MEMORANDUM OPINION
The plaintiff brings this action alleging that the DNA Analysis Backlog Elimination Act of 2000, 42 U.S.C. § 14135b, (“the DNA Act”) and D.C.Code § 22-4151, which was enacted by the District of Columbia to implement in the District of Columbia the objectives of the DNA Act, violate the Fourth and Fifth Amendments to the United States Constitution; the Ex Post Facto Clauses of Article 1, sections 9 and 10 of the Constitution; the Health Insurance Portability and Accountability Act of 1996 (“HIPAA”), '42 U.S.C. §§ 1320d to d-8; and the International Convention of the Elimination of all Forms of Racial Discrimination (CERD). Complaint (“Compl.”) ¶¶ 14-20. The defendants, pursuant to Federal Rules of Civil Procedure 12(b)(1) and 12(b)(6), have filed a motion to dismiss this action. Defendants’ Motion to Dismiss at 1. Currently before the Court are the Defendants’ Memorandum in Support of Motion to Dismiss (“Defs.’ Mem.”); the Plaintiffs Memorandum of Law in Opposition to Defendants’ Motion to Dismiss (“Pl.’s Opp’n”); and the Defendants’ Reply in Support of Motion to Dismiss (“Defs.’ Reply”). For the reasons set forth below, this Court grants the defendants’ motion.
I. Background
(A) Statutory History
Under the Violent Crime Control and Law Enforcement Act of 1994 (“1994 Act”), 42 U.S.C. § 14132, “Congress authorized the FBI to create a national index of [deoxyribonucleic acid (“DNA”) ] samples taken from convicted offenders, crime scenes and victims of crime, and unidentified human remains.” H.R.Rep. No. 106-900 at 8 (2000). In response to this congressional mandate, the FBI established the Combined DNA Index System (“CO- *83 DIS”). Id. The CODIS database provides a means for State and local forensic laboratories to share DNA profiles in an attempt to “link evidence from crime scenes for which there are no suspects to DNA samples of convicted offenders on file in the system.” 1 Id. However, the 1994 Act was interpreted by the FBI to only permit the creation of the CODIS, not the taking of DNA samples of persons convicted of federal offenses for input into the system. Id. Thus, “the FBI requested that Congress enact statutory authority to allow the taking of DNA samples from persons committing Federal crimes of violence, robbery, and burglary, or similar crimes in the District of Columbia or while in the military, and authorizing them to be included in CODIS.” Id.
Accordingly, Congress passed the DNA Analysis Backlog Elimination Act of 2000 (“DNA Act”), 42 U.S.C. § 14135 et seq., which authorizes the “Attorney General to make grants to eligible States ... to carry out, for the inclusion in the Combined DNA Index System of the Federal Bureau of Investigation, DNA analyses of samples taken from individuals convicted of a qualifying State offenses.” 42 U.S.C. § 14135(a)(1). Moreover, the DNA Act provides that “[t]he Director of the Bureau of Prisons shall collect a DNA sample from each individual in the custody of the Bureau of Prisons who is, or has been, convicted of a qualifying Federal offense” and that “the probation office responsible for the supervision under Federal law of an individual on probation, parole, or supervised release shall collect a DNA sample from each such individual who is or has been, convicted of a qualifying Federal offense.” 42 U.S.C. § 14135a(a)(l)-(2). In addition, Congress has mandated the collection of DNA samples from “each individual in the custody of the Bureau of Prisons who is, or has been convicted of a qualifying District of Columbia offense” or any “individual under the supervision of the Agency who is on supervised release, parole, or probation who is, or has been convicted of a qualifying District of Columbia offense.” 42 U.S.C. § 14135b(a)(l)-(2). Congress left to the District of Columbia the responsibility of determining which offenses under the District of Columbia Code should be deemed qualifying offenses. 42 U.S.C. § 14135b(d). The District of Columbia has determined that forty-nine separate offense qualify for collection under the DNA Act. See, D.C.Code § 22-4151(1)— (46). These qualifying offense include, for example, arson, aggravated assault, burglary, kidnaping, robbery, attempted robber and carjacking. Id.
Once a DNA sample is entered into the CODIS database, the information can only be released (1) “to criminal justice agencies for law enforcement identification purposes;” (2) “in judicial proceedings;” (3) “for criminal defense purposes, to a defendant, who shall have access to samples and analyses performed in connection with the case in which such defendant is charged;” or (4) “if personally identifiable information is removed, for a population statistics database, for identification research and protocol development purposes, or for quality control purposes.” 42 U.S.C. § 14132(b)(3). In addition, the DNA Act imposes criminal penalties for individuals who improperly disclose sample results or improperly obtains or uses DNA samples. 42 U.S.C. § 14135e(c).
