MEMORANDUM OPINION
The plaintiff, Mark Cuban, brings this action against the defendant, the Securities and Exchange Commission (the “SEC”), pursuant to the Freedom of Information Act, 5 U.S.C. § 552 (2006) (“FOIA”) and
On December 19, 2008, the plaintiff, through counsel, requested from the defendant the production of twenty categories of records pursuant to the FOIA and the Privacy Act. The plaintiff submitted this request in two letters. Specifically, in the letter pursuant to the FOIA exclusively, the plaintiff sought thirteen categories of records relating to several businesses and individuals, including several requests for records related to potential internal SEC investigations. 3 Def.’s Mem., Ex. 1 (Decl. of Margaret Celia Winter) (“Winter Decl.”), Attach. A (Dec. 19, 2008 Letter from David M. Ross to SEC) (“Request Ltr. I”) at 1-3. Similarly, in the letter that requested disclosure pursuant to both the FOIA and the Privacy Act, the plaintiff sought seven categories of records related to himself, and various businesses, persons, and potential internal SEC investigations. Id., Ex. 1 (Winter Decl.), Attach. B (Dec. 19, 2008 Letter from David M. Ross to SEC (“Request Ltr. II”)) at 1-3. The defendant received both letters on December 23, 2008, and assigned them a single internal tracking number. Id., Ex. 1 (Winter Decl.), Attach. I (June 29, 2009 Letter from Richard M. Humes to David Ross) at 1, n. 1.
The defendant initially informed the plaintiff that it possessed no responsive records relating to the first four categories of Request Letter I and the third category of Request Letter II Id., Ex. 1 (Winter Decl.), Attach. C (Jan. 30, 2009 Letter from Mark P. Siford to David Ross) at 1-3. As to categories 7 and 11-13 of Request Letter I, the defendant indicated in its initial January 30, 2009 response that it possessed “no means to conduct a reasonable search for [that] type of information,” Id., Ex. 1 (Winter Decl.), Attach. C at 2, and as to category 6 of Request Letter I, the defendant further stated that the only information it had included public records from a judicial proceeding directly available to the plaintiff from the court. Id. As to the remainder of the plaintiffs requests, the defendant stated that it was “consulting with other Commission staff regarding information that may be responsive,” and it would “advise [the] plaintiff of [its] findings as soon as [it] receive[d] a response” from its staff. Id., Ex. 1 (Winter Decl.), Attach. C at 3.
A series of letters from the defendant updating the plaintiff as to the progress of its search followed. On February 5, 2009, the defendant advised the plaintiff by letter that it did not have any responsive records related to category 5 of Request Letter I, and that it was withholding records responsive to categories 1, 2, 4 and 5 of Request Letter II under Exemption 7(A).
Id.,
Ex. 1 (Winter Decl.), Attach. D (Feb. 5, 2009 Letter from Mark P. Siford to David Ross) at 1-2. On March 5, 2009, the defendant informed the plaintiff that it was relying on the deliberative process protection of Exemption 5 of the FOIA to withhold records responsive to category 3 of Request Letter II.
Id.,
Ex. 1 (Winter Decl.), Attach. F (Mar. 5, 2009 Letter from Mark Siford to David Ross) at 1-2. In a March 16, 2010 letter, the defendant stated that it was withholding records responsive related to category 6 of Request Letter I because they fell within the law enforcement classification of Exemption 7(A).
Id.,
Ex. 1 (Winter Decl.), Attach. G (Mar. 16, 2009 Letter from Mark Siford to David Ross) at 1-2. On July 2, 2009, the defendant indicated that it was withholding records related to category 9 of Request Letter I under Exemption 6, and records responsive to categories 8 and 10
The plaintiff also sent a series of communications to the defendant. In addition to negotiating the scope of categories 6 and 10 of Request Letter I,
see
Def.’s Reply, Ex. 8 (Supplemental Declaration of Margaret Celia Winter) (“Winter Suppl. Decl.”), Attach. B (Sept. 21, 2009 Letter from Lyle Roberts to Juanita C. Hernández) at 1;
id.,
Ex. 8 (Winter Suppl. Decl.), Attach. C (Sept. 25, 2009 Letter from Juanita C. Hernández to Lyle Roberts), the plaintiff administratively appealed the ade
The defendant granted in part and denied in part the plaintiffs administrative appeals. Def.’s Mem., Ex. 1 (Winter Decl.), Attach. I (June 29, 2009 Letter from Richard M. Humes to David Ross) & Attach. J (June 29, 2009 Letter from Richard M. Humes to David Ross). The administrative appeals were denied in regards to the withholding to the investigative and enforcement records that had been withheld pursuant to the Privacy Act. Id., Ex. 1 (Winter Decl.), Attach. I at 2-3 & Attach. J at 2. However, the defendant granted the plaintiffs appeal with respect to the adequacy of the defendant’s search for records, finding that while the initial search was reasonable, it ultimately was determined to be incomplete and therefore additional searches would have to be conducted. 5 Id., Ex. 1 (Winter Decl), Attach. I at 3-5 & n. 7. In addition, the defendant concluded that the initial searches that it had conducted and its reliance on Exemptions 2, 5, 6, 7(A) and 7(C) to withhold records it had located responsive to those searches were adequate and statutorily compliant. 6 Id., Ex. 1 (Winter Decl.), Attach. I at 3-6 & Attach. J at 2-5. The defendant also rejected the plaintiffs position that it needed to produce a Vaughn index as part of the administrative process. Id., Ex. 1 (Winter Decl.), Attach. J at 3.
