MEMORANDUM AND OPINION
Plaintiffs International Counsel Bureau and Pillsbury, Winthrop, Shaw, Pittman, LLP (collectively, “ICB”) bring this action against the United States Central Intelligence Agency (“CIA” or “the Agency”) and others, pursuant to the Freedom of Information Act (“FOIA”), 5 U.S.C. 552 et seq., seeking records pertaining to four individuals allegedly detained (or previously detained) at Guantanamo Bay Naval Base, Cuba. Plaintiffs pursue several FOIA requests to the CIA and other agencies seeking (a) records containing references to or reflecting the terms of the U.S. government’s policies and practices relating to the transfer or release of detainees held at Guantanamo and (b) records relating to four current and former detainees at Guantanamo: Fawzi Khaled Abdullah Fa-had Al Odah, Khalid Abdullah Misha’al Al-Mutairi, Fouad Mahmoud Al Rabiah and Fayiz Mohammed Ahmed Al Kandari (“detainees”). Now before this Court is the CIA’s motion for partial summary judgment and the plaintiffs’ cross-motion for summary judgment with respect to ICB’s request to the CIA for detainee-specific records. At issue is whether the CIA properly issued a “Glomar” response to ICB’s FOIA request for records concerning the detainees, neither confirming nor denying the existence of responsive records.
BACKGROUND
ICB has made a series of FOIA requests to several agencies in this action, as well as a related action before this Court, International Counsel Bureau v. U.S. Dep’t of Defense, 08-cv01068 (JDB), seeking records relating to the four aforementioned detainees. However, the Agency’s partial summary judgment motion and ICB’s cross-motion for summary judgment concern only the propriety of the CIA’s “Glomar” response to ICB’s requests for information, as set forth in paragraphs 65-66 of the amended complaint. 1 Accordingly, this Memorandum Opinion addresses only the FOIA requests at issue in these motions.
On September 4, 2009, ICB submitted two FOIA requests to the CIA. The first request sought:
*265 Any and all records relating to or reflecting any alleged breaches or violations by the Detainees of any governing rules of discipline and/or behavior during their detention by the United States Government (“USG”). This request includes, but is not limited to, records related to any disciplinary actions taken by personnel in response to such breaches.
Any and all records relating to or reflecting any investigations into alleged abuse or mistreatment of any of the Detainees while under the control of the USG. This request includes, but is not limited to, records related to any disciplinary actions taken against USG personnel for engaging in such abuse or mistreatment.
[a]ny recording, including any image, photograph, picture, film, drawing, painting, video, videotape, tape recording, audiotape, CD, or DVD, depicting or reflecting the image, likeness, voice, audible action, or any other aspect or activity of any [of the four detainees].
Am. Compl. ¶ 65; see also Ex. A to Declaration of Ralph S. DiMaio, Information Review Officer for the National Clandestine Service, CIA (“DiMaio Decl.”).
The CIA responded by letter dated September 23, 2009, indicating that plaintiffs had submitted a previous request for information related to the four individuals, which had already been denied. See Ex. B to DiMaio Decl. ICB subsequently asked that the CIA treat the September 4, 2009 FOIA request as a new request, rather than an appeal. In a reply letter, the CIA agreed but also denied the FOIA request itself, informing plaintiffs that:
[i]n accordance with section 3.6(a) of Executive Order 12958, as amended, the CIA can neither confirm nor deny the existence or nonexistence of records responsive to your request. The fact of the existence or nonexistence of requested records is currently and properly classified and is intelligence sources and methods information that is protected from disclosure by section 6 of the CIA Act of 1949 as amended. Therefore, your request has been denied pursuant to FOIA exemptions b(l) and b(3).
