                           UNITED STATES DISTRICT COURT
                           FOR THE DISTRICT OF COLUMBIA

 RALPH SCHOENMAN,

           Plaintiff,

      v.                                                   Civil Action No. 04-02202 (CKK)

 FEDERAL BUREAU OF
 INVESTIGATION, et al.,

           Defendants.


                                 MEMORANDUM OPINION
                                    (February 9, 2011)

       Plaintiff Ralph Schoenman (“Schoenman”), a self-described political activist and author,

commenced this action against a variety of named and unnamed agencies, including the Federal

Bureau of Investigation (the “FBI”), pursuant to the Freedom of Information Act (“FOIA”), 5

U.S.C. § 552, and the Privacy Act of 1974 (the “Privacy Act”), 5 U.S.C. § 552a, seeking an array

of records concerning himself, Lord Bertrand Russell, and various named organizations. This

Court previously granted-in-part and denied-in-part the parties’ respective cross-motions for

summary judgment and the parties were instructed to, and in fact did, file renewed motions

addressing various concerns identified by the Court. Presently before the Court is the FBI’s

[135] Partial Renewed Motion for Summary Judgment (“Renewed Motion for Summary

Judgment”) and Schoenman’s [143] Renewed Cross-Motion for Summary Judgment and Other

Relief (“Renewed Cross-Motion for Summary Judgment”). Based upon the parties’ submissions,

the relevant authorities, and the record as a whole, the Court shall GRANT the FBI’s Renewed

Motion for Summary Judgment and DENY Schoenman’s Renewed Cross-Motion for Summary
Judgment.1 Furthermore, because there are no viable claims remaining against the FBI in this

action, the Court shall DISMISS the FBI as a defendant.

                                        I. BACKGROUND

       The Court assumes familiarity with its prior opinions in this action, which set forth in

detail the extensive history of this case, and shall therefore only address the factual and

procedural background necessary to address the discrete issues currently before the Court.

       By letters dated July 24, 2001 and July 27, 2001, Schoenman, through counsel, submitted

various FOIA requests to the FBI seeking the disclosure of an array of records pertaining to a

variety of subjects including himself, Lord Bertrand Russell, and six named organizations.2


       1
           The Court has considered the following documents in the course of rendering its
decision, listed in chronological order of their filing: Def.’s Mem. of P. & A. in Supp. of Partial
Renewed Mot. for Summ. J. (“Def.’s Mem.”), Docket No. [135]; Def.’s Stmt. of Material Facts
as to Which There Is No Genuine Issue, Pursuant to Local Civil Rule 7(h), Docket No. [135];
Sixth Decl. of David M. Hardy (“6th Hardy Decl.”), Docket No. [135-1]; Pl.’s Mem. of P. & A. in
Supp. of Pl.’s Renewed Cross-Mot. for [Summ.] J. and Other Relief and in Opp’n to Def. Federal
Bureau of Investigation’s Renewed Partial Mot. for Summ. J. (“Pl.’s Mem.”), Docket No. [143];
Pl.’s Stmt. of Material Facts, Docket No. [143-12]; Decl. of Ralph Schoenman in Resp. to Sixth
Hardy Decl. (“Schoenman Decl.”), Docket No. [143-10]; Decl. of James H. Lesar (“Lesar
Decl.”), Docket No. [143-11]; Def.’s Opp’n to Pl.’s Mot. for “Other Relief,” Docket No. [142];
Def.’s Opp’n to “Pl.’s Renewed Cross-Mot. for Summ. J. and Other Relief” and Reply to Pl.’s
Opp’n in Further Supp. of Def.’s Mot. for Summ. J. (“Def.’s 2d Mem.”), Docket No. [141];
Def.’s Counter-Stmt. of Material Facts, Docket No. [141]; Pl.’s Reply to Def. Federal Bureau of
Investigation’s Opp’n to Pl.’s Renewed Cross-Mot. for Summ. J. (“Pl.’s 2d Mem.”), Docket No.
[148]; Pl.’s Notice of Filling [sic] of Corrected Exhibits (“Pl.’s Suppl. 2d Mem.”), Docket No.
[149]; Pl.’s Notice of Filing (“Pl.’s 3d Mem.”), Docket No. [150]; Def.’s Resp. to Pl.’s October
8, 2010 “Notice of Filing” (“Def.’s 3d Mem.”), Docket No. [151]; Seventh Decl. of David M.
Hardy (“7th Hardy Decl.”), Docket No. [151-1]. The parties have filed a variety of notices and
supplemental papers relating to the pending motions and other past and present motions. For
purposes of economy, the Court shall not cite to those documents here, but notes that it renders
its decision today upon the parties’ submissions, the attachments thereto, and the record as a
whole.
       2
        The six organizations are: the Bertrand Russell Peace Foundation; the Bertrand Russell
Peace Foundation, New York; the International War Crimes Tribunal; the Who Killed Kennedy

                                                  2
Second Decl. of David M. Hardy, Docket No. [73-1], ¶¶ 5, 28, 41, 49, 61 & Exs. A, X, KK, SS,

BBB. The FBI acknowledged receipt of Schoenman’s requests and searched its records,

producing some materials and withholding others in full or in part. Id. ¶¶ 10, 14, 16, 37-40, 45,

54, 57, 60, 62-63 & Exs. F, I, K, GG, HH, II, JJ, OO, AAA, CCC, DDD. Unsatisfied with the

FBI’s response, Schoenman commenced this action on December 20, 2004, naming the FBI as a

defendant along with a host of other identified and unidentified agencies subject to similar

requests for information. Compl., Docket No. [1]. In the succeeding years, Schoenman’s claims

have been successively winnowed down by orders of this Court, two of which merit explicit

mention here because they pertain to Schoenman’s claims against the FBI in particular.

       On June 5, 2006, the Court dismissed without prejudice certain claims against the FBI

based upon Schoenman’s failure to exhaust his administrative remedies. Schoenman v. Fed.

Bureau of Investigation, No. 04 Civ. 2202 (CKK), 2006 WL 1582253 (D.D.C. June 5, 2006).

Thereafter, the parties agreed to proceed with motions for summary judgment based upon a

sample of the records withheld in full or in part by the FBI. See Joint Status Report, Docket No.

[34], at 4; Joint Status Report, Docket No. [41], at 2. Schoenman selected the records to serve as

the subject of the FBI’s Vaughn index3 and, using that sample as the focus point, Schoenman and

the FBI each moved for summary judgment. See Mot. for Summ. J. on Behalf of Def. Federal

Bureau of Investigation, Docket No. [73]; Pl.’s Cross-Mot. for Summ. J., Docket No. [92].




Committee; the Bertrand Russell Research Center; and the Citizens Committee of Inquiry.
       3
          In Vaughn v. Rosen, 484 F.2d 820 (D.C. Cir. 1973), cert. denied, 415 U.S. 977 (1974),
the United States Court of Appeals for the District of Columbia Circuit held that agencies should
generally prepare an itemized index correlating each withheld document (or portion thereof) with
a specific exemption and the agency’s justification for non-disclosure.

                                                 3
       On March 31, 2009, the Court issued a decision addressing the parties’ respective cross-

motions for summary judgment. Schoenman v. Fed. Bureau of Investigation, 604 F. Supp. 2d

174 (D.D.C. 2009). In that decision, the Court found as follows: the FBI had improperly denied

Schoenman’s requests for a fee waiver; Schoenman had conceded that the FBI’s search for

responsive records was reasonable; and the FBI’s proffered Vaughn index was defective. See

generally id. On this final point, the Court characterized the FBI’s Vaughn index as “utterly

inadequate” and proceeded to identify a litany of infirmities in the FBI’s submissions at that time.

See id. at 194-204. While the Court shall describe those infirmities in greater detail in the course

of evaluating the adequacy of the revised Vaughn index now relied upon by the FBI, see infra

Part III.B, at this point it suffices to observe that the infirmities were sufficiently pronounced so

as to prevent the Court from evaluating the propriety of the FBI’s withholding decisions and

assessing whether the FBI should be required to reprocess or release records responsive to

Schoenman’s requests. See Schoenman, 604 F. Supp. 2d at 195-96. The Court therefore denied

the parties’ respective cross-motions for summary judgment without prejudice as they pertained

to these issues, with leave to renew after the FBI prepared a proper Vaughn index. Id.

       Shortly thereafter, the parties jointly submitted a proposed schedule for resolving the

outstanding issues identified by the Court in its decision. See Joint Status Report & Proposed

Briefing Schedule, Docket No. [113]. By mutual agreement, the FBI would first reprocess the

full universe of responsive documents and re-release the disclosable portions thereof to

Schoenman. Id. at 2. Thereafter, Schoenman would select a sample of approximately 10% of all

responsive records to serve as the subject of a revised Vaughn index. Id. At the penultimate

step, the parties would meet and confer to review each document selected by Schoenman and


                                                  4
address any misunderstandings. Id. at 4. Only thereafter would the parties file renewed motions

for summary judgment. Id.

       The Court agreed with the proposed course of action and entered a schedule

corresponding to the steps identified by the parties. Min. Order (Apr. 21, 2009). By July 1,

2009, the FBI had reprocessed all of the records responsive to Schoenman’s requests—a total of

3,987 pages—and produced the disclosable parts thereof to Schoenman. See Status Report,

Docket No. [118], at 1. Schoenman then selected 402 pages to serve as the representative

sample—10.1% of all responsive records—and the parties certified that they were in agreement

as to the composition of the sample. Joint Status Report, Docket No. [123], at 1. Unfortunately,

the process unraveled when, in the course of preparing its Renewed Motion for Summary

Judgment, the FBI discovered that additional material within the sample could be released. 6th

Hardy Decl. ¶ 34. That discovery prompted the FBI to reprocess the full universe of responsive

records a second time. Id. Based upon that second reprocessing, the FBI supplemented its

production to Schoenman, ultimately producing 2,983 out of a total of 3,987 pages to Schoenman

on January 19, 2010. Id. ¶ 34 & Ex. S. Regrettably, neither party took the reasonable step of

advising the Court of these developments. See infra Part III.A.1. Instead, the parties proceeded

to brief their renewed cross-motions for summary judgment. The FBI filed its [135] Renewed

Motion for Summary Judgment on January 21, 2010. See Def.’s Mem. Schoenman filed his

[143] Renewed Cross-Motion for Summary Judgment on March 3, 2010. See Pl.’s Mem. After

a series of successive filings, some of which were filed out of time and without prior leave of the

Court, both motions have now been fully briefed and are ripe for adjudication.




                                                 5
                                    II. LEGAL STANDARD

       Congress enacted FOIA to introduce transparency into government activities. Stern v.

Fed. Bureau of Investigation, 737 F.2d 84, 88 (D.C. Cir. 1984). Congress remained sensitive,

however, to the need to achieve balance between this objective and the vulnerability of

“legitimate governmental and private interests [that] could be harmed by release of certain types

of information.” Critical Mass Energy Project v. Nuclear Regulatory Comm’n, 975 F.2d 871,

872 (D.C. Cir. 1992), cert. denied, 507 U.S. 984 (1993). For this reason, FOIA provides nine

exemptions pursuant to which an agency may withhold requested information. See 5 U.S.C. §

552(b)(1)-(9). “Consistent with the purpose of the Act, the burden is on the agency to justify

withholding requested documents,” Beck v. Dep’t of Justice, 997 F.2d 1489, 1491 (D.C. Cir.