(B) Factual Background
On December 20, 2001, the plaintiff, Lamar Johnson, was convicted in the Superi- *84 or Court of the District of Columbia of two counts of unarmed robbery in violation of D.C.Code § 22-2801. Compl. ¶4. On March 15, 2002, the plaintiff was sentenced to a one year prison sentence and placed on two years supervised release for each conviction. Id. However, execution of both sentences were suspended and the plaintiff was placed on two years probation for each offense, which were designated to run concurrently. Id. On or around February 18, 2004, prior to the expiration of the plaintiffs probationary term, the defendants, pursuant to the DNA Act and D.C.Code § 22-4151, demanded that the plaintiff provide a sample of his DNA for inclusion in the CODIS because he had been convicted of a predicate offense. Id. ¶ 9; see also Compl., Ex. A; D.C.Code § 22-4151(27) (listing violations of D.C.Code § 22-2801 (robbery) as a qualifying offense). The plaintiff refused to provide a DNA sample, and a judge of the Superior Court of the District of Columbia ordered the plaintiff to show cause why his probation should not be revoked because of this refusal. Compl., Ex. B (Show Cause Order signed by Judge Campbell, Associate Judge of the Superior Court of the District of Columbia).
On March 18, 2004, the plaintiff filed a complaint in this Court, seeking a temporary restraining order (“TRO”) to prevent the defendants from requiring that he provide a DNA sample. Motion for a Temporary Restraining Order at 1. Before this Court could resolve the TRO, the parties filed a Motion to Resolve Certain Preliminary Matters, which proposed to resolve the neеd for emergency injunctive relief. In the motion, the plaintiff agreed to provide a blood sample to the defendants, and the defendants agreed to delay processing that sample until after the plaintiffs claims in this action and any subsequent appeals had been resolved. The motion was granted by this Court and the motion for a TRO was denied. The parties then filed their papers which are the subject of this opinion.
II. Standards of Review
Under Rule 12(b)(1), which governs motions to dismiss- for lack of subject matter jurisdiction, “[t]he plaintiff bears the burden of persuasion to establish subject matter jurisdiction by a preponderance of the evidence.”
Pitney Bowes, Inc. v. United States Postal Serv.,
On . a motion to dismiss for failure to state a claim upon which relief can be granted pursuant to Federal Rule of Civil Procedure 12(b)(6), this Court must construe the allegations and facts in the complaint in the light most favorable to the plaintiff and must grant the plaintiff the benefit of all inferences that can be derived from the alleged facts.
Conley v. Gibson,
III. Legal Analysis
The plaintiffs complaint sets forth seven claims. Compl. ¶¶ 14-20. These claims assert that it is illegal to demand the plaintiffs DNA while he was on probation, but that it is also illegal for the defendants to retain the plaintiffs DNA sample and any information derived from the sample now that he has completed his probationary term. The Court begins its analysis by discussing whether the DNA Act and D.C.Code § 22-4151 violate any constitutional or statutory rights of the plaintiff while he was on probation. The Court will conclude with a discussion of whether the plaintiff, now that he has completed his probationary term, has a right to have his DNA sample and analysis thereof expunged from the CODIS system. As discussed more fully below, none of the plaintiffs claims have merit.
(A) Fourth Amendment Claim
The plaintiff first contends that the DNA Act and D.C.Code § 22-4151 violate the Fourth Amendment’s guarantee to be free from unreasonable searches and seizures. Compl. ¶ 14. The Fourth Amendment provides that “[t]he right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no warrants shall issue, but upon probable cause, supported by oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.” U.S. Const, amend. IV. It is not disputed that the involuntary taking of a DNA sample is a search under the Fourth Amendment.
See Skinner v. Railway Labor Executives’ Ass’n,
“The touchstone of the Fourth Amendment is reasonableness, and the reasonableness of a search is determined ‘by assessing, on the one hand, the degree to which it intrudes upon an individual’s privacy and, on the other, the degree to which it is needed for the promotion of legitimate governmental interests.’ ”
*86
United States v. Knights,
While the issue presented to the Court is one of first impression in this Circuit, many other Federal Circuit, Federal District and state courts throughout the country have weighed in on this issue and have resoundingly concluded that the DNA Act and similar analogous state statutes do not violate the Fourth Amendment’s protection against unreasonable searches and seizures.
2
In
Kincade,
the Ninth Circuit, sitting en banc, held that the DNA Act did not violate the Fourth Amendment.
