Citizens for Responsibility & Ethics in Washington v. United States Department of Justice , 746 F.3d 1082 ( 2014 )


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  •     United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Argued January 16, 2014                  Decided April 1, 2014
    No. 12-5223
    CITIZENS FOR RESPONSIBILITY AND ETHICS IN WASHINGTON,
    APPELLANT
    v.
    UNITED STATES DEPARTMENT OF JUSTICE,
    APPELLEE
    Appeal from the United States District Court
    for the District of Columbia
    (No. 1:11-cv-00592)
    David L. Sobel argued the cause for the appellant.
    Melanie T. Sloan and Anne L. Weismann were on brief.
    Steve Frank, Attorney, U.S. Department of Justice, argued
    the cause for the appellee. Stuart F. Delery, Assistant
    Attorney General, Ronald C. Machen Jr., U.S. Attorney, and
    Leonard Schaitman, Attorney, were on brief.
    Before: HENDERSON, Circuit Judge, and EDWARDS and
    SENTELLE, Senior Circuit Judges.
    KAREN LECRAFT HENDERSON, Circuit Judge: In 2004,
    the Federal Bureau of Investigation (FBI) opened a
    wide-ranging public corruption investigation into the activities
    2
    of former lobbyist Jack Abramoff. The investigation yielded
    21 guilty pleas or convictions by jury. Two of those
    convicted, Tony Rudy and Michael Scanlon, once served as
    senior aides to Tom DeLay—the former Majority Leader of the
    United States House of Representatives.          During the
    multi-year investigation, the FBI never acknowledged whether
    DeLay himself was a subject of inquiry. In August 2010,
    however, DeLay announced that the United States Department
    of Justice (DOJ) had informed him it had decided not to bring
    criminal charges against him related to the Abramoff scandal.
    Shortly after DeLay’s announcement, Citizens for
    Responsibility and Ethics in Washington (CREW) filed a
    Freedom of Information Act (FOIA) request seeking various
    types of documents related to the FBI’s investigation of
    DeLay. After the FBI declined to produce the documents,
    CREW filed suit against the DOJ (the agency encompassing
    the FBI). The district court granted summary judgment to the
    DOJ, concluding that the requested documents were
    categorically exempt from disclosure under Exemptions 7(A)
    and 7(C) and that, in the alternative, portions of the requested
    documents were also exempt under Exemptions 3, 7(D) and
    7(E). Citizens for Responsibility & Ethics in Wash. v. Dep’t of
    Justice, 
    870 F. Supp. 2d 70
    (D.D.C. 2012). We now reverse
    and remand. The DOJ has not met its burden of justifying
    categorical withholding under Exemption 7(A) or 7(C) and has
    not adequately explained the basis for withholding portions of
    the requested documents under Exemptions 3, 7(D) and 7(E).
    I
    A. Legal Framework
    FOIA provides that every government agency, “upon any
    request for records which (i) reasonably describes such records
    3
    and (ii) is made in accordance with published rules . . . , shall
    make the records promptly available to any person.” 5 U.S.C.
    § 552(a)(3)(A).       Certain information is exempt from
    disclosure.     Of primary relevance here, “records or
    information compiled for law enforcement purposes” are
    exempt,
    but only to the extent that the production of such law
    enforcement records or information (A) could
    reasonably be expected to interfere with enforcement
    proceedings, . . . [or] (C) could reasonably be
    expected to constitute an unwarranted invasion of
    personal privacy . . . .
    
    Id. § 552(b)(7).
    FOIA “was enacted to facilitate public access to
    Government documents” and “was designed to ‘pierce the veil
    of administrative secrecy and to open agency action to the light
    of public scrutiny.’” Dep’t of State v. Ray, 
    502 U.S. 164
    , 173
    (1991) (quoting Dep’t of Air Force v. Rose, 
    425 U.S. 352
    , 361
    (1976)). Because of FOIA’s “goal of broad disclosure,” the
    Supreme Court has “insisted that the exemptions be ‘given a
    narrow compass.’” Milner v. Dep’t of Navy, 
    131 S. Ct. 1259
    ,
    1265 (2011) (quoting Dep’t of Justice v. Tax Analysts, 
    492 U.S. 136
    , 151 (1989)); accord FBI v. Abramson, 
    456 U.S. 615
    ,
    630 (1982) (“FOIA exemptions are to be narrowly
    construed.”). FOIA’s “limited exemptions do not obscure the
    basic policy that disclosure, not secrecy, is the dominant
    objective of the Act.” Dep’t of Interior v. Klamath Water
    Users Protective Ass’n, 
    532 U.S. 1
    , 8 (2001) (quoting 
    Rose, 425 U.S. at 361
    ).
    The agency bears the burden of establishing that a claimed
    exemption applies. Dep’t of Justice v. Reporters Comm. for
    4
    Freedom of the Press, 
    489 U.S. 749
    , 755 (1989); Elec. Frontier
    Found. v. Dep’t of Justice, 
    739 F.3d 1
    , 7 (D.C. Cir. 2014); see 5
    U.S.C. § 552(a)(4)(B). The agency may carry that burden by
    submitting affidavits that “describe the justifications for
    nondisclosure with reasonably specific detail, demonstrate that
    the information withheld logically falls within the claimed
    exemption, and are not controverted by either contrary
    evidence in the record nor by evidence of agency bad faith.”
    Larson v. Dep’t of State, 
    565 F.3d 857
    , 862 (D.C. Cir. 2009)
    (quoting Miller v. Casey, 
    730 F.2d 773
    , 776 (D.C. Cir. 1984)).
    Agency affidavits sometimes take the form of a “Vaughn
    index,” see Vaughn v. Rosen, 
    484 F.2d 820
    (D.C. Cir. 1973),
    but there is “no fixed rule” establishing what such an affidavit
    must look like, ACLU v. CIA, 
    710 F.3d 422
    , 432 (D.C. Cir.
    2013). “[I]t is the function, not the form, of the index that is
    important.” Keys v. Dep’t of Justice, 
    830 F.2d 337
    , 349 (D.C.
    Cir. 1987); see generally Judicial Watch, Inc. v. FDA, 
    449 F.3d 141
    , 145–46 (D.C. Cir. 2006) (explaining functions of Vaughn
    index).
    At times, the FOIA litigation process threatens to reveal
    “the very information the agency hopes to protect” and
    therefore it may be necessary for the agency affidavit to
    contain only “brief or categorical descriptions” of the withheld
    information. 
    ACLU, 710 F.3d at 432
    ; see also Judicial 
    Watch, 449 F.3d at 146
    . In such circumstances, “the government
    need not justify its withholdings document-by-document; it
    may      instead     do      so     category-of-document        by
    category-of-document, so long as its definitions of relevant
    categories are sufficiently distinct to allow a court to determine
    whether the specific claimed exemptions are properly applied.”
    Gallant v. NLRB, 
    26 F.3d 168
    , 173 (D.C. Cir. 1994) (quotation
    marks and ellipsis omitted); accord Crooker v. Bureau of
    Alcohol, Tobacco & Firearms, 
    789 F.2d 64
    , 67 (D.C. Cir.
    1986). Categorical treatment, however, may be used “[o]nly
    5
    when the range of circumstances included in the category
    ‘characteristically support[s] an inference’ that the statutory
    requirements for exemption are satisfied.” Nation Magazine
    v. U.S. Customs Serv., 
    71 F.3d 885
    , 893 (D.C. Cir. 1995)
    (quoting Dep’t of Justice v. Landano, 
    508 U.S. 165
    , 177
    (1993)); accord Reporters 
    Comm., 489 U.S. at 776
    (“[C]ategorical decisions may be appropriate and individual
    circumstances disregarded when a case fits into a genus in
    which the balance characteristically tips in one direction.”);
    Roth v. Dep’t of Justice, 
    642 F.3d 1161
    , 1183–84 (D.C. Cir.
    2011).
    B. Factual and Procedural Background
    On October 19, 2010, after DeLay had announced that he
    was not going to be criminally charged as a result of the
    Abramoff investigation, CREW wrote to the FBI requesting
    any witness statements, investigation reports,
    prosecution memoranda, and [FBI] 302 reports
    related to the FBI’s and DOJ’s investigation of
    [DeLay]. This includes, but is not limited to, the
    FBI’s and DOJ’s investigation of relationships
    between Mr. DeLay and Christine DeLay, Dani
    DeLay, Jack Abramoff, Edwin Buckham, Tony Rudy,
    Michael Scanlon, Susan Hirshmann, the Alexander
    Strategy Group, the National Center for Public Policy
    Research, eLottery, Inc., the U.S. Family Network,
    Americans for a Republican Majority PAC
    (“ARMPAC”), Texans for a Republican Majority
    PAC (“TRMPAC”), and/or the Commonwealth of the
    Northern Marianas Islands.
    Joint Appendix (JA) 51. Three days later, the FBI responded,
    stating that, because the requested records involved third
    6
    parties, they were generally exempt from disclosure and could
    not be released absent express authorization from each third
    party, proof of the third party’s death or a “clear demonstration
    that the public interest in disclosure outweighs the personal
    privacy interest and that significant public benefit would result
    from the disclosure of the requested records.” JA 107. The
    FBI’s response also included the disclaimer—in FOIA terms, a
    “Glomar response,” see Military Audit Project v. Casey, 
    656 F.2d 724
    (D.C. Cir. 1981); Phillippi v. CIA, 
    655 F.2d 1325
    (D.C. Cir. 1981)—that the response “should not be considered
    an indication of whether or not records responsive to your
    request exist in FBI files.” JA 107. After exhausting its
    administrative remedies, CREW filed suit against the DOJ in
    district court.
    The parties cross-moved for summary judgment. In
    support of its motion, the DOJ submitted a declaration from
    David Hardy, Section Chief of the Record/Information
    Dissemination Section, Record Management Division, of the
    FBI (“Hardy Declaration” or “Declaration,” reprinted at JA
    18–49). The Hardy Declaration recited the FBI’s policy of
    issuing a Glomar response to requests for records involving
    third parties. However, “[i]n light of the acknowledgment of
    a pending lobbying investigation related to Jack Abramoff,” it
    “pierced the Glomar veil and admitted the existence of records
    potentially responsive to plaintiff’s request.” Hardy Decl. 31–
    32. It explained the methodology by which the FBI searched
    for responsive documents and identified two categories of
    responsive documents located.
    The first category includes FD-302s, forms used by FBI
    agents “to record information which they obtain through
    witness interviews, . . . grand jury subpoenas, proffer
    agreements and immunity statements, and from other federal
    agencies.” 
    Id. at 19.
    More specifically,
    7
    FD-302s contain, in the aggregate, detailed
    descriptions of names, addresses, telephone numbers
    of witnesses and other third parties, information,
    leads, and other valuable investigative information
    supplied by various sources and third-parties
    interviewed jointly by the FBI and Other Government
    Agencies (“OGAs”) during the course of their
    investigation.    In addition, responsive FD-302s
    contain information regarding forensic analysis,
    information regarding grand jury proffer and
    immunity statements, and information exchanged
    between the FBI and OGAs.
    