1993), and only after an agency has proven that it has fully discharged its obligations is summary

judgment appropriate, Moore v. Aspin, 916 F. Supp. 32, 35 (D.D.C. 1996) (citing Weisberg v.

U.S. Dep’t of Justice, 705 F.2d 1344, 1350 (D.C. Cir. 1983)).

       In reviewing motions for summary judgment in this context, the district court must

conduct a de novo review of the record, 5 U.S.C. § 552(a)(4)(B), which “requires the court to

ascertain whether the agency has sustained its burden of demonstrating that the documents

requested . . . are exempt from disclosure,” Assassination Archives & Research Ctr. v. Cent.

Intelligence Agency, 334 F.3d 55, 57 (D.C. Cir. 2003) (internal quotation marks omitted).

Summary judgment is proper when the pleadings, the discovery materials on file, and any

affidavits or declarations “show[] that there is no genuine dispute as to any material fact and the

movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). The agency must

show, viewing the facts in the light most favorable to the requester, that there is no genuine issue


                                                 6
of material fact. Steinberg v. U.S. Dep’t of Justice, 23 F.3d 548, 551 (D.C. Cir. 1994). With

these principles in mind, the Court turns to the merits of the parties’ renewed cross-motions for

summary judgment.

                                         III. DISCUSSION

        The Court’s discussion proceeds in six parts: first, the Court shall explain why

Schoenman is not entitled to a further reprocessing of the records responsive to his requests

based upon the FBI’s decision to reprocess the records a second time or as a result of the

purported “error rate” in its reprocessing efforts, see infra Part III.A; second, the Court shall

explain why, despite Schoenman’s myriad arguments to the contrary, the FBI has discharged its

burden of providing an adequate Vaughn index, see infra Part III.B; third, the Court shall explain

why the FBI has met its burden of justifying the invocation of various exemptions to the

disclosure of information responsive to Schoenman’s requests, see infra Part III.C; fourth, the

Court shall explain why it is satisfied that the FBI has disclosed all reasonably segregable items

of information responsive to Schoenman’s requests, see infra Part III.D; fifth, the Court shall

explain why Schoenman may not relitigate the reasonableness of the FBI’s search for records, see

infra Part III.E; and sixth, and finally, the Court shall explain why Schoenman is not entitled to

discovery in this action, see infra Part III.F.

        A.      Schoenman Is Not Entitled to a Further Reprocessing of the Records
                Responsive to His Requests

        At the outset, the Court must address two preliminary issues that, depending on their

outcomes, could have reverberations across the parties’ respective cross-motions for summary

judgment. Briefly stated, Schoenman claims that various defects in the FBI’s procedures for

processing the records responsive to his requests require a further reprocessing of all the records

                                                  7
at issue in this action. Pl.’s Mem. at 2-5; Pl.’s 2d Mem. at 1-7. Distilled to their essence, his

arguments divide into two categories. Schoenman first asserts that the FBI’s decision to

unilaterally undertake a second reprocessing of all the records at issue, after the parties had

already agreed upon the composition of the sample to be used for purposes of briefing their

respective motions for summary judgment, undermines the representativeness of the sample

selected. Pl.’s 2d Mem. at 1-7. Next, Schoenman argues that the “error rate” in the FBI’s

reprocessing efforts is unacceptably high, such that further reprocessing is required. Pl.’s Mem.

at 2-5; Pl.’s 2d Mem. at 7. The Court addresses each argument in turn.

               1.      Further Reprocessing Is Not Warranted Based Upon the FBI’s
                       Second Reprocessing Efforts and Supplemental Production

        After the FBI had already once reprocessed the records at issue in this action and the

parties had agreed upon the composition of the representative sample to be used for purposes of

briefing the parties’ motions for summary judgment, unbeknownst to the Court or Schoenman,

the FBI unilaterally decided to reprocess the full universe of records responsive to Schoenman’s

requests a second time. Two days before it filed its Renewed Motion for Summary Judgment,

the FBI supplemented its production to release additional information previously withheld. Now,

Schoenman contends that the FBI’s course of conduct vitiates the representativeness of the

sample, arguing that (a) the FBI has in effect “cherry picked” the sample by removing its weakest

exemption claims, and (b) the FBI has failed to adequately explain why it is now releasing

information that it previously withheld. Pl.’s 2d Mem. at 1-7. While the Court is displeased with

the course of conduct chosen by the FBI in this case, it nevertheless concludes that the sample

remains valid and that no further reprocessing is required.




                                                  8
                       i.      Both parties are at fault for the present posture of this case.

       The Court begins with a more fulsome description of the relevant procedural history.

Shortly after the Court’s decision addressing the parties’ first round of motions for summary

judgment, the parties jointly submitted a proposed schedule for resolving the various outstanding

issues identified by the Court. See Joint Status Report & Proposed Briefing Schedule, Docket

No. [113]. Having had the opportunity to review the Court’s decision, the FBI determined that

“the best course of action” was to first reprocess the full universe of responsive documents in

their entirety and to re-release the disclosable portions thereof to Schoenman. Id. at 2.

Schoenman consented to this course of action and, by mutual agreement, the parties proposed

that the FBI would complete its reprocessing efforts on or before June 30, 2009. Id. Thereafter,

Schoenman would select a sample of approximately 10% of all responsive records to serve as the

subject of a revised Vaughn index. Id. The parties would then meet and confer to review each

document selected by Schoenman and address any misunderstandings. Id. at 4. Only thereafter

would the parties file their renewed motions for summary judgment. Id.

       The Court agreed with the proposed course of action and entered a schedule

corresponding to the steps identified by the parties. Min. Order (Apr. 21, 2009). At first, the

process proceeded as planned. On July 1, 2009, the FBI advised the Court that it had reprocessed

all responsive records—a total of 3,987 pages—and had produced the disclosable parts thereof to

Schoenman. Status Report, Docket No. [118], at 1. Schoenman subsequently selected slightly

over 400 pages to serve as the representative sample and, on September 17, 2009, the parties

advised the Court that they had met and conferred concerning the composition of the sample.

See Joint Status Report, Docket No. [123], at 1. Both parties certified that they were “in



                                                 9
agreement with the list of pages selected by [Schoenman].” Id.

       Unfortunately, things were not to be so simple. On November 13, 2009, the FBI advised

the Court that it had “encountered administrative difficulties, largely unforseen, with respect to

the preparation and the coding of the FBI’s sample Vaughn declaration.” Def.’s Unopposed Mot.

for Enlargement of Time, Docket No. [130], at 1-2. The FBI did not identify those “difficulties”

with particularity, nor suggest that it was anticipating supplementing its production to

Schoenman. Id. Schoenman consented to, and the Court allowed, an extension of the briefing

schedule to accommodate these issues. Id. at 4; Min. Order (Nov. 16, 2009). On January 13,

2010, on the eve of the relevant deadline, the FBI requested a further extension. Def.’s

Unopposed Mot. for an Enlargement of Time, Docket No. [134]. The only basis for the

requested extension was the illness of counsel; the FBI never suggested that it was anticipating

supplementing its production to Schoenman. Id. Schoenman again consented to, and the Court

allowed, the extension. Id. at 2; Min. Order (Jan. 14, 2010).

        According to the FBI, in the course of preparing its Renewed Motion for Summary

Judgment, its review of the sample records selected by Schoenman revealed that “additional

material from those pages selected could be released.” 6th Hardy Decl. ¶ 34. However, the FBI

did not stop there, concluding that, in light of these discoveries, “a full re-review of the

approximate total of 3,987 pages was necessary.” Id. Therefore, without prior notification to the

Court or Schoenman, the FBI proceeded upon a second reprocessing of the full universe of

records responsive to Schoenman’s requests. Id. On January 19, 2010, less than a week after it

had last requested an extension of time from the Court, the FBI supplemented its production, re-

releasing 2,983 of a total of 3,987 pages to Schoenman. Id. ¶ 34 & Ex. S. The FBI filed its



                                                  10
Renewed Motion for Summary Judgment a mere two days later.

       With this procedural landscape set out, some observations are in order. On the one hand,

the FBI should be commended for voluntarily conducting a complete, second review of all the

records at issue once it discovered for itself that there were issues with a limited subset of its

withholding decisions. Lest they endorse the ossification of unreasonable and indefensible

litigation positions, courts should create an atmosphere encouraging of such proactive, voluntary

efforts on the part of agencies. On the other hand, it is simply inexplicable that the FBI never

alerted the Court of its intention to engage in a second reprocessing before it filed its Renewed

Motion for Summary Judgment, especially since the FBI’s was, in the same time period, actively

seeking extensions of time to prepare that motion. The Court had set a schedule designed to

secure the parties’ agreement as to the precise composition of the representative sample to be

used, and the FBI, on its own accord, decided to undermine that process. The FBI could have,

and should have, secured Schoenman’s consent and notified the Court so that it might adjust the

schedule as it deemed necessary to preserve this design. The Court shall not belabor the point:

the FBI is cautioned that it should refrain from such behavior in the future or suffer the

consequences.

       Nearly equally disturbing, however, is that Schoenman waited an extraordinary three

months to raise the issue. After receiving the FBI’s supplemental production and its Renewed

Motion for Summary Judgment, Schoenman filed four separate requests for an extension of time

to respond. See Pl.’s Unopposed Mot. for Extrension [sic] of Time to Respond to the Federal

Bureau of Investigation’s Renewed Mot. for Partial Summ. J., Docket No. [136]; Pl.’s

Unopposed Mot. for Extension of Time to Respond to the Federal Bureau of Investigation’s



                                                  11
Renewed Mot. for Partial Summ. J., Docket No. [137]; Pl.’s Unopposed Mot. for One-Day

Extension of Time to Respond to the Federal Bureau of Investigation’s Renewed Mot. for Partial

Summ. J., Docket No. [138]; Pl.’s Mot. for Leave to Bile [sic] Renewed Cross-Mot. for Summ.

J. Out-of-time, Docket No. [139]. Not once in the course of making these four requests did

Schoenman advise the Court that the FBI had unilaterally conducted a second reprocessing of the

documents at issue, let alone suggest that this might be grounds for questioning the validity of the

sample that he had selected and the parties certified. Nor did Schoenman otherwise raise the

issue at any time in the nearly two months that elapsed between the FBI’s supplemental

production and the time he filed his opening papers responding to the FBI’s Renewed Motion for

Summary Judgment. Even then, Schoenman did not directly raise the argument he makes

now—i.e., that the FBI’s decision to reprocess the records at issue a second time somehow

vitiated the representativeness of the agreed-upon sample. See generally Pl.’s Mem. Instead,

Schoenman only argued that the FBI’s release of additional information suggested that there was

an unacceptably high “error rate” in the FBI’s processing procedures, see Pl.’s Mem. at 3-5;

Lesar Decl. ¶¶ 1-3, an argument addressed elsewhere in this opinion, see infra Part III.A.2. It

was not until Schoenman filed his reply papers, over three months after the FBI’s supplemental

production, that he first suggested that the FBI’s second reprocessing efforts undermined the

representativeness of the sample.4 See Pl.’s 2d Mem. at 3-7. Like the FBI, Schoenman could

have, and should have, brought the matter to the Court’s attention months earlier.


       4
          Ordinarily, the Court would disregard an argument raised for the first time in reply
papers to which the opposing party has had no opportunity to respond. However, because the
FBI arguably opened the door to the issue in its preceding memorandum, see Def.’s 2d Mem. at
5-7, the Court has, in an exercise of its discretion, decided to reach the merits of Schoenman’s
argument.