Ex. D to DiMaio Decl. ICB had also submitted another FOIA request seeking “a complete set of medical records and / or psychological records ...” relating to Fouad Mahmoud Al Rabiah and Fayiz Mohammed Ahmed Al Kandari. Ex. G to DiMaio Decl. The CIA denied this request as well, and issued exactly the same response as quoted above. See Ex. H to DiMaio Decl. The CIA now moves for partial summary judgment with respect to the appropriateness of its “Glomar” response to both requests. ICB opposes the CIA’s motion, challenging the CIA’s invocation of Exemptions (b)(1) and (b)(3) as the basis for its “Glomar” response, and also cross-moves for summary judgment, contending that the CIA’s search was inadequate; ICB requests that this Court order the CIA to conduct an adequate search of all its department and staff functions.
STANDARD
Under Rule 56 of the Federal Rules of Civil Procedure, summary judgment is appropriate “if the pleadings ... 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). Material facts are those that “might affect the outcome of the suit under the governing law.”
Anderson v. Liberty Lobby, Inc.,
FOIA requires a federal agency to release all records responsive to a proper request except those protected from disclosure by one or more of nine enumerated exemptions set forth at 5 U.S.C. § 552(b). A district court is authorized “to enjoin [a federal] agency from withholding agency records or to order the production of any agency records improperly withheld from the complainant.” 5 U.S.C. § 552(a)(4)(B);
see Kissinger v. Reporters Comm. for Freedom of the Press,
DISCUSSION
I. Propriety of “Glomar” Response
In response to ICB’s request for records, the CIA stated that it could neither confirm nor deny the existence or nonexistence of the information sought by ICB, citing Exemptions (b)(1) and (b)(3). Such a response by an agency in a FOIA case is called a “Glomar” response.
See Phillippi v. CIA,
In support of its partial summary judgment motion, the CIA submitted a declaration from Ralph S. DiMaio, the Information Review Officer for the National Clandestine Service (“NCS”) of the CIA. In this declaration, the CIA argues that it can neither confirm nor deny the existence or nonexistence of records on a particular foreign national in order “to safeguard intelligence sources and methods, as well as U.S. foreign relations.” See DiMaio Decl. ¶¶ 14, 16. The CIA states that the mere confirmation or denial of the existence of responsive materials would reveal a classified fact — namely, whether the CIA has gathered information on the specific foreign national. Id. ¶ 14.
ICB challenges the CIA’s invocation of a “Glomar” response under both Exemptions 1 and 3 and the sufficiency of the DiMaio declaration. ICB argues that the CIA failed to perform an adequate search because (1) it failed to search other directorates beyond the NCS; (2) it did not describe its method of record-keeping; and (3) it did not explain why a search of other directorates outside of NCS would only produce information properly subject to a “Glomar” response. Pis.’ Mem. in Support of Pis.’ Opp. to Defs Mot. for Partial Summ. J. and Pis.’ Cross-Mot. for Summ. J. (“Pis.’ Mem.”) [Docket Entry Nos. 27 and 28] at 1-2. ICB also asserts that “the CIA made no showing that acknowledging the existence or nonexistence of the requested documents in its files would reveal any information about its classified activities, given the nature of the requests and the ... ways in which the documents could have landed in the CIA’s files.” Id. Finally, ICB contends that a “Glomar” response is inappropriate here because the government “has publicly acknowledged that the Kuwaiti detainees are (or were) detained in ... Guantanamo ... and the CIA itself has acknowledged that the agency is active at that prison.” Id. at 2. Because the question of the CIA’s acknowledged interest in the detainees, as well as the adequacy of the CIA’s search for information responsive to ICB’s FOIA requests, hinges on whether the CIA properly invoked a “Glomar” response, the Court must resolve whether the CIA was entitled to invoke a “Glomar” response under either exemption claim.
A. Exemption 1
FOIA’s Exemption 1 permits agencies to withhold records if they are “(A) specifically authorized under criteria established by an Executive order to be kept secret in the interest of national defense or foreign policy and (B) are in fact properly classified pursuant to such Executive order.” 5 U.S.C. § 552(b)(1). To show that it has properly withheld information under FOIA Exemption 1, an agency must show both that the information was classified pursuant to the proper procedures and that the withheld information meets the standard for classification.