Meanwhile, as the correspondence between the parties was ongoing, the plaintiff filed this action on May 28, 2009, seeking the immediate production of the records denied to him and maintaining that the defendant’s search efforts were inadequate and reliance on the exemptions invoked by the defendant was improper. See generally Compl. The defendant answered the complaint on July 2, 2009, denying the plaintiffs allegations that its search efforts were inadequate and maintaining that its reliance on the identified Exemptions was proper. The filing of the parties’ cross-motions for partial summary judgment and the defendant’s motion to bifurcate and stay this action as it relates to the categories of the request that the defendant has yet to produce followed.
Under Rule 56, summary judgment is appropriate if “the pleadings, the discovery and disclosure materials on file, and any affidavits show that there is no genuine issue as to any material fact and that the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(c)(2). When ruling on a Rule 56 motion, the Court must view the evidence in the light most favorable to the non-moving party.
Holcomb v. Powell,
A. The Defendant’s Search Obligations
An agency that is responding to a FOIA request must make “a good faith effort to conduct a search for the requested records, using methods which can be reasonably expected to produce the information requested.”
Baker & Hostetler LLP v. U.S. Dep’t of Commerce,
Thus, “[t]here is no requirement that an agency search every record system” in which responsive documents might conceivably be found.
Oglesby v. U.S. Dep’t of the Army,
B. The Defendant’s Record Production Obligations
The FOIA requires a federal agency to release all records responsive to a request for production, 5 U.S.C. § 552(a)(3)(A), unless such records falls within one of the well-defined exemption categories listed in § 552(b). The Court is authorized under the FOIA “to enjoin [a federal] agency from withholding agency records or to order the production of any agency records improperly withheld from the complainant.” § 552(a)(4)(B);
see also Kissinger v. Reporters Comm. for Freedom, of the Press,
Ill LEGAL ANALYSIS
A. Adequacy of the Defendant’s Searches for Responsive Records
Initially in its motion, the defendant took the position that the plaintiff had failed to appeal the defendant’s responses as to categories 7, 11, 12, and 13 of Request Letter I, and thus by not exhausting the administrative remedies available to him, the plaintiff could not now litigate the defendant’s responses regarding those categories. Def.’s Mem. at 6-7. The plaintiff responded that because the defendant never informed him of his right to appeal those categories, his administrative remedies were constructively exhausted. Pl.’s Mem. at 7-9. Regardless of these positions, it appears that before the briefing on the parties’ cross-motions was complete, the defendant did, in fact, represent that it conducted a search for records responsive to categories 11, 12, and 13 of Request Letter I, and no responsive records were found. Def.’s Reply at 4-5; id., Ex. 13 (Supplemental Declaration of Noelle L. Frangipane) (“Frangipane Suppl. Deck”) ¶¶ 3-5. As to category 7, which seeks information regarding trades in Copernic securities by any SEC personnel, the defendant maintains that based on the manner in which it maintains its files, a search for responsive records would be overly burdensome and unreasonable because it would involve reviewing each file manually. Def.’s Reply at 4-5; id., Ex. 14 (Declaration of William Lenox) (“Lenox Deck”) ¶ 5.
While the Court does not condone the defendant’s delay in conducting these searches, as timely searches might have limited or avoided altogether litigation of
The defendant was obligated to demonstrate the adequacy of its search by providing a “reasonably detailed affidavit, setting forth the search terms and type of search performed, and averring that all files likely to contain responsive materials ... were searched.”
Oglesby,
Nor does the declaration of William Lenox fare any better. This declarant states that based on his familiarity with the SEC’s recordkeeping as to the security trading of its employees, which “are not organized or categorized by security,” “searching for records potentially responsive to this request would entail performing a page-by-page review of thousands of documents submitted by over 3,800 Commission employees to ascertain which, if any, of these records related to Copernic securities.” Def.’s Reply, Ex. 14 (Lenox Decl.) ¶ 5. The declarant states that “it is not possible to perform an electronic search of these records for specific securities,”
id.,
and further that it is the SEC’s “policy to keep employees’ reports of security transactions confidential as they contain information in which employees have a privacy interest,
id.
¶ 6. This declaration too is not sufficient as it does not indicate with specificity how the employee files are maintained, how they could be searched,
B. The Exemptions Relied Upon by the Defendant for Its Non-Production of Responsive Documents
As indicated, because the FOIA presumes that responsive records are to be disclosed, a government agency relying on a statutory exemption to withhold certain records or portions of records from a requester bears the burden of establishing that its reliance on those exemptions is warranted.
Goland,
1. Exemption 2
Exemption 2 of the FOIA shields from disclosure information that is “related solely to the internal personnel rules and practices of an agency.” 5 U.S.C. § 552(b)(2). It applies if the information in question meets two criteria: First, such information must be “used for predominantly internal purposes,”
Crooker v. Bureau of Alcohol, Tobacco and Firearms,
The defendant maintains that it can withhold records 78-80 under Exemption 2 because these records “concern internal SEC administrative matters that are not of any genuine public interest and contain names of staff members involved in [SEC] investigations, and their phone numbers and e[-]mail addresses.” Def.’s Mem., Ex. 3 (Declaration of Kenneth H. Hall) (“Hall Deck”) ¶ 6;
see also
Def.’s Reply, Ex. 9. One of the defendant’s declarants, the Assistant Chief Counsel in the Division of Enforcement in the Office of the Chief Counsel at the SEC, represents that these documents “are internal records of closed [matters under inquiry] pertaining to ‘Shareslueuth.com,’ ” one of the entities regarding which the plaintiff sought records, and are “primarily internal tracking records” comprised of “nineteen pages, including three file covers, four pages of internal data entry forms, five pages of ... summaries and seven pages of e[-]mails.” Def.’s Mem., Ex. 3 (Hall Deck) ¶¶ 6-7. According to the declarant, the summaries consist of purely “internal reports used by Enforcement supervisory staff to administer and manage cases,”
id.
