Plаintiff Beatrice Maynard brought this action in the district court to compel disclosure under the Freedom of Information Act (“FOIA”), 5 U.S.C. § 552, of certain government documents and parts of documents pertaining to the disappearance of her former husband, Robert Thompson, during a flight over Cuba in December of 1961. Maynard had sought information about this from various agencies, including the Central Intelligence Agency (“CIA”), the Federal Bureau of Investigation (“FBI”), the Defense Intelligence Agency (“DIA”), the State Department, the Immigration and Naturalization Service (“INS”), the United States Customs Service (“Customs Service”), the Federal Aviation Administration (“FAA”), the National Personnel Records Center (“NPRC”), and the Navy Department. 1 While certain records and other materials were provided to her, Maynard felt that she was entitled to more, and so brought this suit.
After reviewing several documents in camera, the district court ordered disclosure of two items of information—one name and one paragraph—that the government had expressly redacted from materials it had furnished to plaintiff. The CIA appeals from the court’s direction to reveal the paragraph, arguing that'the paragraph was properly withheld under FOIA’s Exemptions 1 and 3, 5 U.S.C. § 552(b)(1), (3). 2 In all other respects, the district court granted summary judgment in favor of the defendant agencies, denying plaintiff’s requests for further information, for furthеr document searches, and for attorney’s fees. *553 Plaintiff now appeals from these judgments.
Finding that Exemptions 1 and 3 authorize the CIA’s withholding of the redacted paragraph, we reverse the order requiring the CIA to disclose it. 3 We affirm the district court’s grant of summary judgment for the defendant agencies.
I.
1. The CIA’s Appeal
On January 22, 1987, plaintiff submitted FOIA requests to the defendant agencies, seeking any information they might have concerning her former husband, Robert Thompson. She said he disappeared along with Robert Swanner on a flight over Cuba, in December of 1961. Thompson apparently was involved in the distribution of anti-Castro leaflets; plaintiff believed him to have worked for the CIA. Among documents produced by the FBI in response to plaintiff’s requests was a redacted memo dated December 22, 1961. The FBI informed plaintiff that the excised information had originated with the CIA and was being withheld under FOIA Exemptions 1 and 3 at the CIA’s request. Plaintiff brought this action in the district court in February 1988, seeking more complete disclosure, including disclosure of the withheld paragraph.
After the agency defendants moved for summary judgment, the district court in March of 1990 ordered the government to submit for the court’s in camera inspection all withheld and redacted documents in their complete form. The government did so on May 1, 1990. Among the documents submitted were thirty-two pages the FBI had located in its search for documents responsivе to plaintiff’s FOIA request. 4 This material included the redacted memo of December 22, 1961 that has since become the subject of the CIA’s appeal.
To help explain its position, the CIA submitted to the district court the public declaration of Katherine M. Strieker, an Information Review Officer for the CIA’s Directorate of Operations. With respect to Exemption 1, which exempts national security information classified pursuant to an Executive Order, Strieker explained that she had personally reviewed the classification determinations under the standards of Executive Order 12356. Based on that review, Strieker determined that the withheld information would “reveal the identity of an intelligence source or disclose an intelligence method,” the unauthorized disclosure of which, “either by itself or in the context of other information, reasonably could be expected to cause damage to the national security.” See Executive Order 12356, §§ 1.3(a)(4), (c), 47 Fed.Reg. 14874, 14876. Accordingly, she said, the information was properly classified at the “SECRET level” and was exempt from disclosure under FOIA Exemption 1.
With respect to Exemption 3, which protects information exempted from disclosure by statute, Strieker explained that, similar to Executive Order 12356, the National Security Act, 50 U.S.C. § 403(d)(3), requires the Director of the CIA to proteсt intelligence sources and methods from unauthorized disclosure. Strieker concluded that the redacted information fell within the ambit of the statute because it identified the use of particular intelligence methods used during specific time periods. According to Strieker, the release of such information would allow hostile intelligence organizations to neutralize the use of those methods, thereby causing a concomitant loss of intelligence.
On November 14, 1990, the district court ordered the government to give to plaintiff information from three of the documents subject to in camera review. This included the information at issue here—the third full paragraph on page 2 of the December *554 22, 1961 memo. 5 The CIA moved for reconsideration of the portion of the court’s order regarding the redacted paragraph and submitted an in camera declaration by Strieker, which explained in further detail the nature of the information withheld. On February 1, 1991, the district court granted the CIA’s motion for reconsideration, but on reconsideration, the court affirmed its earlier ruling, finding that “the movant’s assertion that disclosure will ‘reveal its sources and methods’ in a matter now approximately thirty years old is without substance and is, indeed, the height of bureaucratic disingenuousness.” The CIA appeals from this order.
A. FOIA Exemption 3
The FOIA gives members of the public accеss to documents held in government files. Every federal agency “upon any request for records which ... reasonably describes such records” must make the records “promptly available to any person.” 5 U.S.C. § 552(a)(3). Nine categories of documents are exempted from this broad disclosure requirement.