See Salisbury v. United States,
*268
The CIA relies on Executive Order 12,958,
2
as amended by Executive Order 13,292, to support its invocation of Exemption 1. Executive Order 12,958 allows an original classification authority to classify information only if “the original classification authority determines that the unauthorized disclosure of the information reasonably could be expected to result in damage to the national security,” and where such damage can be identified or described. 60 Fed. Reg. 19,825, 19,826 § 1.2(a)(4). However, only certain types of information can be exempted from disclosure pursuant to Executive Order 12,-958. Such information includes that characterized as concerning “intelligence sources or methods” or the “foreign relations ... of the United States,”
ICB disputes these claims in three ways. The crux of ICB’s first argument is that confirmation or denial by the CIA regarding its possession of documents relating to the Guantanamo detainees gives away nothing about the CIA’s methods or interest. See Pis.’ Mem. at 7. ICB contends that the records sought relate to “incidents of the detainees’ lives and their treatment by the U.S. government at the Guantanamo facility” and that such information “would not necessarily relate to intelligence collection by the NCS.” Id. at 7. In support of this point, ICB speculates that these documents “are (or may be) circulated among the various stakeholders at Guantanamo, or generated within the CIA as a matter of administrative routine.” Id. at 10. ICB observes that because “[t]he detainees are (or were) prisoners in a completely controlled environment, available to be photographed or recorded ... at any time, for any purpose,” id. at 11, confirmation or denial by the CIA that it possesses certain documents about the detainees “does not reveal the target of the investigation, the type of abuse, or the existence or nonexistence of CIA’s specific foreign intelligence activities,” id. at 12. The second argument ICB advances is premised on the sufficiency of the declaration submitted by Mr. DiMaio. ICB argues that the declaration fails adequately to describe the risks to national security raised by the FOIA requests at issue. Id. at 7-12. Instead, ICB claims, the CIA simply offers generalized national security concerns that are inapposite to this case. Id. at 7-12. Finally, as a third argument, ICB asserts that it is disingenuous for the CIA to refuse to confirm or deny an interest in the detainees because it is “well-known” that “the U.S. Government has ... an intelligence interest in these detainees,” *269 and points to “their presence in a military prison ... after being captured in war-torn Afghanistan” as a “clear indication of the government’s interest.” Id. at 7, 12.
The Court is mindful of its duty to “determine the matter
de novo
” and that declarations by the CIA should be evaluated to ensure that they provide “reasonably specific detail” to justify an agency’s response to a FOIA request. But, at the same time, the Court must also acknowledge the substantial weight accorded to agency affidavits with respect to the classified status of a record.
See Salisbury,
Here, the CIA provided “reasonably specific detail” about the classified nature of the information, as well as the harm to national security and the adverse effect on foreign relations if the CIA was required to confirm or deny the existence of any records about the specific detainees at issue. The CIA stated that its “clandestine intelligence interest in a specific individual represents an intelligence activity, source, and/or method” and that “official acknowledgment that the CIA maintains information concerning a particular foreign national” could lead to the perception that the CIA has collected intelligence information on a citizen or resident alien, which could adversely affect U.S. foreign relations with that nation. DiMaio Decl. ¶¶ 23, 30. The CIA explained that it benefitted from the uncertainty operatives had of not knowing when or how they are being monitored by the Agency and that revealing this information by confirming or denying records would disclose to a foreign intelligence service the CIA’s capabilities and interests. Id. ¶ 24. In addition, once an intelligence method, and the fact of its use in a certain situation, is discovered, its use by the CIA in the future is “seriously jeopardized.” Id. ¶ 26. Moreover, foreign intelligence services could use information about the CIA’s interest as a way to determine how to allocate their own resources in circumventing the CIA, including identifying potential CIA sources, which would “thwart” the CIA’s intelligence-gathering efforts and make them “more difficult ... resulting in a loss of valuable intelligence information.” Id. ¶ 27.
