                              UNITED STATES DISTRICT COURT
                              FOR THE DISTRICT OF COLUMBIA


 RYAN NOAH SHAPIRO; JEFFREY STEIN;
 NATIONAL SECURITY COUNSELORS;
 TRUTHOUT,

                Plaintiffs,
                                                     Civil Action No. 13-555 (RDM)
        v.

 U.S. DEPARTMENT OF JUSTICE,

                Defendant.



                                 MEMORANDUM OPINION

       The Freedom of Information Act (“FOIA” or the “Act”), 5 U.S.C. § 552 et seq., was

enacted to promote transparency and accountability in how the federal government discharges its

numerous and far-ranging responsibilities. This case raises a variety of questions relating to how

FOIA applies to the Federal Bureau of Investigation’s (“FBI”) discharge of one of those duties—

its responsibility to comply with FOIA itself. This is, in short, a case about how the FBI applies

FOIA to FOIA.

       Plaintiffs are several nonprofit organizations and journalists who filed multiple FOIA

requests with the FBI seeking the processing documents associated with dozens of prior FOIA

requests that they or others had submitted. The FBI produced some responsive documents, but

redacted or withheld pages from those documents, and issued categorical denials in response to

many of the plaintiffs’ requests, refusing to produce any responsive documents at all. Most

broadly, the agency declined to produce any of the processing records routinely generated in

responding to FOIA requests submitted in the last 25 years for material contained in investigative


                                                 1
files. The FBI explained that producing these records might allow a savvy FOIA requester to

identify the rare cases where the FBI has exercised its discretion to issue a “none-found”

response to a FOIA request for records that are “excludable” under FOIA, and thus would risk

the implicit disclosure of highly sensitive information relating to ongoing investigations,

confidential informants, and classified national security matters. See 5 U.S.C. § 552(b)(7)(E),

(c). The agency also broadly declined to provide any “case evaluation forms,” which are forms

used to track and evaluate the performance of FBI employees engaged in processing FOIA

requests. In the FBI’s view, these forms are exempt from disclosure because they relate “solely

to the internal personnel rules and practices of [the] agency.” Id. § 552(b)(2). In addition to

these categorical denials, the FBI declined to produce a number of records responsive to

individual requests, relying on a host of other, more specific grounds.

       The plaintiffs filed this action to compel the FBI to produce the withheld material. They

challenge the adequacy of the FBI’s searches and many, although not all, of the grounds asserted

by the agency to withhold responsive records. They also bring a facial challenge to the FBI’s

policy of declining to provide any processing records for FOIA requests made within the last 25

years that sought material from FBI investigative files. The FBI has now moved for summary

judgment, and the plaintiffs have cross-moved for partial summary judgment. For the reasons

detailed below, the Court will GRANT the plaintiffs’ motion for partial summary judgment in

part and DENY it in part; it will, for the same reasons, GRANT the FBI’s motion for summary

judgment in part and DENY it in part.




                                                 2
                                       I. BACKGROUND

A. Statutory Framework

       The Freedom of Information Act is premised on the notion that an informed citizenry is

“vital to the functioning of a democratic society, needed to check against corruption and to hold

the governors accountable to the governed.” NLRB v. Robbins Tire & Rubber Co., 437 U.S. 214,

242 (1978). The Act embodies “a general philosophy of full agency disclosure.” U.S. Dep’t of

Defense v. FLRA, 510 U.S. 487, 494 (1994) (quoting Dep’t of Air Force v. Rose, 425 U.S. 352,

360–61 (1976)). It thus mandates that an agency disclose records upon request, unless they fall

within one of nine exemptions. “These exemptions are ‘explicitly made exclusive’ and must be

‘narrowly construed.’” Milner v. Dep’t of Navy, 562 U.S. 562, 565 (2011) (quoting EPA v.

Mink, 410 U.S. 73, 79 (1973), and FBI v. Abramson, 456 U.S. 615, 630 (1982)).

       At issue here are four of the nine exemptions. Exemption 2 “shields from compelled

disclosure documents ‘related solely to the internal personnel rules and practices of an agency.’”

Id. (quoting 5 U.S.C. § 552(b)(2)). Exemption 5 protects “inter-agency or intra-agency

memorandums or letters which would not be available by law to a party other than an agency in

litigation with the agency.” 5 U.S.C. § 552(b)(5). It exempts “those documents, and only those

documents, normally privileged in the civil discovery context.” NLRB v. Sears, Roebuck & Co.,

421 U.S. 132, 149 (1975)). Exemption 6 protects information about individuals in “personnel

and medical files and similar files” when its disclosure “would constitute a clearly unwarranted

invasion of personal privacy.” 5 U.S.C. § 552(b)(6). Finally, Exemption 7 shields from

disclosure “records or information compiled for law enforcement purposes, but only to the extent

that” release of the records would disclose one of six kinds of sensitive information. Id. §

552(b)(7). Two of the six are relevant here: Exemption 7(C), which applies whenever disclosure



                                                 3
“could reasonably be expected to constitute an unwarranted invasion of personal privacy,” id. §

552(b)(7)(C), and Exemption 7(E), which applies whenever release of the information “would

disclose techniques and procedures for law enforcement investigations or prosecutions, or would

disclose guidelines for law enforcement investigations or prosecutions if such disclosure could

reasonably be expected to risk circumvention of the law,” id. § 552(b)(7)(E).

        Also at issue here are FOIA’s three “exclusions.” These statutory provisions authorize

law enforcement agencies, under unusual circumstances, to “treat [responsive] records as not

subject to the requirements of [FOIA],” see id. § 552(c)(1)–(3), and accordingly to deny that any

such records exist. See ACLU of Michigan v. FBI, 734 F.3d 460, 469–72 (6th Cir. 2013). 1 A

law enforcement agency may rely on an exclusion only if a request is made for records that (1)

implicate an ongoing criminal investigation if “there is reason (i) to believe that the subject of the

investigation . . . is not aware of its pendency, and (ii) disclosure of the existence of the records

could reasonably be expected to interfere with enforcement proceedings,” 5 U.S.C. § 552(c)(1);

(2) concern an undisclosed informant, id. § 552(c)(2); or (3) “pertain[] to foreign intelligence or

counterintelligence, or international terrorism,” if the records are maintained by the FBI and are

classified, id. § 552(c)(3).

B. FBI FOIA Procedures

        This case concerns various documents that the FBI creates while processing FOIA

requests. The division of the FBI that is responsible for processing FOIA requests is known as



1
  The D.C. Circuit has never authoritatively stated that an agency may issue a “none-found”
response rather than a Glomar response (in which an agency refuses to confirm or deny whether
responsive documents exist) if an exclusion applies. See Benavides v. DEA, 976 F.2d 751, 753
(D.C. Cir. 1992) (per curiam) (declining to “authoritatively construe[]” § 552(c)). But those
“[c]ourts that have dealt with § 552(c) exclusions have generally approved of the FBI’s standard
practice” of issuing a “none-found” response, see ACLU of Michigan, 734 F.3d at 471, and the
plaintiffs do not challenge the practice here, see Dkt. 27 at 37 n.21.
                                                   4
the Record/Information Dissemination Section (“RIDS”). See Dkt. 21-3 at 1–2 (Hardy Decl. ¶¶

1–3). According to a declaration submitted by the director of RIDS, David M. Hardy, RIDS

analysts primarily rely on two database systems to conduct searches of records that might be

responsive to FOIA requests. Id. at 14–16 (Hardy Decl. ¶¶ 53–57). The FBI’s Freedom of

Information and Privacy Act Document Processing System (“FDPS”) is the primary database.

Id. at 14 (Hardy Decl. ¶ 53). FDPS is a “request management system” that RIDS employees use

to “track FOIA/Privacy Act requests, referrals, appeals, and litigations.” Id. (Hardy Decl. ¶ 54).

“Within FDPS, an electronic file is created for each FOIA/Privacy Act request” that contains

“copies of pertinent correspondence,” including the request and the FBI’s response letter;

“processing-related documents,” including search slips; and “multiple versions” (i.e., the original

version and a redacted version) “of the records processed in response to” the FOIA request. Id.

at 14–15 (Hardy Decl. ¶ 55). “FDPS also includes a ‘notes’ section in which additional

processing-related information may be included.” Id.

       The second database is the FBI’s Central Records System (“CRS”). Id. at 15 (Hardy

Decl. ¶ 56). The CRS contains “administrative, applicant, criminal, personnel, and other files

compiled for law enforcement purposes.” Id. According to Hardy, “[a]lthough the CRS is

primarily designed to serve as an investigative tool, the FBI searches the CRS for documents that

are potentially responsive to FOIA/Privacy Act requests[] when it determines that responsive

records are likely to be maintained in the CRS.” Id. In other words, RIDS employees search the

CRS for records that may be responsive to FOIA requests; they document the results of those

searches, and other efforts, in FDPS.

       As described below, Plaintiffs submitted various FOIA requests to obtain documents that

the FBI had previously created in processing earlier FOIA requests—some submitted by



                                                 5
Plaintiffs themselves and some submitted by other requesters. Although Plaintiffs stated

generally that they sought “all records” that documented the FBI’s efforts to respond to the prior

FOIA requests, see, e.g., Dkt. 21-4 at 3 (Hardy Decl., Ex. A), this case centers on three types of

processing records: search slips, case processing notes, and case evaluation forms.

       Search slips are records that document the efforts of RIDS analysts to search for files

responsive to FOIA requests. Plaintiffs have provided the following example of a search slip,

which they presumably obtained before the FBI adopted its categorical policy of denying access

to these records:




                                                 6
Dkt. 27-13 at 44 (Pls.’ Mot. Summ. J., Ex. M). Although the exact format of the search slips the

FBI creates has varied over time, most search slips contain, at the very least, cross-references to

the CRS files searched by the RIDS analysts, see Dkt. 21-3 at 21–22 (Hardy Decl. ¶ 70), and the

dates on which those files were searched.

       FDPS case processing notes also document the efforts of RIDS analysts to process FOIA

requests. The plaintiffs have provided the following example of a page of case processing notes:




Dkt. 27-5 at 26 (Pls.’ Mot. Summ. J., Ex. E). The primary difference between the FDPS case

processing notes and the search slips is that the notes contain “employee-generated notations . . .



                                                 7
[that] may contain the same information as . . . search slips but are often far more detailed.” Dkt.

21-3 at 23 (Hardy Decl. ¶ 72). That is, while the search slips that correspond to a given FOIA

request may contain cross-references to the relevant CRS files, the processing notes may explain

why a particular record contained in those files could not be located, or why it could not be

provided to a requester. See id. (Hardy Decl. ¶¶ 72–73).

       Finally, case evaluation forms are records that are “maintained in RIDS administrative

personnel files for purposes of tracking and evaluating the performance of employees who

process FOIA and Privacy Act requests.” Id. at 19 (Hardy Decl. ¶ 66). The plaintiffs have

provided the following example of both sides of a case evaluation form, which, again, they

presumably obtained before the FBI adopted its current policy:




                                                 8
Dkt. 27-6 at 1–2 (Pls.’ Mot. Summ. J., Ex. F). The case evaluation forms contain some

information about the databases that the RIDS analyst tasked with processing a particular FOIA

request relied on in processing it, see id. at 2, but the forms focus on the performance of the

analyst rather than the substance of the request.




                                                    9
C. Plaintiffs’ FOIA Requests

        This action arises from the denial of several different FOIA requests brought by several

different plaintiffs. For the sake of clarity, the Court sets out the administrative history of each

request, or set of requests, separately.

        1. NSC’s First Request (No. 1156218-000) 2

        Plaintiff National Security Counselors (“NSC”) is a nonprofit organization incorporated

in Virginia. Dkt. 1 at 2 (Compl. ¶ 5); see also Nat’l Sec. Counselors v. CIA, No. 14-5171, 2016

WL 191904, at *2–3 (D.C. Cir. Jan. 15, 2016). On October 26, 2010, NSC submitted a FOIA

request to the FBI via e-mail seeking “all [FBI] records” regarding seven previous FOIA requests

“that contain remarks, comments, notes, explanations, etc.[,] made by FBI personnel or

contractors about the processing of these requests.” Dkt. 21-4 at 3 (Hardy Decl., Ex. A). NSC

specified that it was seeking

        any analysts’ notes made during the processing of the requests, any standard
        worksheets (including Work Process Unit Case Evaluation Forms) completed by
        FBI personnel or contractors, any justifications for exemption invocations or other
        supporting documentation provided to the Appeals Authority, and any
        correspondence referencing the requests, including tasking orders, emails, referral
        memos, and coordination documentation.

Id. The FBI replied on December 6, 2010. Dkt. 21-4 at 8 (Hardy Decl., Ex. B). It indicated that

it had reviewed eight pages of records and released all eight, withholding some information on

the basis of Exemptions 2, 6, and 7(C). Id. The pages the FBI released were “printout[s] of the




2
  The FBI initially treated NSC’s single request for documents as a single FOIA request and
assigned it a single request number (No. 1156218-000). On remand, however, the FBI treated
the NSC’s request as six separate requests, and assigned it six separate request numbers, each
derived from the prior FOIA request regarding which NSC sought records. See Dkt. 21-4 at 32
(Hardy Decl., Ex. G). The distinction is not material to the resolution of NSC’s claims.
                                                  10
‘Notes’ field of the FBI processing database for each of the requests in question.” See id. at 12

(Hardy Decl., Ex. C).

       NSC appealed the adequacy of the FBI’s search. Id. It stated that it believed the FBI’s

response had been incomplete, given that the documents released “did not reflect the complete

histories of six of the requests.” Id. NSC specified that it “did not receive any of the Work

Processing Unit’s Case Evaluation Forms that are typically completed for FOIA requests.” Id. at

13 (emphasis in original). The Justice Department’s Office of Information Policy (“OIP”),

which adjudicates appeals regarding FOIA requests submitted to Justice Department

components, “remand[ed] [NSC’s] request for a further search for records” on June 24, 2011. Id.

at 17 (Hardy Decl., Ex. E). On remand, the FBI released “the exact same records” for six of the

seven case files, this time withholding information only on the basis of Exemption 6. Id. at 32

(Hardy Decl., Ex. G); see also id. at 19–30 (Hardy Decl., Ex. F). The FBI did not release any

records for the seventh case file, and NSC does not challenge its failure to do so in this action.