                                                12
                       ii.    Schoenman’s arguments do not cast doubt on the
                              representativeness of the sample selected by the parties.

       As evidenced by the foregoing account, both parties must bear some of the fault for where

this action stands today, albeit perhaps to differing degrees. The question that remains, however,

is what to make of the situation. On the one hand, both parties have at one time certified that

they are in agreement with the sample selected by Schoenman. See Joint Status Report, Docket

No. [123], at 1. On the other hand, Schoenman proffers two separate arguments as to why the

FBI’s second reprocessing efforts, occurring after the parties had already agreed to the

composition of the sample, undermine the representativeness of the sample. Pl.’s 2d Mem. at 1-

7. Schoenman first argues that the FBI has in effect “cherry picked” the sample by removing its

weakest exemption claims from dispute. Id. at 6. He then argues that the FBI has failed to

adequately explain why it released additional information that it had previously withheld. Id. at

7. Because the Court finds that neither argument undercuts the conclusion that the sample

selected by the parties remains sufficiently representative of the larger universe of documents

covered by Schoenman’s requests, it concludes that a further reprocessing of the full universe of

responsive documents is unwarranted in this case.

       Schoenman’s arguments might have some merit had the FBI, in course of preparing its

Renewed Motion for Summary Judgment, discovered that there were issues with its withholding

decisions as they pertained to the sample records, supplemented its production to release

additional information only within the sample records, and gone no further. Critically, however,

the FBI did not stop there, but proceeded to reprocess the entirety of the approximately 3,987

pages of responsive records a second time, ensuring that the full universe of records at issue in

this action was processed according to the same standards and procedures. 6th Hardy Decl. ¶ 34.


                                                13
As a result, there is nothing inherent in the FBI’s second reprocessing efforts that would cast

doubt on the representativeness of the sample selected by Schoenman and agreed upon by the

parties.

           Because the FBI’s second reprocessing efforts extended across the board, Schoenman is

misguided in relying upon authorities addressing the question of what happens when an agency

restricts its reprocessing efforts to the representative sample alone. In such situations, unlike

here, there is reason to suspect that the agency’s limited reprocessing efforts have differentiated

the sample from the larger universe of documents in such a way as to render the sample less

“representative” of the group as a whole (and, more likely than not, in a way more favorable to

the agency’s position). Both of the authorities relied upon by Schoenman fall within this

category.

           Schoenman first cites to the decision of the United States Court of Appeals of the District

of Columbia Circuit in Meeropol v. Meese, 790 F.2d 942 (D.C. Cir. 1986). In that case, the

district court examined the agency’s 301-page sample in camera, a sample which included 75

pages of records that were released in an earlier phase of the litigation and reprocessed by the

agency in order to determine whether withholding was appropriate. Id. at 956, 959. Notably,

those 75 pages were merely representative of tens of thousands of pages of similar records falling

outside of the sample; the agency did not reprocess the remaining tens of thousands of pages. Id.

Based upon its limited reprocessing, the agency concluded that 19 of the 75 sample pages were

improperly withheld—a conceded “error rate” of approximately 25%. Id. at 960. Considering

this error rate alongside the district court’s independent finding that the agency had been

“intransigent” at the time that it conducted its first round of review, the Court of Appeals



                                                   14
considered it likely that many of the tens of thousands of pages falling outside the scope of the

sample were also never appropriately processed and improperly withheld. Id. Clearly, there are

various reasons why Meeropol is inapposite, not the least of which being that the FBI has never

been found to have acted “intransigently” at any time in this action. However, the principal fault

with Schoenman’s attempt to draw a line between that situation and the present is that the FBI’s

reprocessing efforts in the instant case, in stark contrast to Meeropol, were not limited to the

discrete sample selected by the parties, but rather extended to the complete universe of 3,987

pages responsive to Schoenman’s requests. 6th Hardy Decl. ¶ 34 & Ex. S. There is therefore no

reason to suspect that the FBI has voluntarily and strategically disclosed a type of information

within the sample that might also be interspersed throughout the universe of responsive records

and improperly withheld. To use Schoenman’s chosen parlance, there is no indication that the

FBI has somehow “cherry picked” the sample by removing from consideration its weakest

exemption claims. Pl.’s 2d Mem. at 6.

       Schoenman also misreads the decision of the Court of Appeals in Bonner v. U.S. Dep’t of

State, 928 F.2d 1148 (D.C. Cir. 1991). In that case, the parties agreed upon using a sample of 63

documents for purposes of testing the agency’s exemption claims. Id. at 1149. However, when

the agency furnished its Vaughn index, only 44 of the 63 sample documents were covered; the

agency decided sua sponte to release the remaining 19 documents in full without explaining why

it had changed its mind—a potential “error rate” of approximately 30%. Id. The Court of

Appeals concluded that the district court erred by failing to consider the propriety of the agency’s

initial decision to withhold information from the 19 documents, providing that “[a] Vaughn index

. . . for fully but recently released documents that are part of a representative sample, should



                                                 15
explain why the once withheld portions were excised at the time of the agency’s initial review.”

Id. at 1152-53. It therefore remanded to the district court to assess the agency’s initial decision to

withhold information from the 19 documents and, from that, determine the error rate across the

sample group of 63 documents. Id. at 1154. The rationale is plain: where an agency belatedly

discloses information that is part of a representative sample (but does not similarly reprocess the

larger universe of responsive records), it must provide the district court with a credible

explanation as to why it has changed its mind; otherwise, the sensible conclusion to be drawn is

that the agency erred and that it erred at the same rate across all responsive documents. No such

explanation is required here for the simple reason that the FBI never limited its reprocessing

efforts to the sample; as such, this Court is not tasked with determining whether the FBI’s

abandoned withholding decisions should be treated as erroneous and, if so, whether those errors

should be imputed to the larger universe of responsive records.

       The critical point here is that Schoenman’s cited authorities both involved instances in

which the agency, when faced with the prospect of justifying its withholding decisions as to a

discrete set of sample documents, proceeded as follows: it reprocessed the discrete set of sample

documents, it discovered unjustifiable withholdings within the sample set, and it elected to

strategically disclose the indefensible information within the sample set. In neither instance did

the agency, after uncovering a concerning incidence of errors, take the additional step—like the

FBI did here—of proactively reprocessing not just the discrete set of sample documents, but also

the full universe of responsive documents that were processed in the first instance according to

the same, apparently defective, procedures and guidelines. In such a position, the agency must

either (a) justify its belated production of information within the sample set in such a way that



                                                 16
permits the district court to conclude that the sample nevertheless remains sufficiently sound

such that conclusions may be extrapolated from the sample to the larger universe of withheld

materials, or (b) reprocess the entire universe of documents at issue so that the court may

conclude that the sample is representative of the larger universe of responsive documents as a

whole—to, in effect, start with a clean slate. The FBI opted for the latter path and, although the

better practice certainly would have involved notifying the Court and Schoenman before

proceeding down this path, the fact that it failed to do so does not undermine the conclusion that

the sample selected by the parties remains representative.

       Viewed from a slightly different perspective, Schoenman’s arguments must fail for the

fundamental reason that he has already received all the relief to which he might hypothetically

have been entitled as a result of any errors in the FBI’s first reprocessing efforts. Critically, in

each of the authorities cited by Schoenman, the only contemplated relief was a further

reprocessing of the broader universe of the records at issue, such that would realign the sample

with the whole. See Meeropol, 790 F.2d at 960; Bonner, 928 F.2d at 1154. Therefore, even

assuming, arguendo, that the FBI released additional information as a result of errors in its first

reprocessing efforts (as opposed to, for example, the application of an intervening change in law

favoring more liberal disclosure), the FBI voluntarily reprocessed all the records at issue in this

action a second time. 6th Hardy Decl. ¶ 34 & Ex. S. This renders Schoenman’s argument, in

effect, moot.

        In the end, Schoenman has proffered no argument that would undercut the conclusion

that the sample agreed upon by the parties is sufficiently representative of the larger universe of

records at issue in this case. The Court underscores that, in the many months since the FBI first



                                                  17
served its supplemental production, Schoenman has never suggested that he would have selected

a different set of records to comprise the sample had the FBI completed its second reprocessing

earlier in time, let alone specifically identified what other documents he might include or

articulated how the FBI’s supplemental production could meaningfully alter the sample to be

selected. Schoenman has tendered only two basic arguments in favor of requiring a further

reprocessing of the records at issue in this action and, for the reasons just described, each

argument is without merit. The record simply does not support the conclusion that the sample

today is any less representative than it was when it was first selected by Schoenman and certified

by the parties. Accordingly, the Court concludes that a further reprocessing of the larger universe

of records responsive to Schoenman’s requests is not warranted on this basis.

               2.      Further Reprocessing Is Not Warranted Based Upon the Alleged
                       “Error Rate” in the Sample

       Separately, Schoenman contends that the “error rate” in the sample is so “unacceptably

high” as to require a further reprocessing of all the records responsive to his various requests.5

Pl.’s Mem. at 2-5; Pl.’s 2d Mem. at 7. From the 402 pages that comprise the sample set,

Schoenman subtracts various cover sheets and placeholders representing documents that have

been withheld, misplaced, or referred to other agencies. Pl.’s Mem. at 2. After a series of

calculations, Schoenman asserts that 25% of the pages in the sample “contain additional

information” that was only produced after the FBI reprocessed the records at issue a second time,


       5
          This argument is in some tension with Schoenman’s contention that the sample is
invalid by virtue of the FBI’s supplemental production, as it proceeds upon the
assumption—never acknowledged by Schoenman—that the sample is sufficiently representative
such that the Court could extrapolate the “error rate” from the sample to the larger universe of
responsive records. The tension is ultimately of no moment, as the Court has concluded that the
sample is indeed representative.

                                                 18
paints this as the “error rate” in the FBI’s reprocessing efforts, and avers that this alone “requires

that all records be reprocessed.” Id. at 3. Schoenman’s characterization of the purported “error

rate” is not persuasive. Simply put, his calculations are inaccurate and misleading, and his

argument again ignores the fact that the FBI has already reprocessed all the records at issue.

        True, after reprocessing the records at issue in this action a second time, the FBI released

additional information previously withheld from a total of approximately 52 pages that were

included in the sample selected by Schoenman. 6th Hardy Decl. ¶ 36 n.6 & n.7. But even

assuming, arguendo, that all 52 pages with additional releases were the result of errors in the

FBI’s earlier processing efforts, the “error rate,” as that term is used by Schoenman, is at most

12.9%.6 This figure falls considerably short of the 25% error rate described as “unacceptably

high” by the United States Court of Appeals for the District of Columbia Circuit. See Meeropol,

790 F.2d at 960. Schoenman has cited no authority within this Circuit, and the Court is aware of

none, providing that a 12.9% error rate within the representative sample is sufficient to trigger a

duty on the agency’s part to reprocess all responsive records.

        While the Court is not entirely convinced that an “error rate” within the range presented

in the instant case exceeds the level of acceptable error, the Court ultimately need not reach the

issue, for the simple reason that this figure is not the relevant “error rate” at all. If anything,



        6
          The Court agrees with the FBI that the proper denominator in determining what
Schoenman characterizes as the “error rate” would be the total number of pages in the sample
selected and not, as Schoenman suggests, the number of pages in the sample after subtracting
pages that have been withheld in full, misplaced, or referred to other agencies. The reasons are
simple. First, Schoenman was the architect of the sample; he affirmatively selected the pages
that would be included and he cannot now be heard to complain as to the sample’s composition.
Second, and more to the point, there is no indication that the FBI ever “erred” in its treatment of
these records.