¶ 8, the data entry forms “are also internal reports used by Enforcement supervisory staff to manage and administer investigations,”
id.
¶ 9, and the e-mails include “automated messages that show that a request was made to open or close a matter that has been submitted into Enforcement’s case management system,” including “the name of [the] SEC staff who submitted data and showing] that a request for action has been submitted and providing] the name given to the matter,”
id.
¶ 11. According to the declarant, the collection of e-mails being withheld also contains one e-mail from a complainant that can be disclosed
The plaintiff contends that the defendant’s reliance on Exemption 2 is improper because documents 78-80 “pertain[ ] to informal SEC investigations,” i.e. “the core function of the agency,” and therefore the documents “cannot be [considered] ‘routine housekeeping matters’ in which the public would presumably lack interest.” Pl.’s Mem. at 14. The plaintiff maintains that the type of information in the documents “is a matter of genuine public interest because it sheds light on how the SEC conducts its activities or carries out its statutory responsibilities.” Pl.’s Reply at 9-10.
While it appears that records may be “used for predominantly internal purposes,”
Crooker,
It is unclear based on the declarant’s representation whether the several “internal
e[
]mails primarily concerning] ... the logistics of opening [an investigative matter]” might reveal the defendant’s internal rules and practices. Def.’s Mem., Ex. 3 (Hall Decl.) ¶¶ 12-13. To the extent that the information contained within the records concerns internal rules and practices, that information may be redacted, but to the extent that the tracking records include such items as dates, requests to open and close these investigations, stock type, and case status, such information is not
2. Exemption 5
Exemption 5 of the FOIA provides that the “inter-agency or intra-agency memorand[a] or letters which would not be available by law to a party other than an agency in litigation with the agency” are not subject to disclosure under the FOIA. 5 U.S.C. § 552(b)(5). “To qualify [for non-disclosure under Exemption 5], a document must thus satisfy two conditions: its source must be a Government agency, and it must fall within the ambit of a privilege against discovery under judicial standards that would govern litigation against the agency that holds it.”
U.S. Dep’t of the Interior & Bureau of Indian Affairs v. Klamath Water Users Protective Ass’n,
“With respect to the secondary consideration under Exemption 5 — whether such materials would not be ‘available by law in litigation with the agency,’ ”
id.
— “the parameters of Exemption 5 are determined by reference to the protections available to litigants in civil discovery ... [,]”
Burka v. U.S. Dep’t of Health & Human Servs.,
The defendant relies on all three aspects of Exemption 5 to withhold almost all of the 80 records on its
Vaughn
index, see
a. Deliberative Process Privilege
The deliberative process privilege may be relied upon by an agency if the information sought to be withheld from disclosure contains predecisional information that was part of the deliberative process,
i.e.,
that there was a “ ‘deliberative process ... involved, and the role played by the documents at issue [was] in the course of that process,’”
Heggestad v. Dep’t of Justice,
existing policy ... simply by describing the policy in a document that as a whole is predecisional, such as a memo written in contemplation of a change in that very policy. Only those portions of a predecisional document that reflect the give and take of the deliberative process may be withheld.
Id. (citations omitted). Similarly, “portions of predecisional and deliberative documents that contain factual information that does not ‘inevitably reveal the government’s deliberations’ ” must be produced under the FOIA. Id. (citations omitted).
The defendant asserts that records 1-3, 9, 11, 13-15, 17, 19, 21-22, 25-29, 32-35, 37-46, 48-57, 59-64, 69, 71, and 73-76 may be withheld pursuant to the deliberative process protection of Exemption 5. Def.’s Mem. at 16. The defendant represents that the records withheld consist of “internal e[-]mails and handwritten notes regarding an internal investigation on a personnel matter,” and the records “reflect deliberations regarding the proposed discipline of an employee including whether the employee engaged in misconduct, what discipline is appropriate for any misconduct, and what procedures should be followed in imposing discipline.” Id.; see also Def.’s Reply at 8; id., Ex. 10 (Supplemental Declaration of David M. Pinansky) (“Pinansky Suppl. Deck”) ¶ 6. A declarant for the defendant, a Senior Special Counsel in the Office of the General Counsel of the Securities and Exchange Commission, represents without elaboration that all of the records withheld pursuant to the deliberative process privilege related a “personnel matter” and “reflect internal agency deliberations regarding the proposed discipline of an employee.” Def.’s Reply, Ex. 10 (Pinansky Suppl. Deck) ¶ 6. The defendant contends that the disclosure of this information will have a “chilling effect on future predecisional discussion and debate that would harm the SEC’s deliberative process.” Def.’s Mem. at 16; see also Def.’s Reply, Ex. 10 (Pinansky Suppl. Deck) ¶ 7.
The plaintiff contends that through its representations the defendant has not met its burden to withhold documents as deliberative process records under Exemption 5 because “[t]he SEC’s
Vaughn
Index and declarations are insufficient to determine whether any of the documents withheld actually qualify for protection as deliberate process materials.” Pl.’s Mem. at 21;
see also
Pb’s Reply at 17. According to the plaintiff, the defendant’s assertions “lack sufficient detail and contain only concluso
The Court agrees with the premise upon which the defendant’s position is based: that its officers must be allowed to make discretionary judgments and consider policy choices in an environment protected from public scrutiny and unnecessary disclosures or it “would tend to ‘discourage candid discussion within an agency.’ ”
Petroleum Info. Carp. v. U.S. Dep’t of the Interior,
In making a determination of whether a record is properly withheld under Exemption 5, “courts frequently examine whether ‘the document is so candid or personal in nature that public disclosure is likely in the future to stifle honest communication within the agency.’ ”
Wilderness Soc. v. U.S. Dep’t of the Interior,
In addition, it is not disputed that the categories of records that might qualify as predecisional and deliberative is great.