       On November 4, 2011, NSC again appealed the adequacy of the FBI’s search. Id. at 32

(Hardy Decl., Ex. G). NSC’s executive director, Kel McClanahan, wrote:

       I can point directly to the documents that are missing. When the [Records and
       Management Division] performs a search, it fills out an “FBI RMD FOIPA
       Search Slip,” and the person doing the search writes a memo back . . . . However,
       no such documents were released in this request, despite the fact that they would
       be clearly responsive.

Id. On January 20, 2012, OIP again remanded the request for further review. Id. at 41 (Hardy

Decl., Ex. I). But it simultaneously “affirm[ed], on modified grounds, the FBI’s action.” Id.

Specifically, OIP wrote:

       To the extent that you are seeking search slips associated with the processing of
       the above-referenced requests, please be advised that this information is protected
       from disclosure under the FOIA pursuant to [Exemption 7(E)]. This provision
       concerns records or information compiled for law enforcement purposes the

                                                 11
       release of which would disclose techniques and procedures for law enforcement
       investigations or prosecutions. Because any such records responsive to your
       request would be categorically exempt from disclosure, the FBI properly asserted
       Exemption 7(E) and was not required to conduct a search for such records.

Id.

       2. NSC’s Second Request (No. 1174832-000)

       On October 5, 2011, while it was appealing the FBI’s second production of records in its

first request, NSC submitted another FOIA request to the FBI. Dkt. 21-4 at 44 (Hardy Decl., Ex.

J). NSC sought “all [FBI] records” relating to twelve previous FOIA requests “that contain

remarks, comments, notes, explanations, etc.[,] made by FBI personnel or contractors about the

processing of these requests.” Id. at 45. Specifically, NSC explained that it sought “[a]ny and

all” of the following documents: “analysts’ notes made during the processing of the requests,”

“pages and fields from [the FBI]’s case tracking system,” “records pertaining to the searches

performed,” “worksheets (including Work Process Unit Case Evaluation Forms) completed by

FBI personnel or contractors,” and “correspondence referencing the requests.” Id. None of the

twelve previous FOIA requests had been submitted by NSC; each request had been submitted by

someone else and had ultimately been the subject of FOIA litigation. See Id. at 58 (Hardy Decl.,

Ex. M).

       The FBI replied on October 31, 2011. Id. at 52 (Hardy Decl., Ex. L). It released six

partially redacted pages, all documenting the FBI’s processing of one of the twelve previous

FOIA requests. Id. at 53. The FBI indicated that the other eleven FOIA requests “pertain[ed] to

third parties” and therefore “c[ould ]not be released absent express authorization and consent of

the third parties, proof that the subjects . . . [we]re deceased, or a clear demonstration that the

public interest in disclosure outweighs the personal privacy interest.” Id. The subject of the one

FOIA request for which the FBI did provide processing records was deceased. Id. The FBI

                                                  12
explained that disclosure of the records—absent consent, proof of death, or proof that disclosure

would be in the public interest—“would be in violation of the Privacy Act.” Id. The FBI added

that the records “may also b[e] exempt from disclosure pursuant to” Exemptions 6 and 7(C). Id.

       NSC appealed. Id. at 56 (Hardy Decl., Ex. M). It argued that the Privacy Act did not

apply to a FOIA request, and that the requested records were not exempt under Exemption 6,

because “[t]he information in these records is publicly available in the [FBI’s declarations] in the

court cases which arose from these requests.” Id. at 58. NSC’s request, it explained, was simply

“a request for the raw material used in the crafting of those declarations.” Id. In response, OIP

“affirm[ed], on partly modified grounds, the FBI’s action on [NSC’s] request.” Id. at 62 (Hardy

Decl., Ex. O). It explained that the requested documents were properly withheld because they

were exempt under Exemptions 6, 7(C), and 7(E). Id.

       3. Stein’s First Request (No. 1174507-000)

       Plaintiff Jeff Stein is an “investigative reporter of long standing, specializing in U.S.

intelligence, defense, and foreign policy.” Dkt. 21-4 at 67 (Hardy Decl., Ex. P). Represented by

NSC, he submitted a FOIA request to the FBI on September 28, 2011, seeking “all information

pertaining to the searches conducted by the [FBI] which were used, referenced, or relied upon”

in the declarations submitted by the FBI in six FOIA actions. 3 Id. at 66. The FBI replied on

October 4, 2011. Id. at 72 (Hardy Decl., Ex. Q). It released no records, relying on the same

ground it had cited in denying NSC’s similar request for third-party records. Id. It stated that,



3
  Rimmer v. Holder, No. 10-1106, 2011 WL 4431828 (M.D. Tenn. Sept. 22, 2011), aff’d, 700
F.3d 246 (6th Cir. 2012); Negley v. FBI, 825 F. Supp. 2d 63 (D.D.C. 2011), aff’d, No. 11-5296,
2012 WL 1155734 (D.C. Cir. Mar. 28, 2012); Marshall v. FBI, 802 F. Supp. 2d 125 (D.D.C.
2011); Calle v. FBI, No. 10-2362, 2011 WL 3820577 (N.D. Tex. Aug. 5, 2011); Davis v. FBI,
770 F. Supp. 2d 93 (D.D.C. 2011); Hodge v. FBI, 764 F. Supp. 2d 134 (D.D.C. 2011), aff’d, 703
F.3d 575 (D.C. Cir. 2013).


                                                 13
because the original FOIA requests for which Stein had requested processing documents

“pertain[ed] to third parties,” they “c[ould ]not be released absent express authorization and

consent of the third parties, proof that the subjects . . . [we]re deceased, or a clear demonstration

that the public interest in disclosure outweighs the personal privacy interest.” Id.

       Stein appealed on October 6, 2011. Id. at 76 (Hardy Decl., Ex. R). As it had in

adjudicating NSC’s appeal, OIP “affirm[ed], on modified grounds, the FBI’s action.” Id. at 80

(Hardy Decl., Ex. T). It explained that “[t]he FBI properly withheld this information in full

because it is protected from disclosure” under Exemption 7(E). Id.

       4. Stein’s Second Request (No. 1182250-000)

       On November 10, 2011, Stein (again represented by NSC) submitted a second FOIA

request to the FBI. Dkt. 21-4 at 83 (Hardy Decl., Ex. U). He requested “all information

pertaining to the searches conducted by the [FBI] which was used, referenced, or relied upon” in

the declarations submitted by the FBI in two additional FOIA actions. 4 Id. The FBI assigned

Stein two “request numbers,” one corresponding to each action for which Stein had requested

documents. See id. at 88–89 (Hardy Decl., Ex. V). On May 31, 2012, the FBI responded to the

first of the two requests (No. 1182250-000). Id. at 91 (Hardy Decl., Ex. W). It stated that it had

reviewed 194 pages of documents and released 33 pages with withholdings. Id. It justified its

withholdings on the basis of Exemptions 1, 6, 7(C), and 7(E). Id. Because the cost of producing

the documents fell beneath the FBI’s regulatory threshold for assessing fees, the FBI provided

the documents at no cost. Id. at 92.




4
 McGehee v. U.S. Dep’t of Justice, 800 F. Supp. 2d 220 (D.D.C. 2011); Rosenfeld v. U.S. Dep’t
of Justice, No. 07-3240, 2010 WL 3448517 (N.D. Cal. Sept. 1, 2010).
                                                 14
       Stein appealed “all of the FBI’s withholdings.” Id. at 98 (Hardy Decl., Ex. Y). On

September 27, 2012, OIP “affirm[ed] the FBI’s action.” Dkt. 21-5 at 6 (Hardy Decl., Ex. CC). It

explained that the FBI’s withholdings were appropriate because the information was protected

from disclosure under Exemptions 1, 6, 7(C), and 7(E). Id. at 6–7.

       5. Stein’s Third Request (No. 1182251-000)

       On March 27, 2012, the FBI responded to what it had treated as the second of Stein’s two

November 2011 requests (No. 1182251-000). Dkt. 21-5 at 11 (Hardy Decl., Ex. EE). It stated

that it had located 694 pages potentially responsive to Stein’s request. Id. But it notified him

that he would be required to be a processing fee of either $59.40, for the cost of duplicating the

records, or $20, for the cost of producing two CDs with the records. Id. Stein appealed. Dkt.

21-5 at 13 (Hardy Decl., Ex. FF). He argued that the $20 estimate was driven solely by the

FBI’s “blanket policy of placing only 500 pages on a CD (since he is entitled to one CD free of

charge).” Id. at 14. In response, OIP affirmed the FBI’s action, concluding that the fee estimate

was reasonable in light of the circumstances. Id. at 20 (Hardy Decl., Ex. HH). The FBI

ultimately closed Stein’s request administratively on the basis of his failure to pay fees. Dkt. 21-

3 at 17 (Hardy Decl. ¶ 61).

       6. Truthout’s Request (No. 1196979-000)

       Plaintiff Truthout.org (“Truthout”) is “an online news publication that publishes news

and commentary.” Dkt. 21-5 at 22 (Hardy Decl., Ex. II). On January 24, 2012, Truthout’s

deputy managing editor, Jason Leopold, submitted a FOIA request on Truthout’s behalf for “the

FBI FOIA analyst processing notes related to” an earlier FOIA request that he had submitted. Id.

Specifically, Leopold requested “copies of all FBI records” related to the earlier request “that

contain remarks, comments, notes, explanations, etc.[,] made by FBI personnel or contractors.”



                                                 15
Id. The FBI replied on August 17, 2012. Id. at 36 (Hardy Decl., Ex. KK). It stated that “[t]he

material [Truthout] requested [was] located in a file which is exempt from disclosure” pursuant

to Exemption 5. Id. FBI official David Hardy explained:

                In applying this exemption, I have determined that the records responsive
        to your request are predecisional records; that there is a pending agency decision
        relevant to these responsive records; and that release of the information contained
        in these responsive records could reasonably be expected to interfere with that
        decision.

Id.

        Truthout, now represented by NSC, appealed. Id. at 41 (Hardy Decl., Ex. LL). OIP

failed to respond to the appeal within the 20-day statutory deadline, 5 U.S.C. § 552(a)(6)(A)(ii),

and Truthout filed suit. On March 7, 2013, OIP closed Truthout’s appeal administratively on the

ground that it was now before this Court. Dkt. 21-5 at 45 (Hardy Decl., Ex. NN).

        7. Shapiro’s Request

        Plaintiff Ryan Noah Shapiro is a doctoral candidate at the Massachusetts Institute of

Technology who studies “the history, theory, and practice of the Freedom of Information and

Privacy Acts.” Dkt. 21-5 at 53–54 (Hardy Decl., Ex. OO). On February 10, 2012, Shapiro

submitted a FOIA request to the FBI seeking “any and all records associated with the

administrative case files for” 71 separate FOIA requests that he had previously submitted to the

FBI. Id. at 47–49. He noted that his request “specifically include[d], but [was] not limited to,

any and all search slips, administrative processing notes, and case evaluation forms (even if the

case evaluation forms are located in the FOIA specialists’ personnel files).” Id. at 47. The FBI

failed to respond within the 20-day statutory deadline, 5 U.S.C. § 552(a)(6)(A)(i), and Shapiro

filed this suit rather than appeal.




                                                16
       The FBI replied on April 29, 2013. Id. at 69 (Hardy Decl., Ex. QQ). It released no

records. Id. It explained that “[t]he material [Shapiro] requested contain[ed] information

derived from one or more investigative file(s) and [was] being withheld pursuant to” Exemption

7(E). Id. It sent Shapiro a second letter on December 13, 2013, about the case evaluation forms

he had requested. Id. at 72 (Hardy Decl., Ex. RR). The FBI explained that it had located

“approximately 19 case evaluation forms” responsive to his request, but that it was withholding

them in full under Exemptions 2 and 6. Id. Because this suit was already pending, Shapiro did

not appeal.

D. Procedural History

       NSC, Stein, Truthout, and Shapiro originally brought suit in November 2012 to challenge

the FBI’s responses to these FOIA requests and several others. See Complaint (Dkt. 1), Shapiro

v. U.S. Dep’t of Justice, 969 F. Supp. 2d 18 (D.D.C. 2013) (No. 12-1883). As originally filed,

Plaintiffs’ action “involve[d] thirteen claims brought by four separate plaintiffs . . . regarding

twenty separate” requests under FOIA and the Privacy Act. Shapiro, No. 12-1883, slip op. at 1

(D.D.C. April 17, 2013) (Dkt. 28). Accordingly, on April 17, 2013, the Court granted the

Department of Justice’s motion to sever the claims, retaining one fully briefed claim and

ordering the remaining counts of the plaintiffs’ complaint dismissed unless they were “refiled in

appropriate separate actions.” Id., slip op. at 7.

       One week later, plaintiffs refiled five of the severed claims in a new complaint, thereby

initiating this action. Dkt. 1. The Court issued an order directing the plaintiffs to show cause

why the first four counts of the complaint should not be severed or dismissed. Dkt. 8. The case

was then reassigned to another judge, who discharged the order to show cause on September 19,

2013, concluding that “the interest of judicial economy weigh[ed] against severance.” Shapiro v.



                                                     17
Dep’t of Justice, No. 13-555, 2013 WL 5287615, at *1 (D.D.C. Sept. 19, 2013). Specifically, the

Court explained, “the government does not contest that the FBI’s search slip policy is implicated

in each of Counts One through Four, and it appears that legal questions relating to that alleged

policy are likely to predominate over other issues in the case.” Id. The case was again

reassigned in November 2014.

       The matter is now before the Court on the parties’ cross-motions for summary judgment.

Dkts. 21, 28.