Kincade,
To gauge the reasonableness of requiring the plaintiff to provide a DNA sample under the totality of the circumstances standard, the Court must balance the plaintiffs privacy interest against the public interests served by acquiring the sample. The Court begins its analysis by first assessing the plaintiffs privacy interests implicated by this search.
Knights,
The District of Columbia Circuit has noted that “[t]he protections of the Fourth Amendment are graduated in proportion to the privacy interests affected. Decreasing levels of intrusiveness require decreasing levels of justification.”
Willner v. Thornburgh,
*88
In this case, the plaintiff claims a privacy interest in the “detailed personal information obtainable from a DNA sample.” Pl.’s Opp’n at 13. In its simplest form, the plaintiff asserts a privacy interest in his identity.
6
Kincade,
The Court’s next step is to examine the public interest prong of the totality of the circumstances test. In this case, it is clear that the DNA Act and D.C.Code § 22-4151 further a compelling public interest. First, DNA profiling can link conditionally released offenders to crimes committed while on release, which helps to ensure that such individuals comply with the requirements of the their conditional release.
Scott,
Balancing the private and public interests here, it is clear that the public’s inter
*89
ests far outweigh the plaintiffs interest and thus the taking of his DNA sample does not violate the Fourth Amendment, especially in light of the fact that the plaintiff, while he was on probation, has a diminished expectation of privacy. In addition, the Court notes that the actual physical intrusion in securing a DNA sample is minimal. The Supreme Court concluded long ago that “the intrusion occasioned by a blood test is not significant, since such ‘tests are a commonplace in these days of periodic physical examinations and experience with them teaches that the quantity of blood extracted is minimal, and that for most people the procedure involves virtually no risk, trauma, or pain.’ ”
Skinner,
In conclusion, it is the Court’s view that upon weighing the individual privacy rights of the plaintiff against the compelling public interest as discussed above, that the totality of the circumstances favor the defendants’ side of the totality of the circumstances analysis, and therefore, the plaintiffs Fourth Amendment challenge to the DNA Act and D.C.Code § 22-4151 must be rejected.
(B) Fifth Amendment Substantive Due Process Claim
Next, the plaintiff makes a Fifth Amendment substantive due process claim against the DNA Act and D.C.Code § 22-4151. Specifically, the plaintiff posits that as “a free citizen who has entirely paid his debt to society, [he] objects to the tremendously invasive and utterly suspicionless search with the potential to reveal his most intimate genetic and medical information.” Pl.’s Opp’n at 18. It appears that what the plaintiff is alleging is that the DNA Act and D.C.Code § 22-4151 violate his right “to protect [his] genetic information from disclosure[ ]” and that this amounts to a substantive due process violation. Pl.’s Opp’n at 20. The Fifth Amendment provides that no person may “be deprived of life, liberty, or property, without due process of law.” U.S. Const. amend. V. In reviewing substantive due process claims, the Supreme Court has instructed that there are two features to such a claim. “First, [the Court has] regularly observed that the Due Process Clause specially protects those fundamental rights and liberties which are, objectively, ‘deeply rooted in this Nation’s history and tradition,’ and ‘implicit in the concept of ordered liberty,’ such that ‘neither liberty nor justice would exist if they were sacrificed.’ ”
Washington v. Glucksberg,
Other courts that have addressed this same substantive due process challenge to the required submission of DNA samples by conditionally released offenders have
*90
declared that the “drawing of blood by a medical professional in an acceptable environment is not offensive to the ordinary sense of justice, and therefore, not viola-tive of the Due Process Clause.”
Vore v. Dep’t of Justice,
(C) Fifth Amendment Procedural Due Process Claim
The plaintiff also challenges the constitutionality of the DNA Act and D.C.Code § 22-4151 on the ground that “[t]he taking of Mr. Johnson’s DNA without cause, without any legitimate governmental purpose and entirely without any mechanism or opportunity for Mr. Johnson to object violated Mr. Johnson’s right to procedural due process.” Pl.’s Opp’n at 22. Here, the crux of the plaintiffs argument is that the two statutory provisions do not require individualized determinations, prior to the blood sample being taken, that qualifying individuals are “likely to recidivate via a crime with biological evidence.” Pl.’s Opp’n at 22-23. In addition, the plaintiff contends that the DNA Act “has no internal guidelines for determining if a particular individual has actually been convicted of [a] qualifying offense.” Id. at 23. The plaintiff opines that because the statute is without procedural mechanisms to challenge the govеrnment’s collection of the sample, and to petition for the destruction or return of a sample once an individual has completed his term of community supervision, nor do the statutes place a limitation on the government’s use of the information acquired from the sample, there is a high risk of erroneous deprivation of the plaintiffs liberty interest in his DNA. Id. at 24. This challenge must also be rejected.