Exemption 3 permits a federal agency to withhold matters that are:
(3) specifically exempted from disclosure by statute ... provided that such statute (A) requires that the matters be withheld from the public in such a manner as to leave no discretion on the issue, or (B) establishes particular criteria for withholding or refers to particular types of matters to be withheld.
5 U.S.C. § 552(b)(3). Two questions need to be answered in determining whether Exemption 3 applies in a particular situation.
CIA v. Sims,
The first question has already been answered affirmatively for present purposes. In
Sims,
the Supreme Court held that 50 U.S.C. § 403(d)(3), which provides that "the Director of Central Intelligence shall be responsible for protecting intelligence sources and methods from unauthorized disclosure," is an Exemption 3 statute because it specifies the types of material to be withheld under subpart (B) of the Exemption.
In answering the second question— whether the requested information is included within the statute’s “protection”— this court has stated that,
once a court determines that the statute in question is an Exemption 3 statute, and that the information requested at least arguably falls within the statute, FOIA de novo review normally ends.
Aronson v. IRS,
The Supreme Court has said,
it is the responsibility of the Director of Central Intelligence, not that of the judiciary, to weigh the variety of complex and subtle factors in determining whether disclosure of information may lead to an unacceptable risk of compromising the Agency’s intelligence-gathering process.
Sims,
We have examined the unredаcted version of the December 22, 1961 memorandum. In our opinion, it is at very least “arguable” that the requested paragraph falls within 50 U.S.C. § 403(d)(3) for the reason the CIA gave, to wit, that it could reveal intelligence methods.
See Sims,
B. FOIA Exemption 1
While our decision under Exemption 3 ends the matter, we note that FOIA Exemption 1 leads to the same result. Exemption 1 permits the withholding of matters that are:
(1)(A) specifically authorized under criteria established by an Executive order to be kept secret in the interest of national defense or foreign policy and (B) are in fact properly classified pursuant to such Executive order.
5 U.S.C. § 552(b)(1). Executive Order 12356, upon which the CIA relies, specifically authorizes the withholding of information concerning “intelligence sources and methods,” § 1.3(a)(4), 47 Fed.Reg. 14874, 14876, and declares that unauthorized disclosure of “intelligence sources and methods” is “presumed to cause damage to the national security,” § 1.3(c), 47 Fed.Reg. at 14876.
When, as here, Exemptions 1 and 3 are claimed on the basis of potential disclosure of intelligence sources or methods, the standard of reviewing an agency's decision to withhold information is essentially the same.
7
Hrones v. CIA,
2. Plaintiffs Appeal
Plaintiff alleges numerous errors in the district court's discovery orders, grants of summary judgment, and denial of attorney’s fees. Plaintiff complains specifically of the following district court actions: 1) denying plaintiff’s request for Vaughn in-dices; 10 2) ruling that the defendant agencies had conducted adequate searches; 3) ruling that the government had properly claimed exemptions under the FOIA; 4) denying various discovery requests; and 5) denying attorney’s fees to plaintiff. We address each of these claims of error and find that none has any merit.
A. Vaughn Index
Plaintiff contends that the district court erred in denying plaintiff's motion to compel each defendant agency to prepare a
Vaughn
index. A
Vaughn
index correlates information that an agency decides to withhold with the particular FOIA exemption or exemptions, explaining the agency's justification for nondisclosure.
E.g., Curran v. Department of Justice,
*557 it forces the government to analyze carefully any material withheld, it enables the trial court to fulfill its duty of ruling on the applicability of the exemption, and it enables the adversary system to operate by giving the requester as much information as possible, on the basis of which he can present his case to the trial court.
Keys v. United States Dept. of Justice,
A Vaughn index was obviously not called for from the INS, the DIA or the Customs Service. These agencies disclaimed possession of any documents material to plaintiffs request. A Vaughn index could not even have been prepared in such circumstances.
As for the CIA, the district court denied plaintiff’s motion for a Vaughn index, without- prejudice, because plaintiff had failed to supply the CIA with data—e.g., the city or county of Thompson’s birth and a copy of his birth certificate—that the CIA said was necessary to complete its searсh. Although plaintiff subsequently furnished the CIA with the requested information, the record nowhere indicates that plaintiff renewed her request for. a Vaughn index from the CIA.
The CIA did file, in connection with its summary judgment motion, both public and
in camera
declarations, asserting that particular information redacted or expressly withheld was exempt from the FOIA under Exemptions 1 and 3 because it would reveal intelligence sources or methods. One such declaration was that of Information Review Officer Strieker. While this lacked specifics, a more detailed affidavit could have revealed the very intelligence sources or methods that the CIA wished to keep secret.