                                    II. LEGAL STANDARD

       FOIA cases are typically resolved on motions for summary judgment under Federal Rule

of Civil Procedure 56. See, e.g., Beltranena v. U.S. Dep’t of State, 821 F. Supp. 2d 167, 175

(D.D.C. 2011). To prevail on a summary judgment motion, the moving party must demonstrate

that there are no genuine issues of material fact and that he or she is entitled to judgment as a

matter of law. Fed. R. Civ. P. 56(a); Celotex Corp. v. Catrett, 477 U.S. 317, 325 (1986). In a

FOIA action, the agency may meet its burden by submitting “relatively detailed and non-

conclusory” affidavits or declarations, SafeCard Servs., Inc. v. SEC, 926 F.2d 1197, 1200 (D.C.

Cir. 1991) (quotation marks and citation omitted), and an index of the information withheld,

Vaughn v. Rosen, 484 F.2d 820, 827–28 (D.C. Cir. 1973); Summers v. Dep’t of Justice, 140 F.3d

1077, 1080 (D.C. Cir. 1998). An agency “is entitled to summary judgment if no material facts

are in dispute and if it demonstrates ‘that each document that falls within the class requested

either has been produced . . . or is wholly exempt from the [FOIA’s] section requirements.”

Students Against Genocide v. U.S. Dep’t of State, 257 F.3d 828, 833 (D.C. Cir. 2001) (quoting

Goland v. CIA, 607 F.2d 339, 352 (D.C. Cir. 1978)). The Court reviews the agency’s decision

de novo, and the agency bears the burden of sustaining its action. 5 U.S.C. § 552(a)(4)(B).



                                                 18
                                        III. DISCUSSION

       Plaintiffs challenge the FBI’s decision to withhold the processing records that are at the

heart of this action—search slips, FDPS case processing notes, and case evaluation forms—as

inconsistent with FOIA’s “general philosophy of full agency disclosure.” Dep’t of Defense, 510

U.S. at 494. They argue that the FBI’s withholdings cannot be sustained, either as a categorical

matter or on a case-by-case basis. The FBI defends its withholdings on multiple grounds. It

argues that all search slips and processing notes generated in the past 25 years in response to

FOIA requests directed at investigative files are protected from disclosure under Exemption 7(E)

and that the case evaluation forms are, in general, protected under Exemptions 2 and 6. The FBI

also argues that it properly withheld records from NSC and Stein because their requests were for

information about third parties and that it properly withheld records from Truthout because its

request implicated an ongoing investigation. It finally argues that, considered individually, each

of the withholdings in the records it provided in response to Stein’s second request was justified;

that its searches in response to NSC’s first request for records and Stein’s second request were

adequate; and that it properly denied Stein’s third request on the basis of his failure to pay fees.

       The Court first considers the two categorical policies that the FBI concedes it has adopted

in responding to FOIA requests for case processing notes: (1) the withholding of search slips and

FDPS case processing notes under Exemption 7(E), and (2) the withholding of case evaluation

forms under Exemptions 2 and 6. The Court then considers the remaining issues plaintiff-by-

plaintiff and request-by-request.




                                                 19
A. Categorical Policies

        The plaintiffs challenge the FBI’s policies of categorically withholding documents

associated with its processing of FOIA requests. 5 The FBI concedes that it has adopted two such

policies: it has adopted a policy of “deny[ing] access to processing records related to

FOIA/Privacy Act requests related to criminal investigative, national security,

counterintelligence, or foreign intelligence information pursuant to Exemption 7(E),” Dkt. 21-3

at 25 (Hardy Decl. ¶ 75); and a policy of denying access to case evaluation forms pursuant to

Exemptions 2 and 6, Dkt. 31 at 14. It relied on these categorical policies in withholding

documents from NSC, Stein, and Shapiro. See Dkt. 21-4 at 41 (Hardy Decl., Ex. I); id. at 62

(Hardy Decl., Ex. O); id. at 80 (Hardy Decl., Ex. T); Dkt. 21-5 at 69 (Hardy Decl., Ex. QQ); id.

at 72 (Hardy Decl., Ex. RR). Although the FBI did not deny Truthout’s request on either of

these bases, it now justifies its denial of Truthout’s request in part on the basis of the first of

these policies. See Dkt. 21-3 at 23–25 (Hardy Decl. ¶¶ 72–75). 6



5
   The plaintiffs initially charged the FBI with issuing a so-called “no number, no list” response:
that is, a response that “acknowledges the existence of documents responsive to the request, but
neither numbers nor identifies them by title or description.” New York Times Co. v. U.S. Dep’t of
Justice, 756 F.3d 100, 105 (2d Cir. 2014); see also Nat’l Sec. Counselors v. CIA, 898 F. Supp. 2d
233, 284 (D.D.C. 2012). Before this Court, the FBI has “clarif[ied]” the number of records that
it withheld. See Dkt. 31 at 13–14; Dkt. 31-1 at 11 (Second Hardy Decl. ¶ 25).
6
  The agency bears the burden of identifying “the specific statutory exemption relied upon” in
withholding records and must “demonstrate that the exemption applies to the documents in
question.” Jordan v. U.S. Dep’t of Justice, 591 F.2d 753, 779 (D.C. Cir. 1978) (en banc).
Although the FBI did not rely on its categorical policies in denying Truthout’s request at the
administrative level, the D.C. Circuit has long implied that an agency may invoke a FOIA
exemption for the first time before the district court—but not “for the first time in the appellate
court.” Id.; see also Maydak v. Dep’t of Justice, 218 F.3d 760, 764 (D.C. Cir. 2000) (explaining
that an agency “must assert all exemptions at the same time, in the original district court
proceedings”). In any event, because this Court concludes that the FOIA exemptions that the
FBI raised for the first time here in responding to Truthout’s request do not support the FBI’s
withholdings, see infra pp. 21–32, the FBI’s failure to assert these exemptions at the
administrative level is inconsequential.
                                                   20
         The Court addresses each of these policies in turn.

         1. Withholding of Search Slips and Processing Notes

         Plaintiffs contend that the FBI has unlawfully withheld both search slips and FDPS case

processing notes on the basis of Exemption 7(E). Exemption 7(E) permits an agency to withhold

“records or information compiled for law enforcement purposes” if the production of such

records “would disclose techniques and procedures for law enforcement investigations or

prosecutions, or would disclose guidelines for law enforcement investigations or prosecutions if

such disclosure could reasonably be expected to risk circumvention of the law.” See 5 U.S.C.

§ 552(b)(7)(E). Agencies “must meet the threshold requirements of Exemption 7”—primarily

the requirement that the records were “compiled for law enforcement purposes”—“before they

may withhold requested documents on the basis of any of its subparts.” Pratt v. Webster, 673

F.2d 408, 416 (D.C. Cir. 1982); see also Pub. Employees for Envtl. Responsibility v. U.S.

Section, Int’l Boundary & Water Comm’n, U.S.-Mexico (“PEER”), 740 F.3d 195, 202 (D.C. Cir.

2014).

         The FBI characterizes its nondisclosure policy as arising under Exemption 7(E), but the

basis for the policy is somewhat more complex. As the Hardy Declaration explains, the search

slips and processing notes sought by the plaintiffs and other requesters “contain specific, detailed

information about the existence, extent, and nature of the FBI’s interest in an individual.” Dkt.

21-3 at 23 (Hardy Decl. ¶ 73). The search slips and notes, the FBI explains, may refer to files on

individuals that would be exempt from withholding under a specific FOIA exemption, and that in

fact were withheld from the original requester. Id. (Hardy Decl. ¶ 72). But, more importantly,

they may also contain references to files that are excludable under FOIA—that is, files whose

very existence the FBI is permitted to deny. Id. (Hardy Decl. ¶ 73); see 5 U.S.C. § 552(c).



                                                 21
Indeed, the FBI points out, the search slips may contain references to files that were excluded

from its response to the original requester—that is, files that the FBI told the requester did not

exist. Requests for search slips therefore put the FBI in a difficult position. The FBI cannot

plausibly deny that the search slip exists—because search slips are created as a matter of course

in responding to FOIA requests—but it argues that it also cannot release the search slip, as the

search slip would reveal the existence of the file that the FBI told the requester did not exist.

And, for similar reasons, the FBI cannot release a redacted version of the search slip; even if the

redaction would tell the requester nothing about the underlying file, the FBI argues, the existence

of the redaction would “tip off” the requester that some file existed, contradicting the FBI’s prior

assertion that no responsive records existed. Likewise, the FBI argues that it cannot withhold the

entire search slip under one of the exemptions, because the withholding itself would ‘tip off’ the

requester that the search slip must refer to a file that he or she had previously been told did not

exist.

         The FBI highlights the dilemma it faces with the following hypothetical. “[A]ssume that

a requester sought processing records for 50 different FOIA requests, 49 of which contained no

excludable information but one of which reflected an on-going investigation subject to exclusion

under 5 U.S.C. § 552(c)(1).” Dkt. 21-3 at 25 (Hardy Decl. ¶ 74). “If the FBI released the

administrative processing records for the 49 requests but denied access to (or issued a ‘no

records’ response) in response to the remaining request, this could signal the existence and use of

an exclusion by the FBI.” Id. Accordingly, the FBI explains, any response that it might make to

a request for a search slip that documents the existence of excluded files would “allow subjects

to circumvent the law by placing them on notice that they are the subject of an ongoing

investigation about which they were previously unaware; by confirming or compromising the



                                                 22
informant status of individuals; or by alerting of the existence of classified investigations related

to the subject.” Id. The FBI argues that the only option available to it is to withhold all search

slips and processing notes that it has created in responding to FOIA requests for investigative

files in the last 25 years. Id. (Hardy Decl. ¶ 75); see also Dkt. 31-1 at 9 (Second Hardy Decl.

¶ 20).

         The Court does not doubt that the problem the FBI describes is a serious one. Congress

specifically authorized law enforcement agencies to treat certain records as “not subject to the

requirements of” FOIA. 5 U.S.C. § 552(c)(1)–(3). Responding to requests for search slips and

processing notes might undermine the FBI’s ability to exercise that authority by enabling

sophisticated requesters to infer the existence of those records. The question before the Court,

however, is not the existence or the gravity of the problem facing the FBI, but whether the

solution the FBI has adopted is consistent with FOIA. Although the question is a difficult one,

the Court concludes that the FBI’s proposed reading of the statute cannot be squared with its text

or the governing precedent.

         First, although the FBI argues that its policy is necessary to protect its ability to exercise

the FOIA exclusions, it does not maintain that the exclusions themselves authorize its policy of

withholding processing records. Dkt. 31 at 20. Nor could it. The first exclusion applies only to

records subject to Exemption 7(A) (i.e., records “compiled for law enforcement purposes,” the

disclosure of which “could reasonably be expected to interfere with enforcement proceedings,” 5

U.S.C. § 552(b)(7)(A)), and it applies only in a criminal investigation if “there is reason to

believe that (i) the subject of the investigation or proceeding is not aware of its pendency, and (ii)

disclosure of the existence of the records could reasonably be expected to interfere with

enforcement proceedings,” id. § 552(c)(1). The second exclusion applies only to “informant



                                                   23
records maintained by a criminal law enforcement agency under an informant’s name or personal

identifier,” and only unless and until “the informant’s status as an informant has been officially

confirmed.” Id. § 552(c)(2). The final exclusion applies only to classified FBI records

“pertaining to foreign intelligence or counterintelligence, or international terrorism,” and it

applies only “as long as the existence of the records remains classified information.” Id.

§ 552(c)(3). These narrowly defined exclusions relate to sensitive matters of law enforcement

and national security. They have nothing to do with the day-to-day administration of FOIA

itself.

          To be sure, a particular search slip might, on a rare occasion, replicate excludable records

and thus also fall within one of the FOIA exclusions, in full or in part. Cf. Abramson, 456 U.S.

at 625 (construing Exemption 7 “to protect that part of an otherwise non-exempt compilation

which essentially reproduces and is substantially the equivalent of all or part of an earlier record

made for law enforcement uses”). But the overwhelming majority of FBI processing documents

are not excludable under any reasonable construction of Section 552(c). As the FBI

acknowledges, the Section 552(c) exclusions are rarely applicable in principle and are even more

rarely applied in practice. In the words of the Justice Department’s own guide to FOIA, the

exclusions are “a novel mechanism for protecting certain especially sensitive law enforcement

matters,” and are employed only in “exceptional circumstances.” U.S. Dep’t of Justice, Guide to

the Freedom of Information Act: Exclusions 1 (last updated Mar. 5, 2014),

http://1.usa.gov/1S9kIZF. In the most recent fiscal year, the Justice Department invoked an

exclusion only 145 times—or in 0.23% of the over 60,000 requests that it processed. See U.S.

Dep’t of Justice, 2015 Chief FOIA Officer Report 26–28 (Mar. 2015), http://1.usa.gov/1JoJunf.




                                                   24
The FBI’s sweeping policy of withholding all search slips for investigative records, as a result,

cannot be justified based on the plain terms of Section 552(c).

       Second, although the FBI characterizes its policy as arising under Exemption 7(E) rather

than directly under Section 552(c), that exemption does not authorize the policy either. As a

threshold matter, Exemption 7 can be invoked only to withhold “records or information compiled

for law enforcement purposes.” 5 U.S.C. § 552(b)(7); see also PEER, 740 F.3d at 202. The

search slips are not themselves “records . . . compiled for law enforcement purposes”; they are

records compiled for the purpose of responding to FOIA requests. See Dkt. 21-3 at 23 (Hardy

Decl. ¶ 72) (explaining that search slips and FDPS case notes “are employee-generated notations

located within the FBI’s processing system used to document the action taken on FOIA/Privacy

Act requests received by the FBI”). The FBI acknowledges as much, arguing only that “the

underlying FBI CRS records” that are referenced and recompiled in the search slips were

“compiled for a law enforcement purpose.” Id. at 21–22 (Hardy Decl. ¶ 70). But the FBI is not

seeking to withhold specific law enforcement information compiled in the search slips on the

basis of Exemption 7(E); it is seeking to withhold all of the search slips in their entirety on the

basis of Exemption 7(E).

       Under well-established law, “an agency cannot justify withholding an entire document

simply by showing that it contains some exempt material,” Stolt-Nielsen Transp. Group Ltd. v.