See Klamath Water Users Protective Ass’n,
b. Attorney-Client Privilege
In the context of Exemption 5, “the [attorney-client] privilege ... functions to protect communications between government attorneys and client agencies or departments, as evidenced by its inclusion in the FOIA, much as it operates to protect attorney-client communications in the private sector.”
In re Lindsey,
The defendant asserts that records 11, 13, 21, 25-26, 29, 32, 34-35, 37, 39, 41-M4, 53, 55, 57, 59, and 61-63 may be withheld pursuant to the protection of attorney-client privilege under Exemption 5. Defi’s Mem. at 12. The defendant’s declarant, again a Senior Special Counsel in the Office of the General Counsel, states that these records include “internal e[-]mail and other internal communications and meetings among OGC attorneys and either one or more [Office of Human Resources] staff members or SEC supervisors regarding [a] personnel matter,” and “include legal advice and recommendations.” Id., Ex. 4 (Declaration of David M. Pinansky) (“Pinansky Deck”) ¶ 8. Specifically, the defendant maintains that the
documents are either (1) attorney communications containing legal advice, primarily e[-]mails or memoranda, with [Human Resources] staff and/or SEC managers regarding the handling of an internal personnel matter, or (2) e[-]mails and handwritten notes reflecting those communications. To the extent a document is not to or from an attorney, it is a document that describes a communication with an attorney on that matter.
Id.,
Ex. 10 (Pinansky Suppl. Deck) ¶ 4. The defendant also submitted two additional declarations, one from the Senior Special Counsel just referenced and the second from a non-attorney Employee and Labor Relations Specialist in the Office of Human Resources, wherein they represent that
In its opposition filing, the plaintiff maintain that the defendant’s representations do not satisfy its burden of establishing that the records may be withheld pursuant to Exemption 5 because the defendant has failed to establish that the communications were confidential when created and have since retained their confidential status. Pl.’s Mem. at 16. Nor, the plaintiff maintains, has the defendant relied on anything more than “[n]aked assertions that documents are covered by the [attorney-client] privilege.” Id. The plaintiff points out that “e[-]mails sent to an [Office of Human Resources] attorney are not privileged unless they convey confidential information for the purpose of obtaining legal advice,” and therefore the defendant’s assertion that the records are e-mail communications and thus shielded from disclosure is not determinative. Id. at 17; see also Pl.’s Reply at 14. Finally, the plaintiff points out that no single declarant can represent that the communications have not been disseminated outside of the agency because a declarant cannot speak for everyone at the agency and therefore cannot possibly know if such an assertion is true. Pl.’s Reply at 13.
The Court agrees with the plaintiff that the declarations submitted are too conelusory for the Court to render summary judgment for the defendant on the basis of the attorney-client privilege. “A blanket assertion of the privilege will not suffice.”
In re Lindsey,
In other words, “[t]he burden is on the agency to demonstrate that confidentiality was expected in the handling of these communications, and that it was reasonably careful to keep this confidential information protected from general disclosure,” not just within the agency, but also among any other individuals outside the agency who needed access to the information.
Coastal States,
c. Attorney Work Product
“The work-product doctrine shields materials ‘prepared in anticipation of litigation or for trial by or for another party or by or for that other party’s representative (including the other party’s attorney, consultant, surety, indemnitor, insurer, or agent).’ ”
Judicial Watch, Inc. v. Dep’t of Justice (“Judicial Watch
/”),
The defendant asserts that records 10-11, 13-15, 18-29, 31-46, 48-64, and 77 may be withheld pursuant to the attorney work-product privilege conferred by Exemption 5. Def.’s Mem. at 14. The declarant for the defendant on this subject, a Senior Special Counsel in the Office of the General Counsel, states that “all of these documents for which the SEC asserts Freedom of Information (FOIA) Exemp
The plaintiff counters that the defendant’s assertion of the attorney work-product privilege lacks the necessary details to support it. Pl.’s Mem. at 16. The plaintiff asserts that it “defies logic and belief’ that “every record withheld regarding this [personnel] matter was prepared by or at the direction of an attorney in anticipation of litigation.” Id. And the defendant opines that because the defendant “has identified no litigation between it and the employee who was the subject of the disciplinary matter,” the records “appear to have been created for some other purpose than to assist in reasonably foreseeable litigation.” Id. at 17. The plaintiff notes that the defendant’s Vaughn index “entries make no reference to being prepared by or at the direction of an attorney or that they were prepared in anticipation of litigation .... [and posit] they therefore do not reflect the mental impressions of an attorney prepared in anticipation of litigation.” Pl.’s Reply at 18.