See, e.g., Doyle v. FBI,
When, as here, the agency, for good reason, does not furnish publicly the kind of detail required for a satisfactory
Vaughn
index, a district court may review documents
in camera. E.g., NLRB v. Robbins Tire & Rubber Co.,
In camera
review is particularly appropriate when the documents withheld are brief and limited in number.
See, e.g., Ingle v. Department of Justice,
The district court here conducted an
in camera
inspection of the relatively limited number of documents in which the CIA claimed exemptions. This provided an adequate factual basis for the district court’s decision and obviated the need for further
Vaughn
indices from the CIA.
See, e.g., Irons,
With respect to the State Department, the district court denied plaintiff’s request for a Vaughn index because plaintiff did not contest the adequacy of the State Department’s claimed exemption. The State Department reported that it had found four documents responsive to plaintiff’s request. It released three of these in their entirety and the fourth with minor excisions to protect personal privacy interests pursuant to FOIA Exemption 6. The plaintiff did not challenge the excisions under Exemption 6, rendering unwarranted a Vaughn index at that time. The State Department subsequently submitted a declaration, explaining that it had withheld names and other identifying information, such as date and place of birth, address and occupation, of persons other than plaintiff’s deceased husband, because “disclosure could subject these individuals or their families to possible embarrassment or harassment.” This declaration fully met any requirement under Vaughn that the State Department provide a reasoned justification for its withholdings. Furthermore, the State Department submitted the one redacted document to the district court for in camera review.
Finally, in respect to the FBI, the district court
granted
plaintiff’s motion for a
Vaughn
index. The FBI thereupon submitted two detailed declarations by David R. Lieberman, a special agent in the Freedom of Information-Privacy Acts Section of the FBI. Mr. Lieberman explained that the FBI had released twenty-five of forty-four pages of material to plaintiff,
*559
and justified, by means of coded indices,
13
the withholding of information in order to protect the personal privacy of former FBI agents and third parties (Exemption 7(C)) and to protect the identities of and information provided by confidential sources (Exemption 7(D)). Furthermore, as with the CIA and the State Department, the government submitted all of the FBI’s documents for
in camera
review. The Lieberman declarations and coded indices, in conjunction with the district court’s
in camera
review of the documents, were adequate to meet any requirements under
Vaughn
that the government provide a reasoned justification for its withholdings.
See, e.g., Lykins,
Plaintiff’s claim of improper denial of Vaughn indices is, therefore, groundless and unsupported.
B. The Adequacy of the Searches
Plaintiff next contends that the defendant agencies did not conduct adequate searches for responsive documents. Plaintiff directs most of her brief to this argument. However, as with plaintiff’s arguments regarding the defendant agencies’ Vaughn indices, plaintiff’s contentions with respect to the adequacy of the agencies’ searches lack merit and, in some instances, ignore agency affidavits that cure deficiencies noted by the district court in earlier affidavits.
The adequacy of an agency’s search for documents under the FOIA is judged by a standard of reasonableness and depends upon the facts of each case.
E.g., Weisberg v. United States Dept. of Justice,
In order to establish the adequacy of its search, the agency may rely upon affidavits provided they are relatively detailed and nonconclusory, and are submitted by responsible agency officials in good faith.
E.g., Miller v. United States Dept. of State,
If an agency fails
to
establish through reasonably detailed affidavits that its search was reasonable, the FOIA requester may avert summary judgment merely by showing that the agency might have discovered a responsive document had the agency conducted a reasonable search.
E.g., Weisberg v. United States Dept. of Justice,
Plaintiff complains, first, that the FBI, the Customs Service, and the State Department failed to search "alternate spellings" and "files containing the information of cohorts." Plaintiff also charges that unspecified "clues" contained in the four documents released to her by the State Department "might have indicated" other potential repositories of information that the State Department should have searched. Plaintiff's FOIA request, however, was limited to "information pertaining to Robert Thompson."
14
Because the scope of a search is limited by a plaintiff's FOIA request, there is no general requirement that an agency search secondary references or variant spellings.
See Gillin v. IRS,
Second, plaintiff complains that the declarations submitted by the FBI and the CIA were not based on personal knowledge. However, an agency need not submit an affidavit from the employee who actually conducted the search. Instead, an agency may rely on an affidavit of an agency employee responsible for supervising the search.
E.g., Safecard Servs.,
Plaintiff also makes numerous arguments directed at just one of the defendant agencies. With respect to the FBI, plaintiff contends that the FBI improperly limited its search to "105, 106" references, rather than to all references. This argument was first raised in an untimely motion for reconsideration and was denied because it "should have been raised earlier." This court, therefore, reviews the denial only for an abuse of discretion.
E.g., National Metal Finishing Co. v. Barclays American/Commercial, Inc.,
With respect to the CIA, plaintiff complains that summary judgment was improper because the CIA’s affidavits were not sufficiently detailed to enable plaintiff to challenge the adequacy of the CIA’s search. Plaintiff further argues that, in any case, it is clear that the CIA’s search was inadequate because a 1963 memorandum released to plaintiff contains a reference to other “records,” which have not been disclosed. According to plaintiff, the potential existence of other records with no explanation by the CIA for its failure to produce those other records demonstrates the inadequacy of the CIA’s search for responsive documents.