                                                   19
these alleged errors occurred in the context of the FBI’s first reprocessing of the records at issue,

and simply have no bearing upon the soundness of the FBI’s second reprocessing efforts. There

is no evidence in the record, and Schoenman has certainly not pointed to any, that would suggest

that there is a meaningful incidence of errors in the second reprocessing. Indeed, Schoenman

appears to concede as much by suggesting that “it is not possible” to determine whether a

comparable error rate infused the FBI’s second reprocessing efforts. Pl.’s 2d Mem. at 7. In any

event, as was the case before, Schoenman’s argument must fail because he received all the relief

to which he might hypothetically have been entitled when the FBI decided to voluntarily

undertake a second and complete reprocessing of all the records at issue in this action. 6th Hardy

Decl. ¶ 34. By eschewing a reprocessing effort that would be limited to the sample records, the

FBI maintained the alignment between the sample and the larger universe of responsive

documents, see Meeropol, 790 F.2d at 960; Bonner, 928 F.2d at 1154, and therefore a further

reprocessing of the records at issue in this action is unwarranted.

       B.      The FBI Has Discharged its Burden of Preparing an Adequate Vaughn Index

       In the FOIA context, it is now well-established that the district court may award summary

judgment to an agency solely on information provided in affidavits or declarations, provided that

the agency’s submissions: set forth a “relatively detailed” justification for invoking an exemption

to disclosure; specifically identify the reasons why a particular exemption is relevant; and

correlate those claims with those records (or portions thereof) to which they apply. Judicial

Watch, Inc. v. Food & Drug Admin., 449 F.3d 141, 145 (D.C. Cir. 2006). The import of such

submissions, often loosely referred to as “Vaughn indices” is clear: absent some mechanism for

ensuring that the agency sustains it action, “[t]he agency would . . . have a nearly impregnable



                                                 20
defensive position.” Id. at 146. Viewed in this way, the Vaughn index helps restore, to the

extent possible, the normal adversarial balance in litigation by forcing the agency to carefully

analyze any information withheld, empowering the requester to present its case to the district

court, and enabling the district court to fulfill its duty of evaluating the applicability of claimed

exemptions. Keys v. U.S. Dep’t of Justice, 830 F.2d 337, 349 (D.C. Cir. 1987). The current

iteration of the FBI’s Vaughn index, which in 82 pages provides a comprehensive and detailed

description of each of the documents at issue and the bases for invoking specific exemptions to

disclosure, achieves each of these salutary purposes and conforms to the relevant legal standard.7

By providing a complete description of, and justification for, the information withheld, the FBI’s

submissions accord with the statutory requirements imposed by FOIA and the requirements of

Vaughn v. Rosen, 484 F.2d 820 (D.C. Cir. 1973), and its progeny.

       With these general observations aside, the Court does not begin with a blank slate in this

case. Indeed, when it had the opportunity to address the parties’ first round of cross-motions for

summary judgment, the Court characterized the previous iteration of the FBI’s Vaughn index,

which was spread over five separate documents, as “utterly inadequate.” Schoenman, 604 F.

Supp. 2d at 195. The infirmities in that submission were numerous and included: the failure to

provide a single, comprehensive index; the failure to account for all records that Schoenman

selected for inclusion in the sample; the failure to provide a functional description of the

materials withheld in their entirety; the failure to provide sufficient context where information

was withheld in part; the failure to adequately explain the bases for withholdings; and the failure


       7
          In addition to the index itself, the FBI has also included with its submissions redacted
versions of documents withheld only in part, which provide further context in evaluating the
propriety of any partial withholdings. 6th Hardy Decl. Ex. A.

                                                  21
to explain various mistakes and inconsistencies. Id. at 195-202. Based upon this litany of

infirmities in the FBI’s submission, the Court directed the FBI to prepare a single, comprehensive

Vaughn index “adequately describ[ing] the withheld documents or deletions, . . . stat[ing] the

particular FOIA exemption, and explain[ing] why the exemption applies.” Id. at 202.

       Schoenman, for his part, does not dispute that the FBI has provided a single,

comprehensive index, but rather challenges the adequacy of the FBI’s Vaughn index on three

grounds previously addressed by the Court: first, he suggests that the FBI has failed to account

for all the records that he selected for inclusion in the sample; second he contends that the FBI

has failed to provide a sufficiently particularized description of the information withheld and the

bases for non-disclosure; and third, he argues that a handful of “inconsistencies” in the Vaughn

index undermine the overall credibility of the FBI’s factual showing. The Court addresses each

argument in turn, with the ultimate conclusion that the FBI has remedied the infirmities in its

prior submissions and otherwise complied with the applicable legal standard.

               1.      The FBI Has Adequately Accounted for All the Records Selected for
                       Inclusion in the Sample

       Schoenman first asserts that the FBI’s Vaughn index is insufficient because it fails to

account for the entirety of sample selected by the parties. Pl.’s Mem. at 2-3. He is mistaken.

The sample selected by Schoenman and agreed upon by the parties consists of a total of 402

pages. 6th Hardy Decl. ¶ 36. Out of these 402 pages, the FBI produced to Schoenman a total of

290 physical pages.8 Id. Ex. A. Despite Schoenman’s apparent belief to the contrary, these 290


       8
         Both Schoenman and the FBI state that the number of pages is 291, a number which
apparently includes the cover page to the exhibit accompanying the FBI’s Renewed Motion for
Summary Judgment. Pl.’s Mem. at 5; Def.’s 2d Mem. at 3. By the Court’s count, the total
number of pages is actually 290. 6th Hardy Decl. Ex. A. The difference, however, is immaterial.

                                                22
pages account for all 402 pages of the sample set, for the simple reason that they include various

single-page cover pages and placeholders for multi-page documents withheld in full, misplaced,

or referred to other agencies. Id. ¶ 36 & Ex. A. Simply by way of example, one such document,

designated S2380-2388, is a single-page “deleted page information sheet” (commonly referred to

as a “delete sheet”) indicating that the FBI withheld a document in full at that point in the

production and providing the Bates-numbering for the withheld document. Id. Ex. A at 196. The

FBI’s Vaughn index, in turn, explains that a total of nine pages—a letter and attachment from a

foreign government dated November 3, 1966—were withheld at this point in the production

based on various exemptions. Id. ¶ 36. When one takes into consideration all such placeholders,

the FBI has accounted for the disposition of the entirety of the 402-page sample selected by

Schoenman and certified by the parties.

       As a variation on the same theme, Schoenman next asserts that the FBI has failed to

account for various documents referred to other agencies for further processing. Pl.’s Mem. at

18-20. Citing Vaughn v. Rosen, 484 F.2d 820 (D.C. Cir. 1973), he contends that the FBI is

required to provide a “complete inventory” of such referrals. Pl.’s Mem. at 20. What

Schoenman means by the phrase “complete inventory” is far from clear from his papers. To the

extent he means that the FBI must indicate if and when responsive documents are referred to

another agency for further processing, and the number of pages referred, the record is clear that

the FBI has in fact done so. 6th Hardy Decl. ¶¶ 5-19 & Exs. B-P, S. To the extent Schoenman

means that the FBI is obligated to itemize and specifically identify such documents, the FBI

rejoins, accurately, that it has accounted for all records included within the sample that were

referred to other agencies. Id. ¶ 36. Schoenman never contests this in his reply papers, but



                                                 23
instead asserts in cursory fashion that the FBI is “flouting the principle” that an agency must

account for all responsive records by failing to itemize records not included in the sample

selected. Pl.’s 2d Mem. at 22. Quite the contrary, it is Schoenman who contravenes the parties’

agreement (endorsed by this Court on more than one occasion) to proceed with an agreed-upon

sample of records as the relevant universe for the parties’ respective cross-motions for summary

judgment. See Joint Status Report, Docket No. [113]; Joint Status Report, Docket No. [118];

Min. Order (Apr. 21, 2009); Min. Order (July 30, 2009). Schoenman selected the sample in the

first instance; thereafter, the parties met and conferred and certified that they were both in

agreement as to the composition of the sample. See Joint Status Report, Docket No. [123]. As

the United States Court of Appeals for the District of Columbia Circuit has recognized on more

than one occasion, “[r]epresentative sampling is an appropriate procedure to test an agency’s

FOIA claims when a large number of documents are involved,” because it “allows the court and

the parties to reduce a voluminous FOIA exemption case to a manageable number of items.”

Bonner, 928 F.2d at 1151. Schoenman cannot now be heard to complain that the FBI has not

included documents in the Vaughn index that he affirmatively chose to exclude from the sample.

               2.      The FBI’s Vaughn Index Adequately Describes the Information
                       Withheld and the Bases for Non-Disclosure

       Schoenman next asserts that the FBI’s Vaughn index does not adequately describe the

records comprising the sample and sometimes claims multiple exemptions without correlating

those exemptions to the information withheld. Pl.’s Mem. at 7-8; Pl.’s 2d Mem. at 13.

Schoenman’s objections are without merit.

       As an initial matter, Schoenman has failed to identify such alleged deficiencies with any

measure of specificity, rendering it impossible for the FBI to provide a meaningful response. In


                                                 24
his opening papers, Schoenman asserted—in a broad and unilluminating fashion—that the FBI’s

Vaughn index failed to adequately describe an unspecified universe of records withheld in full or

in part. Pl.’s Mem. at 7. But Schoenman offered only a single example of this alleged

infirmity—namely, a document Bates-stamped S1785-1786. Id. Despite Schoenman’s

contention to the contrary, the FBI has identified this document with more than sufficient

specificity and has provided a reasonably detailed justification for its non-disclosure. The FBI’s

sworn declarations identify the date this document was created, describe its contents, state the

exemptions relied upon for the withholdings therein, and explain why the exemptions are

relevant. 6th Hardy Decl. ¶¶ 36, 42. Altogether, these descriptions paint a rather comprehensive

picture of S1785-86: the document is a three-page translation of notes sent from the FBI’s Paris

office to FBI headquarters dated January 7, 1969 and contains information provided by foreign

law enforcement authorities under an express assurance of confidentiality, sets forth classified

information about the intelligence components of a foreign government, and identifies FBI

personnel or individuals merely mentioned in passing. Id. ¶¶ 36, 42, 48, 55, 98, 102, 115.

Simply put, the FBI’s description more than suffices to discharge its burden of providing a

reasonably detailed description of the document and the proffered justification for non-

disclosure.

       Nor is the FBI’s factual showing limited to this document alone, but rather extends across

the board, covering each of the documents included in the sample agreed upon by the parties.

Significant in this regard, Schoenman attached to his reply papers a list of 29 documents

comprising a total of 43 pages withheld in full that he contends are not described with sufficient




                                                25
particularity.9 Pl.’s Suppl. 2d Mem. Ex 1. However, because he first identified these records and

raised the question of the sufficiency of the FBI’s descriptions as to them in his reply papers,10 to

which the FBI had no opportunity to respond, the Court shall disregard this facet of Schoenman’s

argument. Even if the Court were inclined to reach the merits of the argument, Schoenman is

simply mistaken that the FBI has failed to present a reasonably detailed description of these 29

documents and the proffered justifications for non-disclosure. As before, the FBI has, for each

document, provided the date the document was created, described its contents, identified the

exemptions relied upon for the withholdings therein, and explained why the exemptions are

relevant. 6th Hardy Decl. ¶¶ 36, 42. The FBI has discharged its burden.

