and further detailed the narrow circumstances under which a
    candidate or member of the public could examine these sealed materials following an election.
    
    Id. at 256-57.
    Addressing the apparent conflict between FOIA and the Election Code, the
    Kibort court held that “records are exempt from disclosure under [FOIA] in instances where
    the plain language contained in a state or federal statute reveals that public access to the
    records was not intended.” 
    Id. at 256.
    See also Better Government Ass’n v. Zaruba, 2014 IL
    App (2d) 140071, ¶ 29.
    ¶ 51        Unlike the courts that issued the protective orders at issue in Carbondale and Watkins,
    Judge Toomin issued the protective order at the request of the OSP without the involvement of
    the public agency holding the records—the City. The City was not a party to the grand jury
    proceedings, but the protective order nonetheless prohibited it from releasing certain records in
    its possession. Once it was placed in the dilemma of having to obey conflicting orders, the City
    itself did appear in the grand jury case and asked Judge Toomin to modify the protective order.
    He declined to do so and provided cogent reasons for that decision. Judge Toomin was
    obviously aware of Judge Mikva’s FOIA release order because his April 13, 2016, order
    specifically stated that the City was still prohibited from releasing the documents in response
    to the BGA’s FOIA request.
    ¶ 52        The BGA echoes the concern of the concurring justice in Carbondale, that “all information
    regarding the affairs of government would be legally exempt from disclosure as long as the
    government could find a judge to sign an order prohibiting disclosure.” Carbondale, 245 Ill.
    App. 3d at 479 (Lewis, J., specially concurring). But the protective order here was issued upon
    a court’s due consideration of the need for confidentiality in particularized circumstances. The
    order was issued by a judge supervising a grand jury and was not issued at the behest of the
    City. We do not share the BGA’s fear that public entities will abuse the rule of this case
    because it somehow establishes a precedent under which courts can “legislate” new FOIA
    exceptions.
    ¶ 53        In sum, we resolve the question presented by the City’s appeal by applying the rule
    established in GTE Sylvania. We need not, and do not, address the issue of whether a court
    order is “a State law” within the meaning of section 7(1)(a) of FOIA. We reverse the order
    granting the BGA’s motion for judgment on the pleadings. Pursuant to our authority under
    Illinois Supreme Court Rule 366(a) (eff. Feb. 1, 1994), we grant the City’s motion for
    judgment on the pleadings. See Massachusetts Bay Insurance Co. v. Unique Presort Services,
    Inc., 
    287 Ill. App. 3d 741
    , 748 (1997).
    ¶ 54        We next address the BGA’s appeal from Judge Mikva’s order, dismissing its FOIA claim
    for disclosure of records which it requested from the OSP and Webb. As we noted, Judge
    Mikva found that every item listed in the BGA’s request to the OSP and Webb constituted
    “matters occurring before the Grand Jury” protected from disclosure by section 112-6 of the
    Code. Accordingly, she dismissed the BGA’s FOIA claim against the OSP and Webb pursuant
    to section 2-619(a)(9) of the Code of Civil Procedure.
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    ¶ 55       When ruling on a motion to dismiss under section 2-619, a court must accept all
    well-pleaded facts in the complaint as true and draw all reasonable inferences from those facts
    in favor of the nonmoving party. Coghlan v. Beck, 
    2013 IL App (1st) 120891
    , ¶ 24. As a result,
    a motion to dismiss pursuant to section 2-619 should not be granted unless it is clearly apparent
    that no set of facts can be proved that would entitle the plaintiff to recovery. Snyder v.
    Heidelberger, 
    2011 IL 111052
    , ¶ 8. We review de novo the circuit court’s decision on motions
    to dismiss brought under section 2-619. Coghlan, 
    2013 IL App (1st) 120891
    , ¶ 24. Finally, we
    review the judgment, not the reasoning, of the circuit court, and we may affirm on any ground
    in the record, regardless of whether the court relied on those grounds or whether the court’s
    reasoning was correct. Leonardi v. Loyola University of Chicago, 
    168 Ill. 2d 83
    , 97 (1995).