United States, 534 F.3d 728, 734 (D.C. Cir. 2008) (quoting Mead Data Ctr., Inc. v. U.S. Dep’t of

Air Force, 566 F.2d 242, 260 (D.C. Cir. 1977)), and the FBI does not claim that it would be

impossible or unreasonable to segregate the law enforcement information that would be subject

to Exemption 7 from any remaining material, cf. Vaughn, 484 F.2d at 825 (“[T]he agency may

not sweep a document under a general allegation of exemption . . . .”). Moreover, even if—in a



                                                 25
case in which the FBI denied that responsive records existed—the existence of a search slip

might constitute the substantial “equivalent” of a record compiled for law enforcement purposes,

see Abramson, 456 U.S. at 625, that would at most bring that particular search slip within the

ambit of Exemption 7. In the absence of a showing that all of the withheld search slips in their

entirety constitute records “complied for law enforcement purposes,” the FBI’s categorical

reliance on Exemption 7 fails at the threshold.

       Even if the FBI could demonstrate that it would be unreasonable to require it to segregate

the material that would fall within the scope of Exemption 7 from the material that would not, it

is doubtful that the harm produced by disclosure of the search slips would sound in Exemption

7(E). Documents can be withheld under Exemption 7(E) only where their production “would

disclose techniques and procedures for law enforcement investigations or prosecutions, or would

disclose guidelines for law enforcement investigations or prosecutions if such disclosure could

reasonably be expected to risk circumvention of the law.” 5 U.S.C. § 552(b)(7)(E). But the FBI

does not point to any “technique,” “procedure,” or “guideline” that disclosure of the search slips

might illuminate. See Allard K. Lowenstein Int’l Human Rights Project v. DHS, 626 F.3d 678,

682 (2d Cir. 2010) (“The term ‘guidelines’ . . . generally refers in the context of Exemption 7(E)

to resource allocation” whereas “[t]he phrase ‘techniques and procedures’ . . . refers to how law

enforcement officials go about investigating a crime.”); see also Blackwell v. FBI, 646 F.3d 37,

42 (D.C. Cir. 2011) (upholding FBI’s invocation of Exemption 7(E) to withhold “details about

procedures used during the forensic examination of a computer” on the ground that these were

“undoubtedly ‘techniques’ or ‘procedures’ used for ‘law enforcement investigations’”); Mayer

Brown LLP v. IRS, 562 F.3d 1190, 1193 (D.C. Cir. 2009) (upholding use of Exemption 7(E) to

withhold IRS settlement guidelines on the ground that disclosure “could encourage decisions to



                                                  26
violate the law or evade punishment”). The FBI argues that disclosure of the search slips could

reveal its use of Section 552(c) exclusions in individual cases. But the FBI’s exercise of its

statutory authority to exclude documents from FOIA’s reach is not the kind of “technique” or

“procedure” to which Exemption 7(E) refers. The legislative history of Exemption 7(E) makes

clear that it was intended to authorize agencies to withhold only techniques and procedures not

“already well known to the public.” See H.R. Rep. 93-1380 at 12 (1975); see also Malloy v. U.S.

Dep’t of Justice, 457 F. Supp. 543, 545 (D.D.C. 1978). That is, the purpose of Exemption 7(E)

is to prevent the public from learning about the existence of confidential law enforcement

techniques, not to prevent it from learning about the use of already-disclosed law enforcement

techniques. It is thus implausible that the disclosure of the FBI’s use of Section 552(c)

exclusions—although in some instances harmful—would be harmful in a way that would bring

the search slips within Exemption 7(E)’s grant of authority.

       The real question, therefore, is not whether records created in processing FOIA requests

for documents contained in investigative files are protected categorically by Section 552(c) or

Exemption 7(E), but whether the Court should recognize a judicial gloss on FOIA, as the courts

did when they first recognized the now-established Glomar doctrine. See Dkt. 21-1 at 13. The

Glomar doctrine, which permits an agency where appropriate to “refus[e] to confirm or deny its

possession of responsive documents,” originated under circumstances similar to those present

here, where “merely acknowledging the existence of responsive records would itself ‘cause harm

cognizable under [a] FOIA exception’” or exclusion. People for the Ethical Treatment of

Animals v. NIH (“PETA”), 745 F.3d 535, 540 (D.C. Cir. 2014) (quoting Wolf v. CIA, 473 F.3d

370, 374 (D.C. Cir. 2007)); see Phillippi v. CIA, 546 F.2d 1009, 1011–12 (D.C. Cir. 1976). As

with the FBI’s search-slip policy, moreover, the Glomar doctrine is not “described in the statute”



                                                27
or its legislative history. Nathan Freed Wessler, Note, “[We] Can Neither Confirm Nor Deny

The Existence or Nonexistence of Records Responsive to Your Request”: Reforming the Glomar

Response Under FOIA, 85 N.Y.U. L. Rev. 1381, 1388 (2010). Instead, it is “a judicial construct

. . . that flows from” the purpose of the FOIA exemptions “rather than their express language.”

ACLU v. CIA, 710 F.3d 422, 431 (D.C. Cir. 2013). Despite these similarities with the Glomar

doctrine, however, the Court concludes that the FBI’s present policy goes well beyond what the

courts have previously permitted and that it cannot be sustained on the basis of the text of FOIA

or existing precedent.

       Although FOIA does not expressly authorize the use of the Glomar response, the doctrine

is not without statutory moorings. As the D.C. Circuit observed in the case that gave rise to the

Glomar doctrine, requiring an agency to confirm or to deny the existence of records subject to a

FOIA exemption can, at times, be the equivalent of requiring that the agency confirm or deny the

underlying facts that are themselves protected by the exemption. Phillippi, 546 F.2d at 1011–12.

For instance, because individuals have a “‘substantial’ privacy interest . . . ‘in ensuring that their

relationship to [law enforcement] investigations remains secret,’” PETA, 745 F.3d at 541

(quoting Roth v. Dep’t of Justice, 642 F.3d 1161, 1174 (D.C. Cir. 2011)), a law enforcement

agency may refuse to confirm or to deny the existence of law enforcement records regarding an

individual on the ground that the fact of the records’ existence is itself protected by a FOIA

exemption. In other words, if the agency can withhold access to responsive records under FOIA,

it stands to reason that it should also be able to refuse to confirm or deny the existence of records

when it is necessary to protect precisely the same information. This is true even if the records do

not exist; the important question is whether the fact of the records’ existence “falls within a

FOIA exemption.” Wolf, 473 F.3d at 374; see also PETA, 745 F.3d at 540; Roth, 642 F.3d at



                                                  28
1178. This principle operates as an important limitation on the use of the Glomar response: it is

proper for an agency to refuse to confirm or deny the existence of records only “if the particular

FOIA exemption at issue would itself preclude the acknowledgement of such documents.” EPIC

v. NSA, 678 F.3d 926, 931 (D.C. Cir. 2012).

       In none of the Glomar cases, however, has the D.C. Circuit permitted an agency to

withhold—or to decline to confirm or to deny the existence of—any record or information that is

not itself protected by a FOIA exemption or exclusion. When the Glomar doctrine is properly

invoked, one of two things holds true: either a protected record exists or no record exists. Either

way, the requester is not denied access to any unprotected records. Indeed, to the Court’s

knowledge, the doctrine has never been used to preclude the production or disclosure of

concededly unprotected records, even when such a response might have been useful to guard

records or information that were protected. To do so would violate the statutory command that

FOIA “does not authorize withholding of information or limit the availability of records to the

public, except as specifically stated in” the Act. 5 U.S.C. § 552(d). See also Rose, 425 U.S. at

361 (“[D]isclosure, not secrecy, is the dominant objective of the Act.”); Mink, 410 U.S. at 79;

Vaughn, 484 F.2d at 823.

       It is true that in related contexts courts have permitted agencies to withhold documents

that, considered separately, might not be sufficiently sensitive to permit an agency to invoke

Exemptions 1 or 7(A), but would meet that threshold when considered together with other

documents or information. See, e.g., Ctr. for Nat’l Sec. Studies v. U.S. Dep’t of Justice

(“CNSS”), 331 F.3d 918, 928–29 (D.C. Cir. 2003); Abbotts v. Nuclear Regulatory Comm’n, 766

F.2d 604, 608 (D.C. Cir. 1985). But these cases are different in kind from the present one. In

these cases, the central question was whether the agency could analyze the applicability of FOIA



                                                29
exemptions (and specifically, the consequences of disclosure) in light of other available or

potentially available records or information, rather than on a document-by-document basis. See

CNSS, 331 F.3d at 924, 926 (rejecting the district court’s conclusion that Exemption 7(A)

“requires an individualized assessment of disclosure”). In permitting agencies to employ a

“mosaic” analysis when considering the consequences of disclosure, however, the D.C. Circuit

did not authorize agencies to withhold documents that are not protected by FOIA. It simply

made clear that the question whether certain documents are protected by FOIA need not be

assessed on a document-by-document basis—at least when the operative question is what

consequences will flow from disclosure. Here, by contrast, the FBI is not arguing that all of the

search slips are exempt or excludable under FOIA when considered in light of other records or

information; indeed, it concedes that the vast majority of them are not protected at all. The FBI

is not making a “mosaic” claim, nor could it. It is only arguing that by withholding all search

slips, even those not protected by FOIA, it can amass a haystack in which to hide the search slips

that are protected.

       The FBI thus asks the Court to recognize a new doctrine—akin to the Glomar and mosaic

doctrines, but far more expansive in scope—that would permit it to withhold an entire category

of otherwise unprotected records in order to further the purpose of the FOIA exclusions. In

practice, this would mean withholding hundreds of unprotected processing records for every

document that might permit a sophisticated FOIA requester to infer the existence of protected

information. Although the Glomar doctrine may constitute a gloss on FOIA’s text, it does not

lead to results fundamentally at odds with the statute. The FBI’s present policy does. The

statute requires the production of records unless one of the exemptions or exclusions shields the

particular records at issue. See Milner, 562 U.S.at 565. These statutory exemptions and



                                                30
exclusions are “explicitly made exclusive.” Mink, 410 U.S. at 79. But the FBI’s present policy

would permit it to deny access to a large number of records that are neither exempt nor excluded.

For this reason, the policy—unlike the Glomar and mosaic doctrines—cannot be reconciled with

the statute.

        The only remaining question is whether the policy goals embodied in the exclusions—

which the FBI contends can be promoted only by categorically denying access to all processing

records created in the last 25 years—provides a sufficient basis to overcome these textual and

precedential hurdles. It is true that some opinions applying the Glomar doctrine have stated in

sweeping terms that an agency “may refuse to confirm or deny the existence of records where to

answer the FOIA inquiry would cause harm cognizable under a[] FOIA exception.” Gardels v.

CIA, 689 F.2d 1100, 1103 (D.C. Cir. 1982); see also PETA, 745 F.3d at 540; Wolf, 473 F.3d at

374. But, as explained above, in none of these cases was the agency attempting to withhold

records that were not exempt or excluded by FOIA in order avoid “harm cognizable under a[]

FOIA exception.” Gardels, 689 F.2d at 1103. In each of these cases, the agency was permitted

to withhold the fact of the records’ existence (or non-existence) only because the records (if they

existed) would have been exempt under FOIA. The possible presence of “harm cognizable

under a[] FOIA exception” does not, standing alone, permit the Court to extend FOIA to

documents that do not fall within an exemption or exclusion.

        Recent Supreme Court precedent emphasizes this point and counsels against permitting

even substantial policy considerations to trump the plain language of FOIA. In Milner v.

Department of the Navy, 562 U.S. 562, a FOIA requester sought data from the Department of the

Navy relating to the safe storage of explosives and, among other things, the effects of

hypothetical explosions. Invoking Exemption 2, the Navy declined to provide the requested



                                                31
data, “stating that disclosure would threaten the security of the base and surrounding

community.” Id. at 568. The D.C. Circuit had previously interpreted Exemption 2, which

applies to records “related solely to the internal personnel rules and practices of an agency,” 5

U.S.C. § 552(b)(2), to apply to records dealing with “pay, pensions, vacations, hours of work,

lunch hours, parking” and the like (“Low 2”) and also to “predominantly internal” records the

disclosure of which might “significantly risk[] circumvention of agency regulations or statutes”

(“High 2”). Crooker v. Bureau of Alcohol, Tobacco & Firearms, 670 F.2d 1051, 1056–57, 1074

(D.C. Cir. 1981) (en banc). The Milner Court, however, rejected the availability of the “High 2”

exemption, concluding that “the plain meaning” of the exemption’s text required a narrower

reading. 562 U.S. at 580. In reaching this conclusion, the Court acknowledged the “strength” of

the policy considerations behind the Navy’s reading of Exemption 2, and the strong interest in

protecting the data at issue. Id. But the Court nonetheless concluded that the government’s

interpretation could not be sustained, id.; see also id. at 581 (“All we hold today is that Congress

has not enacted the FOIA exemption the government desires.”), and that, to the extent that other

exemptions did not cover records whose release “would threaten the Nation’s vital interests, the

Government may of course seek relief from Congress,” id. at 581.

       The same is true here. There may be compelling reasons to authorize the FBI to withhold

search slips and similar processing records. But FOIA itself does not do so, and the FBI cannot

act on the basis of an exemption or exclusion that Congress has not provided. Accordingly, the

FBI’s motion for summary judgment with respect to the withholding of search slips and FDPS

processing notes is DENIED, and the plaintiffs’ motion is GRANTED. The Court will set a

status conference to address the timing and substance of an Order implementing this decision, as

well as the appropriate remedy.



                                                 32
       2. Withholding of Case Evaluation Forms

       The plaintiffs also challenge the FBI’s policy of withholding case evaluation forms under

Exemptions 2 and 6. The FBI uses case evaluation forms to track and evaluate the performance

of RIDS analysts who process FOIA and Privacy Act requests. The forms contain fields that

describe the request itself (e.g., “Routine,” “Medium,” or “Complex”). See Dkt. 27-6 at 1 (Pls.’