While the “[work-product] doctrine should be interpreted broadly and held largely inviolate,” and often there is no necessity to segregate information within work-product records,
Judicial Watch I,
3. Exemption 6
Exemption 6 of the FOIA permits the government to withhold “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). The phrase “similar files” has been “broadly defined to include any ‘Government records on an individual which can be identified as applying to that individual.’ ”
Judicial Watch of Fla. v. U.S. Dep’t of Justice (“Judicial Watch II
”),
Just as it did with Exemption 5, the defendant relies on Exemption 6 to withhold almost all of the 80 records included in the
Vaughn
index. Specifically, the defendant states that Exemption 6 justifies its withholding of records 1-22, 25-57, and 59-80,
see
Def.’s Reply, Ex. 9, because all but the excluded records “relate to an internal investigation of an employee and address issues related to the potential discipline of the employee,” Def.’s Mem. at 18, and “contain names, phone numbers, and e[-]mail addresses of individuals” who “have at least some privacy interest in not making public their involvement in an SEC
The plaintiff contends that the defendant’s reliance on Exemption 6 is misplaced. He maintains that the records are not the type of “personnel, medical, or similar files” governed by Exemption 6, and there has been no showing that an “unwarranted invasion of personal privacy” will result under 5 U.S.C. § 552(b)(6) from their disclosure. Pl.’s Mem. at 23. The plaintiff opines that if the identifying information was redacted from these records, any privacy intrusion would be mitigated. Id. He adds that in weighing the importance of public disclosure, it should be remembered that only if the target of the investigation is identifiable in the records is Exemption 6 applicable, and even if the target becomes identifiable after appropriate redactions are made, the public interest in disclosure still outweighs those privacy concerns because the person most likely to be the subject of the investigation (an individual the plaintiff identifies by name) personally communicated with the plaintiff and accusing the plaintiff of being a “traitor” and “unpatriotic.” Id. at 25.
There appears little question that the types of files the defendant seeks to protect under Exemption 6 fall within the scope of this exemption, as they are personnel-related and their content — the investigation of alleged wrongdoing by an SEC employee — implicates “substantial privacy concerns” of. the subject of the investigation.
Dep’t of State v. Wash. Post Co.,
Against this backdrop, the Court must conclude that the public has some interest in knowing whether the defendant will take action if one of its employees, whose work is funded from the public coffers and utilized government resources to communicate with the plaintiff and the SEC Chairman, is utilizing his position to purportedly further private interests or harass private citizens. This case is not a situation where a requester is merely trying to acquire information regarding another private individual. And an important factor to bear in mind is that the defendant appears to want to have things both ways — relying on the one hand on the extensive media attention this litigation and the underlying basis for it have received as support for its position that the privacy of the investigated employee warrants non-disclosure of the documents, Def.’s Mem. at 19, while ignoring on the other hand the clear indication that the extent of the media coverage demonstrates the public interest in these matters. There is a compelling public interest in knowing whether the defendant conducts investigations free of misconduct by its employees and how alleged transgressions by its employees are addressed; the disclosure sought by the plaintiff would assuredly “shed light on an agency’s performance of its statutory duties and its compliance with the law.”
Judicial Watch II,
While these are the competing interests that are at play, the concern for the Court is not whether Exemption 6 applies to information contained within these records, because even on the scant representations of the defendant it would seem to apply to portions of the record,
see
Def.’s Mem., Ex. 3 (Hall Decl.) ¶ 12;
id.,
Ex. 4 (Pinansky Deck) ¶ 6;
id.,
Ex. 5 (Tyler Deck) ¶ 6, but whether the public interest favors disclosure of some parts of the records. And that balancing cannot be properly conducted based upon the vague assertions provided by the defendant, as greater detail concerning the content of each record is needed to determine whether that information is exempted from disclosure. This particularized examination is required because Exemption 6 is not one of the exemptions that inherently shields records in their entirety,
see, e.g., Billing-ton v. U.S. Dep’t of Justice,
Therefore, with respect to records 78-80, while the Court again does not dispute that the names of the individuals involved in the investigations, as well as their contact information may be withheld for privacy reasons, the defendant has failed to establish that the withheld records contain exclusively such information, or that no other information in the records can be segregated from the personally identifying information in order that redacted disclosures can be made. Upon the representations currently before the Court, the only conclusion the Court can reach in light of the presumption in favor of disclosure is that redacted versions of the records must be disclosed.
4. Exemption 7(A)
Under the FOIA, agencies are authorized to withhold “records of information compiled for law enforcement purposes, but only to the extent that production of such law enforcement records or information could reasonably be expected to interfere with enforcement proceedings.” 5 U.S.C. § 552(b)(7)(A). In order to justify the withholding of records an agency must show that (1) a law enforcement proceeding for which the records were compiled is pending or reasonably prospective and (2) that the release of the information could reasonably be expected to cause some articulable harm. In crafting this Exemption, “Congress recognized that law enforcement agencies had legitimate needs to keep certain records confidential, lest the agencies be hindered in their investigation or placed at a disadvantage when it came time to present their cases.”
Alyeska Pipeline Serv. Co. v. EPA,
The defendant maintains that documents 9 and 16-18 are exempt from disclosure pursuant to Exemption 7(A).
See
Def.’s Reply, Ex. 9. According to the
Vaughn
index, these records consist of e-mails between employees of the defendant related to employment leave requests, an internal investigation, and a recommendation for employee discipline.
Id.
The defendant contends that it is justified in withholding these records because they derive from “the Division of Enforcement’s and the
The plaintiff counters that the defendant has not carried its burden under Exemption 7(A) because an internal audit of the defendant’s practices concluded that the defendant overuses Exemption 7(A) to withhold records from FOIA requesters. Pl.’s Mem. at 29. The plaintiff contends that the categories of the withheld documents designated by the defendant are arbitrary, overbroad, and lack the requisite specificity to warrant their non-production.
Id.
at 33. The plaintiff asserts that the defendant has not sufficiently articulated “any potential nexus between disclosure and any potential harm to an enforcement proceeding” sufficient to justify the withholding of records in their entirety.