*91
Similar arguments have been rejected by both the Ninth and Tenth Circuits. In
Rise,
the Ninth Circuit concluded that “[t]he extraction of blood from an individual in a simple, medically acceptable manner, despite the individual’s lack of an opportunity to object to the procedure, does not implicate the Due Process Clause.”
Rise,
“The fundamental requirement of [procedural] due process is the opportunity to be heard ‘at a meaningful time and in a meaningful manner.’ ”
Mathews v. Eldridge,
First, the private interest that will be affected by the official action; second, the risk of an erroneous deprivation of such interest through the procedures used, and the probable value, if any, of additional or substitute procedural safeguards; and finally, the Government’s interest, including the function involved and the fiscal and administrative burdens that the additional or substitute procedural requirement would entail.
Mathews,
Applying the three Mathews factors here, it is clear that the plaintiffs proce *92 dural due process claim has no merit. 8 This Court has already discussed at length the applicable private and public interest in its discussion of the plaintiffs Fourth Amendment claim. As discussed previously, the private interest at stake in this case is the plaintiffs right to the privacy of his identifying information, i. a, his DNA sample and the information derived from it. However, as this Court discussed in its Fourth Amendment аnalysis, this privacy right was significantly diminished while the plaintiff was on probation. . On the other hand, the government has a compelling interest to ensure that individuals who are on probation do not commit any further crimes and to solve both past, and future crimes, which trumped the plaintiffs diminished privacy rights. Thus, the only factor that warrants additional discussion here is the risk of erroneous deprivation.
As to this remaining factor, the plaintiff argues that the DNA Act “has no internal guidelines for determining if a particular individual has actually been convicted of [a] qualifying offense.” PL’s Opp’n at 23. The plaintiff further opines that because there are no procedures in place to challenge the government’s acquisition and testing of samples, to petition for the destruction or return of a DNA sample once an individual has completed his probation, or limit the government’s use of the information derived from the sample, there is a high risk of erroneous deprivation.of the plaintiffs liberty interest in his DNA. Id. at 24. However, this Court finds that the risk of erroneous deprivation is minimal at best. First, the DNA Act itself provides that a sample can only be collected from an individual who has been convicted of a qualifying offense. Thus, a person will only be required to submit a DNA sample if a judge or jury has determined, beyond a reasonable doubt, that the individual has committed the offense or the individual has acknowledged his guilt by entering a guilty plea. The procedures associated with these judicial proceedings for assessing guilt provide sufficient process to ensure that a person is not erroneously convicted of a predicate offense. In addition, the statute provides that if a conviction for a predicate offense is later overturned or reversed on appeal, the individual’s DNA information may be removed from the CO-DIS database. 42 U.S.C. § 14132(d). Thus, the prospect that an innocent individual’s DNA would be erroneously included in the CODIS database is minimal. Moreover, should there be a question as to the proper application of the statute’s requirements, ie., if an offense is a “qualifying offense” to warrant the taking and processing of a DNA sample, a person can always bring a challenge in a court of competent jurisdiction. Finally, the statute explicitly limits how DNA samples can be used. Namely, the DNA sample, once obtained, is sent to the Director of the Federal Bureau of Investigation for analysis and inclusion in the CODIS database. 42 U.S.C. § 14135b(b). And such analysis *93 is only conducted to determine “identification information in a bodily sample.” 42 U.S.C. § 14135b(e)(2). In conclusion, the risk of erroneous deprivation, while conceivable, is remote. 9 Accordingly, the plaintiffs procedural due process claim is without merit and therefore must be dismissed.
(D) Fifth Amendment Equal Protection Claim
The plaintiff also contends that the DNA Act and D.C.Code § 22-4151 violate the equal protection component of the Fifth Amendment 10 because they allegedly discriminate against him on the basis of race. PL’s Opp’n at 25. The graveman of this claim is that the two statutory provisions have been created and implemented with discriminatory intent. Id, Specifically, the plaintiff contends that the provisions have a disproportionate impact on racial minorities, especially African Americans males, because, for example, African American males are incarcerated at a much higher rate than white males. Id. at 26-27. Accordingly, the plaintiff opines that a disproportionate number of African American men are subject to mandatory DNA testing. Id. at 26-27. Moreover, the plaintiff posits that the United States has a long history of conducting discriminatory criminal investigations against minorities and disregarding the privacy rights of minorities. Id. at 27. Therefore, the plaintiff argues that because the DNA Act and D.C.Code § 22-4151 were purportedly enacted with an intent to discriminate, his equal protection claim must be reviewed under the “strict scrutiny” standard of review. Id. at 25.