       In truth, Schoenman does not appear to actually consider these documents to be

fundamentally different from the other 359 pages that comprise the sample agreed upon by the

parties. Rather, Schoenman’s objections reduce to little more than a disagreement as to the FBI’s

decision to identify each document individually and then situate the document within one or

more of sixteen categories corresponding to the nature of the information at issue and the

proffered justification for non-disclosure. Id. While Schoenman may understandably disagree

with this approach, the case law is clear: an agency is not precluded from grouping categories of

documents that merit similar treatment when preparing its Vaughn index. Budik v. Dep’t of

Army, __ F. Supp. 2d __, 2010 WL 3833828, at *12 (D.D.C. Sept. 30, 2010). In fact, where, as




       9
         Schoenman erroneously identifies one of these documents as S3625, when the context
makes it clear that he is actually referring to S3626. Pl.’s Supp. 2d Mem. Ex. 1.
       10
           Strictly speaking, Schoenman did not even include an accurate list of these documents
in his reply papers, but rather filed a supplemental memorandum with a revised list out of time
and without first seeking the Court’s leave. Pl.’s Suppl. 2d Mem. Ex. 1.

                                                 26
here, abstraction is used properly, it may actually assist the district court in reviewing the

agency’s actions. Judicial Watch, 449 F.3d at 147. The essential point is that the FBI has, in this

case, justified its withholding decisions through commonalities, not generalities, and explained

why the exemptions claimed apply to a given document (or type of document) while affording

due attention to the contents of the withheld information. Id.; see also Keys, 830 F.2d at 349-50

(agency situated each document into its historical context and adequately explained exemptions

through use of “functional categories”); Mead Data Cent., Inc. v. U.S. Dep’t of Air Force, 566

F.2d 242, 252 (D.C. Cir. 1977) (“The source, subject matter, and nature of each document were

described separately, and although not individually stated for each document, it is clear from the

nature of the documents and the single exemption asserted which justifications apply to which

documents.”). Accordingly, Schoenman’s contentions do not undermine the Court’s conclusion

that the FBI’s Vaughn index conforms to the applicable legal standard.

               3.      Schoenman’s Allegations of “Inconsistencies” in the FBI’s Vaughn
                       Index Do Not Undermine the FBI’s Factual Showing

       Finally, Schoenman asserts that the FBI should be required to reprocess all the records

responsive to his various requests due to a handful of alleged “inconsistencies” in the FBI’s

treatment of records. Pl.’s Mem. at 8-10; Pl.’s 2d Mem. at 13-18. With minimal explication and

little, if any, attempt to articulate a logical connection between what he views as inconsistencies

and the overall validity of the FBI’s Vaughn index and withholding decisions, Schoenman rattles

off a series of such alleged “inconsistencies”—a total of seven—and posits that they

fundamentally “undermine the credibility” of the FBI’s sworn declarations. Pl.’s Mem. at 10.

For at least three reasons, he is mistaken. First, after conducting a searching review of the FBI’s

Vaughn index and the record as a whole, the Court can discern no clear inconsistencies in the

                                                  27
FBI’s treatment of the records identified by Schoenman. Second, even if this were not the case,

where, as here, the agency processes thousands of pages of records in response to requests, it is

beyond cavil that “minor inconsistencies are unsurprising and practically inevitable.” Clemente

v. Fed. Bureau of Investigation, __ F. Supp. 2d __, 2010 WL 3832047, at *19 (D.D.C. Sept. 28,

2010). All of the “inconsistencies” identified by Schoenman, to the extent they can even be

characterized as such, are the sort of “minor ambiguities” that the United States Court of Appeals

for the District of Columbia Circuit has described as “undeserving of extended treatment.”

SafeCard Servs., Inc. v. Secs. & Exch. Comm’n, 926 F.2d 1197, 1202 (D.C. Cir. 1991); cf.

Armstrong v. Executive Office of President, 97 F.3d 575, 580 (D.C. Cir. 1996) (intimating that

the rationale provided for the exemption must be “clearly inconsistent” with other disclosure

decisions to require more searching judicial review). Third, and finally, because the FBI has

provided a “plausible justification for such withholdings,” Carter v. U.S. Dep’t of Commerce,

830 F.2d 388, 394 (D.C. Cir. 1987), “[t]he Court is unpersuaded that [the alleged]

inconsistencies undermine the FBI’s credibility at all, let alone so thoroughly that the agency’s

exemption claims must be rejected,” Clemente, 2010 WL 3832047, at *19.11




       11
           In his reply papers, Schoenman also purports to describe additional “inconsistencies”
allegedly scattered throughout the FBI’s production. Pl.’s 2d Mem. at 16-18. Because
Schoenman identified these “inconsistencies” for the first time in his reply papers, to which the
FBI had no opportunity to respond, and because they indisputably fall outside the scope of the
sample that was expressly designed to be the parties’ exclusive focus for purposes of their
respective cross-motions for summary judgment, the Court shall disregard this facet of
Schoenman’s argument. Even if the Court were inclined to reach the merits of Schoenman’s
argument, the Court’s review of Schoenman’s allegations similarly reveals that these
“inconsistencies” are, at best, the sort of “minor ambiguities” that are insufficient to cast doubt
on the FBI’s factual showing. SafeCard Servs., 926 F.2d at 1202.

                                                 28
       C.      The FBI Has Justified its Invocation of Various Exemptions to Disclosure

       Where an agency invokes an exemption to disclosure, “it bears the burden of establishing

the applicability of the claimed exemption,” Assassination Archives, 334 F.3d at 57, and its

justification must be “logical” or “plausible,” Larson v. Dep’t of State, 565 F.3d 857, 862 (D.C.

Cir. 2009). With these principles in mind, the Court now addresses the propriety of the FBI’s

withholding decisions challenged by Schoenman.12

               1.      The FBI Has Properly Invoked Exemption 1

       Exemption 1 permits an agency to withhold “matters” from disclosure if such matters are

(a) “specifically authorized under criteria established by an Executive order to be kept secret in

the interest of national defense or foreign policy,” and (b) “are in fact properly classified pursuant

to such Executive order.” 5 U.S.C. § 552(b)(1). Here, the FBI relies on Executive Order 12,958,

as amended (“EO 12,958”). See Executive Order 13,292, 68 Fed. Reg. 15315 (Mar. 25, 2003).13

While the standard of review is de novo, where, as here, the records at issue implicate national

security interests, the district court must accord substantial weight and deference to the agency’s

       12
           Schoenman has never disputed the FBI’s reliance on Exemption 3, which authorizes
agencies to withhold information “specifically exempted from disclosure by statute.” 5 U.S.C. §
552(b)(3). In this case, the FBI has withheld certain information pursuant to the Central
Intelligence Agency Act of 1949, as amended, 50 U.S.C. § 403(g), and the National Security Act
of 1947, as amended, 50 U.S.C. § 403-1(i)(l). 6th Hardy Decl. ¶¶ 87-90. In addition, while
Schoenman’s requests originally cited the Privacy Act as a basis for disclosure, Schoenman never
responds to the FBI’s argument that, because the records at issue were compiled by a criminal
law enforcement component of the United States Department of Justice, they are categorically
exempt from disclosure under the Privacy Act. Def.’s Mem. at 6 n.6. The Court shall therefore
treat both arguments as conceded. See Phrasavang v. Deutsche Bank, 656 F. Supp. 2d 196, 201
(D.D.C. 2009) (where party fails to respond to arguments in opposition papers, the district court
may treat them as conceded) (citing Fed. Deposit Ins. Co. v. Bender, 127 F.3d 58, 68 (D.C. Cir.
1997)).
       13
          EO 12,958 has since been superseded. See Executive Order 13,526, 75 Fed. Reg. 707
(Dec. 29, 2009).

                                                 29
assessment of the harm to foreign relations or national security that would result from officially

disclosing the information at issue. Fitzgibbon v. Cent. Intelligence Agency, 911 F.2d 755, 766

(D.C. Cir. 1990). In recognition of the Executive’s “far greater resources and aptitude” in such

matters, and the federal courts’ customary policy of according deference to the Executive in

matters of foreign affairs, district courts must refrain from “substitut[ing] their own policy

judgments for those of the [E]xecutive.” Ameziane v. Obama, 620 F.3d 1, 7 (D.C. Cir. 2010). In

short, in the national security context, the agency’s burden is “a light one” and it is unwise to

undertake searching judicial review. Am. Civil Liberties Union v. U.S. Dep’t of Def., __ F.3d __,

2011 WL 192498, at *8 (D.C. Cir. Jan. 18, 2011). Therefore, to establish that information falls

within the scope of EO 12,958, “little proof or explanation is required beyond a plausible

assertion that [such] information is properly classified.” Morley v. Cent. Intelligence Agency,

508 F.3d 1108, 1124 (D.C. Cir. 2007).

       In this case, the FBI has provided a reasonably detailed and non-conclusory description of

its procedural and substantive compliance with EO 12,958. The FBI’s sworn declarations begin,

in relevant part, by accurately providing that information may be classified pursuant to EO

12,958 only if all of the following conditions are met: the original classification authority is

classifying the information; the information is owned by, produced by or for, or is under the

control of the United States; the information falls under one or more of several enumerated

categories; and the original classification authority determines that the unauthorized disclosure of

the information could be expected to result in damage to national security and the original

classification authority is able to identify or describe the damage. 6th Hardy Decl. ¶ 45. The FBI

proceeds to explain, in considerable detail, precisely how the process it employed in determining



                                                 30
whether the records responsive to Schoenman’s requests accorded with these procedural

requirements. First, an individual with original classification and declassification authority

reviewed each of the records at issue in this action and determined that the records were owned

by, produced by or for, or were under the control of the United States. Id. ¶¶ 47-48. Second, the

FBI determined that specific records contained “foreign government information” or information

pertaining to “intelligence sources or methods,” id. ¶ 48—two of the enumerated categories of

information. Third, the FBI determined in each instance that the unauthorized disclosure of such

information could reasonably be expected to cause damage or serious damage to national security

interests or foreign relations, and, as a result, the records at issue were designated as either

“confidential” or “secret.” Id. ¶ 47. Finally, the FBI describes how the other requirements

imposed by EO 12,958 were satisfied in the instant case: each record was properly marked; no

information was withheld for an improper purpose; the relevant declassification policies were

followed; and all reasonably segregable portions of the records at issue were declassified and

marked for release unless withholding was otherwise warranted. Id.

       From this procedural base, the FBI proceeds to demonstrate—again, in a reasonably

detailed and non-conclusory manner—that each item of information withheld pursuant to

Exemption 1 falls within at least one of the categories enumerated within EO 12,958—in

particular, “foreign government information” and/or “intelligence sources or methods.” EO

12,958 § 1.4(b)-(c). Throughout, the FBI identifies with particularity which portions of which

records were withheld and on what basis; however, for purposes of economy and clarity, the

Court shall refer to broader categories of information.