    ¶ 56       The office of a State’s Attorney is an executive body of the State, and is a “[p]ublic body”
    as defined in section 2(a) of FOIA. See 5 ILCS 140/2(a) (West 2016). “As public bodies,
    State’s Attorney’s offices must make their public records available for inspection and copying
    as required by [FOIA].” Nelson v. Kendall County, 
    2014 IL 116303
    , ¶ 27. The same analysis
    applies to records of the OSP. See, e.g., 55 ILCS 5/3-9008(b) (West 2016) (a special State’s
    Attorney “shall possess all the powers and discharge all the duties of a regularly elected State’s
    attorney under the laws of the State”).
    ¶ 57       Our supreme court has relied on FOIA’s strong policy statement in support of rulings
    requiring release of governmental records to public review. See, e.g., Stern v.
    Wheaton-Warrenville Community Unit School District 200, 
    233 Ill. 2d 396
    , 404 (2009). The
    same court has, however, also emphasized the need for secrecy in grand jury proceedings. See,
    e.g., People ex rel. Sears v. Romiti, 
    50 Ill. 2d 51
    , 58 (1971).
    ¶ 58       The BGA suggests that, in light of its FOIA request, the secrecy provisions in the grand
    jury law must be construed narrowly. It also contends that because Judge Mikva resolved the
    BGA’s appeal of the OSP’s denial on a motion to dismiss, she never had the opportunity to
    conduct an in camera review of the documents to determine whether, in fact, they were records
    of “matters occurring before the Grand Jury.”
    ¶ 59       The BGA contends that the materials it sought were not “matters occurring before the
    Grand Jury” under section 112-6 of the Code. It claims that its request was broad enough to
    encompass some “records that were never presented to the grand jury and do not disclose what
    was presented to the grand jury.” It also claims that section 112-6(3)(c) of the Code, which
    allows disclosure of grand jury materials “when a law so directs,” allows disclosure of grand
    jury materials, because FOIA is “a law” which “so directs.”
    ¶ 60       In pursuing this argument, BGA relies heavily on Better Government Ass’n v. Blagojevich,
    
    386 Ill. App. 3d 808
    (2008). There, the court determined that FOIA required the Governor to
    release copies of grand jury subpoenas his office had received. The court rejected the
    Governor’s reliance on a federal grand jury secrecy law that specifically applied to grand
    jurors, interpreters, reporters, and similar persons who would normally attend the grand jury
    room. 
    Id. at 811-12.
    The federal grand jury law did not prohibit recipients of grand jury
    subpoenas, such as the Governor, from disclosing their contents. And unlike here, no
    protective order was at issue in Blagojevich.
    ¶ 61       More on point is Verisario. In that case, the court found that “section 112-6(b) was
    designed to protect from disclosure only the essence of what takes place in the grand jury
    room.” 
    Verisario, 143 Ill. App. 3d at 1007
    . After examining the body of federal case law which
    had developed on the issue, the Verisario court determined that “[t]he mere fact that a
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    particular document is reviewed by a grand jury does not convert it into a matter occurring
    before the grand jury within the meaning of section 112-6(b),” and that the section “was not
    intended to foreclose from all future revelation to proper authorities the same information or
    documents which were presented to the grand jury.” 
    Id. Therefore, “if
    a document is sought for
    its own sake *** rather than to learn what took place before the grand jury, and if the disclosure
    will not seriously compromise the secrecy of the grand jury investigation, disclosure is not
    prohibited.” 
    Id. at 1006-08
    (citing In re Special March 1981 Grand Jury, 
    753 F.2d 575
    , 578
    (7th Cir. 1985)).
    ¶ 62        Taliani v. Herrmann, 2011 IL App (3d) 090138, is also instructive. There, the court
    considered whether a prisoner could use FOIA to obtain copies of the transcript of the grand
    jury proceedings which led to his indictment and prosecution. The court noted that section
    7(1)(a) of FOIA protects records from disclosure if their release is prohibited by a state law. 