Plaintiff’s argument regarding the sufficiency of the CIA’s affidavits is unpersuasive. The CIA submitted several public declarations by John H. Wright, its Information and Privacy Coordinator, explaining that the CIA conducted two searches— first, of officially released documents
15
and, second, of the records of the three Directorates where it believed responsive records would be found, including the Directorates of Operations (records of clandestine foreign intelligence and counter intelligence activities), Intelligence (records interpreting important world events), and Administration (records of employees). Wright’s declaration of December 7, 1988 sets forth in a very general manner the method by which the CIA retrieves documents.
16
The Wright declaration further
*562
explains that some of the record systems searched in response to plaintiffs FOIA request are classified.
17
According to Wright, “a detailed discussion would entail the disclosure of classified information, including information revealing intelligence sources and methods.” Since public disclosure of additional details about the CIA’s structure and its FOIA search here was not possible, the CIA submitted an
in camera
declaration detailing the searches conducted by thе CIA for responsive documents. After reviewing the public and
in camera
declarations of Mr. Wright, we are satisfied that the CIA’s search was “reasonably calculated to discover the requested documents.”
See Safecard Servs.,
As the CIA has provided relatively detailed affidavits demonstrating the reasonableness of its search, we reject plaintiff’s argument regarding the 1963 memorandum's reference to other “records.” As the district court noted, the fact a 1963 document refers to the existence of other records does not independently generate an issue of material fact rendering summary judgment improper so long as reasonably detailed, nonconclusory affidavits demonstrate the reasonableness of the agency’s search performed in 1990.
See, e.g., Miller,
As to the Customs Service, plaintiff contends that summary judgment on the adequacy of the agency’s search was improper because (1) the Customs Service improperly limited its search to its automated Treasury Enforcement Communications System (“TECS”); (2) the declarations submitted by the Customs Service are in-consistent; and (3) the Customs Service did not search possible border crossing records for the period prior to 1982 because it would involve “significant effort.”
Plaintiff’s first two arguments are interrelated and neither has any merit. The Custodian of Records for all electrоnic records, Ellen Mulvenna, submitted three separate detailed affidavits explaining the structure of the Customs Service’s record systems. Plaintiff suggests that the Mulvenna declarations are inconsistent because the first declaration states that the original TECS records date back to the early 1970’s and the second declaration states that all investigatory records, including records in the 1960’s, are included in the TECS. Contrary to plaintiff’s assertion, these statements appear to be fully consistent. According to the later Mulvenna affidavits, the TECS system was created in 1970. At that time, all existing records were placed in the TECS. Therefore, as explained in the third Mulvenna affidavit, the Customs Service’s search was appropriately limited to the TECS system since “[ajny information on Plaintiff’s missing husband that might have been contained in the records of the U.S. Customs Service as of the date that the TECS system was created in 1970 would have been placed in the TECS data system.”
Plaintiff’s challenge to the adequacy of the Customs Service’s search is also unpersuasive. While the government’s declarations acknowledged that a search of border crossing data would involve “significant effort,” they also made clear that such data only exists for dates after 1976, fifteen years after plaintiff’s husband disappeared. *563 It would seem reasonable, therefore, not to have searched the border crossing data, quite apart from any special effort involved.
Plaintiff’s challenges to the State Department’s searches also lack merit. Plaintiff complains that (1) the State Department did not identify who conducted the search or specify the background and experience of that person; (2) the State Department’s declaration leaves open the inference that some sources that are only ‘likely’ to contain information were not searched; and (3) the declaration does not include a “comprehensive listing of ‘decentralized record systems.’ ”
There is, however, no general requirement for an agency to disclose the identity and background of the actual persons who process POIA requests. Plaintiff relies on
Weisberg,
Plaintiff’s second argument is that the State Department’s declaration “leaves open the inference that some sources that are only ‘likely’ to contain information were not searched.”
See Oglesby,
Finally, plaintiff’s demand for a “cоmprehensive listing of ‘decentralized records systems’ ” is also unfounded. “There is no requirement that an agency search every record system.”
Oglesby,
With .respect to the DIA’s search, plaintiff contends that summary judgement was inappropriate because (1) a document that was forwarded from the FBI to the DIA in 1963 was not located by the DIA in its 1990 search; and (2) the DIA’s declaration does not adequately explain the data bases searched or the procedures for information retrieval.
As to plaintiff’s first argument, “the fact that a document once existed does not mean that it now exists; nor does the fact that an agency created a document necessarily imply that the agency has retained it.”
Miller,
Finally, plaintiff contends that the INS’s search was inadequate because it took seventeen months to locate a responsive file and because the file was lost in 1988 and not found and turned over to plaintiff until after her appeal was taken in 1992. Neither of these arguments is persuasive. Plaintiff’s first contention was raised initially in an untimely motion for reconsideration. Therefore, we review the district court’s denial of this motion only for abuse of discretion.
