Opinion for the Court filed by Circuit Judge STEPHEN F. WILLIAMS.
Once again this court is asked to define the scope of the “deliberative process” privilege contained in Exemption 5 of the Freedom of Information Act (“FOIA”). See 5 U.S.C. § 552(b)(5) (1988). Access Reports, a biweekly newsletter that features information on FOIA, seeks a copy of a single internal memorandum written by a staff attorney at the Department of Justice. The memorandum, dated November 25, 1981, contains an analysis of amendments to FOIA proposed by the Department and introduced in the Senate in October 1981. Because the memorandum was prepared after the Department’s decision to introduce the amendments, and because the Department could not “pinpoint” a later decision to which the document contributed, the district court held that the memorandum was not protected by Exemption 5. We reverse.
I
In 1981 the Department sought to persuade Congress to pass amendments to the Freedom of Information Act. At the request of the Reagan administration, Senator Orrin Hatch introduced an amending bill on October 20, 1981. See S. 1751, 97th Cong., 1st Sess. (1981), reprinted in Freedom of Information Act: Hearings Before the Subcomm. on the Constitution of the Senate Comm, on the Judiciary, 97th Cong., 1st Sess. 53 (1982); see also id. at 807 (statement of Sen. Hatch). After launching this initiative, Department officials became concerned about how to respond to critics claiming that the amendments would make FOIA too restrictive. Specifically, they were worried about a study by the Congressional Research Service (“CRS”) 1 that listed some 275-odd disclosures of information under FOIA found in news articles over a nine-year period. The critics argued that if the proposed amendments had been in effect, many of the listed articles could not have been written. Robinson Declaration 113, Joint Appendix (“J.A.”) at 306. In the expectation that legislative review of the Department’s proposals would likely require some reaction to the CRS study, top officials of its Office of Legal Policy asked a newly hired staff attorney, Michael E. Robinson, to analyze the study “to determine whether the information discussed in those articles would have been subject to disclosure under the Department’s proposed amendments.” Robinson Declaration 11113-4, J.A. at 306.
Robinson quickly prepared a 200-page memorandum that marched through the CRS study article-by-article, seeking to answer his superiors’ question. See J.A. at 7 (redacted version). In his declaration later filed in the district court, he said that he believed he was creating an “internal working document” that would not be disclosed to the public, and that had he thought otherwise he would have been more cautious in his legal analysis and more hesitant to reach conclusions. Robinson Declaration 116, J.A. at 307.
After learning of the memorandum, Access Reports filed a FOIA request with the Department for its release. The Department responded by releasing a redacted version, excluding all discussion of how the information noted in the CRS study would have fared under the proposed amendments, and leaving little more than a restatement of the facts reported by the CRS. Access Reports appealed the decision through administrative channels and, receiving no response, filed a complaint in district court. In an unpublished memo *1194 randum and order, the district court entered summary judgment for Access Reports and ordered the Department to release an unredacted copy. This appeal followed.
II
Exemption 5 excludes from FOIA’s general disclosure requirements “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) (1988). This language covers intra-agency memoranda that would routinely be shielded from discovery in private litigation because of the government’s “executive privilege”, which protects the “deliberative or policymaking processes” of government agencies. See
EPA v. Mink,
The courts have said that an agency asserting the privilege must show that the document is both “predeeisional” and “deliberative”. See, e.g.,
Wolfe,
As deliberation typically looks toward a future decision, an independent requirement that a document be predeeisional may seem redundant. When would a deliberative document not also be predeeisional? But an agency’s contemporaneous or after-the-fact explanation of a decision will often be “deliberative” as the word is used in common parlance, in that it carefully weighs the arguments for and against various outcomes before announcing a winner. Because the courts have determined that Congress did not intend to exempt such explanatory documents from FOIA’s disclosure requirements, they have denied the privilege in these circumstances by finding that the documents are not “predeeisional”.