    Id. ¶ 12.
    It then found that section 112-6 of the Code, which prohibited disclosure of grand jury
    transcripts without a court order, was such a law. 
    Id. ¶ 13.
    Since section 112-6(a) of the Code
    provides that grand jury proceedings are secret and only open to the “State’s Attorney, his
    reporter and any other person authorized by the court or by law,” the court found that the
    prisoner was only entitled to a copy of the grand jury transcripts pursuant to section
    112-6(c)(3) of the Code, which stated: “Disclosure otherwise prohibited by this Section of
    matters occurring before the Grand Jury may also be made when the court, preliminary to or in
    connection with a judicial proceeding, directs such in the interests of justice or when a law so
    directs.” 725 ILCS 5/112-6(c)(3) (West 2008). The court found that the mechanisms listed in
    section 112-6(c)(3) of the Code did not include FOIA requests. Therefore, the prisoner could
    not obtain the transcripts pursuant to his FOIA request. Taliani, 2011 IL App (3d) 090138,
    ¶¶ 12-13. While the Taliani court’s analysis is brief, and the BGA argues it does not apply, we
    are nonetheless persuaded that it, and Verisario, state sound and workable rules.
    ¶ 63        The BGA argues that the conflict between “when a law so directs” in section 112-6 of the
    Code and “prohibited from disclosure by *** State law” in FOIA must be resolved in favor of
    FOIA. When grand jury materials are actually released, it is often because release is necessary
    to protect the rights of an accused or “avoid a possible injustice.” Douglas Oil 
    Co., 441 U.S. at 222
    . We believe that the clause “when a law so directs” in section 112-6(c)(3) addresses
    situations of particularized necessity, such as disclosure to a court clerk or to confront a
    witness in a criminal trial with his prior contrary testimony. Despite exhaustive briefing, no
    party has cited a case where section 112-6 of the Code was held not to trigger a section 7(1)(a)
    exemption. We agree with the OSP that adopting the BGA’s expansive interpretation of “when
    a law so directs” would render the secrecy provisions in section 112-6 of the Code “a dead
    letter,” because FOIA would effectively nullify them.
    ¶ 64        With these principles in mind, we examine the three specific requests that BGA made to
    the OSP and Webb. The BGA’s first request was for documents showing names of every
    person interviewed by Webb in connection with his investigation. Judge Mikva correctly
    determined that these materials were “matters occurring before the grand jury” and thus within
    the scope of section 112-6. Disclosure of the list would clearly reveal the “identity of
    witnesses,” secrecy of which is clearly critical to the integrity of the grand jury process. See
    
    Verisario, 143 Ill. App. 3d at 1007
    .
    ¶ 65        Second, the BGA requested copies of all statements by and communications with “Daley
    family members,” their attorneys, and Mara Georges, the City’s corporation counsel. We find
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    that disclosure of these materials would reveal the identity of witnesses, as well as their
    testimony and the “strategy or direction of the investigation.” See 
    id. Accordingly, Judge
           Mikva did not err in dismissing the portions of counts II, III, and IV relating to the first two of
    the BGA’s FOIA requests from the OSP.
    ¶ 66        The third BGA request was for the OSP’s itemized invoices and billing records. Judge
    Toomin appointed Webb pursuant to section 3-9008 of the Counties Code. 55 ILCS 5/3-9008
    (West 2016). That section requires that a special State’s Attorney’s bills are to be paid by the
    county, up to a certain limit. See 55 ILCS 5/3-9008(b) (West 2016). It also requires that before
    the county pays the bills, “the county shall be provided with a detailed copy of the invoice
    describing the fees, and the invoice shall include all activities performed in relation to the case
    and the amount of time spent on each activity.” 55 ILCS 5/3-9008(c) (West 2016).