Mot. Summ. J., Ex. F). They contain fields that describe the analyst’s performance (e.g.,

“Unacceptable,” “Satisfactory,” or “Error Free”). Id. And they contain a ‘correction list,’ which

includes specific errors made by the analyst in responding to the request (e.g., “Failed to

recognize fee waiver.”). See id. at 2. The FBI argues that the case evaluation forms are exempt

from disclosure under Exemptions 2 and 6. Specifically, it argues that the analysts’ names can

be withheld under Exemption 6, which shields private personnel information, and the remainder

of the forms can be withheld under Exemption 2, which shields information related solely to an

agency’s “personnel rules and practices.”

       The plaintiffs concede that the analysts’ names can be withheld under Exemption 6. That

exemption protects information about individuals held in “personnel and medical files” when its

disclosure “would constitute a clearly unwarranted invasion of personal privacy.” 5 U.S.C.

§ 552(b)(6). It is well established within this circuit that Exemption 6 protects the names of

agency employees on evaluation forms, as well as any other information that would identify

individual employees. See Ripskis v. HUD, 746 F.2d 1, 4 (D.C. Cir. 1984) (per curiam) (finding

“Exemption 6 applicable to the names and other identifying information on HUD’s employee

evaluation forms”); see also Fed. Labor Relations Auth. v. U.S. Dep’t of Commerce, 962 F.2d

1055, 1060 (D.C. Cir. 1992) (“As in Ripskis, . . . we do not believe that the public interest served

by release of identifying information overcomes the substantial invasion of privacy that would



                                                 33
result.”). The Court therefore has no difficulty concluding that the FBI appropriately relied on

Exemption 6 in withholding the names of individual analysts on the case evaluation forms.

       Whether the FBI can rely on Exemption 2 to withhold the remainder of the evaluation

forms is a closer question. Exemption 2 shields from disclosure material “related solely to the

internal personnel rules and practices of an agency.” 5 U.S.C. § 552(b)(2); Milner, 562 U.S. at

564. The interpretive history of Exemption 2 is not a model of clarity. See Elliott v. U.S. Dep’t

of Agriculture, 596 F.3d 842, 845 (D.C. Cir. 2010) (“The courts have devoted thousands of pages

of the Federal Reporter to the explication of these twelve words . . . .”). The confusion stems in

large part from the “seemingly contradictory interpretations of the exemption expressed in the

House and Senate Reports” that accompanied FOIA. Id.; see also Milner, 562 U.S. at 573–74.

The Senate report construed Exemption 2 to cover material that courts later described as “Low

2,” explaining that the phrase “rules and practices of an agency” referred primarily to “rules as to

personnel’s use of parking facilities or regulation of lunch hours, statements of policy as to sick

leave, and the like.” S. Rep. No. 89-813, at 8 (1965). The House report, in contrast, interpreted

the exemption to exclude material about “employee relations and working conditions and routine

administrative procedures,” but to include more substantive documents, such as “[o]perating

rules, guidelines, and manuals of procedure for Government investigators or examiners,” H.R.

Rep. 89-1497, at 10 (1966)—material later known as “High 2.”

       The conflict between these interpretations of Exemption 2 persisted for four decades. In

the Supreme Court’s first extended discussion of the exemption, in Department of Air Force v.

Rose, 425 U.S. 352, the Court embraced what lower courts had labeled “Low 2,” citing the

Senate report with approval and stating that “the general thrust of the exemption [was] simply to

relieve agencies of the burden of assembling and maintaining for public inspection matter in



                                                 34
which the public could not reasonably be expected to have an interest.” Id. at 369–370. In Rose,

the Court considered whether the U.S. Air Force Academy could withhold summaries of

disciplinary proceedings on the basis of Exemption 2. The Court rejected the Academy’s

argument that the summaries were exempt from disclosure, explaining that because they shed

light on the operation of the Academy’s disciplinary system, a matter of “significant public

interest,” they did not “concern only routine matters,” as was required to invoke the exemption.

Id. Quoting the Second Circuit’s decision below with approval, the Court explained that the

public interest in the summaries “differentiate[s] [them] from matters of daily routine like

working hours, which, in the words of Exemption Two, do relate ‘[s]olely to the internal

personnel rules and practices of an agency.’” Id. at 369 (quoting Rose v. Dep’t of Air Force, 495

F.2d 261, 265 (2d Cir. 1974) (emphasis in original)). Understanding “High 2” to apply, if at all,

only when “necessary to prevent the circumvention of agency regulations,” the Court declined to

“consider . . . the applicability of Exemption 2 in such circumstances,” since Rose was not “a

case where knowledge of administrative procedures might help outsiders to circumvent

regulations or standards.” Id. at 364 (internal quotation marks omitted).

       Whether Exemption 2 extended to “High 2” documents remained uncertain until 2011.

In 1981, the D.C. Circuit held that Exemption 2 did extend to such documents, see Crooker, 670

F.2d at 1074, overruled by Milner, 562 U.S. 562, and over the ensuing decades many other

circuits (and federal agencies) adopted the D.C. Circuit’s interpretation of Exemption 2—

namely, that it was “actually two exemptions wrapped in one,” Elliott, 596 F.3d at 847. The

Supreme Court’s 2011 decision in Milner finally resolved the tension between the two legislative

reports. It explained that courts had paid insufficient attention to the text of the exemption,

which plainly limited an agency’s authority to withhold documents under FOIA to material



                                                 35
related to its “personnel rules and practices,” that is, “its rules and practices dealing with

employee relations or human resources.” Milner, 562 U.S. at 570. Such an interpretation, the

Court explained, “makes clear that Low 2 is all of 2 (and that High 2 is not 2 at all).” Id. at 571.

       As the Court acknowledged, Milner “upset[] three decades of agency practice.” See id. at

580. After Milner, it is clear that only material “related solely to the internal personnel rules and

practices of an agency” can be withheld under Exemption 2. 5 U.S.C. § 552(b)(2). What is less

clear after Milner is exactly what material qualifies. Milner focused on the word “personnel.”

See Milner, 562 U.S. at 569 (“The key word in that dozen—the one that most clearly marks the

provision’s boundaries—is ‘personnel.’”). The Court observed in a footnote that records must

also “‘relate solely’—meaning, as usual, ‘exclusively or only,’ [Random House Dictionary 1354

(1966)]—to the agency’s ‘personnel rules and practices’” to be withheld. Id. at 570 n.4. But it

did not flesh out what those statutory requirements might mean, nor how its earlier decision in

Rose might illuminate them.

       The present dispute turns in large part on the relationship between Milner and Rose. The

plaintiffs argue that the case evaluation forms are essentially analogous to the summaries found

in Rose to lie outside of Exemption 2. The plaintiffs argue that the evaluation forms illuminate

the ways in which the FBI responds to FOIA requests (and evaluates the efforts of the individual

analysts who do so) and thus are documents of “significant public interest,” like the summaries

in Rose. See Rose, 425 U.S. at 369. Accordingly, the plaintiffs suggest, the evaluation forms fall

outside Exemption 2 as a categorical matter, because under Rose Exemption 2 only applies to

documents “in which the public could not reasonably be expected to have an interest.” Id. at

369–370. The FBI, in turn, latches onto language in Milner that it claims shows the forms fall

neatly within the ambit of Exemption 2: The forms, it argues, relate to “such matters as hiring



                                                  36
and firing, work rules and discipline, compensation and benefits.” Milner, 562 U.S. at 570. The

forms relate “solely” to personnel matters, the FBI also suggests, because that is their “sole” use

within the agency. See Dkt. 31-1 at 6 (Second Hardy Decl. ¶ 10).

       The problem for the FBI is that the Supreme Court’s holding in Rose remains binding on

the Court, and that holding dictates the result in this case. Rose’s holding is that “Exemption 2 is

not applicable to matters subject to . . . a genuine and significant public interest.” See 425 U.S.

at 369. Milner does nothing to overrule or undermine that holding. Indeed, the Milner Court

implied that its decision was entirely consistent with Rose. See 562 U.S. at 570 (citing with

approval Rose’s description of a “personnel file”). It is true that Milner gives greater weight to

the statutory text and less weight to the legislative history than Rose did. Thus, where Rose

relied in large part on the Senate Report to give meaning to Exemption 2, see 425 U.S. at 366–

67, Milner focused on the meaning of statutory term “personnel” and observed that “[l]egislative

history . . . is meant to clear up ambiguity, not create it,” see 562 U.S. at 574. But any effort to

rely on this difference in approach faces two insurmountable hurdles.

       First, and most importantly, unless overruled by the Supreme Court or by Congress, the

Supreme Court’s holding in Rose continues to bind this Court. That holding, moreover, includes

the “genuine and significant public interest” test, which led directly to the Court’s disposition of

the case. The modest difference in judicial approaches taken in the Rose and Milner decisions

does not come close to undermining the Rose holding, and, even if it hinted at some future

modification of the Rose rule, it would not be the role of this Court to anticipate a possible shift

in Supreme Court precedent. See Rodriguez de Quijas v. Shearson/American Express, Inc., 490

U.S. 477, 484–5 (1989). The test articulated in Rose thus remains the law, and it excludes




                                                  37
“matters [that are] subject to . . . a genuine and significant public interest” from the reach of

Exemption 2. 425 U.S. at 369.

       Second, any suggestion that Rose adopted an atextual construction of Exemption 2—a

construction of Exemption 2 that might not survive Milner—overstates the case. It is true that

Milner focused on whether the records considered in that case related to “personnel” matters.

But the Court did so because, in its view, the word “personnel” resolved the main issue in the

case: whether Exemption 2 extended to “High 2” records, which concededly had nothing to do

with “personnel” at all. The Court’s focus on the definition of the word “personnel” was not

meant to diminish the importance of the remaining words in Exemption 2—particularly, as is

relevant here, its requirement that information “relate[e] solely” to personnel rules and

practices. 7 The Supreme Court in Milner stated that the word “solely” should be given its

“usual” meaning: “exclusive or only.” Id. at 570 n.4. The parties accept that definition. But the

parties diverge on its import to this case. Does it mean, as the FBI’s argument assumes, that so

long as the FBI uses the FOIA evaluation forms only for purposes of training and evaluation, the

forms “relat[e] solely” to personnel practices? Or does it mean, as more conducive to the



7
   Neither party advances any argument about whether the evaluation forms relate to “personnel
rules and practices.” See, e.g., Schwaner v. Dep’t of Air Force, 898 F.2d 793, 795 (D.C. Cir.
1990) (“We have often applied [Exemption 2] without emphasizing the words ‘rules and
practices.’”). It is not difficult to imagine arguments on either side. On the one hand, the forms,
like the case summaries in Rose, arguably “manifest and implement” the FBI’s rules and
practices relating to the management of RIDS analysts. See id. (“While case summaries are not
‘rules and practices’ themselves (as the Honor Code itself would be), they do manifest and
implement the rules and practices of the Academy relating to the conduct of cadets.”). On the
other hand, the FBI has pointed to no agency “rule” that the case evaluation forms implement,
nor even a consistently applied set of policies; indeed, it emphasizes that the case evaluation
forms are informal tools that supervisors are not required to use. See Dkt. 31-1 at 7 (Second
Hardy Decl. ¶ 11) (“Case Evaluation Forms are not used by all RIDS supervisors and are not
completed for every FOIA request.”). In the end, the Court need not decide whether the forms
relate to “personnel rules or practices” given its conclusion that they do not “solely” relate to
personnel matters in the first place.
                                                  38
plaintiffs’ argument, that the forms are not related “solely” to personnel practices if (like the case

summaries in Rose) they contain information of broader interest or application?

       In the Court’s view, the second of these interpretations better comports with existing

precedent and the text and purpose of FOIA. As an initial matter, this reading reconciles any

possible conflict between the Supreme Court’s Rose and Milner decisions: If a document is

“subject to . . . a genuine and significant public interest,” 425 U.S. at 369, it cannot be said to

relate “solely” to the kinds of mundane and bureaucratic records that Exemption 2 permits an

agency to withhold. See Milner, 562 U.S. at 570. It is also consistent with what the Supreme

Court described in Rose as the goal of Exemption 2: “to relieve agencies of the burden of

assembling and maintaining for public inspection matter in which the public could not

reasonably be expected to have an interest.” Rose, 425 U.S. at 369–70. Such an interpretation

also makes sense of Exemption 6, which shields “personnel and medical files and similar files

the disclosure of which would constitute a clearly unwarranted invasion of personal property,” 5

U.S.C. § 552(b)(6), and which would have little purpose if agencies could simply invoke

Exemption 2 to protect any records that are used only for “personnel”-related purposes. Cf.

Milner, 562 U.S. at 575 (noting that the United States’s reading of Exemption 2 would have

“render[ed] Exemption 7(E) superfluous”). Finally, such an interpretation is consistent with the

repeated admonition from the Supreme Court and from the D.C. Circuit that FOIA exemptions

should be construed narrowly. See, e.g., Rose, 425 U.S. at 361; Mink, 410 U.S. at 79; Vaughn,

484 F.2d at 823.

       Thus, even if the Court were permitted to discard the “genuine and significant public

interest” test, the dictionary definition of “solely” would not salvage the FBI’s use of Exemption

2. The FBI relies primarily on the declaration of RIDS director David Hardy, who attests that



                                                  39
the forms are used only for personnel management purposes. Specifically, Hardy attests that the

forms are “used solely as a tool for evaluating employee performance and as a learning tool for

employees who may need to focus on improving skills in particular areas. They exist only for

this purpose.” Dkt. 31-1 at 6 (Second Hardy Decl. ¶ 10). But the fact that the FBI uses the

forms solely for the purpose of evaluating individual employees does not mean that the forms

“relate[] solely” to employee management. To the contrary, the forms reflect information

regarding how the FBI goes about fulfilling its obligations under FOIA and, thus, at least in that

sense “relate” to far more than issues of internal management. Viewed from this perspective, the

forms “relate”—at least in part—to how the FBI performs one of its statutory obligations.