The Agency detailed the harms that could result from confirming that it kept records for these detainees. It .stated that admission by the CIA that it possessed intelligence information would alert the foreign national, other associates, successors, and foreign intelligence services, that CIA intelligence methods had been applied against that national, and that such parties could then take countermeasures to identify and frustrate the CIA’s intelligence gathering methods, making future activities undetectable by the CIA. Id. ¶ 17. The CIA also stated that collaborators of a foreign national, once alerted that the CIA takes a specific interest in a foreign national, could cease engaging in certain activities, with negative results for the CIA. Id. ¶ 17. Furthermore, “clandestine human sources” who had given the CIA information on the foreign national could be detected, suffer retaliation, and stop giving information. Id. ¶ 17.
The CIA then described the harms that could result from denying the existence of records relating to these detainees. The CIA explained that its denial would essentially admit to that national, his or her associates and successors, as well as foreign intelligence services, that efforts to conceal any activities from the CIA had *270 been successful. This would, in turn, alert others that the CIA’s intelligence methods had been defeated, and the pattern of successful concealment could be continued to the CIA’s detriment. Id. ¶ 18. 3
By admitting it had intelligence information about a certain foreign national, the CIA would essentially “disclos[e] to our adversaries the specific persons and areas in which CIA is interested, and upon which it focuses its methods and resources,” id. ¶ 20, giving “information to foreign intelligence operatives about which activities the CIA can and cannot monitor, and the sources or methods by which CIA obtained intelligence on that person,” id. ¶ 24. Mr. DiMaio also stated that he had determined “that official acknowledgment that the CIA maintains information containing a particular foreign national could be construed by the foreign government ... to mean that CIA has collected intelligence information on or recruited one of its citizens or resident aliens.” Id. ¶ 30. An official acknowledgment that the CIA maintains information about a particular individual could also constitute an admission that the CIA has collected, or intends to collect, information on specific foreign targets during specific time periods. Id. ¶ 31. According to the CIA, if its interest in the foreign national was publicly acknowledged, then countries where that foreign national lived or visited could respond negatively to the U.S. in reaction to this disclosure, either diplomatically, economically, or in the form of “anti-American propaganda,” or use such information as “a reason for retaliation against former associates, including American citizens or other American interests.” Id. ¶ 31. The Agency also stated that this harm could be magnified if a “foreign intelligence service were to submit multiple FOIA requests,” ie., for information regarding all nationals suspected of being CIA collaborators, and the CIA was forced to respond. This would give the foreign intelligence service information to greatly aid it in eliminating the CIA’s intelligence network in that country. Id. ¶ 19. In addition, the CIA distinguished its intelligence interest in particular “high value detainees” from the present circumstance, noting that its disclosures of an interest in those detainees did not constitute an official acknowledgment of the existence or nonexistence of specific information on any other foreign national, including the four Kuwaiti detainees here. Id. ¶ 31 n. 6.
Although ICB attacks the sufficiency of the CIA’s showing that the requested information is covered by Exemption 1, and that disclosure of such information would constitute the harm that Exemption 1 was meant to safeguard against, this Court finds that the DiMaio declaration was “reasonably detailed” to support the CIA’s invocation of a “Glomar” response based on Exemption l.
4
As the D.C. Circuit not
*271
ed in Wolf, “any ... agency statement of threatened harm to national security will always be speculative to some extent, in the sense that it describes a potential future harm.”