    Id. at 20.
    The FBI’s search for responsive documents turned
    up an unspecified number of FD-302s dating from June 2004 to
    October 2009. The second category of responsive documents,
    investigative materials, “includes derivative communications
    and reports analyzing the evidence obtained.” 
    Id. at 21.
    The
    Hardy Declaration explained that “[a] derivative
    communication . . . describes (verbatim or in summary) the
    contents of the original evidentiary record, how it was
    obtained, and how it relates to the investigation.” 
    Id. at 21–
    22. The Declaration did not specify how many responsive
    documents in this category were identified.1
    The Hardy Declaration asserted that all responsive
    documents were categorically exempt under Exemption 7(A),
    see 
    id. at 16–19,
    22, and Exemptions 6 and 7(C), see 
    id. at 24–
    30. It also invoked Exemptions 2, 3, 7(D) and 7(E) to
    1
    CREW’s request also sought prosecution memoranda but the
    Hardy Declaration stated that no such memoranda were found in the
    FBI’s case file. The FBI’s search also turned up responsive public
    source documents like newspaper clippings but CREW has not
    sought disclosure of this material.
    8
    withhold portions of the responsive material. 
    Id. at 22–24,
    30–31. The Declaration asserted that “due in particular to the
    inextricably intertwined and interrelated nature of the
    documents at issue here, no information is segregable and
    releasable at this time.” 
    Id. at 17;
    accord 
    id. at 22.
    The district court agreed with the DOJ in every respect.
    With regard to Exemptions 6 and 7(C), the district court found
    that, despite his public acknowledgment of the investigation,
    DeLay retained a substantial privacy interest in preventing
    disclosure of the contents of the investigative files. Citizens
    for Responsibility & Ethics in 
    Wash., 870 F. Supp. 2d at 79
    –80.
    The district court found little countervailing public interest.
    Although it “acknowledge[d] that there may be some public
    interest in the investigative materials and reports,” it found that
    “this minimal public interest does not outweigh the substantial
    privacy interests of Mr. DeLay and other third parties in the
    contents of the documents.” 
    Id. at 81.
    It therefore held that
    “the ‘balance . . . tips in’ favor of exemption” and the DOJ
    “properly categorically withheld the records pursuant to
    Exemptions 6 and 7(C).” 
    Id. at 81–82
    (quoting Nation
    