Because the records, accordingly, do not relate “exclusively or only” to employee management,

it does not matter whether the FBI limits their use to that purpose. See Milner, 562 U.S. at 570

n.4. 8

         The Court, accordingly, concludes that Plaintiffs are correct to argue that Exemption 2

shields from disclosure only “documents that deal with ‘trivial administrative matters of no

genuine public interest,’” Elliott, 596 F.3d at 847 (quoting Schiller v. NLRB, 964 F.2d 1205,

1207 (D.C. Cir. 1992)), but are wrong to suggest that this inquiry is distinct from the inquiry into

whether documents relate “solely” to personnel matters. If a record is a matter of public interest,

it cannot relate “solely” to personnel matters, because that term is best understood to limit the

reach of Exemption 2 to matters that are inherently “minor or trivial,” such as rules regarding the

“use of parking facilities or regulations of lunch hours.” Rose, 425 U.S. at 363, 365. Thus, if the



8
  It is true that this reading of “solely” is an expansive one. But the Court explicitly adopted an
expansive definition of “solely” in Milner. See 562 U.S. at 570 n.4 (“exclusively or only”). It
did so fully aware that the D.C. Circuit had previously defined “solely” as “predominantly,” on
the basis of its concern that the literal reading would be too limiting. See id. at 567 n.1 (citing
Crooker, 670 F.2d at 1056).
                                                 40
case evaluation forms are the subject of “genuine and significant public interest,” they cannot be

withheld under Exemption 2.

       The plaintiffs argue that the evaluation forms are the subject of public interest because

they categorize and track the FOIA requests processed by the FBI and record the errors that FBI

analysts make in processing those requests. By reviewing the evaluation forms, the plaintiffs

argue, they may better understand the FBI’s methods of processing FOIA requests and, where

appropriate, may hold the agency accountable for its missteps. They analogize the evaluation

forms to the case summaries documenting the “adequacy or inadequacy” of the Air Force’s

efforts to train and instruct cadets, which the Supreme Court held to be of “undeniabl[e]” public

“signifcan[ce]” in Rose. Id. at 368. Although the plaintiffs may overstate the analogy—the

Court’s opinion in Rose emphasized the “unique role of the military” and the public’s interest in

military training, id.—the comparison is fundamentally sound in light of the language the Rose

Court used to contrast the case summaries with those materials that are shielded by Exemption 2.

For the reasons the plaintiffs have identified, the Court cannot conclude that the case evaluation

forms relate solely to trivial or minor matters, akin to the use of parking facilities or lunch hours,

that are of no public interest. To the contrary, even if any single case evaluation form is unlikely

to be newsworthy, FOIA requesters may, through careful review, learn a great deal about how

the FBI discharges its FOIA responsibilities. As the plaintiffs correctly observe, dissatisfied

FOIA requesters are often required to take the government at its word in FOIA litigation, where

the government has access to the disputed records and knowledge of how a search and response

was conducted. Information contained in case evaluation forms may allow FOIA requesters to

dispute assertions made in particular cases and, more generally, may enlighten the public about

how the FBI goes about satisfying its obligations under FOIA. Indeed, it is not difficult to



                                                  41
imagine a FOIA requester writing the same kind of article about the FBI that the plaintiffs in

Rose were writing about the Air Force. See Rose, 425 U.S. at 354–55 & n.1. Accordingly, they

cannot be withheld under Exemption 2.

       The FBI’s motion for summary judgment with respect to the withholding of case

evaluation forms is therefore DENIED, and the plaintiffs’ motion is GRANTED.

B. Request-by-Request Withholdings

       With these two threshold challenges addressed, the Court turns to the issues presented by

the FBI’s response to each individual FOIA request submitted by the plaintiffs.

       1. NSC’s First Request

       NSC’s first request, which was submitted in October 2010, sought “all [FBI] records . . .

that contain remarks, comments, notes, explanations, etc. made by FBI personnel or contractors

about the processing of” seven previous FOIA requests. Dkt. 21-4 at 3 (Hardy Decl., Ex. A).

The FBI produced FDPS case processing notes regarding these requests, but no other documents.

Id. at 12–13 (Hardy Decl., Ex. C). When NSC appealed the FBI’s initial document production,

OIP remanded the matter to the FBI to search for additional documents. Id. at 17 (Hardy Decl.,

Ex. E). When the FBI produced the same documents on remand, NSC appealed again. NSC’s

executive director explained that he could “point directly to the documents that are missing”:

search slips. Id. at 32 (Hardy Decl., Ex. G). OIP again remanded the request for further review,

but also “affirm[ed], on modified grounds, the FBI’s action.” Id. at 41 (Hardy Decl., Ex. I).

Specifically, OIP wrote:

       To the extent that you are seeking search slips associated with the processing of
       the above-referenced requests, please be advised that this information is protected
       from disclosure under the FOIA pursuant to [Exemption 7(E)]. This provision
       concerns records or information compiled for law enforcement purposes the
       release of which would disclose techniques and procedures for law enforcement
       investigations or prosecutions. Because any such records responsive to your

                                                42
       request would be categorically exempt from disclosure, the FBI properly asserted
       Exemption 7(E) and was not required to conduct a search for such records.

Id. There is no evidence in the record that the FBI produced additional documents, nor that NSC

communicated further with the FBI regarding this request.

       NSC argues that the FBI improperly withheld search slips in response to its first request

on the basis of Exemption 7(E). Dkt. 27 at 2. The FBI has a wholly different view of the scope

of NSC’s challenge to its response. It contends that NSC “did not . . . challenge any of the FBI’s

withholdings of information processed in response to these requests” and therefore has failed to

exhaust any challenge to its search slip policy—at least as applied to NSC’s first search. Dkt. 31

at 2. According to the FBI, the only issue before the Court is the adequacy of the FBI’s search

for responsive records. Id.; see also Dkt. 21-1 at 5–7. NSC explains that its appeals to OIP

focused on the adequacy of the FBI’s searches for good reason: “[A]t the time there was no

evidence that FBI was refusing to search for search slips.” Dkt. 27 at 2. NSC argues that

“DOJ’s confirmation that FBI was refusing to search for these responsive records transformed

the controversy into an argument over FBI’s refusal to search, which is a separate and distinct

issue from the adequacy of its search.” Id. (emphasis in original).

       The Court agrees that NSC exhausted its challenge to the FBI’s search slip policy. “A

FOIA requester is generally required to exhaust administrative appeal remedies before seeking

judicial redress.” Citizens for Responsibility & Ethics in Washington v. FEC (“CREW”), 711

F.3d 180, 184 (D.C. Cir. 2013). This requirement exists “so that the agency has an opportunity

to exercise its discretion and expertise on the matter and to make a factual record to support its

decision.” Oglesby v. U.S. Dep’t of Army, 920 F.2d 57, 61 (D.C. Cir. 1990). The D.C. Circuit

has held that “a plaintiff may have exhausted administrative remedies with respect to one aspect

of a FOIA request—and thus properly seek judicial review regarding that request—and yet not

                                                 43
have exhausted her remedies with respect to another aspect of a FOIA request.” Dettmann v.

U.S. Dep’t of Justice, 802 F.2d 1472, 1477 (D.C. Cir. 1986). But the exhaustion requirement is

“a jurisprudential doctrine,” not a jurisdictional rule. Hidalgo v. FBI, 344 F.3d 1256, 1258 (D.C.

Cir. 2003).

       Here, there is no dispute that NSC exhausted its administrative remedies with respect to

its request as a whole: It awaited the FBI’s response to its request, then appealed that response to

OIP. See generally 5 U.S.C. § 552(a)(6) (setting out this process). The question is whether NSC

exhausted its remedies with respect to its challenge to the FBI’s search slip policy. According to

the FBI, NSC “did not . . . challenge any of the FBI’s withholdings of information processed in

response to” its original request, “did not challenge the FBI’s redactions” in either of its appeals

to OIP, and thus exhausted only “the adequacy of the FBI’s search.” Dkt. 31 at 2. The problem

with the FBI’s position is that the search slip policy was not asserted as a basis for withholding

records until after NSC’s second appeal, and it was asserted by OIP on appeal. See Dkt. 21-4 at

41 (Hardy Decl., Ex. I). The FBI’s position appears to be that NSC should have waited until the

FBI itself asserted the policy—after the second remand—and then appealed the FBI’s assertion

of the policy to OIP. But such protracted proceedings would hardly further the purpose of the

exhaustion requirement, which is to permit the agency “an opportunity to exercise its discretion

and expertise on the matter.” Oglesby, 920 F.2d at 61. OIP, the body designated by the Justice

Department to handle FOIA appeals, had already concluded that the FBI “was not required to

conduct a search” for search slips because they “would be categorically exempt from disclosure.”

Dkt. 21-4 at 41 (Hardy Decl. Ex. I). NSC could not have been expected to read such a response




                                                 44
to require it to continue to pursue its request before the FBI; indeed, NSC could hardly have read

the response as anything but a final decision by the agency regarding the FBI’s policy. 9

       The D.C. Circuit’s decision in Dettmann is not to the contrary. In Dettmann, the FOIA

requester submitted a request to the FBI for “all documents” that contained her name. 802 F.2d

at 1473. The FBI’s response described its “general practice” of releasing “only those portions

[of documents] containing a reference” to the FOIA requester rather than releasing the

documents in their entirety. Id. at 1474. The requester replied to the FBI, “contesting various

aspects of the FBI’s action but raising no objection to the” policy. Id. None of the requester’s

subsequent communications to the FBI raised such an objection. Id. On appeal, the D.C. Circuit

declined to address the merits of the policy, instead denying the requester’s claim on the ground

that she had “fail[ed] to exhaust her administrative remedies.” Id. at 1476. The panel explained

that the requester had repeatedly communicated with the FBI after learning about the policy, “but

interposed no general objection to the Bureau’s processing of her request pursuant to that”

policy. Id. This case looks nothing like Dettmann. In Dettman, the FBI explained its policy to

the requester in its initial response; the requester then repeatedly declined to present the agency

with “an opportunity to exercise its discretion and expertise” regarding the policy. Oglesby, 920

F.2d at 61. In this case, by contrast, the challenged policy was asserted for the first time by the

agency in a final decision on appeal, and the requesters promptly challenged it in court—the only

authority that could overturn OIP’s decision.




9
   Moreover, to the extent that NSC failed to exhaust its administrative remedies with respect to
its challenge to the search slip policy, the Court would excuse NSC’s failure to exhaust on the
ground that the agency considered the non-exhausted challenge on the merits. See Washington
Ass’n for Television & Children v. FCC, 712 F.2d 677, 682 (D.C. Cir. 1983) (“[I]t is not always
necessary for a party to raise an issue, so long as the [agency] in fact considered the issue.”).
                                                 45
       The Court, accordingly, agrees with NSC that it properly exhausted its challenge to the

FBI’s search slip policy. The Court therefore GRANTS summary judgment to NSC to the

extent that it seeks documents withheld on the basis of that policy. Because NSC does not raise

any other challenge to the adequacy of the FBI’s search in response to its first request, the Court

GRANTS summary judgment to the FBI with respect to any records not encompassed by the

search slip policy. The parties’ motions for summary judgment are otherwise DENIED.

       2. NSC’s Second Request and Stein’s First Request

       NSC’s second request (No. 1174832-000) and Stein’s first request (No. 1174507-000) for

documents raise an additional issue. In these requests, NSC and Stein sought all records created

by the FBI during the processing of twelve FOIA requests previously submitted by other people.

Dkt. 21-4 at 45 (Hardy Decl., Ex. J); id. at 66 (Hardy Decl., Ex. P). NSC requested these records

by FOIA request number. See id. at 45 (Hardy Decl., Ex. J) (requesting records with references

to “FOIA requests #955459, 969663,” and ten others). Stein requested the same records by

reference to the name and docket number of the lawsuit that each FOIA requester had eventually

filed. See id. at 66 (Hardy Decl., Ex. P) (requesting records “relied upon in the Declarations of

David Hardy . . . in the following FOIA cases”). The FBI released six “excised” pages that were

responsive to one of NSC’s requests and denied all the remaining requests. Id. at 53 (Hardy

Decl., Ex. L); id. at 72 (Hardy Decl., Ex. Q). It explained that NSC and Stein had “requested

records concerning third parties”—the original requesters—which the FBI could not release

“absent express authorization and consent of the third parties, proof that the subjects of the

request are deceased, or a clear demonstration that the public interest in disclosure outweighs the

personal privacy interest[s].” Id. NSC and Stein appealed the denial of their requests, but OIP




                                                 46
denied their appeals, citing Exemptions 6, 7(C), and 7(E). See id. at 62 (Hardy Decl., Ex. O); id.

at 80 (Hardy Decl., Ex. T). 10

       The FBI argues, and the plaintiffs do not contest, that information contained in FBI files

about private parties (other than the requester) is generally exempt from disclosure under

Exemptions 6 and 7(C). These exemptions “seek to protect the privacy of individuals identified

in certain agency records.” ACLU v. U.S. Dep’t of Justice, 655 F.3d 1, 6 (D.C. Cir. 2011).

Under Exemption 6, “personnel and medical files and similar files” may be withheld if

disclosure “would constitute a clearly unwarranted invasion of personal privacy.” 5 U.S.C. §

552(b)(6). Under Exemption 7(C), “records or information compiled for law enforcement

purposes” may be withheld “to the extent that” disclosure “could reasonably be expected to

constitute an unwarranted invasion of personal privacy.” Id. § 552(b)(7)(C). The D.C. Circuit

has long applied a categorical rule, known as the “SafeCard rule,” “permitting an agency to

withhold information identifying private citizens mentioned in law enforcement records, unless

disclosure is ‘necessary in order to confirm or refute compelling evidence that the agency is

engaged in illegal activity.’” Schrecker v. U.S. Dep’t of Justice, 349 F.3d 657, 661 (D.C. Cir.

2003) (quoting SafeCard Servs., 926 F.2d at 1206). The plaintiffs do not dispute that this rule

would ordinarily apply to these records. They argue only that the records fall within the scope of

the “official-acknowledgment” doctrine, which if properly invoked requires disclosure even in

the face of an otherwise available FOIA exemption. See ACLU v. CIA, 710 F.3d at 426.