Wolf,
ICB has neither alleged nor established that the CIA keeps records on
all
detainees or, more specifically, the records requested here, including, among other things, information on disciplinary violations, medical records, and images or recordings of detainees. For the CIA to state, then, that it has records about a detainee — including his or her detention conditions, or any recordings or images (among other things) of the likeness of the detainee — would indicate an interest in that particular detainee that could have ramifications with respect to national security or U.S. foreign relations. Similarly, to state that no such records exist about that detainee could alert others that the CIA has no interest, which would also unwittingly provide information to foreign intelligence services, and other individuals, about the CIA’s intelligence methods, interests, and capabilities.
5
See Subh v. CIA
Although ICB disputes the CIA’s assessment of the potential harm resulting from the CIA’s confirmation or denial of the existence of records for the four named detainees, ICB has not provided any convincing evidence indicating that the CIA has already acknowledged the existence of CIA records (or even an interest) regarding the detainees in question, nor does ICB allege that the CIA’s declaration was submitted in bad faith.
See Riquelme,
ICB suggests that the similarities between the DiMaio declaration and the declaration submitted in
Wolf
should prompt this Court to take a skeptical view of the CIA’s reliance on national security concerns to support its invocation of a “Glo-mar” response here. The Court finds no reason to do so. The D.C. Circuit has rejected a similar argument by plaintiffs that courts should require more explanation from agencies that use similar, or even the same, language in their affidavits submitted to support claimed FOIA exemptions.
Larson v. Dep’t of State,
Likewise, the similarity of Mr. DiMaio’s declaration to the one submitted in
Wolf
does not alarm this Court. To the contrary, it reassures the Court in its determination that the Agency’s “Glomar” response was appropriately invoked. In
Wolf,
the district court found the CIA’s “Glomar” response adequately supported by its declaration, which cited very similar reasons to those advanced before this Court as to why confirmation or denial by the CIA that it had records about a specific foreign national would threaten national security.
See Wolf v. CIA
Absent other compelling reasons, mere similarities between declarations do not prompt this Court to second-guess the CIA’s reasons, as established in the DiMaio declaration, that the existence or nonexistence of records kept by the CIA on a foreign national is classified information and that disclosure would create a harm to national security or U.S. foreign relations. Indeed, although not dispositive here, the Court also notes that the CIA has pointed to the need for consistency in the Agency’s policy on the treatment of FOIA requests for as-yet-undisclosed records about foreign nationals, so it is not surprising to see similarities in the reasons given by the Agency for why a “Glomar” response is necessary in such circumstances. Hence, having considered the parties’ arguments and the record herein, the Court finds that the Agency’s “Glo-mar” response was appropriately supported under Exemption 1.
B. Exemption 3
The CIA’s showing under Exemption 1 is sufficient to uphold its “Glomar” response, but the Agency also claims that ICB’s FOIA requests fall within Exemption 3, by virtue of section 102A(i)(l) of the National Security Act of 1947 (“NSA”), as amended, 50 U.S.C. § 403-l(i)(l) and section 6 of the Central Intelligence Act of 1949 (“CIA Act”), as amended, 50 U.S.C. § 403(g). To determine whether the CIA’s “Glomar” invocation can be sustained under Exemption 3, the Court considers whether the statutes invoked are ones contemplated by Exemption 3, and whether the withheld material satisfies the criteria of the particular statute. 5 U.S.C. § 552(b)(3);
see also CIA v. Sims,
As with the Exemption 1 claim, the CIA relies on the DiMaio declaration to support its claim that the “Glomar” response is warranted under Exemption 3. ICB, for its part, concedes that the National Security Act is a “withholding statute” for Exemption 3 purposes. Pis.’ Mem. at 16. However, as with its challenge to the CIA’s “Glomar” response under Exemption 1, ICB argues that the CIA’s “Glomar” response under Exemption 3 is inadequately supported.
As an initial matter, the provisions of the NSA and the CIA Act cited by the Agency plainly are statutes contemplated by Exemption 3.
See Subh,
The Court also finds that the CIA’s invocation of these statutes to support its “Glomar” response under Exemption 3 was proper, for the same reasons described in the Exemption 1 discussion above.