See, e.g., National Metal Finishing Co.,
Plaintiff’s second argument fares no better. Essentially, plaintiff argues that the fact that a'filе was lost and then found undercuts the INS’s contention that its search was reasonable.
See Goland,
Similarly here, the INS submitted a declaration to the district court, explaining that the three-page document responsive to plaintiff’s FOIA request was lost in transit from the Federal Records Center in Atlanta to the INS Central Office in Washington, D.C. More important, the INS submitted an additional declaration detailing the extensive steps taken by the INS to locate the missing file, including computer and manual shelf-by-shelf searches. In light of the detailed affidavits demonstrating the adequacy of the INS’s initial search and the subsequent search for the missing file, we are not persuaded that the district court was incorrect in concluding that the searches were reasonable and in good faith. Instead, the agency’s initial inability to find the missing file appears to be the result of administrative inefficiency. Nor can we say that the agency’s subsequent discovery and release of the lost file impugns the integrity of the INS’s affidavits. Rather than bad faith, we think the forthright disclosure by the INS that it had located the misplaced file suggests good faith on the part of the agency.
See Meeropol,
In sum, we are satisfied, as was the district cоurt, that each defendant agency presented reasonably detailed, nonconclusory affidavits demonstrating the reasonableness of their respective searches. We reject plaintiff’s suggestion that the agencies’ affidavits were insufficient to support summary judgment on the issue of the adequacy of the agencies’ searches.
C. FOIA Exemptions
Plaintiff contends that the district court improperly upheld the FBI’s withholding of information under FOIA Exemption 6 and asks us to join all other defendants in this argument. Exemption 6 permits withholding of the following:
personnel and medical files and similar files the disclosure of which would constitute a clearly unwarranted invasion of personal privacy.
5 U.S.C. § 552(b)(6).
It is not surprising that plaintiff was unable to find any justification under Exemption 6 for the FBI’s excisions since the FBI did not claim Exemption 6 as the basis of its withholding. Rather, it claimed Exemption 7(C), 20 which permits the withholding of
*566 records or information compiled for law enforcement purposes, but only to the extent that the production of such law enforcement records or information ... (C) could reasonably be expected to constitute an unwarranted invasion of personal privacy.
5 U.S.C. § 552(b)(7)(C).
In analyzing Exemption 7(C) claims, courts balance "privacy" interests against any "public interest" in disclosure.
United States Dept. of Justice v. Reporters Committee for Freedоm of the Press,
The Supreme Court recently held that the only cognizable "public interest" for purposes of FOIA is "the citizens' right to be informed about `what their government is up to.'"
Reporters Committee,
Plaintiff here has failed to suggest how the disclosure of the names would reveal what the government is up to. We need not, therefore, dwell upon the balance between privacy and public interests: "something ... outweighs nothing every time."
21
Fitzgibbon,
Plaintiff's claim for disclosure fits no better within Exemption 6. The only agency actually to rely on Exemption 6 for any withholdings is the State Department. In its declaration, the State Department explained that it had withheld the names and other identifying information (i.e., date and place of birth, address and occupation), because disclosure could subject individuals or their families to harassment or embarrassment, and the public interest in disclosure, if any, was minimal. This characterization seems entirely justified.
As with Exemption 7(C), courts must balance the relative privacy and public interests to determine whether information is properly withheld under Exemption
*567
6. Although "the Government's burden in establishing the requisite invasion of privacy to support an Exemption 6 claim is heavier than the standard applicable to Exemption 7(C),"
United States Dept. of State v. Ray,
— U.S. —, —,
D. Discovery
Plaintiff contends that the district court improperly granted protective orders barring certain interrogatories and a proposed deposition of Dr. Orlando Bosch-Avila, an individual incarcerated in federal prison in Miami.
23
Neither claim warrants appellate intervention into the district court’s broad discretion in managing pretrial discovery. Intervention would be warranted “only upon a clear showing of manifest injustice, that is, where the lower court’s discovery order was plainly wrong and resulted in substantial prejudice to the aggrieved party.”
Mack v. Great Atlantic & Pacific Tea Co.,
Plaintiff’s barred interrogatories were served approximately six months after the discovery deadline had lapsed. Plaintiff did not present any compelling reason for having ignored the deadline. With respect to the deposition of Dr. Bosch-Avila, the government moved for a protective order barring the deposition until plaintiff obtained the consent of Dr. Bosch-Avila, a federal prisoner, and gave advance notice to government counsel. The district court granted the motion “without prejudice to the deposition of the subject being noticed with at least 10 days notice to defense counsel.” Plaintiff did not seek to depose Dr. Bosch-Avila at any later date. It thus appears that plaintiff’s failure to obtain the discovery in issue was the result, in large part, of her own inaction. The district court did not abuse its discretion in ruling as it did.