    Magazine, 71 F.3d at 893
    ) (omission in district court order).
    As for Exemption 7(A), the district court found that “[n]ot
    only is the investigation still ongoing . . . , but ‘[t]here are
    several outstanding convictions and sentencing proceedings
    . . . which have not yet been completed.’” 
    Id. at 82
    (quoting
    Hardy Decl. 17). It found that disclosure of the requested
    records would interfere with those proceedings by identifying
    sources, potential witnesses and third parties under
    investigation, uncovering the government’s trial strategy and
    notifying individuals who remained under investigation. 
    Id. at 82
    . Accordingly, it held that categorical withholding was
    also appropriate under Exemption 7(A). 
    Id. at 82
    –83.
    9
    Finally, the district court accepted the DOJ’s alternative
    grounds for withholding portions of the requested records
    under Exemptions 2, 3, 7(D) and 7(E). See 
    id. at 83
    (Exemption 2, internal FBI telephone and fax numbers), 83–84
    (Exemption 3, certain grand jury materials), 84–85 (Exemption
    7(D), identities of confidential informants and information that
    could reveal their identities), 85 (Exemption 7(E), information
    that would reveal law enforcement procedures and techniques).
    CREW timely appealed.
    II
    We review de novo the district court’s grant of summary
    judgment. Pub. Emps. for Envtl. Responsibility v. U.S.
    Section, Int’l Boundary & Water Comm’n, U.S.-Mex., 
    740 F.3d 195
    , 200 (D.C. Cir. 2014). We first address the DOJ’s
    categorical withholding claims under Exemptions 7(C) and
    7(A), then briefly address the DOJ’s claims under Exemptions
    3, 7(D) and 7(E).
    A. Exemption 7(C)
    As noted, FOIA exempts from disclosure “records or
    information compiled for law enforcement purposes, but only
    to the extent that the production of such law enforcement
    records or information . . . could reasonably be expected to
    constitute an unwarranted invasion of personal privacy.” 5
    U.S.C. § 552(b)(7)(C). CREW does not dispute that the
    requested records were “compiled for law enforcement
    purposes.” Our task, then, is “to balance the [] privacy
    interest against the public interest in disclosure.” Nat’l
    10
    Archives & Records Admin. v. Favish, 
    541 U.S. 157
    , 171
    (2004); accord Reporters 
    Comm., 489 U.S. at 776
    .2
    Privacy Interest: DeLay has two potential privacy
    interests at stake. The first is his interest in avoiding the
    stigma of having his name associated with a criminal
    investigation. “[I]ndividuals have an obvious privacy interest
    cognizable under Exemption 7(C) in keeping secret the fact
    that they were subjects of a law enforcement investigation.”
    Nation 
    Magazine, 71 F.3d at 894
    ; see also People for the
    Ethical Treatment of Animals (PETA) v. Nat’l Insts. of Health,
    No. 12-5183, 
    2014 WL 982875
    , at *4 (D.C. Cir. Mar. 14,
    2014); Schrecker v. Dep’t of Justice, 
    349 F.3d 657
    , 666 (D.C.
    Cir. 2003); Fitzgibbon v. CIA, 
    911 F.2d 755
    , 767 (D.C. Cir.
    1990). If a FOIA request is made for FBI investigative
    records regarding a particular individual, the FBI’s mere
    acknowledgment that it possesses responsive records
    associates the individual named in the request with suspected
    criminal activity and therefore a Glomar response may be
    appropriate. See Nation 
    Magazine, 71 F.3d at 893
    (collecting
    cases); see also PETA, 
    2014 WL 982875
    , at *3. The FBI
    evidently believed this was such a case when it initially issued
    a Glomar response to CREW’s request. A Glomar response,
    however, is “permitted only when confirming or denying the
    existence of records would itself ‘cause harm cognizable under
    an FOIA exception.’” 
    Roth, 642 F.3d at 1178
    (quoting Wolf v.
    CIA, 
    473 F.3d 370
    , 374 (D.C. Cir. 2007)) (additional quotation
    marks omitted). In August 2010, DeLay made public
    2
    Similarly, Exemption 6 applies to “personnel and medical
    files and similar files the disclosure of which would constitute a
    clearly unwarranted invasion of personal privacy.” 5 U.S.C.
    § 552(b)(6). We focus here on Exemption 7(C) because it provides
    broader privacy protection than Exemption 6 and thus “establishes a
    lower bar for withholding material.” 
    ACLU, 655 F.3d at 6
    ; see
    
    Favish, 541 U.S. at 165
    –66; Reporters 
    Comm., 489 U.S. at 756
    .
    11
    statements confirming the fact that he had been, but was no
    longer, under investigation. He explained the extent of his
    cooperation with the investigation and announced the DOJ had
    decided not to charge him. DeLay’s obvious privacy interest
    in keeping secret the fact that he was the subject of an FBI
    investigation was diminished by his well-publicized
    announcement of that very fact. See Kimberlin v. Dep’t of
    Justice, 
    139 F.3d 944
    , 949 (D.C. Cir. 1998) (prosecutor’s
    public acknowledgment that he was subject of disciplinary
    proceedings “undoubtedly does diminish his interest in
    privacy: the public already knows who he is, what he was
    accused of, and that he received a relatively mild sanction”);
    Nation 
    Magazine, 71 F.3d at 896
    (politician waived right to
    have his name redacted from responsive documents regarding
    events he publicly discussed); cf. ACLU v. CIA, 
    710 F.3d 422
    ,
    428–32 (D.C. Cir. 2013) (Glomar response inappropriate
    where CIA sought to prevent disclosure of whether it had
    intelligence interest in drone strikes but its official public
    statements had made clear its interest). Because DeLay’s
    public statements confirmed he had been under investigation,
    the FBI’s acknowledgment that it had responsive records
    would not itself cause harm by confirming that fact, rendering
    a Glomar response inappropriate. The FBI apparently came
    to that conclusion itself when it “pierced the Glomar veil and
    admitted the existence of records potentially responsive to
    plaintiff’s request.” Hardy Decl. 31–32.
    Although DeLay’s action lessened his interest in keeping
    secret the fact that he was under investigation, he retained a
    second, distinct privacy interest in the contents of the
    investigative files. We made that clear in Kimberlin, noting
    that, although a prosecutor who had publicly acknowledged he
    was the subject of a disciplinary investigation retained little
    privacy interest in keeping the fact of the investigation secret,
    he “did not, merely by acknowledging the investigation and
    12
    making a vague reference to its conclusion, waive all his
    interest in keeping the contents of the [disciplinary] file
    
    confidential.” 139 F.3d at 949
    ; cf. 
    Ray, 502 U.S. at 175
    –76
    (although disclosure of interview summaries containing highly
    personal information constitutes only de minimis invasion of
    privacy if identities of interviewees are unknown, “the
    invasion of privacy becomes significant when the personal
    information is linked to particular interviewees”). CREW
    does not dispute that DeLay retains some privacy interest in the
    particulars of the investigation but instead contends that such
    interest is not sufficient to support categorical withholding.
    See Reply Br. of Appellant 11–12, No. 12-5223 (D.C. Cir. June
    17, 2013). And although DeLay, as a public official at the
    time, “may have a somewhat diminished privacy interest,”
    public officials “‘do not surrender all rights to personal privacy
    when they accept a public appointment.’” Quinon v. FBI, 
    86 F.3d 1222
    , 1230 (D.C. Cir. 1996) (quoting Bast v. Dep’t of
    Justice, 
    665 F.2d 1251
    , 1255 (D.C. Cir. 1981)); see also
    
    Kimberlin, 139 F.3d at 949
    ; Fund for Const. Gov’t v. Nat’l
    Archives & Records Serv., 
    656 F.2d 856
    , 865 (D.C. Cir. 1981).
    DeLay’s privacy interest in the contents of the investigative
    files is not insubstantial.3
    Public Interest: On the other side of the scale sits a
    weighty public interest in shining a light on the FBI’s
    investigation of major political corruption and the DOJ’s
    3
    DeLay is not the only one with a privacy interest in the
    contents of the investigative files. Other third parties may be
    mentioned therein, including many of the other individuals listed in
    CREW’s FOIA request. They have a substantial privacy interest in
    preventing disclosure of their names in law enforcement files. See
    Nation 
    Magazine, 71 F.3d at 894
    ; 
    Fitzgibbon, 911 F.2d at 767
    . The
    same is true of witnesses, informants and investigating agents who
    may also be mentioned. See 
    Favish, 541 U.S. at 166
    ; 
    Roth, 642 F.3d at 1174
    ; 
    Schrecker, 349 F.3d at 666
    .
    13
    ultimate decision not to prosecute a prominent member of the
    Congress for any involvement he may have had. “[T]he only
    relevant public interest in the FOIA balancing analysis [is] the
    extent to which disclosure of the information sought would
    ‘she[d] light on an agency’s performance of its statutory
    duties’ or otherwise let citizens know ‘what their government
    is up to.’” Dep’t of Def. v. FLRA, 
    510 U.S. 487
    , 497 (1994)
    (quoting Reporters 
    Comm., 489 U.S. at 773
    ); accord Bibles v.
    Or. Natural Desert Ass’n, 
    519 U.S. 355
    , 355–56 (1997) (per
    curiam). That is, the relevant public interest is not to find out
    what DeLay himself was “up to” but rather how the FBI and
    the DOJ carried out their respective statutory duties to
    investigate and prosecute criminal conduct. See 
    Quinon, 86 F.3d at 1231
    .
    The DOJ contends that CREW has posited no public
    interest and therefore categorical withholding is appropriate
    because “[s]omething . . . outweighs nothing every time.” Br.
    of Appellee 10, No. 12-5223 (D.C. Cir. May 15, 2013)
    (quoting Nat’l Ass’n of Retired Fed. Emps. v. Horner, 
    879 F.2d 873
    , 879 (D.C. Cir. 1989)). But there is considerably more
    than nothing on the public interest side of the scale.
    “[M]atters of substantive law enforcement policy . . . are
    properly the subject of public concern,” Reporters 
    Comm., 489 U.S. at 766
    n.18, and disclosure of the requested records would
    likely reveal a great deal about law enforcement policy, see
    