10
   OIP denied Stein’s appeal only on the ground that the processing documents were protected
under Exemption 7(E). See Dkt. 21-4 at 80 (Hardy Decl., Ex. T). But the FBI now asserts that
any responsive documents are protected under Exemptions 6 and 7(C), for the same reason that
any documents responsive to NSC’s request would be. See Dkt. 21-1 at 9–12, Dkt. 21-3 at 22
(Hardy Decl. ¶ 71). Stein contests the FBI’s response on the merits but does not contest that the
FBI should be permitted to assert Exemptions 6 and 7(E) in this case. See Dkt. 27 at 30–32; see
also supra n.6.
                                                47
       The official-acknowledgment doctrine is a waiver doctrine. It provides that “when an

agency has officially acknowledged otherwise exempt information through prior disclosure, the

agency has waived its right to claim an exemption with respect to that information.” Id. But the

standards for invoking the doctrine are high. A FOIA requester must show that the information

he or she is requesting (1) is “as specific as the information previously released,” (2) “match[es]”

the information previously disclosed,” and (3) was “already . . . made public through an official

and documented disclosure.” Wolf, 473 F.3d at 378 (citation and internal quotation marks

omitted). “Prior disclosure of similar information does not suffice; instead, the specific

information sought by the plaintiff must already be in the public domain by official disclosure.”

Id.; see also ACLU, 710 F.3d at 427.

       NSC and Stein argue that the information contained in the search slips and processing

notes they requested is already in the public domain because the “FBI filed sworn declarations

on the public record explaining in great detail the searches it performed . . . , including what

offices and systems were searched, what terms were used, and what file numbers were located.”

Dkt. 27 at 30–31. The plaintiffs attach the declarations of RIDS Director David Hardy filed by

the FBI in each of the lawsuits arising out of the request for which they seek processing records.

See Dkts. 27-7, 27-8, 27-9, 27-10, 27-11, 27-12. Many of these declarations describe the search

conducted by the FBI for responsive records in detail. The Seventh Hardy Declaration filed by

the FBI in Negley v. FBI, 825 F. Supp. 2d 63, for example, states that the FBI conducted a search

for records about the plaintiff “using a six way phonetic breakdown of the name James Lutcher

Negley,” which “found no main files but did find one cross-reference file, 149A-SF-106204-S-

O, containing two serials, 3041 and 3865.” Dkt. 27-7 at 64 (Pls.’ Mot. Summ. J., Ex. G). Many




                                                 48
other statements in the declarations are just as detailed and appear to reflect information recorded

on the search slips and in the notes.

       Considered as a whole, however, the Hardy Declarations filed in these cases are neither

as specific nor as detailed as the underlying search slips and processing notes. As the Hardy

Declaration in the present case explains, “the information contained in search records is far more

detailed and also includes information that may not be reflected in the declarations at all (such as

information outside the scope of the request or information otherwise deemed not responsive to

the request).” Dkt. 31-1 at 8 (Second Hardy Decl. ¶ 17). That is, although the Hardy

Declarations filed in these cases contain a significant amount of detailed information about the

records responsive to the original requests, as well as the FBI’s efforts to locate, identify, and

produce those records, the declarations are not a perfect match for the search slips and processing

notes created by the FBI during the search. Indeed, the basic premise behind this action—as the

plaintiffs repeatedly stated during oral argument—is that the declarations introduced by the FBI

during litigation are often incomplete records of the searches that the FBI in fact conducted. The

mismatch between the two may provide the plaintiffs the impetus to come to court, but it also

limits their ability to rely on the official-acknowledgment doctrine. The FBI has not made public

the contents of the search slips, at least not in their entirety, and thus the FBI properly invoked

Exemption 7(C) and the SafeCard rule with respect to any information not reproduced in the

Hardy Declarations. 11




11
   The SafeCard rule applies only to “records or information compiled for law enforcement
purposes.” See Schrecker, 349 F.3d at 661; 5 U.S.C. § 552(b)(7). That is, it is a rule arising
under Exemption 7(C), not Exemption 6. But where an agency properly withholds a record
under Exemption 7(C), there is no need to consider whether withholding would have been
appropriate under Exemption 6. See ACLU v. U.S. Dep’t of Justice, 655 F.3d at 6.
                                                 49
       The conclusion that the FBI properly withheld some material under Exemption 7(C) does

not, however, end the inquiry. Under FOIA, “[a]ny reasonably segregable portion of a record

shall be provided to any person requesting such record after deletion of the portions which are

exempt.” 5 U.S.C. § 552(b). The fact that the FBI was permitted to withhold information not

already disclosed in the prior Hardy Declarations does not resolve the question whether it was

required to segregate and produce information that was made public in those declarations. “It

has long been a rule in this Circuit that non-exempt portions of a document must be disclosed

unless they are inextricably intertwined with exempt portions.” Sussman v. U.S. Marshals Serv.,

494 F.3d 1106, 1116 (D.C. Cir. 2007) (quoting Mead Data Ctr., 566 F.2d at 260). In other

words, the FBI can withhold the entirety of the search slips and processing notes only if the

information in those slips and notes that was reproduced in the relevant Hardy Declarations is

“inextricably intertwined” with the information that was not reproduced in those declarations.

Mead Data Ctr., 566 F.2d at 260; see also id. at 261 n.55 (observing that agencies need not

“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”).

       Neither party, however, has addressed the segregability question, and so the Court lacks a

record on which to make a finding regarding segregability. The D.C. Circuit has made clear that

district courts have a duty to “make specific findings of segregability regarding the documents to

be withheld . . . even if the requester did not raise the issue of segregability before the court.”

Sussman, 494 F.3d at 1116; see also Trans-Pac. Policing Agreement v. U.S. Customs Serv., 177

F.3d 1022, 1028 (D.C. Cir. 1999) (“[T]he District Court had an affirmative duty to consider the

segregability issue sua sponte.”). It is the government that bears the burden of justifying the

non-disclosure of records, including on the ground that non-exempt records are not reasonably



                                                  50
segregable, however, and that burden cannot be met through conclusory declarations or by

merely shifting to the Court responsibility to determine what non-exempt material can be

segregated. See Mead Data Ctr., 566 F.2d at 260. Here, although it may be able to do so, the

FBI has yet to make the required showing. Accordingly, the Court will GRANT the FBI’s

motion for summary judgment to the extent it invoked Exemption 7(C) to protect information not

previously disclosed in the Hardy Declarations but will, in other respects, DENY the parties’

motions for summary judgment. The FBI may file a renewed motion and declaration addressing

segregability, and Plaintiffs may cross-move on the same ground once the record is more fully

developed.

       3. Stein’s Second Request

       The FBI produced a significant quantity of documents in response to only one request—

Stein’s second request (No. 1182250-000). In that request, Stein sought all records “pertaining

to the searches conducted by the [FBI] which was used, referenced, or relied upon” in the Hardy

Declaration that the FBI filed in McGehee v. U.S. Dep’t of Justice, 800 F. Supp. 2d 220. 12 Dkt.

21-4 at 83 (Hardy Decl., Ex. U). The FBI responded to this request in May 2012, informing

Stein that it had reviewed 194 pages of documents and released 33 pages with withholdings. Id.

at 91 (Hardy Decl., Ex. W). Stein appealed “all of the FBI’s withholdings,” id. at 98 (Hardy

Decl., Ex. Y), but OIP denied the appeal, Dkt. 21-5 at 6 (Hardy Decl., Ex. CC). The FBI now

seeks to justify its withholdings on the basis of Exemptions 5, 6, 7(C), 7(D), and 7(E). Dkt. 21-1

at 17; see also Dkt. 21-3 at 30–31 (Hardy Decl. ¶¶ 83–85). Stein does not contest all of the



12
   In fact, Stein sought records relating to two lawsuits: McGehee and Rosenfeld v. U.S. Dep’t of
Justice, No. 07-3240, 2010 WL 3448517. But the FBI treated the request as two distinct requests
(one, No. 1182250-000, as a request for McGehee records, and the other, No. 1182251-000, as a
request for Rosenfeld records). For simplicity’s sake, the Court adopts the FBI’s treatment of the
records and describes Stein’s request for Rosenfeld records, below, as his “third” request.
                                                51
FBI’s withholdings. See Dkt. 27 at 12–14. Indeed, he challenges only four aspects of the FBI’s

production: (a) the adequacy of the FBI’s search; (b) the FBI’s assertion of the attorney work

product privilege under Exemption 5; (c) the FBI’s assertion of Exemptions 6 and 7(C) to cover

the names of parties of investigative interest; and (d) the FBI’s assertion of Exemption 7(E) to

withhold search slips. Id. at 8–14. Because the Court has addressed the FBI’s search-slip policy

above, it will discuss only the three remaining issues below.

       a. Adequacy

       Stein first challenges the adequacy of the FBI’s search. He argues that the FBI’s search

for the processing records underpinning the McGehee suit was inadequate because he believes

the FBI “performed a search for the case names and numbers and stopped there”—that is, it did

not search its records for any files that did not contain a cross-reference to the lawsuit. Dkt. 27 at

8. The FBI argues that Stein did not exhaust his challenge to the adequacy of the FBI’s search,

and that it would fail on the merits even if he had. See Dkt. 31 at 3–8. The Court agrees with the

FBI.

       First, Stein did not exhaust his challenge to the adequacy of the FBI’s search. Stein’s

appeal was limited to “the FBI’s withholdings,” Dkt. 21-4 at 98 (Hardy Decl., Ex. Y); he did not

argue that the FBI had failed to conduct an adequate search. Stein does not genuinely contest

this conclusion, see Dkt. 27 at 6 (“Stein admits that he did not file an administrative appeal of the

adequacy of the FBI’s search.”); instead, he argues that his failure to exhaust should be excused

because he “raised an objection to the adequacy of [the] FBI’s search as soon as he had reason to

believe that it was inadequate”—namely, when the FBI filed its response in this suit. Id. at 7.

He contends that the imposition of an exhaustion requirement in a case like his “will mean that

any requester must appeal the adequacy of an agency’s search even without reason to believe it



                                                 52
was inadequate . . . , which will result in a drastic increase in unnecessary appeals.” Id. at 7–8.

But Stein’s rule would lead to perverse consequences too. Stein was represented by experienced

FOIA counsel who could have reviewed the records that Stein had received along with the FBI’s

stated bases for withholding others, and, based on that information and counsel’s knowledge of

the types of records typically generated by RIDS, made an informed judgment about the risk of

an incomplete search. That is exactly what NSC did when the FBI produced only limited records

in response to its first search; it appealed the adequacy of the search, “point[ing] . . . to the

documents” that it thought “were missing.” Dkt. 21-4 at 32 (Hardy Decl., Ex. G). Even if Stein

had only an inkling that the FBI’s search may have been inadequate, it would have been easy

enough for him to apprise OIP of that concern. Only then could OIP have “exercise[d] its

discretion and expertise on the matter and . . . ma[d]e a factual record to support its decision.”

Oglesby, 920 F.2d at 61.

        This is not to say that a FOIA requester can never challenge the adequacy of the FBI’s

search in court if he or she did not do so below. There may well be times when such a person

learns only in court that an agency’s response was inadequate. But this is not such a case. The

basis of Stein’s belief that the FBI’s search was inadequate is its statement that it “conducted a

search of FDPS using the referenced litigation case-captions and/or their respective Civil Action

Numbers to locate material responsive to his request.” Dkt. 27 at 8 (quoting Hardy Decl. ¶ 59)

(emphasis Stein’s). On the basis of this statement, Stein argues that the FBI failed to search its

records systems for references to the FOIA request numbers at issue in those cases—that is, that

it searched for records based only on the case captions and action numbers themselves. Id. But

the FBI’s subsequent filings make clear that Stein overreads this statement. According to the

Second Hardy Declaration, the FBI used the case captions and numbers as “reference points . . .



                                                   53
to identify the underlying FOIA administrative file.” Dkt. 31-1 at 4 (Second Hardy Decl. ¶ 6).

The FBI then identified and processed responsive records from the McGehee administrative file

in response to Stein’s request. Id. In other words, this is not a case in which later developments

illuminate the inadequacy, if any, of an agency’s response.

         Accordingly, the Court GRANTS the FBI’s motion for summary judgment with respect

to Stein’s challenge to the adequacy of the FBI’s response to his first request, and DENIES the

plaintiffs’ motion for summary judgment with respect to the same claim.

         b. Exemption 5

         Stein next argues that the FBI improperly asserted the attorney work product privilege

under Exemption 5 with respect to certain documents prepared in connection with the McGehee

lawsuit. Dkt. 27 at 14–17. Exemption 5 protects “inter-agency or intra-agency memorandums or

letters which would not be available by law to a party other than an agency in litigation with the

agency.” 5 U.S.C. § 552(b)(5). The Supreme Court has construed this language to “exempt

those documents, and only those documents [that are] normally privileged in the civil discovery

context.” Sears, Roebuck, 421 U.S. at 149. As relevant here, Exemption 5 permits an agency to

withhold documents under the attorney work product privilege, which protects documents and

other memoranda prepared by an attorney in anticipation of litigation. See FTC v. Boehringer

Ingelheim Pharm., Inc., 778 F.3d 142, 149 (D.C. Cir. 2015); see also Hickman v. Taylor, 329

U.S. 495, 510–11 (1947) (recognizing work product privilege); Fed. R. Civ. P. 26(b)(3)(A). The

purpose of the privilege is to “protect[] the adversary process” by “ensuring that lawyers can

prepare for litigation without fear that opponents may obtain their private notes, memoranda,

correspondence, and other written materials.” In re Sealed Case, 146 F.3d 881, 884 (D.C. Cir.

1998).