E. Attorney’s Fees
Plaintiff contends that the district court erred in not awarding her attorney’s fees. A decision as to whether to award attorney’s fees is a matter within the sound discretion of a trial court and will be reversed only for an abuse of that discretion.
*568
Aronson v. HUD,
Under the FOIA, a district court
may
award attorney’s fees and costs to a plaintiff who has “substantially prevailed.” 5 U.S.C. § 552(a)(4)(E). In determining whether a plaintiff has “substantially prevailed” within the meaning of 5 U.S.C. § 552(a)(4)(E), a district court must conduct a two-step inquiry. First, did plaintiff “substantially prevail”? Second, if so, is plaintiff entitled to an award based on a balancing of equitable factors?
Crooker v. United States Parole Comm’n,
The district court in this case denied plaintiff's motion for attorney's fees against all of the defendant agencies, with the exception of the CIA,
25
on the basis of the first inquiry — i.e., plaintiff had not substantially prevailed against any of the defendant agencies. This conclusion was entirely correct. In order to prove that a plaintiff substantially prevailed, a plaintiff must establish that the filing of the litigation was "necessary" and "had a causative effect on the disclosure of the requested information."
Crooker v. United States Dept. of Justice,
Nor do we fault the district court's conclusion that plaintiff did not substantially prevail against either the State Department or the FBI. Both agencies produced documents to plaintiff after suit was filed. The chronology, by itself however, is not determinative.
E.g., Cazalas v. United States Dept. of Justice,
Plaintiff argues that this suit resulted in progressively greater disclosure from the *569 FBI, thus meeting the causation requirement in 5 U.S.C. § 552(a)(4)(E). According to plaintiff, after initiation of the litigation, she was provided with material that had previously been redacted. This argument, however, was raised for the first timе in an untimely motion for reconsideration, which the district court properly denied. The FBI submitted an affidavit explaining that the release of the great bulk of the redacted material was the result of inter-agency process, not this litigation, and the release of the remainder of the previously redacted material occurred after the agency became aware that the material had previously been released to another individual (thereby requiring its release to plaintiff). The district court was within its discretion in concluding that plaintiff had not substantially prevailed, and did not abuse its discretion by refusing to reconsider this decision.
II.
The district court’s order of November 14, 1990 compelling the CIA to disclose the third full paragraph on page 2 of the December 22, 1961 memorandum is reversed.
The district court’s subsequent orders granting summary judgment to the CIA, the FBI, the State Department, the Customs Service, the INS, and the DIA, as well as its decision not to award attorney’s fees, are all affirmed.
So ordered. Costs to appellees in No. 92-1615 and to appellant in No. 91-1334.
Notes
. The district court granted the parties' stipulated dismissal of the FAA, the NPRC, and the Navy in February 1990.
. FOIA Exemption 1 provides that the FOIA’s disclosure requirements do not apply to matters that are "(1)(A) specifically authorized under criteria established by an Executive order to be kept secret in the interest of national defense or foreign policy аnd (B) are in fact properly classified pursuant to such Executive order." 5 U.S.C. § 552(b)(1). The information at issue here was classified pursuant to Executive Order 12356, 47 Fed.Reg. 14874 (1982).
FOIA Exemption 3 pertains to matters that are exempted from disclosure by a statute that either "(A) requires that the matters be withheld from the public in such a manner as to leave no discretion on the issue, or (B) establishes particular criteria for withholding or refers to particular types of matters to be withheld." 5 U.S.C. § 552(b)(3). The exempting statute here is 50 U.S.C. § 403(d)(3), which provides that "the Director of Central Intelligence shall be responsible for protecting intelligence sources and methods from unauthorized disclosure.”
. For the record, that order was not issued by the Judge from whose final orders the appeal is taken.
. The State Department also submitted for in camera review a document on which the State Department had redacted certain identifying information, such as the names of individuals, for personal privacy concerns pursuant to FOIA Exemption 6.
. The district court’s order of November 14, 1990, also required disclosure of material contained in two other documents: (1) a single name (E.L. Johnson) contained in an FBI document dated November 20, 1961; and (2) the third full paragraph of an FBI memorandum dated July 5, 1962. The FBI requested the district court to reconsider the portion of the order regarding the July 5, 1962 memorandum, arguing that the material was exempt from disclosure under FOIA Exemption 7(D) as information obtained from a confidential source. The district court granted the FBI’s motion for reconsideration and vacated that portion of its order on February 1, 1991.
. We do not agree with the district court that merely because the information here is thirty years old, it cannot detrimentally reveal intelligence sources or methods. Plaintiff conceded at oral argument before this court that if the withheld information relates to intelligence sources or methods, the passage of thirty years, by itself, is insufficient to require an agency to disclose the information. Courts have generally rejected the contention that the mere age of intelligence information rules out Exemption 3.