Id.
at 34. Finally, the plaintiff contends that because the defendant produced documents related to him during the discovery process in ongoing litigation between the parties in Texas,
see SEC v. Cuban,
Exemption 7(A) only justifies withholding records compiled for law enforcement purposes for a limited time while an investigation is ongoing. 5 U.S.C. § 552(b)(7)(A). And it is with respect to Exemption 7(A) that the defendant makes its most detailed submission in support of its non-production of responsive records. Whatever the merits to the plaintiffs assertions that the defendant has in the past overused its reliance on Exemption 7(A), it cannot be assumed that such past practice casts doubt upon its reliance on Exemption 7(A) in this case. It also cannot be concluded, as the plaintiff urges, that because records produced in the Texas litigation might be the same records as those that were not produced here renders the defendant’s reliance on Exemption 7(A) irrational. As the Court indicated in its earlier discussion regarding the adequacy of the defendant’s search, the law is clear that an agency’s search “need not be perfect, only adequate, and adequacy is measured by the reasonableness of the effort in light of the [plaintiffs] specific request,”
Meeropol,
Indeed, the Court finds that because the investigation is ongoing Exemption 7(A) may be properly relied upon by the defendant to withhold records 9 and 16-18; the defendant’s showing is sufficient even though it has not specifically described the basis for the non-disclosure in each instance, because extensive specificity is not required for Exemption 7(A) where providing such detail would undermine the precise reason for the non-disclosure.
Juarez v. Dep’t of Justice,
5. Exemption 7(C)
Exemption 7(C) is designed to protect the personal privacy interests of individuals named or identified in “records or information compiled for law enforcement purposes,” to the extent that their disclosure “could reasonably be expected to constitute an unwarranted invasion of personal privacy.” 5 U.S.C. § 552(b)(7)(C);
10
see
also U.S. Dep’t of Justice v. Reporters Comm. for Freedom of the Press,
Stated in alternative terms: “[W]hether disclosure of a private document under Exemption 7(C) is warranted must turn on the nature of the requested document and its relationship to ‘the basic purpose of the Freedom of Information Act to open agency action to the light of public scrutiny,’ rather than on the particular purpose for which the document is being requested.”
Reporters Comm.,
The defendant maintains that documents 9, 16-18, and 78-80 are exempt from disclosure pursuant to Exemption 7(C). See Def.’s Reply, Ex. 9. These records consist of e-mails authored by employees of the defendant concerning employment leave requests, an internal agency investigation, and a recommendation for employee discipline. Id. According to the defendant, it has properly withheld these records pursuant to Exemption 7(C) because the records are “law enforcement records, either from an OIG investigation or from a securities enforcement investigation,” and the privacy interests of the persons involved outweigh any interest in public disclosure of the records. Def.’s Mem. at 21. According to the defendant’s declarant, the Deputy Inspector General in the Office of Inspector General of the Securities and Exchange Commission, who is familiar with these records, the internal SEC e-mail communications were withheld because their disclosure could interfere with an ongoing investigation by informing someone external to the investigation of the identity of individuals who have been interviewed, what documents have been requested, what sources of information exist, and what information the agency considers relevant to the investigation. Def.’s Mem., Ex. 7 (Frangipane Decl.) ¶ 9(B). The declarant states that records 9 and 16-18 were withheld because they contain information related to an ongoing OIG investigation into internal misconduct by SEC employees. 11 Id. ¶ 11.
The plaintiff contends that the defendant’s reliance on Exemption 7(C) to withhold these records in their entirety is improper because it has not shown that its investigation includes anything other than ordinary monitoring of its employees, Pl.’s Mem. at 28, nor has the defendant established that any resulting invasion of privacy is “clearly unwarranted” when balanced against the public interest as required by 5 U.S.C. § 552(b)(6), Pl.’s Reply at 18. The plaintiff further contends that the defendant has not made a showing that any information in the records exempt from disclosure under Exemption 7(C) cannot be segregated from the remainder of the records. PL’s Mem. at 28.
The first point to consider is that the request in this case involves one individual seeking records regarding another individual. But what distinguishes the facts in this case from those in
Reporters Committee,
where a requester sought the disclosure of the rap-sheet (the criminal record) of another private individual,
Simply, the defendant has not justified withholding the remainder of the information likely contained in the records. Nothing in the defendant’s proffer assists the Court in assessing why redacting the names and any other identifying characteristics of the persons involved in the OIG investigations will not adequately protect the privacy interests at stake, a finding that the Court must be able to make to sanction a complete withholding.
See Stolt-Nielsen Transp. Grp. Ltd.,
C. The Privacy Act
The Privacy Act authorizes individuals to bring suit to challenge an agency’s refusal “to comply with an individual request” for the production of records concerning the requester. 5 U.S.C. § 552a(b), (g)(1). The defendant’s Privacy Act regulations require an agency to either grant or deny access to the record(s) requested “within 30 days,” and if a request is denied, to communicate that denial to the requester. 17 C.F.R. § 200.304(c)-(d) (2007).
The defendant contends that the plaintiff “has no right of access to the documents he seeks under the Privacy Act” because they are investigative records exempt from disclosure pursuant to 17 C.F.R. § 200.313, and therefore the defendant did not waive its right to withhold the records even if it failed to respond to the plaintiffs request.
See
Def.’s Mem. at 33; Def.’s Reply at 17. The plaintiff responds that because the defendant “never acknowledged [his] Privacy Act request, never responded to his Privacy Act request, never informed him that access to his records under the Privacy Act was denied or why access was denied, and never advised him of his right to appeal the SEC’s denial of access,” it cannot now for the first time
While it does appear that the defendant’s compliance with the Privacy Act was less than clear, the defendant did state that it was withholding records responsive to the categories that the plaintiff sought in his request letter pursuant to the FOIA and the Privacy Act,
see, e.g.,
Def.’s Mem., Ex. 1 (Winter Deck), Attach. D (Feb. 5, 2009 Letter from Mark P. Siford to David Ross) at 1 (indicating the defendant was withholding records responsive to categories 2 (“[rjeeords which mention or relate to Mr. Cuban”) and 5 (“[rjeeords relating to Mr. Cuban’s Wells Submission dated September 21, 2007”) of the plaintiffs Request Letter II). Although the Court does not condone evolving positions seemingly formulated during the course of litigation that surprises the opponent, given the state of the record the defendant’s position does not appear to vary materially from its original stance taken during the administrative process. Thus, even though it appears that the defendant did not explicitly rely upon 17 C.F.R. § 200.313, as it now does, the agency is nonetheless entitled to refine its position.