       In the first category, the FBI withheld: information identifying intelligence components of



                                                  31
a specific foreign government and information provided by them to the FBI; the identities of nine

specific foreign government components; and communications received from nine foreign

government intelligence components and designated as classified by the foreign government. 6th

Hardy Decl. ¶¶ 36, 42, 55, 57, 59. The FBI plausibly explains, in reasonable detail and a non-

conclusory manner, how, even after accounting for the passage of time, the disclosure of such

information would violate an express understanding that such information would remain

classified, could reasonably be expected to strain foreign relations, could have a chilling effect on

the free flow of vital intelligence information, and cause serious damage to national security and

the war on the terrorism. Id. ¶¶ 56, 58, 60.

       In the second category, the FBI withheld: intelligence source identifiers; detailed

intelligence source information; and intelligence activities and methods. Id. ¶¶ 36, 42, 66, 69,

71, 74. Again, the FBI plausibly explains, in reasonable detail and a non-conclusory manner,

how, even after accounting for the passage of time, the disclosure of such information could

reasonably be expected to endanger or have a chilling effect upon former and current intelligence

sources, discourage cooperation, hamper the agency’s law enforcement efforts, aid hostile

entities in developing intelligence countermeasures, and strain foreign relations. Id. ¶¶ 63-64, 68,

70, 73, 75-76, 78.

       Simply put, these descriptions meet and exceed the FBI’s de minimis burden of

establishing that each item of information withheld falls within the scope of EO 12,958, Morley,

508 F.3d at 1124, and, accordingly, the FBI’s assessment is entitled to substantial weight and

deference, Fitzgibbon, 911 F.2d at 766. While numerous, Schoenman’s arguments to the

contrary “simply do[] not outweigh the [g]overnment’s ‘assessment of the harm to foreign



                                                 32
relations and national security that would result from officially disclosing’ the information.”

Alsawam v. Obama, __ F. Supp. 2d __, 2011 WL 316232, at *6 (D.D.C. Jan. 18, 2011) (internal

quotation marks omitted). First, Schoenman’s contention that the FBI has released other material

that was formerly classified, even if true, is neither indicative of bad faith nor sufficient to

overcome the substantial weight and deference owed to the FBI’s determination as to the harm

that would flow from disclosure of the information withheld. To the extent Schoenman intends

to suggest that, by disclosing some unspecified universe of related information, the FBI has

waived the right to maintain its current classification designations, he has failed to establish, as

he must, that the information now requested is “as specific as” and “match[es] the information

previously disclosed.” Fizgibbon, 911 F.2d at 765. Second, Schoenman’s argument that the

passage of time has rendered the FBI’s classification claims questionable constitutes nothing

more than a disagreement, however understandable, as to the FBI’s assessment of the harms

associated with disclosure. The applicable legal standard, however, is clear and “allocates to the

[g]overnment the responsibility for evaluating the harms associated with public disclosure, and

neither the proponent of disclosure nor the district court is free to substitute its own policy

judgments for those of the Executive.” Alsawam, 2011 WL 316232, at *6 (internal quotation

marks omitted). Moreover, as this Court said when it last rejected this same argument in this

action, “the passage of time alone is not enough to discredit an otherwise detailed and persuasive

affidavit,” Schoenman v. Fed. Bureau of Investigation, 04 Civ. 2202 (CKK), 2009 WL 763065,

at *21 (D.D.C. Mar. 19, 2009) (internal quotation marks and notations omitted), and Schoenman

has presented no competent evidence casting doubt on the FBI’s sworn declarations in this

action. Third, and finally, Schoenman’s suggestion that the FBI’s determinations as to the harms



                                                  33
associated with disclosure presume that harm will occur or are designed to conceal illicit conduct

are speculative, unsupported, and contradicted by all the competent evidence in the record—it is,

in short, without merit. For these reasons, the Court concludes that the FBI has properly invoked

Exemption 1 in this action.

               2.      The FBI Has Properly Invoked Exemption 2

       Exemption 2 permits an agency to withhold from disclosure information “related solely to

the internal personnel rules and practices of an agency.” 5 U.S.C. § 552(b)(2). The exemption

protects, inter alia, information created for “predominantly internal purposes,” which either

pertains to “trivial administrative matters” of no genuine public interest or which would

significantly risk circumvention of a legal requirement if publicly disclosed. Schiller v. Nat’l

Labor Relations Bd., 964 F.2d 1205, 1207 (D.C. Cir. 1992). In this case, the FBI relies upon

Exemption 2 to justify the non-disclosure of confidential source symbol numbers and

confidential source file numbers. 6th Hardy Decl. ¶¶ 36, 42. As explained in exhaustive detail in

the FBI’s sworn declarations, these confidential source identifiers are internal administrative

tools used to protect the identity of confidential sources and to facilitate the exchange of

information provided by such sources. Id. ¶¶ 82, 84. The FBI has a long-standing policy of

redacting confidential source identifiers prior to disclosing records, and “vigorously protect[s]”

such information because disclosure would not only violate the assurance of confidentiality

promised to those sources but could also endanger the lives of those sources and their families

and associates. 7th Hardy Decl. ¶¶ 5-6. In addition, because such information may reveal the

scope of the FBI’s informant coverage within a particular geographic area and could compromise

the identity of sources, its public disclosure would impede the FBI’s effectiveness in gathering



                                                 34
confidential information. 6th Hardy Decl. ¶¶ 83, 85-86. Accordingly, such information is

appropriately withheld pursuant to Exemption 2. See Lesar v. U.S. Dep’t of Justice, 636 F.2d

472, 485 (D.C. Cir. 1980) (“The means by which the FBI refers to informants in its investigative

files is a matter of internal significance in which the public has no substantial interest.”); Fischer

v. U.S. Dep’t of Justice, 596 F. Supp. 2d 34, 45 (D.D.C. 2009) (non-disclosure of confidential

source identifiers is justified under Exemption 2 because disclosure “could compromise the

FBI’s use of informants”). Schoenman’s arguments to the contrary, nearly all of which are

abandoned in his reply,14 are completely without merit and contradict the long-settled

jurisprudence of this Circuit.

               3.      The FBI Has Properly Invoked Exemption 7

       Exemption 7 authorizes an agency to withhold from disclosure “records or information

compiled for law enforcement purposes,” but only to the extent that disclosure of such records

could result in one of six enumerated harms. 5 U.S.C. § 552(b)(7). The inquiry therefore divides

into two: (a) the agency must first make the threshold showing that the records at issue were

compiled for law enforcement purposes; (b) the agency must then establish that the information

falls within the ambit of one of the six harms contemplated by the provision. Clemente, 2010

WL 3832047, at *15. The Court shall begin by explaining why the FBI has shown that the

records at issue were compiled for “law enforcement purposes,” thereafter turning to the question

of whether the two enumerated harms associated with disclosure identified by the FBI apply in



       14
             The only argument maintained by Schoenman in his reply papers is his repeated
assertion that “the FBI does disclose permanent source symbol numbers on occasion,” Pl.’s 2d
Mem. at 28-29, an argument the Court addresses, and rejects, elsewhere. See infra Part
III.C.3.iii.

                                                  35
the instant case.

                       i.     The FBI has shown that the records in question were compiled
                              for law enforcement purposes.

        To establish that records have been compiled for “law enforcement purposes,” 5 U.S.C. §

552(b)(7), criminal law enforcement agencies or their components—such as the FBI—must show

that the records at issue were compiled for a purpose related to the enforcement of federal law

and that the enforcement activity is within the law enforcement responsibilities of that agency.

Keys, 830 F.2d at 340. The relationship, or nexus, between the agency’s activity and its law

enforcement responsibilities need only be based on a “colorable claim of its rationality,” id.

(internal quotation marks omitted), which can be refuted only by “persuasive evidence that in fact

another, nonqualifying reason prompted the investigation,” Shaw v. Fed. Bureau of Investigation,

749 F.2d 58, 63 (D.C. Cir. 1983). In recognition of the fact “the FBI specializes in law

enforcement, its decision to invoke [E]xemption 7 is entitled to deference.” Campbell v. U.S.

Dep’t of Justice, 164 F.3d 20, 32 (D.C. Cir. 1998).

        The FBI has satisfied its burden of demonstrating that it compiled the records at issue

pursuant to an objectively reasonable law enforcement purpose. As described in its sworn

declarations, the FBI’s law enforcement activities at one time involved investigating “suspected

threats to national security” within the anti-war movement of the 1960’s, as well as suspected

“communist agents of unrest,” including Schoenman. 6th Hardy Decl. ¶¶ 92-93. The FBI

identifies the Smith Act of 1940, 18 U.S.C. § 2385, the Voorhis Act, id. § 2387, and the Internal

Security Act of 1950, 50 U.S.C. § 781, as the statutory authority for these law enforcement




                                                36
activities.15 6th Hardy Decl. ¶ 93. In this case, the FBI avers that all the records withheld on this

basis were compiled by the FBI as part of an “internal security” investigation of Schoenman and

various third parties. Id. ¶ 92. These representations—which are plainly consistent with, and

supported by, the information contained in the records released in part, see id. Ex. A—suffice to

establish a rational relationship between the FBI’s law enforcement responsibilities and the

records withheld on this basis. See Concepcion v. Fed. Bureau of Investigation, 606 F. Supp. 2d

14, 36-37 (D.D.C. 2009). Schoenman’s unsupported rejoinder that the records were actually

compiled as part of a pattern of “illegal surveillance of his lawful, public free speech activities,”

Pl.’s 2d Mem. at 30, falls woefully short of the sort of “persuasive evidence” that a non-

qualifying reason prompted the investigation that is required to overcome the FBI’s showing,

Shaw, 749 F.2d at 63. There simply is no competent evidence in the record that the materials at

issue here were compiled for any purpose other than that supplied by the FBI. Accordingly, the

FBI has met its threshold burden of establishing that the records withheld under Exemption 7

were compiled for “law enforcement purposes.” 5 U.S.C. § 552(b)(7).

                       ii.     The FBI has properly invoked Exemption 7(C).

       In enacting FOIA, Congress “underst[ood] that disclosure of records containing personal



       15
           With no meaningful explication, Schoenman questions in particular the FBI’s reliance
on the Smith Act of 1940, 18 U.S.C. § 2385, suggesting that the last prosecution under that
statute occurred in 1956, before the records at issue in this action were created. Pl.’s 2d Mem. at
29. The import of the allegation is not entirely clear, given that Schoenman does not provide any
grounds for doubting the FBI’s reliance on the Voorhis Act, 18 U.S.C. § 2387, or the Internal
Security Act of 1950, 50 U.S.C. § 781, which independently support the FBI’s invocation of
Exemption 7. Moreover, even crediting Schoenman’s allegations, the mere fact that an
investigation may have been fruitless—in the sense that it did not lead to a successful
prosecution—does not ineluctably lead to the conclusion that records compiled in the course of
that investigation were not gathered for “law enforcement purposes.” 5 U.S.C. § 552(b)(7).

                                                  37
details about private citizens can infringe significant privacy interests.” U.S. Dep’t of Justice v.

Reporters Comm. for Freedom of Press, 489 U.S. 749, 766 (1989). As a direct outgrowth of this

concern, Congress crafted Exemption 7(C), which permits agencies to withhold from disclosure

records compiled for law enforcement purposes if the disclosure of such records “could

reasonably be expected to constitute an unwarranted invasion of personal privacy.” 5 U.S.C. §

552(b)(7)(C). In assessing an agency’s claim under Exemption 7(C), the district court must look

to the balance of the privacy interests asserted and the public interest in disclosure, Voinche v.