See Wolf,
II. The CIA’s Known Interest in Guantanamo Detainees
ICB states that it is not challenging the CIA’s invocation of a “Glomar” response on waiver grounds, but it also claims that the “Glomar” response is not justified because “[i]t is not a secret” that the detainees were in the U.S. government’s custody at Guantanamo. Pis.’ Mem. at 13. To avoid any doubt, the Court will address why ICB’s reliance on the known interest by the U.S. government in Guantanamo detainees, whether characterized as a “waiver” argument or otherwise, is unavailing.
ICB cites the “repeated[] acknowledgment” by the Department of Defense, in related litigation regarding other ICB FOIA requests, that it has an intelligence interest in the Kuwaiti detainees; that, ICB argues, demonstrates that the CIA, in turn, has already acknowledged an intelligence interest in the detainees, and hence should bar the use of a “Glomar” response with respect to those same individuals. See id. at 13. ICB further states that the CIA “has acknowledged an intelligence role” at Guantanamo and that the CIA’s involvement in Guantanamo is widely and publicly known. To support its position, ICB refers to the following: (1) an interview with Charlie Rose where then-CIA Director Michael Hayden stated that Khalid Sheik Muhammad was in Guantanamo, and that the CIA “had made the judgment that the intelligence value of those individuals, the 14 that we moved there last September and the one additional person that we moved there this past year ... have degraded to the point that these other needs now take dominance”; (2) press accounts describing the operation of a CIA facility on the base itself; and (3) a Red Cross report stating that CIA medical personnel were participating in detainee interrogations. See Pis.’ Mem. at 14.
In order for the CIA to be precluded from asserting a “Glomar” response
*275
with respect to a request for records about the four detainees, the CIA must have officially acknowledged the existence of records regarding the same detainees. ICB has the burden of pointing to specific information in the public domain that duplicates the information being withheld.
Afshar v. Dep’t of State,
ICB has pointed to no evidence that the CIA has specifically acknowledged that it possesses records with respect to the four individuals who are the subjects of ICB’s FOIA requests. Instead, ICB references an interview with then-CIA Director Hayden about moving Khalid Sheikh Muhammad and several others to Guantanamo, but does not allege that the four Kuwaiti detainees in question here were among the other individuals referenced by the Director.
Compare Wolf v. CIA
ICB’s reliance on news articles and a report issued by the International Committee for the Red Cross is similarly unavailing. Pis.’ Mem. at 15. ICB attempts to use these sources to support its contention that “[t]he CIA is widely known as a stakeholder and participant in the operations of Guantanamo.” Pis.’ Mem. at 15. However, this is not information “made public through an official and documented disclosure.”
See Am. Civil Liberties Union,
Finally, ICB’s reliance on the Department of Defense’s disclosure of its own intelligence interest in the four detainees is also unavailing, since disclosure by one agency cannot be imputed to another agency.
See Frugone v. CIA,
III. Adequacy of Search
Having found that the CIA’s “Glomar” response was properly sustained under Exemptions 1 and 3, the Court turns to the issue of the adequacy of the CIA’s search. ICB makes much of the fact that the CIA’s declarant, Mr. DiMaio, is an Informational Review Officer for the NCS. It argues that his declaration must be construed as being limited to NCS-based records only; therefore, according to ICB, Mr. DiMaio is an inadequate spokesperson for the entire CIA. ICB also contends that all potentially responsive documents in the CIA’s possession could not possibly originate with, or implicate the interests of, NCS. Hence, ICB concludes that the CIA should be required to describe the structure of its file systems, both in-and-outside the NCS, and present the Court with sufficient information on the Agency’s systems of records to supports its claim that the “Glomar” response applies to all potentially responsive documents. See Pis.’ Mem. at 1, 4-6.