                                                54
       The FBI invoked the attorney work product privilege to protect documents created by a

“legal administrative specialist . . . working under the supervision of an attorney in defending the

FBI” in the McGehee lawsuit. Dkt. 21-3 at 32 (Hardy Decl. ¶ 89). In his first declaration, Hardy

attested that the withheld records qualified as work product “because they were created by legal

personnel under the supervision of an attorney during civil litigation as part of the attorney’s

representation of the FBI” during McGehee. Id. at 33. He further explained that the records

“reflect[] her research into the processing of the FOIA request at issue in McGehee as part of the

FBI’s preparation of its defense of that FOIA lawsuit.” Id. at 32–33. In his second declaration,

Hardy provided additional detail, clarifying that the documents were records that the FBI

specialist “and agency counsel relied upon in drafting the search portions of the FBI’s Vaughn

declaration in that case.” Dkt. 31-1 at 5 (Second Hardy Decl. ¶ 8). Hardy further attested:

       While some searches in the case did not occur until after the McGehee lawsuit
       was initiated, the [specialist] was not involved in the underlying FOIA request at
       issue in the lawsuit and therefore, the only reason she created these records was in
       order to respond to the lawsuit; she would not have created any records in relation
       to the FOIA request itself. While her research may have informed the FBI’s
       ultimate decisions about what searches were legally required in responding to the
       lawsuit, these records exist because of her work in assisting [to] defend the FBI in
       the lawsuit. They reflect her and by extension FBI counsel’s thought processes
       about, for example, areas where the FBI might be vulnerable to attack in the
       litigation, which is crucial to crafting an agency defense to a lawsuit. Despite
       plaintiffs’ supposition, these documents were not created simply to document pre-
       litigation searches.

Id. at 5–6 (Second Hardy Decl. ¶ 8).

       Stein’s primary argument is that these declarations fail to establish that the documents

were prepared “in anticipation of litigation.” When considering whether a document is prepared

“in anticipation of litigation,” this circuit employs a “because of” test, inquiring “whether, in

light of the nature of the document and the factual situation in the particular case, the document

can fairly be said to have been prepared or obtained because of the prospect of litigation.”

                                                 55
United States v. Deloitte LLP, 610 F.3d 129, 137 (D.C. Cir. 2010) (quoting In re Sealed Case,

146 F.3d at 884)). Although a document that “would have been created ‘in substantially similar

form’ regardless of the litigation” is not protected by the privilege, Boehringer, 778 F.3d at 149

(quoting Deloitte, 610 F.3d at 138), a document may be protected by the privilege “even though

it serves multiple purposes, so long as [it] was prepared because of the prospect of litigation.”

Deloitte, 610 F.3d at 138. The FBI argues that a straightforward application of this standard to

the withheld material makes clear that it is protected: Because it was prepared “because of” the

FOIA suit, and indeed was prepared solely for that purpose, it is protected by the work product

privilege and was appropriately withheld.

       In the Court’s view, however, the question is somewhat closer, and it exposes vacuums

both in the record and in the governing precedent. Stein’s argument proceeds from the premise

that the withheld documents are simply the search slips and processing notes that the FBI should

have created, but did not create, when the McGehee plaintiff submitted his initial FOIA request.

The only thing that permits the FBI to assert the work product privilege, Stein contends, is that

the FBI failed to run adequate searches for records until after the plaintiffs filed suit. According

to Stein, “[i]f part of the ordinary processing of a FOIA request happens after litigation is filed[,]

. . . the records of that processing do not,” or at least should not, become subject to the attorney

work product privilege because a FOIA action has been filed. Dkt. 27 at 16. But, as an initial

matter, it is not clear on the current record whether Stein’s factual premise—that the withheld

documents are “substantially similar” to the search slips that the FBI should have created when

responding to McGehee’s FOIA request—is correct. The FBI asserts that the withheld records

document an analyst’s “research into the processing of the FOIA request” and “reflect her and by

extension FBI counsel’s thought processes about . . . areas where the FBI might be vulnerable to



                                                  56
attack in the litigation,” Dkt. 31-1 at 5–6 (Second Hardy Decl. ¶ 8), which at least suggests that

the withheld records are, in fact, different than the records that the FBI generally creates in

responding to a FOIA request. But the declaration does not rule out the possibility that, as Stein

contends, the withheld records might include, among other things, search slips or processing

notes that are “substantially similar” to the kinds of records normally created during searches for

responsive records.

       Even assuming that some or all of the records the FBI withheld under Exemption 5 are

“substantially similar” to traditional processing notes, however, it is also far from clear that it

would have been inappropriate for the FBI to have withheld them. Although the work product

privilege does not extend to records that “would have been created in ‘substantially similar form’

regardless of the litigation,” Boehringer, 778 F.3d at 149 (quoting Deloitte, 610 F.3d at 138),

Stein’s argument is not that the search slips and processing records he believes were withheld

would have been created absent the litigation, but that they should have been. Neither party has

identified any caselaw regarding the application of the work product privilege to such records,

and to the Court’s knowledge it is an open question. Nevertheless, in the Court’s view, there are

substantial grounds to conclude that the work product privilege attaches to such records. One

reason for observing the bright-line rule that any records created “because of” litigation are

protected—no matter how similar they look to records that should otherwise have been created

during the ordinary course of business—is that, once litigation is brought, such records are in

fact unlikely to be compiled in precisely the same manner as they might have been before

litigation was contemplated. The advent of litigation (or the reasonable anticipation thereof) can

introduce strategic considerations into the compilation of even the most mundane records—

strategic considerations that might be revealed to one’s adversary were such records to be made



                                                  57
public through discovery, or, as here, through the operation of FOIA. Once litigation is brought

(or is reasonably anticipated), moreover, it may prove difficult, if not impossible, for a court to

discern which nuances in documents created under the supervision of counsel are the product of

those strategic considerations and which merely reflect business as usual. The disclosure of

records that should have been created before litigation, but were not, might therefore prevent

lawyers from “work[ing] with a certain degree of privacy, free from unnecessary intrusion by

opposing parties and their counsel.” Hickman, 329 U.S. at 510. The FBI’s argument that the

withheld records were protected by the attorney work product privilege even if they are

“substantially similar” to the kinds of processing records that are ordinarily created in response

to a FOIA request therefore appears to the Court, at first blush, to rest on a reasonable reading of

the law.

       Nonetheless, to ensure a more complete record, the Court will DENY the pending

motions for summary judgment with respect to the FBI’s assertion of the work product privilege

and direct the FBI to file an additional evidentiary submission regarding the nature of the

withheld documents. If the FBI’s supplemental Vaughn index (or the equivalent thereof) makes

clear that the records are not “substantially similar” to the processing records that the FBI

ordinarily produces in response to a FOIA request, there will be no need to resolve what appears

to the Court to be a novel question of law. Regardless, the creation of a more substantial record

may shed light on the dispute between the parties and permit a more nuanced resolution of their

dispute.

       c. Exemptions 6 and 7(C)

       Finally, Stein challenges the FBI’s invocation of Exemptions 6 and 7(C) to redact the

names of parties of investigative interest. See Dkt. 27 at 17–19. As discussed above, it is well



                                                 58
established in this circuit that an agency may “withhold information identifying private citizens

mentioned in law enforcement records” under Exemption 7(C). See Schrecker, 349 F.3d at 661.

Accordingly, Stein acknowledges that the FBI’s withholdings were appropriate “if the fact that a

person was of investigative interest to [the] FBI is currently unknown.” Id. at 13–14 (emphasis

in original). He argues, however, that any person who is by now publicly known to be (or to

have been) of investigative interest to the FBI would not be protected by Exemption 7(C) under

the official-acknowledgement doctrine, see ACLU, 710 F.3d at 426; that the first Hardy

declaration does no more than “restate[] the statutory language for parties of investigative

interest without actually stating whether or not the fact that they were of investigative interest

[is] publicly known,” Dkt. 27 at 18; and that it is unlikely that all of the people whose names are

redacted are still not known to have been of investigative interest to the FBI, given the notoriety

of cult leader Jim Jones, the subject of the McGehee FOIA requests, id.

       The Court concludes that the FBI appropriately withheld the names under Exemption

7(C). To whatever extent the first Hardy declaration was ambiguous regarding the names that

the FBI withheld, the second Hardy declaration eliminates the ambiguity. It explains that the

FBI withheld the names “of any living third parties related to the Jonestown massacre who were

of investigative interest to the FBI in relation to that matter and to third parties “whose names

appeared on printouts of searches conducted in responding to the Jim Jones/Jonestown massacre

request.” Dkt. 31-1 at 6 (Second Hardy Decl. ¶ 9). And it clarifies that “[t]he names the FBI

protected have not been previously officially disclosed by the FBI as individuals of investigative

interest.” Id. This declaration is the kind of “relatively detailed and non-conclusory” statement

required to support summary judgment for the agency. SafeCard Servs., 926 F.2d at 1200

(quotation marks and citation omitted). The declaration makes clear that the official-



                                                 59
acknowledgment doctrine does not apply to the names that the FBI withheld under Exemptions 6

and 7(C).

       The Court, accordingly, GRANTS summary judgment to the FBI with respect to Stein’s

claim regarding the names of third parties of investigative interest, and DENIES Stein’s motion

for summary judgment with respect to that claim.

       4. Stein’s Third Request

       Stein originally argued that the FBI erred in closing his third FOIA request on the basis of

his failure to pay the estimated fees. Stein argued that, even presupposing the validity of the FBI

policy limiting its electronic releases to 500 pages per CD, see Nat’l Sec. Counselors v. Dep’t of

Justice, 80 F. Supp. 3d 40, 51 (D.D.C. 2015), and taking into account his stated refusal to pay

any fees for the processing of his FOIA request, the FBI erred in not providing him with the CD

he was entitled to for free. After oral argument in this matter, however, and without conceding

the validity of Stein’s argument, the FBI agreed to process Stein’s request and provide him with

the records to which he is entitled free of charge. Dkt. 46 at 2. The Court therefore DENIES the

parties’ cross-motions with respect to this claim as moot.

       5. Truthout’s Request

       The final claim in this case concerns Truthout’s single FOIA request for processing notes

created by FBI analysts in responding to a request about Hesham Abu Zubaydah, the brother of a

Guantanamo detainee. See Dkt. 21-5 at 22 (Hardy Decl., Ex. II). The FBI denied Truthout’s

request on the basis of the Exemption 5 deliberative process privilege. Id. at 36 (Hardy Decl.,

Ex. KK). That privilege, as incorporated into FOIA, “allows an agency to withhold ‘all papers

which reflect the agency’s group thinking in the process of working out its policy and

determining what its law shall be.’” Elec. Frontier Found. v. U.S. Dep’t of Justice, 739 F.3d 1, 4



                                                60
(D.C. Cir. 2014) (quoting Sears, Roebuck, 421 U.S. at 153). It is “limited to documents that are

‘predecisional’ and ‘deliberative,’ meaning ‘they reflect[] advisory opinions, recommendations,

and deliberations comprising part of a process by which governmental decisions and policies are

formulated, [or] the personal opinions of the writer prior to the agency’s adoption of a policy.’”

Id. (quoting Pub. Citizen, Inc. v. Office of Mgmt. & Budget, 598 F.3d 865, 875 (D.C. Cir. 2010)

(alterations in original)).

        As an initial matter, the scope and reach of the FBI’s assertion of Exemption 5 has varied

over the course of this litigation. The FBI initially appeared to take the position that all FDPS

processing notes are protected by the deliberative process privilege. See Dkt. 21-1 at 17 (“FDPS

notes . . . are created by RIDS employees to document the decision-making process undertaken

to reach to the final decision on a FOIA request . . . . Accordingly, the notes are both deliberative

and predecisional.”). In its reply brief, however, the FBI significantly narrowed the scope of its

argument, explaining that it does not have “a policy of categorically denying requests for FDPS

Notes pursuant to Exemption 5” but rather “determined that the specific FDPS notes responsive

to Truthout’s FOIA request were privileged deliberative materials compiled in the course of the

FBI’s decision-making process about the disposition [of] a FOIA request that Truthout submitted

for records about Hesham Zubaidah.” Dkt. 31 at 12–13. Based on this clarification, the Court

will address only the FBI’s assertion of the deliberative process privilege with respect to the

specific documents that Truthout requested.

        Even with this clarification, however, the FBI has yet to demonstrate that it is entitled to

prevail on this issue because the Hardy Declarations contain almost no factual material that

would explain why the FDPS processing notes compiled in processing Truthout’s request are any

more “predecisional” or “deliberative” than any other FDPS processing notes. The First Hardy



                                                 61
Declaration argued generally that FDPS processing notes qualify for protection under the

exemption. See Dkt. 21-3 at 28 (Hardy Decl. ¶ 81) (arguing that “case notes are predecisional

because they document the process by which a final decision on a FOIA request is made” and

“deliberative as they reflect the analysis and back-and-forth of deliberation in determining which

information can be withheld or released from FBI records and the basis for such in response to

the FOIA request”). It concluded by stating that “the FBI appropriately asserted Exemption 5, in

conjunction with the deliberative process privilege, to protect these materials.” Id. The Second

Hardy Declaration is no more helpful. It explained that “the FBI determined that the specific

notes responsive to Truthout’s request . . . were privileged deliberative materials,” Dkt. 31-1 at

11 (Second Hardy Decl. ¶ 26), but it does not explain the basis for that determination.

        Because the FBI has abandoned its position that FDPS processing notes are categorically

protected by the deliberative process privilege, the Court need not address that issue—other than

to note that any attempt to claim categorical protection under the deliberative process privilege

would be difficult to maintain given agencies’ obligation to segregate factual material from

deliberative material when asserting the deliberative process privilege. See Mink, 410 U.S. at 91;

Montrose Chem. Corp. v Train, 491 F.2d 63, 66 (D.C. Cir. 1974). But once the FBI’s gestures at

a categorical assertion of the deliberative process privilege are set aside, it is clear that the Court

cannot resolve the merits of the FBI’s assertion of the privilege on the present record, which is

devoid of any non-conclusory factual support for the FBI’s assertion of Exemption 5 in this case.

        Accordingly, the Court DENIES the parties’ cross-motions for summary judgment on

this issue. The FBI may file a renewed motion, along with a supplemental statement by the FBI

regarding the factual basis upon which it withheld these documents, and Plaintiffs may renew

their cross-motion after receiving those supplemental materials.



                                                  62
                                      CONCLUSION

       For the foregoing reasons, the plaintiffs’ motion for summary judgment is GRANTED in

part and DENIED in part. The FBI’s motion for summary judgment is GRANTED in part and

DENIED in part. A separate Order will issue following the status conference scheduled for

February 3, 2016.




                                                          /s/ Randolph D. Moss
                                                          RANDOLPH D. MOSS
                                                          United States District Judge

Date: January 22, 2016




                                             63