Fitzgibbon,
. Although the standards are substantially identical, courts, in reviewing Exemption 1 claims, state that their review is
de novo. E.g., Goldberg v. United States Dept. of State,
. Plaintiff contends that the district court improperly denied discovery, which could have revealed agency bad faith. To support this argument, plaintiff cites
Weisberg v. United States Dept. of Justice,
. As with Exemption 3, the passage of some thirty years does not, by itself, invalidate the CIA's showing under Exemption 1. Executive Order 12356 provides, without time limit, that "[i]nformation shall be classified as long as required by national security considerations." § 1.4(a), 47 Fed.Reg. at 14877. Unlike its predecessor Executive Ordеr 12065, Executive Order 12356 does not create a presumption favoring disclosure of information once it reaches a certain age. Courts have recognized that it would be extremely difficult for the judiciary to set particular time limitations upon Exemption 1, at least within time parameters of the duration we are discussing here.
Bonner v. United States Dept. of State,
.The name of these indices is derived from the seminal case,
Vaughn v. Rosen,
. Although plaintiff frames her claim as one of improper denial of
Vaughn
indices, her brief suggests that plaintiff also contests the adequacy of the
Vaughn
indices that were, in fact, provided by certain of the defendant agencies. Because a district court must have an adequate factual basis for making determinations as to the applicability of claimed FOIA exemptions, e.g.,
Bowers v. United States Dept. of Justice,
. The 1974 amendments to the FOIA, P.L. 93-502, 88 Stat. 1561, 1562 (1974), expressly state that the government retains the burden of proving a document’s exempt status even when a district court conducts in camera review:
[The district court] may examine the contents of such agency records in camera to determine whether such records or any part thereof shall be withheld under any of the exemptions set forth in subsection (b) of this section, and the burden is on the agency to sustain its action.
5 U.S.C. § 552(a)(4)(B). The legislative history of the 1974 amendments to the FOIA further clarifies the district court’s discretion in conducting in camera review and the government's burden of proof:
While in camera examinations need not be automatic, in many situations it will plainly be necessary and appropriate. Before the court orders in camera inspection, the Government should be given the opportunity to establish by means of testimony or detailed affidavits that the documents are clearly exempt from disclosure. The burden remains оn the Government under this law.
S.Conf.Rep.No. 1200, 93d Cong., 2d Sess. 9 (1974), reprinted in 1974 U.S.C.C.A.N. 6267, 6287-88.
. In a "coded” format, an agency breaks down its FOIA exemptions into subcategories, explains the nondisclosure rationale for each subcategory, and then correlates the subcategories to each document or portion withheld. For example, the Lieberman declaration was accompanied by copies of the documents in their redacted form. Next to each redaction was a code designation that corresponds to a FOIA exemption and a subcategory of information. For instance, one of the subcategories for information withheld under Exemption 7(C) was names and initials of FBI agents and support personnel. A coded symbol (b7C-l) would appear next to any deletions that fit within this exemption and subcategory of information. Use of coded indices has been explicitly approved by several circuit courts as long as each deletion is correlated "specifically and unambiguously to the corresponding exemption," and the agency affidavit places "each document into its historical and investigative context.”
See, e.g., Keys v. United States Dept. of Justice,
. Plaintiff sent identical FOIA requests to each defendant agency stating the following: "I am requesting, through the FOIA, any information you may have concerning my former husband, Robert Thompson. He disappeared along with Robert Swanner on a flight over Cuba in December of 1961.”
. The search of officially released documents yielded one responsive document, which was forwarded to plaintiff. This document, a March 20, 1963 memorandum, states that the CIA had no connection with plaintiff's husband or the flight in question.
. The Wright declaration explains that the CIA’s records systems are diverse, decentralized, and compartmentalized in order to enhance security of documents by minimizing accidental disclosure of sensitive information. With respect to the CIA’s method of retrieving documents, the declaration states the following:
3. The nature and design of the CIA records systems are determined by the nature of the Agency’s intelligence activities аnd responsibilities. Documents are generally retrievable if they are in a file which contains a collection of documents on the same subject, and the subject is indexed in a system that alerts a searcher to the existence and location of the file, or if the document is individually indexed in a system that alerts a searcher to the document. If information is stored other than on paper, it must be indexed in a manner which alerts the searcher to its existence and location. The manner in which the CIA indexes information for storage and retrieval purposes varies according to the nature of the intelligence activity that the records are intended to support. Our ability to retrieve data from a given records system is determined by what information has been stored in the system and how the system is designed for retrieval purposes.