“The Equal Protection Clause of the Fourteenth Amendment commands that no State shall ‘deny to any person within its jurisdiction the equal protection of the laws,’ which is essentially a direction that all persons similarly situated should be treated alike.”
City of Cleburne v. Cleburne Living Ctr.,
The plaintiff argues the DNA Act and D.C.Code § 22-4151 must withstand the heightened standard of review of strict scrutiny because their adoption and implementation have been “motived by ... racially discriminatory purpose[s].” Pl.’s Opp’n at 30. The plaintiffs argument in *94 this regard is meritless. Despite the plaintiffs best effort to parse out portions of the legislative history of D.C.Code § 22-4151, there is simply no evidence, actual or circumstantial, that the District of Columbia Council (“D.C.Council”) enacted D.C.Code § 22-4151 with any discriminatory intent. Moreover, the plaintiff does not point to any evidence in the legislative history of the DNA Act to suggest Congress had a discriminatory motive when it adopted the legislation.
In addition, the plaintiff claims that discriminatory intent can be inferred because the government should have been aware of the historical discriminatory impact the criminal justice system has had on racial and ethic minorities also has no merit.
11
The plaintiffs position is similar to arguments rejected by courts concerning whether the Federal Sentencing Guidelines violate the Equal Protection Clause as a result of the statistical proof that African-American’s are convicted more often of drug crimes involving crack cocaine, while Caucasians are convicted at a statistically higher rate for drug offenses involving powder cocaine, which exposes them to less serious punishment. Courts which have addressed this issue have routinely affirmed the differing sentencеs based on the equal protection rational basis analysis, despite the statistical disparities.
See, e.g., United States v. Holton,
analyzing whether the sentencing disparity denies constitutional equal protection, the first inquiry is whether the mandatory crack mínimums discriminate based on race. In order to prove that a faeially neutral statute, such as the one involved here, violates equal protection guarantees, a challenger must demonstrate a racially discriminatory purpose behind the statute.
Holton,
In fact, the plaintiff has failed to even invoke the protections providеd by the Equal Protection Clause. As noted earlier, as a predicate to evoking the protections of the Equal Protection Clause, the plaintiff must demonstrate that he was similarly situated to other non-minority D.C.Code offenders who were treated differently.
See Plyler v. Doe,
(E) Ex Post Facto Clause Claim
The plaintiff further argues that the DNA Act and D.C.Code § 22-4151 violate the Ex Post Facto Clause provisions of Article 1, sections 9 and 10 of the Constitution because the D.C.Code provision implementing the DNA Act was signed after the plaintiff was convicted and sentenced in his underlying criminal case. PL’s Opp’n at 31. “The constitutional bar on the enactment of ex post facto laws means that ‘[legislatures may not retroactively alter the definition of crimes or increase the punishment for criminal acts.’ ”
Blair-Bey v. Quick,
[a] law implicates the Ex Post Facto Clause only if it criminalizes conduct that was not a crime when it was committed, increases the punishment for a crime beyond what it was at the time the act was committed, or deprives a person of a defense available at the time the act was committed.
Rise,
Just as courts have upheld the constitutionality of the DNA Act under the Fourth Amendment, so to have courts found that the DNA Act does not run afoul of the Ex Post Facto Clause.
See, e.g., Rise,
The plaintiff first argues that the DNA Act, as implemented in the District of Columbia by the D.C. Council, is punitive and thus violates the Ex Post Facto Clause. *96 PL’s Opp’n at 32. To support this conclusion, the plaintiff alleges that (1) the District of Columbia statutory provision is codified in Title 22 of the District of Columbia Code which is titled “Criminal Offenses and Penalties;” (2) the Bureau of Prisons and Court Services and Offender Supervision Agency administer the program; and (3) DNA collection is now a condition of probation, making it part of a defendant’s. sentence. Id. Moreover, the plaintiff opines that the D.C. Council, when enacting D.C.Code § 22-4151, intended for the legislation to be punitive in nature. Id. Finally, the plaintiff contends that even if the statute is considered to be civil in nature and not punitive, its effect is sufficiently punitive to implicate the Ex Post Facto Clause. Id. at 33.
The Court begins by noting that there are two distinct statutes in play. The first is the DNA Act passed by Congress. 42 U.S.C. § 14135 et seq. The second is the application of the DNA Act by the D.C. Council to certain “qualifying offenses” through the enactment of D.C.Code § 22-4151. The plaintiffs argument attempts to conflates the two statutes, which were created by two separate legislative bodies, in his effort to strengthen his argument that the legislative intent underlying the DNA Act and the District of Columbia implementing statute demonstrate that DNA collection is intended to be punitive. This Court cannot accept the plaintiffs reasoning.