    ¶ 67        Attorney fee invoices paid from public funds are generally disclosable under FOIA, subject
    to redaction for work-product and privilege. See 2012 Ill. Att’y Gen. Pub. Access Op. No.
    12-005. Judge Mikva stated that disclosure of the invoice detail would “reveal the strategy and
    direction of the investigation.” While some entries in the billing records might reveal “the
    strategy or direction of the investigation,” surely all do not. We, therefore, reverse the
    dismissal of the portion of count III of BGA’s complaint that sought disclosure of the OSP’s
    attorney fee invoices, and remand for an in camera review of those records pursuant to section
    11(f) of FOIA (5 ILCS 140/11(f) (West 2016)).
    ¶ 68        On remand, the circuit court shall determine what, if any, portions of the requested records
    may be disclosed notwithstanding section 112-6 of the Code’s prohibition on disclosure of
    information regarding “matters occurring before the grand jury.” Section 112-6 of the Code
    was modeled on Rule 6 of the Federal Rule of Criminal Procedure. 
    Romiti, 50 Ill. 2d at 58
    . In
    its current form, the federal rule prohibits disclosure of “a matter occurring before the grand
    jury” (Fed. R. Crim. P. 6(e)(2)(B)), but its earlier form followed the Illinois rule verbatim,
    prohibiting disclosure of “matters occurring before the grand jury” (Fed. R. Crim. P. 6(e)(2)(B)
    (prior to amendment by USA Patriot Act of 2001, Pub. L. No. 107-56, § 203, 115 Stat. 272,
    278-79 (2001))).
    ¶ 69        The phrase “matters occurring before the grand jury” has been defined not only by
    Verisario, but through a well-established body of federal case law, which should guide the
    court on remand. The United States Court of Appeals for the District of Columbia Circuit has
    held that the term “ ‘matters occurring before the grand jury’ ” in the federal rule encompasses
    (1) “the identities of witnesses or jurors,” (2) “the substance of testimony,” (3) “the strategy or
    direction of the investigation,” and (4) “the deliberations or questions of jurors, and the like.”
    Securities & Exchange Comm’n v. Dresser Industries, Inc., 
    628 F.2d 1368
    , 1382 (D.C. Cir.
    1980). See also Senate of the Commonwealth of Puerto Rico v. United States Department of
    Justice, 
    823 F.2d 574
    , 582 (D.C. Cir. 1987). Likewise, the Fifth Circuit has explained that the
    rule prohibits disclosure of “anything which ‘may tend to reveal what transpired before the
    grand jury.’ ” In re Grand Jury Investigation, 
    610 F.2d 202
    , 216 (5th Cir. 1980) (quoting
    United States v. Armco Steel Corp., 
    458 F. Supp. 784
    , 790 (W.D. Mo. 1978)). The circuit court
    should also be mindful that “the interests in grand jury secrecy, although reduced, are not
    eliminated merely because the grand jury has ended its activities.” Douglas Oil 
    Co., 441 U.S. at 222
    .
    ¶ 70        Accordingly, in appeal No. 1-16-1892, we affirm in part as to Judge Mikva’s order
    dismissing the BGA’s FOIA complaint regarding its first and second requests; reverse in part,
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    as to its third request; and remand for further proceedings consistent with this opinion.
    ¶ 71                                         CONCLUSION
    ¶ 72       For these reasons, we (1) affirm Judge Toomin’s order in appeal No. 1-16-1376, (2) affirm
    in part and reverse in part Judge Mikva’s order in appeal No. 1-16-1892 and remand that
    appeal for further proceedings consistent with this opinion, and (3) reverse Judge Mikva’s
    order in appeal No. 1-16-2071 and grant the City’s motion for judgment on the pleadings in
    that appeal.
    ¶ 73      No. 1-16-1376, Affirmed.
    ¶ 74      No. 1-16-1892, Affirmed in part, reversed in part, and remanded.
    ¶ 75      No. 1-16-2071, Reversed; motion granted.
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