The CIA, for its part, responds that its choice of declarant is proper because NCS is responsible for, among other things, “conducting CIA’s foreign intelligence and counterintelligence activities ... conducting liaison with foreign intelligence and security services ... and coordinating CIA support to other federal departments and agencies.” DiMaio Deck ¶ 2; Def s Reply in Support of its Mot. for Partial Summ. J. and Opp. to Pis.’ Cross-Mot. for Summ. J. (“Def s Reply”) at 4. The CIA further contends that Mr. DiMaio, as Information Review Officer for NCS, is the proper declar-ant because he is both “familiar with this civil action and the underlying FOIA requests” and authorized “to conduct classification reviews and to make original classification and declassification decisions.” DiMaio Deck ¶¶ 1, 4, 5; see Def.’s Reply at 4.
The Court agrees with the CIA. The DiMaio declaration clearly states that as *277 NCS Information Review Officer, he coordinates CIA support to other federal departments and agencies, rather than just NCS-specific support. DiMaio Decl. ¶2 (emphasis added). In addition, DiMaio states that “[a]s a senior CIA official” he is “authorized to conduct classification reviews and to make original classification and declassification decisions.” DiMaio Decl. ¶ 4. The declaration does not indicate that Mr. DiMaio’s authority or his role is limited to NCS-specific documents. 8
More importantly, because the Court has already determined that the CIA’s “Glomar” response was appropriate under Exemptions 1 and 3, and was adequately supported by affidavit, review of the adequacy of the search is unnecessary.
Butler v. Drug Enforcement Admin.,
1:05-cv-01798 (JDB),
CONCLUSION
For the reasons detailed above, the Court will grant the CIA’s motion for partial summary judgment as to the appropriateness of its “Glomar” response with respect to paragraphs 65 and 66 of the plaintiffs amended complaint. For the same reasons, the Court will deny plaintiffs’ cross-motion for summary judgment on the adequacy of the CIA’s search. A separate Order accompanies this Memorandum Opinion.
Notes
. In paragraph 67 of its amended complaint, ICB also describes records it sought from the CIA "related to current U.S. policy and/or negotiations regarding Guantanamo Bay.” That FOIA request is not implicated in either the CIA’s motion for partial summary judgment or ICB's cross-motion, and hence the Court need not address that request to resolve the motions before it.
. Executive Order 12,958 and all amendments thereto have been superseded by Executive Order 13,526, 75 Fed. Reg. 707 (Dec. 9, 2009). The language relied on by the CIA, found in Executive Order 12,958, also appears in Executive Orders 13,292 and 13,526. For the sake of clarity, then, all citations are to provisions found in Executive Order 12,-958.
. ■ The CIA also stated that requests to the Agency on whether it maintains records on a particular foreign national "must be handled by neither confirming nor denying the existence of such records" in order for such a response to be effective, and that such consistency is "the only means by which CIA can protect the identities of actual sources and intelligence targets....” DiMaio Decl. ¶ 16.
. The DiMaio declaration submitted in support of this action contains greater detail than the one discussed by the D.C. Circuit in
Morley V. CIA.
. This Court agrees with the CIA that even the release of seemingly insignificant or benign information “could have, significant adverse effects when combined with other data.”
See
Def’s Mem. in Support of its Mot. for Partial Summ. J. at 12; DiMaio Decl. ¶ 28;
Fitzgib-bon,
. In
Valfells v. CIA,
a substantially similar declaration was submitted by Mr. DiMaio in support of the CIA’s “Glomar” response, although the CIA's ability to invoke a “Glomar” response was not at issue in that case. See
. The D.C. Circuit in Wolf noted that "agency waiver” is usually invoked “to overcome FOIA exemptions” and that the “official acknowledgment standard” had not yet been applied in the context of a "Glomar” response.
Wolf,
. As this Court previously noted, Mr. DiMaio, acting in the same capacity as he does in this case, submitted similar declarations in Val-fells and Subh to support the CIA’s "Glomar” response to certain FOIA requests.