The congressionally enacted DNA Act mandates that the Bureau of Prisons and Court Services and Offenders Supervision Agency administer the process of securing DNA samples from qualifying individuals. 42 U.S.C. § 14135b(a)(l)-(2). Moreover, the requirement that qualifying individuals provide DNA samples as a condition of post-conviction community release is also contained in the congressionally enacted legislation. 42 U.S.C. § 14135c. Contrary to the plaintiffs position, the DNA Act was not intended by Congress to be punitive. As noted by another district court:
The legislative history of the DNA Act demonstrates that Congress did not create the Act as a means for punishing qualifying offenders for past convictions. Instead, Congress desired to assist law enforcement agencies to perform their basic law enforcement function by “matching] DNA samples from crime scenes where there are no suspects with the DNA of convicted offenders.” 146 Cong. Rec. H8572-01, at *H8575. Additionally, Congress intended to increase the efficacy of the criminal justice system by “eliminating] the prospect that innocent individuals w[ill] be wrongly held for crimes that they did not commit.” Id. at *H8576. Furthermore, Congress desired to prevent violent felons from repeating their crimes in the future. 146 Cong. Rec. S11645-02, at *S11646 (“Statistics show that many of these violent felons will repeat their crimes once they are back in society”). This legislative history indicates that Congress did not authorize blood draws under the DNA Act to “punish” qualifying offenders.
Reynard,
In his attempt to demonstrate that the D.C. Council’s enactment of the local quali
*97
fying offense component of the DNA Act was intended to be punitive, the plaintiff relies on the locаtion of the provision in the D.C.Code (Title 22 “Criminal Offenses and Penalties”) and the report from the D.C. Council on the bill. Pl.’s Opp’n at 32. First, the location of this provision does not, by itself, show that D.C.Code § 22-4151 was intended by the D.C. Council to be punitive in nature. As noted by the Supreme Court, “[t]he location and labels of a statutory provision do not by themselves transform a civil remedy into a criminal one.”
Smith,
Moreover, the plaintiffs reliance on the D.C. Council’s Committee the Judiciary Report on Bill 14-63, entitled the DNA Sample Collection Act of 2001, (April 24, 2001) (hereinafter “D.C. Council Report”), does not aid his cause. The plaintiff first contends that a statement by former Councilmember Harold Brazil supporting an amendment to expand the number of qualifying offenses buttress his conclusion that D.C.Code § 22-4151 was enacted to punish criminal defendants. Pl.’s Opp’n at 32-33 (citing D.C. Council Report at Ills). The Court cannot agree. The Court does not construe the former Councilmem-ber’s statements as reflecting his intent to make the DNA requirement punitive.
13
But even if that construction can be attached to the remarks, they were merely statements by one member of the Council, not the sentiment of the entire body and are thus deserving of little weight.
See, e.g., Consumer Product Safety Comm’n v. GTE Sylvania, Inc.,
The plaintiff also references a portion of the Report which reads: “[i]t is the Committee’s view that the mere possibility that someone convicted of a property crime or low level felony may commit a more serious crime in the future is insufficient to justify the significant invasion of privacy at issue here.” Id. at 6. The plaintiff opines that this statement “reveals a clearly retributive legislative rationale in the D.C. Council’s discussion of the appropriate extent of the Act.” Pl.’s Opp’n at 32. The plaintiffs reading of this statement misses the mark. When viewing the Report as a whole, rather than in fragmented sections, it is clear that this' statement reflects the D.C. Council’s view that it had attempted to carefully balance legitimate law enforcement objectives with privacy rights in determining what offenses merited DNA sample collection. This effort to reach the appropriate balance fails to demonstrate that the D.C. Council intended D.C.Code § 22-4151 to be punitive. Such a reading is simply not a reasonable interpretation of the Council’s Report. Thus, since neither the DNA Act, nor the D.C.Code provision implementing it in the District of Columbia were intended to be punitive in nature, this Court must now assess whеther the statute is nonetheless so punitive, either in *98 purpose or effect, that the legislative intent becomes irrelevant.
In making this second determination, the Court is guided by seven factors enunciated by the Supreme Court in
Kennedy v. Mendoza-Martinez,
Whether the sanction involves an affirmative disability or restraint, whether it has historically been regarded as a punishment, whether it comes into play only on a finding of scienter, whether its operation will promote the traditional aims of punishment — -retribution and deterrence, whether the behavior to which it applies is already a crime, whether an alternative purpose to which it may rationally be connected is assignable for it, and whether it appears excessive in relation to the alternative purpose assigned are all relevant to the inquiry, and may often point in differing directions.