    Favish, 541 U.S. at 172
    (in addition to significant public
    interest, requester must “show the information is likely to
    advance that interest”). Disclosure of the FD-302s and
    investigative materials could shed light on how the FBI and the
    DOJ handle the investigation and prosecution of crimes that
    undermine the very foundation of our government. As the
    DOJ itself explained, the requested records relate to “a
    wide-ranging public corruption investigation as part of [the
    FBI’s] ongoing efforts to root out systemic corruption within
    14
    the highest levels of government.”           Hardy Decl. 12.
    Disclosure of the records would likely reveal much about the
    diligence of the FBI’s investigation and the DOJ’s exercise of
    its prosecutorial discretion: whether the government had the
    evidence but nevertheless pulled its punches. Indeed, we have
    repeatedly recognized a public interest in the manner in which
    the DOJ carries out substantive law enforcement policy
    (whether or not that interest outweighs any privacy interest at
    stake in a given case). See, e.g., 
    ACLU, 655 F.3d at 12
    –13
    (public interest in DOJ’s use of and justification for
    warrantless cell phone tracking); 
    Kimberlin, 139 F.3d at 948
    –
    49 (public interest in DOJ disciplinary proceedings);
    Dunkelberger v. Dep’t of Justice, 
    906 F.2d 779
    , 781 (D.C. Cir.
    1990) (public interest both in whether FBI agent participated in
    scheme to entrap public official and in manner in which agent
    was disciplined); 
    Bast, 665 F.2d at 1255
    (public interest in
    DOJ decision not to prosecute federal judge for alleged
    misconduct); see also 
    Ray, 502 U.S. at 178
    (public interest in
    “knowing whether the State Department has adequately
    monitored Haiti’s compliance with its promise not to prosecute
    returnees”); PETA, 
    2014 WL 982875
    , at *6, *8 (public interest
    in how National Institutes of Health decides whether to
    investigate complaints of animal abuse and misappropriation
    of research funds and how it conducts investigations); Multi Ag
    Media LLC v. Dep’t of Agric., 
    515 F.3d 1224
    , 1232 (D.C. Cir.
    2008) (public interest in determining whether Department of
    Agriculture “is catching cheaters and lawfully administering
    its subsidy and benefit programs”); Stern v. FBI, 
    737 F.2d 84
    ,
    92 (D.C. Cir. 1984) (recognizing, in dicta, public interest “in
    knowing that a government investigation itself is
    comprehensive”).
    That the investigation implicated a public official as
    prominent as the former Majority Leader of the House of
    Representatives further raises the stakes. See Kimberlin, 139
    15
    F.3d at 949 (court may consider “the rank of the public official
    involved and the seriousness of the misconduct alleged” in
    conducting Exemption 7(C) balancing); see also Jefferson v.
    Dep’t of Justice, 
    284 F.3d 172
    , 180 (D.C. Cir. 2002); Beck v.
    Dep’t of Justice, 
    997 F.2d 1489
    , 1493 (D.C. Cir. 1993); 
    Stern, 737 F.2d at 93
    –94. Although the DOJ’s actions in this case
    may reflect only one data point regarding the performance of
    its statutory duties, cf. Boyd v. Dep’t of Justice, 
    475 F.3d 381
    ,
    388 (D.C. Cir. 2007), it is a significant one: It may show
    whether prominent and influential public officials are
    subjected to the same investigative scrutiny and prosecutorial
    zeal as local aldermen and little-known lobbyists. We do not
    accept the DOJ’s contention that there is no public interest in
    examining the FBI’s investigation of, and the DOJ’s decision
    not to charge, the former House Majority Leader for his alleged
    involvement in one of the most significant political corruption
    scandals in recent memory.
    The DOJ’s arguments to the contrary are unpersuasive.
    First, it contends that “the identity of individuals who appear in
    law enforcement files would virtually never be ‘very probative
    of an agency’s behavior or performance’ and would serve a
    significant public interest only if ‘there is compelling evidence
    that the agency . . . is engaged in illegal activity.’” Br. of
    Appellee 35 (quoting SafeCard Servs., Inc., v. SEC, 
    926 F.2d 1197
    , 1206 (D.C. Cir. 1991)). As we have explained,
    however, SafeCard “is one in a long line of FOIA cases
    holding that disclosure of the identities of private citizens
    mentioned in law enforcement files constitutes an unwarranted
    invasion of privacy.” Nation 
    Magazine, 71 F.3d at 896
    (emphasis in original) (collecting such cases). Here, however,
    the DOJ does not seek to withhold only the identities of private
    citizens; it seeks to withhold every responsive document in
    toto. Although SafeCard may authorize the redaction of the
    names and identifying information of private citizens
    16
    mentioned in law enforcement files, it does not permit an
    agency “to exempt from disclosure all of the material in an
    investigatory record solely on the grounds that the record
    includes some information which identifies a private citizen or
    provides that person’s name and address.” Id.; see also
    
    Schrecker, 349 F.3d at 666
    (explaining that SafeCard rule
    applies to names and identifying information); Mays v. DEA,
    
    234 F.3d 1324
    , 1328 (D.C. Cir. 2000) (investigative details is
    “a category presumably distinct from, and potentially far
    broader than” personal information).
    Next, the DOJ leans on the United States Supreme Court’s
    decision in Favish, which held that, if an Exemption 7(C)
    privacy interest exists, “the usual rule that the citizen need not
    offer a reason for requesting the information [is] inapplicable”
    and therefore “the exemption requires the person requesting
    the information to establish a sufficient reason for the
    
    disclosure.” 541 U.S. at 172
    . Accordingly, in cases where
    “the public interest being asserted is to show that responsible
    officials acted negligently or otherwise improperly in the
    performance of their duties, the requester must establish more
    than a bare suspicion in order to obtain disclosure.” 
    Id. at 174.
    Favish was such a case, see 
    id. at 160–61,
    173, but this is not.
    CREW alleges no impropriety on the part of the FBI or the
    DOJ; 4 it has nonetheless established a sufficient reason for
    4
    At argument, counsel for the DOJ suggested that CREW
    seeks disclosure not to further the purposes of FOIA but rather to
    smear DeLay on its website. Recording of Argument 21:01 (D.C.
    Cir. Jan. 16, 2014). That accusation does not affect our inquiry:
    “[W]hether disclosure of a private document under Exemption 7(C)
    is warranted must turn on the nature of the requested document and
    its relationship to ‘the basic purpose of [FOIA] to open agency action
    to the light of public scrutiny,’ rather than on the particular purpose
    for which the document is being requested.” Reporters 
    Comm., 489 U.S. at 772
    (quoting 
    Rose, 425 U.S. at 372
    ) (additional quotation
    17
    disclosure independent of any impropriety: “‘[M]atters of
    substantive law enforcement policy are properly the subject of
    public concern,’ whether or not the policy in question is
    lawful.” 
    ACLU, 655 F.3d at 14
    (quoting Reporters Comm.,
    