The Supreme Court took this approach in
NLRB v. Sears, Roebuck & Co.,
In fact, the word “deliberative” as used in the law of Exemption 5 is considerably narrower than the colloquial meaning; as a consequence, the “deliberative” and “pre-decisional” requirements tend to merge. Both terms have come to apply only to documents that contribute to an ongoing deliberative
process
within an agency. For instance, in
Coastal States
we said that a document is deliberative if it “reflects the give-and-take of the consultative process”,
A key feature under both the “predeci-sional” and “deliberative” criteria is the relation between the author and recipients of the document. A document from a junior to a senior is likely to reflect his or her own subjective opinions and will clearly have no binding effect on the recipient. By contrast, one moving from senior to junior is far more likely to manifest decisionmaking authority and to be the denouement of the decisionmaking rather than part of its give-and-take. See, e.g.,
Senate of Puerto Rico,
Perhaps the predecisional-deliberative distinction does serve a useful purpose not explicitly acknowledged in earlier cases. Compare
Formaldehyde Institute v. HHS,
In our case the agency has already released the factual portions of the Robinson memo, so that only the “deliberative” passages remain in dispute—those contain *1196 ing his legal analysis and conclusions. The question remains whether the memo as a whole is “predecisional”. Here the memo bears a superficial relation to the sort of “final opinion” or postdecisional explanation or justification that Sears placed outside the privilege: Robinson prepared the memo to help his superiors in the process of defending the legislative package that the Department had already offered. But Robinson’s chiefs never asked him, a brand new staff attorney at the time he received the assignment, to “explain” the decision to initiate a legislative proposal. They certainly did not seek his work as a draft of some sort of agency “working law” on when to offer FOIA amendments (if we can think of so political a decision as being in any way susceptible to the notion of “law”).
Because the memo explores how a set of cases might play out under the Department’s proposals, it may look like a guide to decision of future cases and thus a kind of agency law. But the look is deceiving. Robinson’s chiefs did not ask for the memo to guide them through future dispositions of FOIA requests that might be received if the bill were passed. They sought the memo in part as ammunition for the expected fray, in part as advice on whether and when to duck. It was, as a member of the panel suggested at oral argument, somewhat like a staffer’s preparation of “talking points” for an agency chief about how to handle a potentially explosive press conference.
The district court held that the document was not “predecisional” in large part because the Department could not "pinpoint” a single decision to which the memorandum contributed. Memorandum and Order filed Dec. 4, 1989, at 4. Two of our earlier cases have indeed used that metaphor, but in context the language cannot be taken to require that the document contribute to a single, discrete decision.
In both cases,
Paisley v. CIA,
Any requirement of a specific decision
after
the creation of the document would defeat the purpose of the exemption. At the time of writing the author could not know whether the decisionmaking process would lead to a clear decision, establishing the privilege, or fizzle, defeating it. Hedging his bets, he would be drawn into precisely the caution, or the Aesopian language, that the exemption seeks to render unnecessary. See
Schell v. HHS,
The Department here met its burden of identifying the decisionmaking process to which Robinson’s memorandum contributed — the Department’s study of how to shepherd the FOIA bill through Congress. Exemption 5 protects such communications *1197 just as it protects ones contributing to deliberations about whether to introduce legislation in the first instance.
Almost as an afterthought, Access Reports argues in its brief that even if Robinson’s memorandum was predecisional, the document lost its Exemption 5 protection when a Department official referred to the results of Robinson’s study in testimony before a Senate committee. Brief for Appellee at 14. Access Reports relies on the holding of the
Sears
court that a document protected by Exemption 5 loses that protection if the agency “chooses
expressly
to adopt or incorporate by reference [the] intra-agency memorandum.”
The Department official had spoken of an internal Department analysis which, he understood, showed that out of some 500 FOIA disclosures listed in a study called “Former Secrets” (which was produced in May 1982 by “a group categorically opposed to any amendment of the FOIA”), “only four cases” would come out differently under the proposed bill.
Freedom of Information Reform Act: Hearings on S. 77b Before the Subcomm. on the Constitution of the Senate Comm, on the Judiciary,
98th Cong., 1st Sess. 30, 501 (1984) (testimony of Assistant Attorney General Jonathan Rose; remarks of Sen. Patrick Leahy). Research by an archivist in the Office of Legal Policy has turned up no Department of Justice analysis of the “Former Secrets” cases, Nisbet Declaration ¶ 6, J.A. at 223, so one might read the confused statement as a reference to Robinson’s November 1981 memo. Even if it was, however, it fell far short of the
express
adoption required by
Sears.
The Court has refused to equate reference to a report’s conclusions with adoption of its reasoning, and it is the latter that destroys the privilege. See
Renegotiation Bd. v. Grumman Aircraft Engineering Corp.,
5(5 * * * * *
Because the Department has met its burden of showing that Robinson’s memorandum is “predecisional” by identifying the decisionmaking process to which it contributed, we find that the redacted portions of the memorandum were properly withheld under Exemption 5. The judgment of the district court is
Reversed.
Notes
. Congressional Research Service, Library of Congress, Press Notices on Disclosures Made Pursuant to the Federal Freedom of Information Act, 1972-1980: A Compilation (1981).