Fed. Bureau of Investigation, 412 F. Supp. 2d 60, 68 (D.D.C. 2006), and, as a general matter, the

identification of an individual “in a law enforcement file will engender comment and speculation

and carries a stigmatizing connotation,” Branch v. Fed. Bureau of Investigation, 658 F. Supp.

204, 209 (D.D.C. 1987). Therefore, “[a]bsent exceptional circumstances, the balance [of

interests] categorically favors withholding the names . . . of third parties,” as such information is

not probative of an agency’s performance of its statutory responsibilities. Mays v. Drug

Enforcement Admin., 234 F.3d 1324, 1327 (D.C. Cir. 2000). In the end, the agency “need only

show a reasonable likelihood of unwarranted invasion of personal privacy,” Voinche, 412 F.

Supp. 2d at 68, and the FBI has done so here.

       In this case, the FBI has invoked Exemption 7(C) to withhold names or other identifying

information for six basic categories of individuals: FBI agents and support personnel; non-FBI

federal government personnel; local or foreign law enforcement personnel; third parties of

investigative interest; third parties who provided information to the FBI; and third parties




                                                 38
incidentally mentioned.16 6th Hardy Decl. ¶¶ 36, 42, 94-111. The FBI has described, plausibly

and in considerable detail, the harms one might reasonably expect to flow from the public

disclosure of such information, including: subjecting these individuals to unsolicited scrutiny and

harassment from the media, the general public, and current and former investigatory targets;

endangering the safety of individuals who have provided information in the course of an

investigation; and impairing the effectiveness of investigative activities by compromising the

identities of law enforcement personnel and deterring individuals from providing information in

the future. Id. The FBI credibly asserts that it reviewed each item of information withheld, and

concluded in each instance that the implicated privacy interests outweighed the public interest in

shedding light on the FBI’s performance of its responsibilities. Id. ¶¶ 96-97. Meanwhile, the

FBI did not withhold identifying information where it was able to determine that the individual

was deceased or was a high-ranking governmental official whose activities may be of a greater

public interest. Id. These representations suffice to establish “a reasonable likelihood” that the

disclosure of such information would result in an unwarranted invasion of personal privacy.

Indeed, courts have repeatedly upheld identical withholdings. See, e.g., Roth v. U.S. Dep’t of

Justice, 656 F. Supp. 2d 153, 161-62 (D.D.C. 2009); Amuso v. U.S. Dep’t of Justice, 600 F.



       16
           The FBI has a practice of asserting Exemptions 6 and 7(C) together, as both turn on the
unwarranted invasion of personal privacy, and has followed that practice in this case by invoking
both exemptions to all six of these categories. 6th Hardy Decl. ¶¶ 36, 95 n.42. The standards of
review attaching to the two exemptions, though overlapping, are not identical: significantly, “due
to the sensitive nature of law enforcement records and the greater privacy interest in such
records,” an agency’s burden under Exemption 7(C) is less onerous than its corresponding
burden under Exemption 6. Voinche, 412 F. Supp. 2d at 68. In this case, because the Court
concludes that the FBI’s withholding decisions are justified under the standard imposed under
Exemption 7(C), it need not reach the question of whether the FBI’s withholdings are
independently justified under Exemption 6.

                                                39
Supp. 2d 78, 94-97 (D.D.C. 2009); Voinche, 412 F. Supp. 2d at 68-69.

       Schoenman’s counter-arguments do not warrant a different conclusion and merit little

attention here. First, Schoenman’s assertion that some small subset of these individuals are his

“friends and associates” and “would not be concerned with any privacy intrusion,” Schoenman

Decl. ¶ 25, is unsupported by competent evidence and ignores the fact that agencies are permitted

to make categorical determinations when making withholding decisions under this exemption.

Reporters Comm., 489 U.S. at 780. Second, Schoenman’s contention that the passage of time

undercuts the privacy interests asserted, Pl.’s 2d Mem. at 30, is counter to the well-established

principle that the “privacy interests of the persons mentioned in [] investigatory files do not

necessarily diminish with the passage of time,” Branch, 658 F. Supp. at 209, and even “[a]n

individual’s death diminishes, but does not eliminate, her privacy interest in the nondisclosure of

any information about her that appears in law enforcement records,” Clemente, 2010 WL

3832047, at *16. What is required of an agency is that it make “reasonable efforts to ascertain

life status” before withholding information under this exemption, Davis v. Dep’t of Justice, 460

F.3d 92, 98 (D.C. Cir. 2006), cert. denied, 551 U.S. 1144 (2007), and the record is clear that the

FBI has made such reasonable efforts in this case. 6th Hardy Decl. ¶ 97. Third, and finally,

despite Schoenman’s assertion that the disclosure of third-party identifying information would

further a public interest “in learning the details of illegal FBI surveillance activities,” Pl.’s Mem.

at 42, it cannot credibly be disputed that the release of information specifically identifying third

parties within the six categories at issue, when the substantive contents of the records have

otherwise been disclosed, would shed relatively little light on the performance and activities of

the FBI. See U.S. Dep’t of Def. v. Fed. Labor Relations Auth., 510 U.S. 487, 495-96 (1994)



                                                  40
(proponent of disclosure must show that the public interest advanced by disclosure is significant

and is likely to advance the public’s understanding of the operations of government). As other

courts have observed, “the public interest in the disclosure of this information is minimal,”

Voinche, 412 F. Supp. 2d at 68, and it does not, in any event, override the implicated privacy

interests asserted in this case. Furthermore, where as here, the public interest asserted is to show

that responsible officials acted improperly in the performance of their duties, the proponent of

disclosure must adduce “evidence that would warrant a belief by a reasonable person that the

alleged [] impropriety might have occurred,” Nat’l Archives & Records Admin. v. Favish, 541

U.S. 157, 174 (2004), and Schoenman has failed to present anything remotely approaching this

quantum of evidence here. In sum, Schoenman has provided no basis for doubting the FBI’s

determination that the disclosure of the information withheld under this exemption “could

reasonably be expected to constitute an unwarranted invasion of personal privacy.” 5 U.S.C. §

552(b)(7)(C).

                       iii.    The FBI has properly invoked Exemption (7)(D).

       Exemption 7(D) allows agencies to withhold information in law enforcement records

where the public disclosure of such information “could reasonably be expected to disclose the

identity of a confidential source.” 5 U.S.C. § 552(b)(7)(D). To properly invoke this exemption,

an agency must show either that the source provided information to the agency under an express

assurance of confidentiality or that the circumstances support an inference of confidentiality.

U.S. Dep’t of Justice v. Landano, 508 U.S. 165, 179-81 (1993). In this case, the FBI has

withheld information provided under express assurances of confidentiality. 6th Hardy Decl. ¶

114. Specifically, the FBI has asserted Exemption 7(D) as a basis for not disclosing the


                                                 41
following: confidential source identifiers;17 information provided by or that would identify

confidential sources; and the identity of and information provided by foreign governments. Id. ¶¶

36, 42, 115, 117, 119, 121, 124. In spite of Schoenman’s attempts to cloud the issue by posing a

litany of immaterial questions, Pl.’s Mem. at 46-48; Pl.’s 2d Mem. at 32-35, the FBI credibly

explains, in a reasonably detailed and non-conclusory manner, that the information at issue in

each instance was received in connection with an express grant of confidentiality and describes

how the public disclosure of such information would have a chilling effect on the cooperation of

other sources and thereby hinder its ability to gather confidential information. Id. ¶¶ 113-24.

Indeed, courts have upheld identical withholdings in the past. See, e.g., Skinner v. U.S. Dep’t of

Justice, __ F. Supp. 2d __, 2010 WL 3832602, at *23-24 (D.D.C. Sept. 30, 2010); Holt v. U.S.

Dep’t of Justice, __ F. Supp. 2d __, 2010 WL 3386016, at *14 (D.D.C. Aug. 26, 2010);

Blackwell v. Fed. Bureau of Investigation, 680 F. Supp. 2d 79, 95 (D.D.C. 2010); Amuso, 600 F.

Supp. 2d at 98-99. Based upon its careful review of the FBI’s Vaughn index and sworn

declarations, the Court finds that the FBI has properly invoked Exemption 7(D) in this case.

       Before concluding, one final observation is in order. On October 18, 2010, long after the

parties had finished briefing their respective cross-motions for summary judgment and without

first seeking the Court’s leave, Schoenman sought to supplement the record with an article from

The Commercial Appeal, a newspaper published in Memphis, Tennessee. Pl.’s 3d Mem. The

article is about Ernest C. Withers (“Withers”), a civil-rights era photographer, and his alleged

role as an informant for the FBI. See Marc Perrusquia, Double Exposure, The Commercial



       17
          As explained elsewhere, see supra Part III.C.2, the FBI also appropriately withheld
confidential source identifiers pursuant to Exemption 2.

                                                42
Appeal (Memphis), Sept. 12, 2010, at V1. At one point, the article describes efforts to obtain

government records about Withers through FOIA requests.18 According to the article, in the

course of redacting and releasing records, the FBI “overlooked a single reference to Withers’

informant number.” Id. With this “Rosetta Stone” in hand, the article continues, the author was

able to “unlock[] the secret” of Withers’ alleged role as an FBI informant. Id. With minimal

explication, Schoenman contends that the article is relevant in this action for two reasons: first,

because it suggests that the FBI does not “universally withhold” source symbol numbers assigned

to confidential sources; and second, because it evidences that there is a “deep public interest” in

such information. Pl.’s 3d Mem. at 1-2. These arguments are, in addition to being untimely,

without merit.

        To the extent Schoenman relies upon the article as evidence that the FBI did in fact

neglect to withhold a confidential source identifier on a single occasion, his reliance is misplaced

for at least two reasons. First, in this regard, as the article is offered for the truth of the matters

asserted therein and is therefore hearsay, it is not competent evidence. See Kimberlin v. Quinlan,

6 F.3d 789, 797 n.15 (D.C. Cir. 1983) (providing that hearsay in newspaper articles “cannot

defeat a summary judgment motion”), vacated on other grounds, 515 U.S. 321 (1995); Hartford

Fire Ins. Co. v. Socialist People’s Libyan Arab Jamahiriya, No. 08 Civ. 3096 (TFH), 2007 WL

1876392, at *14 (D.D.C. June 28, 2007) (finding that opponent of summary judgment could not

rely on inadmissible hearsay in newspaper articles). Second, the article—which describes



        18
           The author of the article and The Commercial Appeal subsequently commenced suit in
this District seeking the disclosure of documents concerning Withers’ alleged role as an FBI
informant, an action which remains pending. See Memphis Publ. Co. v. Fed. Bureau of
Investigation, No. 10 Civ. 1878 (RMU) (D.D.C.).

                                                   43
nothing more than an inadvertent failure to redact a single confidential source identifier out of a

total of 369 pages of records—hardly undermines the proposition that confidential source

identifiers are “vigorously protected” by the FBI (indeed, the basic thrust of the article is that the

FBI aggressively guarded against the public disclosure of information). 7th Hardy Decl. ¶ 6. In

other words, the article provides no reason to doubt the FBI’s assertion that it has a consistent

policy of withholding confidential source identifiers. Id.

       To the extent Schoenman offers the article as evidence of an alleged “public interest” in

the disclosure of confidential source identifiers, his reliance is again misplaced for at least two

reasons. First, Schoenman simply reads too much into the article, which, at best, suggests that

there may be a “public interest” in Withers and his alleged role as an FBI informant. The article

does not evince a broader interest in the FBI’s use of confidential source identifiers as a general

matter. Second, in withholding confidential source identifiers in this action, the FBI relies upon

Exemption 7(D), and “[u]nlike with other FOIA exemptions, [the district court] should ‘not . . .

balance interests under Exemption 7(D).’” Farrugia v. Executive Office for U.S. Attorneys, No.