Id.
at 168-69,
First, to assess whether the statutes invoke an “affirmative disability” or “restraint” the Court must “inquire how the effects of the [statute] are felt by those subject to it. If the disability or restraint is minor and indirect, its effects are unlikely to be punitive.”
Hatton v. Bonner,
(F) Health Insurance Portability and Accountability Act Claim
The plaintiff also contends that the DNA Act violates the Health Insurance Portability and Accountability Act of 1996 (“HIPAA”), 42 U.S.C. §§ 1320d to d-8, by “disclosing highly sensitive medical and genetic, information in which [the plaintiff] has a strong privacy interest.” Compl. ¶ 19. The HIPAA imposes requirements on the Department of Health and Human Services, health plans, and healthcare providers involved in the exchange of health Information to protect the cоnfidentiality of such information and provides for both civil and criminal penalties for individuals who improperly handle or disclose individually identifiable health information. 42 U.S.C. §§ 1320d to d-8. The defendants contend that the HIPAA does not provide for a private right of action and therefore this statutorily based claim cannot be maintained because the government has not waived its sovereign immunity. Def.’s Reply at 16-17. The plaintiff counters that a private right of action can be implied in the statute. Pl.’s Opp’n at 34.
In order for this Court to find that there is an implied private right of action under the HIPAA, this Court must determine whether Congress intended to create such a right.
Anderson v. USAir, Inc.,
Like substantive federal law itself, private, rights of action to enforce federal law must be created by Congress. The judicial task is to interpret the statute Congress has passed to determine whether it displays an intent to create not just a private right but also a private remedy. Statutory intent on this latter point is determinative. Without it, a cause of action does not exist and courts may not create one, no matter how desirable that might be as a policy matter, or how compatible with the statute.
Alexander v. Sandoval,
Congress enacted HIPAA, in part, to address concerns about the confidentiality of health information, particularly in the era of electronic communication. Section 262 of HIPAA (codified as 42 U.S.C. §§ 1320d to d — 8) defines terms and imposes requirements on the Department of Health and Human Services (“HHS”), health plans, and healthcare providers involved in the exchange of health information. HIPAA provides for both civil and criminal penalties to be imposed upon individuals who improperly handle or disclose individually identifiable health information. 42 U.S.C. §§ 1320d-5 to d-6. However, the law specifically indicates that the Secretary of HHS shall pursue the action against an alleged offender, not a private individual.
Id. at 155. In Logan, a government employee attempted to bring an action against the government for allegedly disclosing individually identifiable health information. The Logan court concluded that the HIPAA did not provide for a private right of action and it therefore did not have subject matter jurisdiction over the plaintiffs HIPAA claim. Accordingly, the claim was dismissed pursuant to Rule 12(b)(1). Id. at 155.
Here, the plaintiff challenges, pursuant to the HIPAA, the disclosure of information regarding his DNA. Compl. ¶ 19. Assuming for the sake of argument that the HIPAA prevents the disclosure of this type of medical information, the plaintiff and not the Secretary of HHS has initiated this action. And it is the Secretary who is empowered by the HIPAA to do so. 42 U.S.C. § 1320d-5. Accordingly, because no private right of action exists under the HIPAA, this Court does not have subject matter jurisdiction over this claim and it must be dismissed.
(G) International Convention of the Elimination of all Forms of Racial Discrimination
The plaintiffs final cause of action is that the DNA Act and D.C.Code § 22-4151 violate the International Convention of the Elimination of all Forms of Racial Discrimination (“CERD”), 660 U.N.T.S. 195. The purpose of the CERD is “to adopt all necessary measures for speedily eliminating racial discrimination in all its forms and manifestations, and to prevent and combat racist doctrines and practices in order to promote understanding between races and to build an international community free from all forms of racial segregation and racial discrimination.... ” Id. at *54. The defendants argue that the plaintiff does not have a private right of action under the CERD. Defs.’ Mem. at 18.