See Barnard v. Dep’t of Homeland Sec.,
D. The Defendant’s Request to Bifurcate and Stay the Plaintiffs Remaining Three Requests
Under the FOIA, an agency receiving a request must determine whether to comply with the request within 20 working days. See 5 U.S.C. § 552(a)(6)(A)®. The Court may, however, “allow the agency additional time to complete its review of the records” upon a showing that “exceptional circumstances exist and that the agency is exercising due diligence in responding to the request.” § 552(a)(6)(C)®. The defendant here seeks three additional years to respond to the plaintiffs request, which involves the review of 107 boxes of documents. Def.’s Mot. to Stay at 2. The plaintiff, understandably, takes the position that the request for a three-year stay is unreasonable and unsupported by the record. Pl.’s Opp’n to Stay at 2.
The defendant has explained in great detail the extent of the demands it is experiencing responding to the plaintiffs requests and requests like it from other requesters.
See generally
Def.’s Mot. to Stay, Ex. 1 (Declaration of Margaret Celia Winter). Those demands include thousands of requests and the resultant review of large volumes of documents, a task divided among roughly only two dozen SEC employees and forty “FOIA Liaisons within the agency’s various offices and divisions.”
Id.
¶¶ 6-11, 21. Requests are generally responded on a first-in, first-out track.
Id.
¶¶ 14-15. Despite these representations, three years is an extraordinarily long period of time for the plaintiff to await the production of all records responsive to his FOIA request. Also, given the time that has elapsed since this case was initiated (over fifteen months ago) and when the defendant’s motion to stay was filed (over seven months ago); the significant progress the defendant represents it
For the foregoing reasons, the Court finds that both parties’ cross-motions for summary judgment must be granted in part and denied in part. 13 Specifically, the Court finds that the defendant’s search for records responsive to categories 7, 11, 12, and 13 of Request Letter I was inadequate. Also, the defendant’s reliance on Exemptions 2 and 6 to withhold records 78-80, and Exemption 7(C) to withhold records 9, 16-18, and 78-80, is not sufficiently substantiated to meet its burden to withhold these records in their entity. The same is true in regard to the assertion of Exemption 5. The defendant has also failed to satisfy its burden of showing that records 11, 13, 21, 25-26, 29, 32, 34-35, 37, 39, 41-44, 53, 55, 57 59, and 61-63 may be withheld under the attorney-client privilege; records 1-3, 9, 11, 13-15, 17, 19, 21-22, 25-29, 32-35, 37-46, 48-57, 59-64, 69, 71, and 73-76 may be withheld under deliberative process protection; or records 10-11, 13-15, 18-29, 31-46, 48-64, and 77 may be withheld under the attorney work-product privilege. On the other hand, the Court finds that the defendant has established that records 9 and 16-18 may be withheld under Exemption 7(A) during the pendency of the ongoing investigation; however, given the passage of time since that exemption was first invoked, at the hearing the Court will conduct in this matter the defendant should be prepared to establish by the testimony of representatives involved in the investigation whether the investigation is still ongoing, as well as the anticipated duration of the investigation. Moreover, to the extent that the Court has found that the defendant cannot rely on an exemption to withhold a record in its entirety, the defendant is obligated by the FOIA to produce a complete or redacted version of the record to the plaintiff, and must do so forthwith. Finally, the Court finds that it must deny without prejudice the defendant’s motion for a three-year stay of this litigation pending its production of responsive records, and that at the hearing the Court will conduct, it will determine how much additional time, if any, the defendant is entitled to receive to complete the processing of the plaintiffs FOIA requests.
Notes
. The Court also considered the following submissions in ruling on the motions: Defendant's Memorandum of Law in Support of Its Motion for Partial Summary Judgment ("Def.'s Mem.”); Plaintiff's Memorandum of Law in Opposition to Defendant Securities and Exchange Commission’s Motion for Partial Summary Judgment and in Support of Plaintiff's Cross-Motion for Summary Judgment ("Pl.’s Mem.”); Defendant's Reply to Plaintiff's Response to Defendant's Motion for Partial Summary Judgment and Response to Plaintiff's Cross Motion for Summary Judgment ("Def.’s Reply”); Plaintiff’s Reply to Defendant Securities and Exchange Commission's Response to Plaintiff's Cross-Motion for Summary Judgment ("Pl.'s Reply”); Notice of Filing of Defendant’s Statement of Material Facts as to Which There is No Genuine Issue, Pursuant to Local Rule 7(h) in Support of Defendant's Motion for Partial Summary Judgment ("Def.’s Stmt.”); Plaintiff's Statement of Material Facts as to Which There is No Genuine Issue ("Pl.'s Stmt.”); Plaintiff Mark Cuban’s [Proposed] Statement of Genuine Issues in Response to the SEC’s Statement of Material Facts and in Opposition to the SEC's Motion for Partial Summary Judgment; Response of the Securities and Exchange Commission to Plaintiff’s Statement of Material Facts as to Which There is No Dispute; Memorandum of Points and Authorities in Support of Defendant’s Motion to Bifurcate and Stay Proceedings ("Def.'s Mem. re Stay”); Plaintiff Mark Cuban’s Memorandum of Law in Opposition to Defendant Securities and Exchange Commission’s Motion to Bifurcate and Stay Proceedings; and Defendant’s Reply to Plaintiff’s Opposition to Defendant’s Motion to Bifurcate and Stay Proceedings.