04 Civ. 294 (PLF), 2006 WL 335771, at *7 (D.D.C. Feb. 14, 2006) (quoting Parker v. Dep’t of

Justice, 934 F.2d 375, 380 (D.C. Cir. 1991)); see also Boyd v. Criminal Div. of U.S. Dep’t of

Justice, 475 F.3d 381, 390 (D.C. Cir.) (“[T]his court has rejected a balancing of interests under

Exemption 7(D).”), cert. denied, 552 U.S. 1007 (2007). Accordingly, even if it had not been

untimely, Schoenman’s argument is without merit.

       D.      The FBI Has Discharged its Burden of Establishing that it Has Disclosed All
               Reasonably Segregable Portions of the Responsive Records

       Even where an agency may properly withhold a responsive record under one of FOIA’s

enumerated exemptions, it nevertheless must disclose any non-exempt information that is


                                                  44
“reasonably segregable” from the responsive record. 5 U.S.C. § 552(b). The question of

segregability is by necessity subjective and context-specific, turning upon the nature of the

document in question and the information contained therein. Mead Data, 566 F.2d at 261. An

agency need not, for instance, “commit significant time and resources to the separation of

disjointed words, phrases, or even sentences which taken separately or together have minimal or

no information content.” Id. at 269 n.54. Ultimately, to discharge its burden before the district

court, the agency “must provide a reasonably detailed justification rather than conclusory

statements to support its claim that the non-exempt material in a document is not reasonably

segregable.” Id.

        In the instant case, the FBI’s sworn declarations describe how, after conducting multiple

rounds of review of the records responsive to Schoenman’s various requests, it has carefully

reviewed and released all reasonably segregable information from those records. 6th Hardy Decl.

¶¶ 34, 47 n.26, 125. Moreover, the FBI identifies with specificity those records for which

additional segregable information was released following upon the heels of its final round of

review, id. ¶ 36 n.6 & n.7 and, where appropriate, explains why certain documents have been

withheld in full. Id. ¶¶ 36, 42, 55, 57, 59, 66, 69, 74, 77. Based upon these descriptions as well

as a searching review of the records that the FBI has withheld only in part, the Court concludes

that the FBI has adequately demonstrated, in reasonable and non-conclusory terms, that all non-

exempt material has either been disclosed to Schoenman or is not reasonably segregable.

       E.      Schoenman Is Precluded from Relitigating the Reasonableness of the FBI’s
               Search for Records

       Nearly two years ago, based on Schoenman’s failure to respond to the FBI’s arguments or

to otherwise dispute the reasonableness of the FBI’s search for records, this Court granted


                                                45
summary judgment in the FBI’s favor on that issue. Schoenman, 604 F. Supp. 2d at 204.

Schoenman now seeks to resurrect and relitigate the issue, contending that (a) summary judgment

was “improvidently granted,” and (b) the FBI’s inability to locate various sample documents

undercuts the reasonableness of the FBI’s search for records.19 Pl.’s Mem. at 12-18; Pl.’s 2d

Mem. at 18-20. For various reasons, these arguments are without merit.

       First, Schoenman, who is represented by counsel in this action, has never filed a formal

motion for relief from this Court’s prior order granting the FBI summary judgment on the issue

of the reasonableness of its search. See Fed. R. Civ. P. 60(b). Instead, he merely suggests, in

passing and in reply papers to which the FBI had no opportunity to respond, that summary

judgment on this issue “was improper and should be vacated.” Pl.’s 2d Mem. at 20. As the

Court issued its prior order granting the FBI summary judgment on this issue on March 31,

2009—over one year and ten months ago—even if Schoenman were hypothetically to file a

proper Rule 60(b) motion today, it would be untimely. See Fed. R. Civ. P. 60(c)(1) (“A motion

under Rule 60(b) must be made within a reasonable time—and for reasons [of newly discovered

evidence20] . . . no more than a year after the entry of the judgment or order.”). Indeed, even if


       19
           While not entirely clear, Schoenman at one point also appears to suggest that this
Court, in its prior order, decided something less than the reasonableness of the full scope of the
FBI’s search for records. Pl.’s 2d Mem. at 18-20. Even the most cursory reading of the FBI’s
moving papers and this Court’s order would reveal that not to be the case. See Schoenman, 604
F. Supp. 2d at 204; Def.’s Mem. of P. & A. in Supp. of the Mot. for Summ. J. on Behalf of Def.
Federal Bureau of Investigation, Docket No. [73], at 11-13.
       20
            A motion pursuant to Rule 60(b) must be based on one of six enumerated basis. See
Fed. R. Civ. P. 60(b)(1)-(6). Of these, only one even arguably has some salience here—“newly
discovered evidence”—which must be raised within one year of the issuance of the challenged
order or judgment. Fed. R. Civ. P. 60(c)(1). However, even assuming, arguendo, that a basis for
relief that is not subject to the one-year, per se time bar were to apply, the Court would
nevertheless conclude that Schoenman failed to raise the motion “within a reasonable time.” Id.

                                                 46
the Court were inclined to construe Schoenman’s passing comment in the summary judgment

papers that he filed on April 21, 2010 as a valid motion for relief (it is not so inclined), those

papers were filed more than a year after the issuance of this Court’s prior order and therefore the

request would still be untimely.21 See id.

       Second, Schoenman’s arguments regarding the reasonableness of the FBI’s search for

records concern a total of ten documents that the FBI was “unable to locate.” Pl.’s Mem. at 12.

Schoenman maintains that “the FBI is required to account for all such records and its efforts to

search for and locate them.” Pl.’s Mem. at 13. Even assuming, arguendo, that Schoenman could

somehow resurrect the issue of the reasonableness of the FBI’s search for records, the FBI does,

in fact, adequately account for these ten records. 6th Hardy Decl. ¶¶ 25-29. Indeed, Schoenman

concedes that the FBI’s sworn declarations “recite[] efforts . . . the FBI has made to try and find

these records.” Pl.’s Mem. at 14. Four documents were placeholders for documents containing

highly sensitive information that were removed and placed in a secure room known as the

Special File Room. 6th Hardy Decl. ¶ 25. In an attempt to locate these documents, the FBI

conducted three successive searches: it searched the Special File Room with no success; it


       21
           True, Schoenman raised various factual issues purportedly going to the reasonableness
of the FBI’s search for records in his opening papers—which were filed on March 3, 2010, a
shade over eleven months after the Court’s prior order granting summary judgment in the FBI’s
favor as to the reasonableness of its search. Pl.’s Mem. at 12-18. However, apparently having
completely forgotten about this Court’s prior order, at no point in those papers did Schoenman
acknowledge that the Court had already granted summary judgment in the FBI’s favor, let alone
suggest that the Court’s prior order should be vacated. Id. In any event, even assuming,
arguendo, that the memorandum could somehow be construed as a valid Rule 60(b) motion,
while the one-year, per se time bar might not apply, the Court would nevertheless conclude that
the motion was not made “within a reasonable time.” Fed. R. Civ. P. 60(c)(1). By that point in
time, Schoenman already had the reprocessed documents at issue in his possession for
approximately eight months. 6th Hardy Decl. ¶¶ 5-13.


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searched the office where many of the documents originated with no success; and it searched an

off-site archival records facility with no success. Id. ¶ 26. Two more documents were envelopes

apparently at one time containing documents pertaining to Schoenman; the FBI conducted a

search within its Los Angeles Field Office and the file and corresponding sub-file were reviewed

with no success. Id. ¶ 28. A seventh document originated with another agency; after internal

efforts to locate the document were unsuccessful, the FBI contacted the relevant agency but the

agency was unable to locate the document. Id. ¶ 27. An eighth document was a placeholder

referencing another file where the relevant documents were presumably placed at one time; the

FBI searched the referenced file with no success. Id. ¶ 29. A ninth document was an

administrative cover page for which there was no underlying document. Id. ¶ 30. A tenth

document was a so-called “charge out” sheet for documents forwarded to the National Archives

and Records Administration, which were ultimately determined to be non-responsive to

Schoenman’s Requests. Id. ¶ 33.

       Simply put, these efforts evince, at a bare minimum, that the FBI made a good faith,

informed, and reasonable effort to locate the identified records. Oglesby v. U.S. Dep’t of Army,

920 F.2d 57, 68 (D.C. Cir. 1990). Indeed, the record suggests that the FBI made an exceedingly

thorough effort to account for and locate each individual document. See Perry v. Block, 684 F.2d

121, 127 (D.C. Cir. 1982) (agency need not document “an epic search for the requested

records”). More to the point, however, Schoenman’s arguments are premised upon a

misunderstanding as to the applicable legal standard. Because “the adequacy of a FOIA search is

generally determined not by the fruits of the search, but by the appropriateness of the methods

used to carry out the search,” Iturralde v. Comptroller of Currency, 315 F.3d 311, 315 (D.C. Cir.



                                                48
2003), “the [mere] fact that a particular document was not found does not demonstrate the

inadequacy of a search,” Boyd, 475 F.3d at 391. Due to the age of the documents at issue here, it

is entirely unremarkable that some documents would be missing or misplaced after years of

movement and use. 6th Hardy Decl. ¶ 25. Over the years, “particular documents may have been

accidentally lost or destroyed, or a reasonable and thorough search may have missed them.”

Iturralde, 315 F.3d at 315. Schoenman’s speculation that certain documents simply must exist or

may be located elsewhere simply does not suffice to raise “substantial doubt” as to the

reasonableness of the FBI’s search for records. Id. at 314.

       For the foregoing reasons, Schoenman’s attempt to relitigate the reasonableness of the

FBI’s search for records is without legal or factual merit.

       F.      Schoenman is Not Entitled to Discovery

       As he has on multiple occasions in this action, Schoenman again requests that discovery

be had to address the reasonableness of the FBI’s search for, and processing of, records

responsive to his requests. For at least two reasons, Schoenman is not entitled to such discovery.

First, summary judgment has already been granted in the FBI’s favor as to the reasonableness of

its search, see supra Part III.E, and there is simply no basis for conducting discovery on an issue

already decided by the Court. Second, where, as here, the agency’s declarations are sufficiently

detailed and the district court is satisfied that no factual dispute remains, discovery should be

denied. Wolf v. Cent. Intelligence Agency, 569 F. Supp. 2d 1, 9-10 (D.D.C. 2008). For each of

these reasons, the Court shall once again DENY Schoenman’s [143] Motion for Discovery.




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                                      IV. CONCLUSION

       The Court has considered the remaining arguments tendered by the parties and has

concluded that they are without merit. Therefore, and for the reasons set forth above, the Court

shall GRANT the FBI’s [135] Renewed Motion for Summary Judgment and DENY

Schoenman’s [143] Renewed Cross-Motion for Summary Judgment. In addition, the Court shall

DENY Schoenman’s [143] Motion for Discovery. Finally, because there are no viable claims

remaining against the FBI in this action, the Court shall DISMISS the FBI as a defendant. An

appropriate Order accompanies this Memorandum Opinion.



Date: February 9, 2011

                                                            /s/
                                                    COLLEEN KOLLAR-KOTELLY
                                                    United States District Judge




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