    489 U.S. 766
    n.18) (ellipsis omitted).5 Whether government
    impropriety might be exposed in the process is beside the
    point. See 
    id. (“Whether the
    government’s [] policy is legal or
    illegal, proper or improper, is irrelevant to this case.”). There
    is, then, a significant public interest to be weighed.
    Balancing: The DOJ contends—and the district court
    agreed—that the balance categorically tips in favor of
    non-disclosure. We think, however, that the district court
    drastically understated the public interest when it
    “acknowledge[d] that there may be some . . . minimal public
    interest” at stake. Citizens for Responsibility & Ethics in
    
    Wash., 870 F. Supp. 2d at 81
    . As the foregoing discussion
    demonstrates, there are substantial interests on both sides of the
    scale. Yet a categorical approach is appropriate only if “a
    marks omitted); accord 
    Bibles, 519 U.S. at 355
    –56. “In other
    words, the public interest side of the balance is not a function of the
    identity of the requester . . . .” Pub. Citizen Health Research Grp. v.
    FDA, 
    185 F.3d 898
    , 904 (D.C. Cir. 1999); see also Multi Ag Media
    
    LLC, 515 F.3d at 1231
    n.2 (“Although [the requester] may not want
    the information to check up on the government itself, the use for
    which the requestor seeks the information is not relevant for
    purposes of determining the public interest under FOIA Exemption
    6.”).
    5
    Even Favish recognized as “significant the asserted public
    interest in uncovering deficiencies or misfeasance in the
    Government’s 
    investigations.” 541 U.S. at 173
    . It simply held
    that the requester had not made a sufficient showing to substantiate
    his claim of impropriety. 
    Id. at 175.
    In contrast, CREW has made
    a sufficient showing to establish the public interest in disclosure of
    matters of substantive law enforcement policy.
    18
    case fits into a genus in which the balance characteristically
    tips in one direction.” Reporters 
    Comm., 489 U.S. at 776
    (emphasis added); accord 
    Landano, 508 U.S. at 177
    ; 
    Roth, 642 F.3d at 1183
    –84; Nation 
    Magazine, 71 F.3d at 893
    . In
    Kimberlin, we considered whether a categorical approach was
    appropriate where the interests to be balanced were a
    prosecutor’s right to privacy regarding the substance of
    disciplinary proceedings against him and the public interest in
    examining the DOJ’s internal disciplinary 
    process. 139 F.3d at 948
    –49. In light of the parties’ apparent agreement that a
    categorical approach was inappropriate, we stated that “we
    may assume for purposes of this opinion that the balance of
    interests relating to the disclosure of material in [a disciplinary]
    file will not so often tip toward withholding that a categorical
    rule against disclosure is appropriate.” 
    Id. at 948–49.
    We
    endorsed a “case-by-case balancing” approach that considers
    “the rank of the public official involved and the seriousness of
    the misconduct alleged.” 
    Id. at 949.
    We think a similar
    approach should be followed here. The privacy interests in
    the two cases are comparable and the public interest here is
    even stronger. Information about the FBI’s and the DOJ’s
    investigation of major, wide-ranging public corruption is more
    likely to shed light on how the agencies are performing their
    statutory duties than a discrete internal disciplinary
    proceeding. Although a substantial privacy interest is at stake
    here, in light of the similarly substantial countervailing public
    interest, the balance does not characteristically tip in favor of
    non-disclosure.
    We do not hold that the requested information is not
    exempt under Exemption 7(C). We simply hold that a
    categorical rule is inappropriate here.      As CREW
    acknowledged at argument, it is likely that some of the
    requested information ultimately will be exempt from
    disclosure. Recording of Argument 23:15. For instance, the
    19
    names and identifying information of third parties contained in
    investigative files are presumptively exempt. 
    Schrecker, 349 F.3d at 666
    ; 
    SafeCard, 926 F.2d at 1206
    . Much of the
    information sought might also be withheld under one of the
    exemptions discussed infra. But that does not justify the
    blanket withholding of all responsive documents. Nation
    
    Magazine, 71 F.3d at 896
    . On remand, the DOJ must attempt
    to make a more particularized showing as to what documents
    or portions thereof are exempt. The district court must then
    weigh what information may be withheld under Exemption
    7(C) and whether any information is reasonably segregable and
    may be disclosed.
    B. Exemption 7(A)
    FOIA also exempts from disclosure “records or
    information compiled for law enforcement purposes, but only
    to the extent that the production of such law enforcement
    records or information (A) could reasonably be expected to
    interfere with enforcement proceedings.”              5 U.S.C.
    § 552(b)(7)(A). Exemption 7(A) reflects the Congress’s
    recognition that “law enforcement agencies ha[ve] legitimate
    needs to keep certain records confidential, lest the agencies be
    hindered in their investigations or placed at a disadvantage
    when it [comes] time to present their case.” NLRB v. Robbins
    Tire & Rubber Co., 
    437 U.S. 214
    , 224 (1978). As earlier
    noted, there is no dispute that the requested records were
    compiled for law enforcement purposes.               To justify
    withholding, the DOJ must therefore demonstrate that
    “disclosure (1) could reasonably be expected to interfere with
    (2) enforcement proceedings that are (3) pending or reasonably
    anticipated.” Mapother v. Dep’t of Justice, 
    3 F.3d 1533
    , 1540
    (D.C. Cir. 1993) (emphasis omitted).
    20
    The DOJ identifies the relevant enforcement proceedings
    as follows:
    There are several outstanding convictions and
    sentencing proceedings in the lobbying investigation
    related to Abramoff and others which have not yet
    been completed. These include, but are not limited
    to, the sentencing hearings of Tony Rudy, Todd
    Boulanger and Kevin Ring. At least until the
    above-described cases and all related criminal
    investigations are completed, the FBI will consider
    the documents responsive to plaintiff’s request to be
    in an open and pending status, as premature release of
    any of this information would have a harmful effect
    on these pending matters, which will be described in
    further detail below.
    Hardy Decl. 17 (footnote omitted). The Declaration goes on
    to explain how disclosure of the requested records would
    interfere with these proceedings: revealing the identities of
    potential witnesses and subjecting them to harassment,
    disclosing direct and circumstantial evidence, identifying third
    parties also under investigation and uncovering the
    government’s trial strategy. See 
    id. at 18.
    We take the DOJ
    to be relying on two types of enforcement proceedings: (1)
    the specifically-invoked “sentencing hearings of Tony Rudy,
    Todd Boulanger and Kevin Ring” and (2) “all related criminal
    investigations.” We address each type of proceeding in turn.
    The first set of proceedings does not justify withholding
    because the sentencing hearings—and appeals—of Rudy,
    Boulanger and Ring are no longer “pending or reasonably
    anticipated.” Exemption 7(A) is temporal in nature. Robbins
    
    Tire, 437 U.S. at 230
    –32; see also North v. Walsh, 
    881 F.2d 1088
    , 1100 (D.C. Cir. 1989) (“Disclosure of the information
    21
    [the requester] seeks cannot interfere with parts of the
    enforcement proceeding already concluded.”). We therefore
    “require a law enforcement agency invoking the exception to
    show that the material withheld ‘relates to a concrete
    prospective law enforcement proceeding.’” Juarez v. Dep’t of
    Justice, 
    518 F.3d 54
    , 58 (D.C. Cir. 2008) (quoting Bevis v.
    Dep’t of State, 
    801 F.2d 1386
    , 1389 (D.C. Cir. 1986)). The
    proceeding must remain pending at the time of our decision,
    not only at the time of the initial FOIA request. Sussman v.
    U.S. Marshals Serv., 
    494 F.3d 1106
    , 1115 (D.C. Cir. 2007).
    Thus, reliance on Exemption 7(A) may become outdated when
    the proceeding at issue comes to a close. See Coastal States
    Gas Corp. v. Dep’t of Energy, 
    617 F.2d 854
    , 870 (D.C. Cir.
    1980) (“There is no reason to protect yellowing documents
    contained in long-closed files.”); see also August v. FBI, 
    328 F.3d 697
    , 698 (D.C. Cir. 2003); Maydak v. Dep’t of Justice,
    