. If necessary, the Court will obviously permit government counsel to make these representations to the Court ex parte.
. Although not numbered, the categories of records sought will be referred to in the order in which they were set forth in the request letters.
. The plaintiff promptly authorized the defendant to incur the cost of processing and reviewing the records on September 25, 2009. Pl.'s Mem., Ross Decl., Ex. 5 (Sept. 25, 2009 Letter from David M. Ross to Mark P. Siford).
. It was the July 29, 2009 remand for further searching that prompted the additional potentially responsive records identified by the defendant in its September 22, 2009 letter. See Pl.’s Mem., Ross Decl., Ex. 4; see also Def.’s Mem., Ex. 1 (Winter Decl.), Attach. N.
. Upon appeal, the defendant also concluded that its previous reliance under Exemption 7(A) to withhold records pertaining to one investigatory matter was no longer viable given that the investigation had concluded, but the defendant indicated that it would still review the records to determine if other Exemptions applied. Id., Ex. 1 (Winter Decl.), Attach. J at 3-4
. Given that the SEC’s correspondence with the plaintiff are arguably vague as to whether the plaintiff was appraised that he had the right to appeal — the plaintiff was advised that he had "the right to appeal the adequacy of [the] search or finding of no responsive information” but not specifically that he could appeal the defendant’s determination that it "[had] no means to conduct a reasonable search for [records referenced in categories 7, 11, 12, and 13 of Request Letter I],” Def.’s Mem., Winter Decl., Attach. C at !• — and also given that the defendant subsequently responded to those production requests, albeit in the highly disfavored manner of responding in its reply brief, the Court may, under these circumstances, nonetheless decide the merits of the plaintiff’s FOIA claims even though he did not appeal the defendant’s initial failure to search for the records.
Wilbur
v.
CIA,
. Explaining why the search was limited to "whether the OIG had any documents responsive to Request Nos. 1-7, 9, 11, 12, and 13” of Request Letter II, the declarant also indicates that she was not "aware of any other source within the OIG that is likely to contain any additional information or documents responsive to these requests.” Def.’s Reply, Ex. 13 (Frangipane Suppl. Decl.) ¶¶ 4-5.
. Moreover, while the Court finds the defendant’s explanation concerning the adequacy of this search insufficient and therefore need not reach the question of whether the SEC's employees' privacy interest in their securities trades trumps the plaintiff’s right to disclosure of this information, it does seem odd for the defendant to claim that its employees have a privacy interest in their securities ownership when the SEC publishes the names of certain shareholders of public companies through its Electronic Data Gathering, Analysis, and Retrieval System (commonly referred to as “EDGAR”). But that explanation will be left for a later date.
. It bears noting that while similar, the reach of the privacy interest protected under Exemption 7(C) is much broader that the reach of Exemption 6.
See Nat'l Archives & Records Admin. v. Favish,
. Records 9 and 16-18 do not relate to an investigation conducted by the Office of Human Resources. Def.’s Reply, Ex. 11 (Tyler Suppl. Decl.) ¶ 4.
. In the event the defendant seeks reconsideration of any ruling in this Opinion with respect to the records not yet produced, and proffers additional declarations or other evidence upon which its position is based, the following observations are noted. As the Court has indicated throughout this Opinion, most of the defendant’s representations were extremely limited, vague, and conclusory as to its reliance on Exemptions 2, 5 (with respect to the attorney-client privilege, the deliberative process privilege, and the attorney work-product doctrine), 6, 7(A) and 7(C), and it was the defendant’s failure to provide proper justification for its withholding of records that resulted in summary judgment being partially entered for the plaintiff. For example, while two declarations submitted with respect to the adequacy of the defendant's search (an issue on which the
plaintiff
bore the burden of proving unreasonable) contained 157 paragraphs and 18 paragraphs respectively, the defendant’s declarations with respect to the applicability of the multiple exemptions to the 80 different records listed in its
Vaughn
index (issues on which the
defendant
bore the burden to prove) ranged from 4 to 13 paragraphs (paragraphs that were frequently only a sentence or two in length, inclusive of the necessary foundational information relating to the declarant's employment status and competency). It was upon these minimally supported declarations that the defendant relied to satisfy its burden. In no way is the Court indicating that the defendant must bury the Court and the plaintiff in paper and finite detail to justify its invocation of a FOIA exemption. At the same time, however, the defendant can hardly expect to meet its burden with abbreviated and uninformative information that precludes the Court from independently evaluating the merits of the defendant’s positions. In many cases the defendant chose to merely group together multiple documents into general subject areas and universally asserted the applicability of exemptions to those records, rather than distinguishing the content of specific records, which is necessary to establish that redactions are unwarranted or impossible. The purpose for requiring a
Vaughn
index is to provide courts with more than just "conclusoty and generalized allegations of exemptions,”
Campaign for Responsible Transplantation
v.
Food & Drug Admin.,
It is also worth noting that while the Court at this juncture is declining to conduct
in camera
review of disputed records, it may in the future decide that such review is necessary.
In camera
review is unnecessary at this point not because the Court can make a determination on whether the records can be released based on the descriptions provided, but because most of the defendant's descriptions are woefully inadequate. And the Court cannot permit an agency to transfer the burden
district court to determine on remand whether more detailed affidavits are appropriate or whether an alternative such as in camera review would better strike the balance between protecting sensitive foreign relations information and disclosing non-exempt information as required by the FOIA.”)
. The Court will issue an Order consistent with this Memorandum Opinion.