4. It is crucial to note that the CIA records storage processing and retrieval systems are designed and programmed to respond to the particular intelligence responsibilities and problems of the component using the system. For example, a component charged with political analysis of a particular foreign power may organize its files under various subjects—names of prominent politicians, party names, geographical concentrations of power, etc. Another component, with a different intelligence mission, may set up its files in a totally different fashion. Accordingly, the structure of particular records systems are not uniform but, rather, differ according to the intelligence responsibilities of the component maintaining the system. Moreover, some records systems are such an integral part of the associated intelligence activity that the record system necessarily bears the same classification as the intelligence activity____
5.When Privacy Act and FOIA requests are received in the Information Services Division (ISD), the initial reception point for all such requests received by the CIA, a determination is made by experienced personnel in ISD as to what components of the Agency might reasonably be expected to possess records which might be responsive to each request. Copies of the requesting letter are then forwarded to each such component with instructions that a search be made for any responsive documents. This initial step is called "tasking" of the components. Searches are then routinely made among all indices that might logically have any information relating to ... the substance of request under the FOIA. In this regard, it is necessary to understand that the search for records in each individual component is dependent upon the *562 component's unique indexing system. The in-dices are the source of any clues into the existence and location of responsive records. For example, the indexing systems for records contained in the Directorate of Operations (DO) are not the same as those used in the Office of Security (OS). Therefore, the search for records in each component must be carried out by an individual who has knowledge of that component’s indexing system____
The declaration, however, provides no details as to the CIA’s search for documents responsive to plaintiffs FOIA request.
. The National Security Act, 50 U.S.C. § 403g, provides in relevant part:
In the interests of the security of the foreign intelligence activities of the United States and in order further to implement the proviso of section 403(d)(3) of this title that the Director of Central Intelligence shall be responsible for protecting intelligence sources and methods from unauthorized disclosure, the Agency shall be exempted from ... the provisions of any other law which requires the publication or disclosure of the organization, functions, names, official titles, salaries, or numbers of personnel employed by the Agency.
. The State Department’s declaration еxplains that responsive records, "if they existed, would likely be expected to be contained in two records systems, namely: the Central Records; and the Office of Overseas Citizens Services [OCS].” While name searches of two of the three categories of Central Records files (the Automated Document System and the Lot Files) turned up no records, a name search of the "personality cross-reference” to the Central Foreign Policy Files (a third category of Central Records) identified twenty-three responsive documents which had been sent to the OCS "for action." The OCS retirement manifests along with a document-by-document search revealed that nineteen of these documents “had been destroyed in May, 1979, in accordance with approved disposition schedules," leaving only "four documents responsive to this request [that] were not destroyed.” Three of these documents were produced to plaintiff with no excisions, and the fourth was produced with minor excisions based on personal privacy grounds pursuant to FOIA Exemption 6.
. Plaintiff also suggests, without further argument or explanation, that the State Department should have searched the records of the "Cuba Desk” and the "Bureau of Politico-Military Affairs." Plaintiff's suggestion seems factually misguided. It appears that the rеcords of the "Cuba Desk” (the formal name for which is apparently the Office of Cuban Affairs in the Bureau of Inter-American Affairs) were searched. The Bureau of Politico-Military Affairs, on the other hand, is apparently concerned with remote issues such as arms control, nuclear non-proliferation, outer space and the coordination of military-related activities with foreign policy. The records of the Bureau of Politico-Military Affairs, therefore, seem unlikely to contain any responsive documents.
. The FBI additionally relied on FOIA Exemption 7(D) to justify certain withholdings.
See
5 U.S.C. § 552(b)(7)(D). Exemption 7(D) provides protection for confidential source information.
See, e.g., Providence Journal Co. v. United States Dept. of Army,
. For the same reason, the effect of the passage of time upon the individual's privacy interests is simply irrelevant when a FOIA requestor is unable to suggest any public interest in the disclosure of names that would reveal what the government is up to. Privacy interests, no matter how minimal, will outweigh a nonexistent public interest. We therefore reject plaintiffs suggestion that the FBI should have considered "the mitigation of time” on documents over twenty-five years old.
. Because plaintiff does not challenge any of the other bases for withholdings asserted by the government, plaintiff has waived any claims concerning other FOIA exemptions.
E.g., Playboy Enterprises, Inc. v. Public Serv. Comm’n,
. In support of her motion to take the deposition of Dr. Bosch-Avila, plaintiff submitted the affidavit of Sherry Ann Sullivan. Ms. Sullivan, a private investigator who is also the head of “The Forgotten Families of the CIA,” had brought a similar FOIA suit to plaintiffs. In her affidavit, Sullivan alleged that a confidential informant had personal knowledge that Dr. Bosch-Avila had worked with both Robert Thompson and her father, Geoffrey Sullivan, on CIA-sponsored projects. Ms. Sullivan further alleged that the testimony of Dr. Bosch-Avila would be "sufficient for the CIA to locate the information and documents which have been requested by Plaintiff and which the C.I.A. says it cannot locate.”
. These factors include the following: "(1) the benefit to the public, if any, derived from the case; (2) the commercial benefit to the complainant; (3) the nature of the complainant’s interest in the records sought; and (4) whether the government’s withholding of the records had a reasonable basis in law."
Aronson,
. The district court decided to await resolution of the CIA’s appeal before deciding the issue of attorney’s fees as to the CIA.