    218 F.3d 760
    , 763–64 (D.C. Cir. 2000); Senate of Puerto Rico
    v. Dep’t of Justice, 
    823 F.2d 574
    , 580–81 (D.C. Cir. 1987).
    Since the DOJ filed its Declaration in August 2011, Rudy,
    Boulanger and Ring have all been sentenced. See United
    States v. Rudy, No. 06-cr-00082-ESH (D.D.C. April 20, 2012);
    United States v. Boulanger, No. 09-cr-00025-RWR (D.D.C.
    Oct. 14, 2011); United States v. Ring, 08-cr-00274-ESH
    (D.D.C. Oct. 26, 2011). Only Ring appealed and this Court
    affirmed his conviction more than one year ago. See United
    States v. Ring, 
    706 F.3d 460
    (D.C. Cir. Jan. 25, 2013). The
    cases are closed—not pending or contemplated—and therefore
    are not proceedings with which disclosure may interfere. See
    Robbins 
    Tire, 437 U.S. at 232
    ; 
    North, 881 F.2d at 1100
    .6
    6
    When asked at argument, counsel for the DOJ raised for the
    first time one other proceeding: Fraser Verrusio’s appeal of his
    February 10, 2011 conviction on charges stemming from the
    Abramoff investigation, the appeal of which remains pending in this
    Court. See United States v. Verrusio, No. 11-3080 (argued Nov. 12,
    22
    The second type of proceeding, ongoing at least in August
    2011, consists of “all related criminal investigations.” Hardy
    Decl. 17; see also 
    id. at 13
    (referring to “continuing large
    public corruption investigation”). The district court cited that
    language in finding that “the investigation [is] still ongoing.”
    Citizens for Responsibility in 
    Wash., 870 F. Supp. 2d at 82
    , and
    the DOJ makes passing reference to the district court’s finding
    in its brief, Br. of Appellees 49. To be sure, an ongoing
    criminal investigation typically triggers Exemption 7(A):
    “[S]o long as the investigation continues to gather evidence for
    a possible future criminal case, and that case would be
    jeopardized by the premature release of that evidence,
    Exemption 7(A) applies.” 
    Juarez, 518 F.3d at 59
    ; see also
    
    Sussman, 494 F.3d at 1114
    (“The enforcement proceedings
    need not be currently ongoing; it suffices for them to be
    reasonably anticipated.” (quotation marks omitted)). But a
    combination of factors leaves us with considerable uncertainty
    about whether a criminal investigation in fact continues to this
    day. The first is the vague nature of the DOJ’s mention of
    ongoing investigations, especially when coupled with its
    reliance on other specifically enumerated proceedings. The
    second is the passage of time: It has been over 30 months
    2013). The DOJ’s Declaration does not reference this proceeding
    even though Verrusio had been convicted six months, and was
    sentenced three weeks, before the Declaration was filed. See
    United States v. Verrusio, No. 09-cr-00064-RWR. Moreover, the
    DOJ neglected to mention the Verrusio appeal when it filed its brief
    in this Court even though by that time the Rudy, Boulanger and Ring
    proceedings had all come to a close. See Br. of Appellees (D.C. Cir.
    May 15, 2013). The DOJ has therefore forfeited the argument.
    See 
    Roth, 642 F.3d at 1181
    (contention raised for first time at oral
    argument is forfeited); cf. 
    Maydak, 218 F.3d at 764
    –68 (discussing
    general rule that agency must assert all exemptions in district court
    proceeding and limited exceptions thereto).
    23
    since the DOJ filed its Declaration and many more since the
    events underlying the investigation took place. Third, when
    asked at argument about ongoing proceedings, counsel cited
    only the Verrusio appeal, no ongoing investigation.
    Recording of Argument 10:04.
    Categorical withholding is often appropriate under
    Exemption 7(A). Robbins 
    Tire, 437 U.S. at 236
    (“Congress
    did not intend to prevent the federal courts from determining
    that, with respect to particular kinds of enforcement
    proceedings, disclosure of particular kinds of investigatory
    records while a case is pending would generally ‘interfere with
    enforcement proceedings.’”). In such a case, an agency may
    satisfy its burden of proof “by grouping documents in
    categories and offering generic reasons for withholding the
    documents in each category.” 
    Maydak, 218 F.3d at 765
    . We
    have held, however, that
    if it wishes to adopt the generic approach, [an agency]
    has a three-fold task. First, it must define its
    categories functionally. Second, it must conduct a
    document-by-document review in order to assign
    documents to the proper category. Finally, it must
    explain to the court how the release of each category
    would interfere with enforcement proceedings.
    
    Bevis, 801 F.2d at 1389
    –90. As to the third task, although we
    give deference to an agency’s predictive judgment of the harm
    that will result from disclosure of information, see Ctr. for
    Nat’l Sec. Studies v. Dep’t of Justice, 
    331 F.3d 918
    , 927–28
    (D.C. Cir. 2003), it is not sufficient for the agency to simply
    assert that disclosure will interfere with enforcement
    proceedings; “it must rather demonstrate how disclosure” will
    do so. 
    Sussman, 494 F.3d at 1114
    ; see Campbell v. Dep’t of
    24
    Health & Human Servs., 
    682 F.2d 256
    , 265 (D.C. Cir. 1982).
    The DOJ has made no such demonstration here.
    The DOJ explains that, in August 2011, there was a
    wide-ranging public corruption investigation pending and that
    the release of the requested records could disclose to
    individuals under investigation the identities of potential
    witnesses, the content of the government’s evidence and trial
    strategy and the focus of the investigation. Hardy Decl. 16,
    18–19. We have often found that similar concerns justify
    withholding under Exemption 7(A). In the typical case,
    however, the requested records relate to a specific individual or
    entity that is the subject of the ongoing investigation, making
    the likelihood of interference readily apparent. See, e.g.,
    
    Juarez, 518 F.3d at 58
    ; Swan v. SEC, 
    96 F.3d 498
    , 499 (D.C.
    Cir. 1996); Alyeska Pipeline Serv. Co. v. EPA, 
    856 F.2d 309
    ,
    312 (D.C Cir. 1988); see also 
    Boyd, 475 F.3d at 386
    (documents relating to requester Boyd exempt where
    disclosure would reveal details of ongoing investigation of
    individuals “related to, controlled by, or influenced by Boyd”
    (alterations omitted)). Here, by contrast, the documents
    requested relate to DeLay, who is no longer under
    investigation; he was told more than three years ago that he
    would not be charged. Thus, assuming some individuals do
    remain under investigation, the relevant question is whether
    any of the responsive records, which are primarily about
    DeLay, would disclose anything relevant to the investigation
    of those individuals. Given the “intertwined and interrelated
    nature of the documents at issue,” Hardy Decl. 17, the answer
    may well be yes. But without more information about the
    degree of overlap, we cannot say that the circumstances
    “‘characteristically support an inference’” that disclosure
    would interfere with any pending enforcement proceeding.
    Nation 
    Magazine, 71 F.3d at 893
    (quoting 
    Landano, 508 U.S. at 177
    ) (alteration omitted); see also Mapother, 3 F.3d at
    25
    1542–43 (recognizing potential for interference similar to that
    described here but nevertheless remanding for district court to
    review documents and decide in first instance whether
    disclosure would prejudice government’s case).
    Moreover, although the DOJ identifies two distinct
    categories of documents—FD-302s and investigative
    materials—it never explains how the specific risks entailed in
    premature disclosure of one category of document might differ
    from risk of disclosure of the other. See 
    Campbell, 682 F.2d at 263
    –64 (“If a direct relationship between an active
    investigation and withheld information constituted a sufficient
    predicate for the invocation of Exemption 7(A), the Court in
    Robbins Tire would not have examined the special risks
    entailed in premature disclosure of statements of prospective
    witnesses in NLRB proceedings, the particular kind of records
    at issue in that case.”); see also Robbins 
    Tire, 437 U.S. at 236
    (“Exemption 7 was designed to eliminate ‘blanket exemptions’
    for Government records simply because they were found in
    investigatory files . . . .”). Without more “specific information
    about the impact of the disclosures,” we “cannot determine
    that, as a matter of law, disclosure ‘could reasonably be
    expected to interfere with enforcement proceedings.’”
    
    Sussman, 494 F.3d at 1114
    .
    For these reasons, the DOJ has not met its burden to
    warrant categorical withholding. Once again, we do not hold
    that the requested information is not exempt. On remand, the
    DOJ must clarify whether a related investigation is in fact
    ongoing and, if so, how the disclosure of documents relating to
    DeLay would interfere with it. Of course, this is not to say the
    DOJ must recite the names of subjects under continuing
    investigation or otherwise disclose information that would
    jeopardize the investigation. We simply require the DOJ to be
    26
    more specific about the existence vel non of such an
    investigation.
    C. Exemptions 3, 7(D) and 7(E)
    In the alternative, the DOJ briefly invoked—and the
    district court even more briefly approved—withholding a
    portion of the requested records under Exemptions 3, 7(D) and
    7(E).7 Citizens for Responsibility & Ethics in Wash., 870 F.
    Supp. 2d at 83–85. The DOJ’s Declaration, however, lacks
    the “reasonably specific detail” required to carry its burden of
    establishing that each exemption applies, 
    Larson, 565 F.3d at 862
    , and fails to “give the reviewing court a reasonable basis to
    evaluate the claim of privilege,” Judicial Watch, Inc., 
    449 F.3d 7
           It is unclear from the district court order whether it held that
    the DOJ could withhold all responsive records under one of these
    exemptions or some combination of them, or whether each applies
    only to certain categories of documents. Compare Citizens for
    Responsibility & Ethics in 
    Wash., 870 F. Supp. 2d at 83
    (“In any
    event, I find that defendant can properly withhold the records
    pursuant to FOIA Exemptions 2, 3, 7(D), and 7(E).”), and 
    id. at 85
    (finding “the information” supplied by confidential sources exempt
    under Exemption 7(D) but not specifying whether “the information”
    includes all responsive records), with 
    id. at 83
    (only internal
    telephone and fax numbers exempt under Exemption 2), and 
    id. at 84
    (only “information that defendant seeks to withhold pursuant to Rule
    6(e)” exempt under Exemption 3). To the extent the district court
    held that any of these exemptions categorically exempts all
    responsive documents, we think that holding was error. For the
    reasons discussed infra, the DOJ has not met its burden of
    demonstrating that the circumstances “‘characteristically support an
    inference’” that Exemption 3, 7(D) or 7(E) applies. Nation
    
    Magazine, 71 F.3d at 893
    (quoting 
    Landano, 508 U.S. at 177
    )
    (alteration omitted). CREW does not challenge the district court’s
    holding regarding the FBI’s invocation of Exemption 2, which was
    expressly limited to internal FBI telephone and fax numbers.
    27
    at 146 (quoting 
    Gallant, 26 F.3d at 172
    –73). The Declaration
    never specifies how many responsive documents exist and
    makes no attempt to link each exemption to specific
    documents. Moreover, the explanation for the applicability of
    each exemption is inadequate. To aid the parties—and district
    court—on remand, we briefly highlight the shortcomings of
    the record before us.
    Exemption 3: FOIA exempts matters “specifically
    exempted from disclosure by statute,” 5 U.S.C. § 552(b)(3),
    including a disclosure violative of Federal Rule of Criminal
    Procedure 6(e), which provides for the secrecy of grand jury
    proceedings. See Stolt-Nielsen Transp. Grp. Ltd. v. United
    States, 
    534 F.3d 728
    , 732 (D.C. Cir. 2008); Fund for Const.
    
    Gov’t, 656 F.2d at 867
    –68. “Rule 6(e) applies if the disclosed
    material would ‘tend to reveal some secret aspect of the grand
    jury’s investigation,’ including ‘the identities of witnesses or
    jurors, the substance of testimony, the strategy or direction of
    the investigation,’ or ‘the deliberations or questions of jurors.’”
    Hodge v. FBI, 
    703 F.3d 575
    , 580 (D.C. Cir. 2013) (quoting
    Senate of 
    Puerto Rico, 823 F.2d at 582
    ). The DOJ cites
    Exemption 3 to withhold “the names of potential grand jury
    witnesses and interview statements pertaining to signed proffer
    agreements and immunity statements, which could be used as
    evidence before a Federal Grand Jury.” Hardy Decl. 24; see
    also 
    id. at 20
    (“Exemption 3 is asserted to protect information
    contained in the FD-302s which identifies specific records that
    may be subpoenaed by a Federal Grand Jury.”).
    The DOJ bears the burden of “demonstrating some ‘nexus
    between disclosure and revelation of a protected aspect of the
    grand jury’s investigation.’” Lopez v. Dep’t of Justice, 
    393 F.3d 1345
    , 1350 (D.C. Cir. 2005) (quoting Senate of Puerto
    
    Rico, 823 F.2d at 584
    ). But we are told only that the requested
    documents contain information that “could be used as evidence
    28
    before a Federal Grand Jury” or “may be subpoenaed by a
    Federal Grand Jury” and therefore that “any such disclosure
    would clearly violate the secrecy of the Grand Jury
    proceedings.” Hardy Decl. 20, 24 (emphases added). This
    conclusory explanation is insufficient. “[T]here is no per se
    rule against disclosure of any and all information which has
    reached the grand jury chambers,” 
    Lopez, 393 F.3d at 1349
    , let
    alone any and all information which “could” reach the grand
    jury, see In re Sealed Case, 
    192 F.3d 995
    , 1001–03 (D.C. Cir.
    1999) (per curiam); Wash. Post Co. v. Dep’t of Justice, 
    863 F.2d 96
    , 100 (D.C. Cir. 1988); see also Stolt-Nielsen Transp.
    Grp. 
    Ltd., 534 F.3d at 732
    (“[T]he government may not bring
    information into the protection of Rule 6(e) and thereby into
    the protection afforded by Exemption 3, simply by submitting
    it as a grand jury exhibit.”). Although we do not doubt that
    some of the requested records may fall under Exemption 3, the
    DOJ has not yet supplied sufficient information for a court to
    make that determination. Senate of Puerto 
    Rico, 823 F.2d at 584
    ; see 
    Lopez, 393 F.3d at 1349
    –51.
    Exemption 7(D):        FOIA also exempts records or
    information compiled for law enforcement purposes to the
    extent disclosure of such records “could reasonably be
    expected to disclose the identity of a confidential source” or
    “information furnished by a confidential source.” 5 U.S.C.
    § 552(b)(7)(D). The DOJ cites this exemption to “protect the
    identities of, and information received from, individuals who
    provided information to the FBI during the course of the . . .
    investigation.” Hardy Decl. 21. Unlike Exemption 7(C),
    Exemption 7(D) does not require balancing. 
    Roth, 642 F.3d at 1184
    ; Davis v. Dep’t of Justice, 
    968 F.2d 1276
    , 1281 (D.C. Cir.
    1992). It does, however, require a showing that the source is a
    confidential one. See 
    Landano, 508 U.S. at 172
    (“[T]he
    question is not whether the requested document is of the type
    that the agency usually treats as confidential, but whether the
    29
    particular source spoke with an understanding that the
    communication would remain confidential.”). “[I]t is not
    enough for the agency to claim that all sources providing
    information in the course of a criminal investigation do so on a
    confidential basis.” 
    Roth, 642 F.3d at 1184
    ; see 
    Landano, 508 U.S. at 180
    –81. Yet that is essentially what the DOJ has done
    by stating, in the alternative and without specific explanation,
    that all of its sources “were interviewed either under express
    confidentiality and/or under circumstances from which an
    assurance of confidentiality may be implied.” Hardy Decl.
    21; see also 
    id. at 30–31
    (explaining how informants provide
    information during the course of “an investigation,” with no tie
    to this investigation). Such boilerplate will not do. See
    Billington v. Dep’t of Justice, 
    233 F.3d 581
    , 584 (D.C. Cir.
    2000) (“This bald assertion that express assurances were given
    amounts to little more than recitation of the statutory standard,
    which we have held is insufficient.”); Campbell v. Dep’t of
    Justice, 
    164 F.3d 20
    , 34–35 (D.C. Cir. 1998) (rejecting
    assertion that express assurances of confidentiality were given
    where declarant demonstrated no basis for knowledge of
    alleged fact); Computer Prof’ls for Soc. Responsibility v.
    Secret Serv., 
    72 F.3d 897
    , 906 (D.C. Cir. 1996) (description of
    “the manner in which an agency ‘routinely’ handles
    information is not sufficient to establish an implied assurance
    of confidentiality as to any particular source”). To invoke
    Exemption 7(D) on remand, the DOJ must either “present
    probative evidence that the source did in fact receive an
    express grant of confidentiality,” 
    Campbell, 164 F.3d at 34
    (quotation omitted), or “‘point to more narrowly defined
    circumstances that . . . support the inference’ of
    confidentiality.” 
    Roth, 642 F.3d at 1184
    (quoting 
    Landano, 508 U.S. at 179
    ).
    Exemption 7(E):     FOIA also exempts records or
    information compiled for law enforcement purposes to the
    30
    extent release of such records “would disclose techniques and
    procedures for law enforcement investigations or prosecutions,
    or would disclose guidelines for law enforcement
    investigations or prosecutions if such disclosure could
    reasonably be expected to risk circumvention of the law.” 5
    U.S.C. § 552(b)(7)(E). The DOJ cites Exemption 7(E) “to
    protect procedures and techniques used by FBI [agents] during
    the investigation.” Hardy Decl. 21; accord 
    id. at 31.
    This
    near-verbatim recitation of the statutory standard is inadequate.
    We are not told what procedures are at stake. (Perhaps how
    the FBI conducts witness interviews? Or how it investigates
    public corruption?) Nor are we told how disclosure of the
    FD-302s or investigative materials could reveal such
    procedures.     (Are the procedures spelled out in the
    documents? Or would the reader be able to extrapolate what
    the procedures are from the information contained therein?)
    Although Exemption 7(E) sets a “low bar for the agency to
    justify withholding,” Blackwell v. FBI, 
    646 F.3d 37
    , 42 (D.C.
    Cir. 2011), the agency must at least provide some explanation
    of what procedures are involved and how they would be
    disclosed. See 
    id. (FBI sought
    to withhold “details about
    procedures used during the forensic examination of a computer
    by an FBI forensic examiner” (quotation marks omitted));
    Mayer Brown LLP v. IRS, 
    562 F.3d 1190
    , 1192 (D.C. Cir.
    2009) (IRS sought to withhold information setting forth
    “settlement strategies and objectives, assessments of litigating
    hazards, and acceptable ranges of percentages for settlement”
    (quotation marks and alteration omitted)); Morley v. CIA, 
    508 F.3d 1108
    , 1128–29 (D.C. Cir. 2007) (CIA sought to withhold
    information revealing procedures for conducting security
    clearances and background investigations).8
    8
    Twice the DOJ asserted that disclosure of the requested
    records “could enable the targets of these techniques to avoid
    detection or develop countermeasures to circumvent the ability of
    31
    III
    The DOJ has not met its burden to justify categorical
    withholding under Exemption 7(A) or 7(C). Nor has it
    provided sufficient detail at this stage for a court to determine
    whether a portion of the requested records may be withheld
    under Exemption 3, 7(D) or 7(E). Summary judgment for the
    defendant is therefore reversed and the case is remanded for
    further proceedings consistent with this opinion.
    So ordered.
    the FBI to effectively use important law enforcement techniques.”
    Hardy Decl. 21, 31. We note some disagreement whether the “risk
    of circumvention” requirement applies to records containing
    “techniques and procedures” or only to records containing
    “guidelines.” See Pub. Emps. for Envtl. 
    Responsibility, 740 F.3d at 204
    n.4. We need not pursue that issue, however, because the
    antecedent questions of what techniques and procedures are involved
    and how they could be disclosed have not been answered
    sufficiently.
    

Document Info

Docket Number: 12-5223

Citation Numbers: 409 U.S. App. D.C. 113, 746 F.3d 1082, 2014 U.S. App. LEXIS 5974, 2014 WL 1284811

Judges: Henderson, Edwards, Sentelle

Filed Date: 4/1/2014

Precedential Status: Precedential

Modified Date: 11/5/2024

Authorities (59)

Milner v. Department of the Navy , 131 S. Ct. 1259 ( 2011 )

Federal Bureau of Investigation v. Abramson , 102 S. Ct. 2054 ( 1982 )

Kimberlin v. Department of Justice , 139 F.3d 944 ( 1998 )

United States Department of Justice v. Landano , 113 S. Ct. 2014 ( 1993 )

Bibles, Oregon Director, Bureau of Land Management v. ... , 117 S. Ct. 795 ( 1997 )

National Archives & Records Administration v. Favish , 124 S. Ct. 1570 ( 2004 )

Arthur B. Keys, Jr. v. United States Department of Justice , 830 F.2d 337 ( 1987 )

John R. Mapother, Stephen E. Nevas v. Department of Justice , 3 F.3d 1533 ( 1993 )

Penny Bevis v. Department of State Jay Peterzell v. ... , 801 F.2d 1386 ( 1986 )

Campbell v. United States Department of Justice , 164 F.3d 20 ( 1998 )

Karl Gallant v. National Labor Relations Board , 26 F.3d 168 ( 1994 )

Billington v. U.S. Department of Justice , 233 F.3d 581 ( 2000 )

Computer Professionals for Social Responsibility v. United ... , 72 F.3d 897 ( 1996 )

United States Department of State v. Ray , 112 S. Ct. 541 ( 1991 )

Military Audit Project, Felice D. Cohen, Morton H. Halperin ... , 656 F.2d 724 ( 1981 )

Senate of the Commonwealth of Puerto Rico on Behalf of ... , 823 F.2d 574 ( 1987 )

Robert Charles Beck v. Department of Justice , 997 F.2d 1489 ( 1993 )

Fund for Constitutional Government v. National Archives and ... , 656 F.2d 856 ( 1981 )

Robert G. Vaughn v. Bernard Rosen, Executive Director, ... , 484 F.2d 820 ( 1973 )

In Re: Sealed Case No. 99-3091(office of Independent ... , 192 F.3d 995 ( 1999 )

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