It is well-established in this Circuit that in order for a party to assert a claim under a treaty, the treaty (or clauses therein) must confer such a rights. “Whether a treaty clause does create such enforcement rights is often described as part of the larger question of whether that clause [or treaty] is ‘self-executing.’ ”
Comm. of
*101
United States Citizens Living in Nicaragua v. Reagan,
Only two courts have reviewed the CERD for the purpose of determining whether it is self-executing and therefore permits a private right оf action, both concluding that it did not. Both the United States District Court for the District of Connecticut in
United States v. Perez,
No. 03-02,
(G) Expungement of the Plaintiffs DNA Sample and Its Analysis
The plaintiffs final argument, and one that is discussed throughout his opposition, is that since he has now completed his term of probation, the supervisory function served by taking his DNA sample no longer exists. Pl.’s Opp’n at 4 (this case “calls upon the Court to decide, among other things, the heretofore unresolved question of whether a DNA sample collected pursuant to the DNA Act ‘may properly be retained by the government after the felon has finished his or her term and has paid his or her debt to society.’ ”). Accordingly, the plaintiff opines that even if he could have been required to submit a DNA sample earlier, because he is now “free” from government supervision, the sample would now have to be discarded and the analysis expunged from the CO-DIS database. Id.
In
Kincade,
Judge Gould, in his concurrence, noted that the court did not decide the issue of whether a CODIS entry should be erased once the offender has completed his sentence.
Kincade,
This Court cannot buy in on the conclusion reached by the New Jersey Superior Court. At the outset, the Court does not find the forfeiture analogy employed by the New Jersey court persuasive. Specifically, this Court does not believe that a DNA sample is akin to a right in property. The interest here is a privacy interest in identification information. As the Ninth Circuit recognized, a DNA sample “establishes only a record of the defendant’s identity — otherwise personal information in which the qualified offender can claim no right of privacy once lawfully convicted of a qualifying offense.”
Kincade,
The Court first starts this analysis with an assessment of the privacy interest at stake.
Although the full measure of the constitutional protection of the right to privacy has not yet been delineated, we know that it extends to two types of privacy interests: “One is the individual interest in avoiding disclosure of personal matters, and another is the interest in independence in making certain kinds of important decisions.”
United States v. Westinghouse Elec. Corp.,
The analysis of the privacy interest here requires the Court to determine what interest an individual who was convicted of a qualifying offense and who was therefore required to submit a DNA sample has in that DNA sample once his sentence has been completed. As discussed earlier, while on probation, an individual has a substantially diminished privacy interest. As the Ninth Circuit noted in
Rise,
“[o]nce a person is convicted of one of the felonies included as predicate offenses under [the DNA Act], his identity has become a matter of state interest and he has lost any legitimate expectation of privacy in the identifying information derived from blood sampling.”
Rise,
A second example further illustrates this point. An ex-offender’s reduced expectation of privacy in his or her identity is also seen in sex offender statutes. For example, individuals who are convicted of sexual offenses must, despite having completed their sentences, nevertheless register with local authorities pursuant to state and federal sex offender registration statutes.
See, e.g.,
D.C.Code § 22-4001
et seq.
*104
These regulations require that ex-offenders provide to local authorities certain identifying information,
i.e.,
their name and addresses.
See, e.g.,
D.C.Code § 22-4007 (registration information may include: name, aliases, date of birth, sex, race, height, weight, eye color, identifying marks and characteristics, driver’s license number, social security number, home address or expected place of residence, and any current or expected place of employment or school attendance). Moreover, under sex-offender registration statutes, this identifying information can be shared with victims, witnesses, public and private education institutions, day care facilities, members of the public or governmental agencies requesting information for employment or foster care background checks, the public at large, and any unit of the police department. D.C.Code § 22-4011(a)(1) — (5). The constitutionality of these statutes have been universally upheld and courts have concluded that they do not violate an ex-offenders right of privacy.
See, e.g., A.A. ex rel. M.M. v. New Jersey,
Compared with the intrusion occasioned by sex offender registries, the privacy infringement resulting from the retention of DNA results is much more limited. Here, the DNA analyses can only be shared with a very limited group (not the public at large), 42 U.S.C. § 14132(b)(3), and there are criminal penalties for the improper dissemination of DNA data. 42 U.S.C. § 14135e(c). It is therefore the Court’s conclusion that although individuals convicted of a predicate offense have an enhanced privacy interest in their identifying information after the termination of their sentences, that interest is not totally restored (and is certainly not at the same level as someone who has nеver been convicted of such offense), and is outweighed by the compelling government interests associated with the retention of the information.
As to the government’s interests, although the need to supervise and monitor qualifying individuals after their conditional release drops out of the picture at the conclusion of their sentences, the government’s interests regarding the identify of such individuals remains compelling. This is so because the government still has a substantial interest in identifying ex-offenders who commit new offense and to prevent them from thereafter committing further crimes. As already noted, the rate of recidivism among ex-offenders is high.
Crawford,
In balancing these competing interests, the Court first notes that the requirement that a person submit to a DNA sample for testing is not, as discussed when the Court addressed the plaintiffs ex post facto claim, a punitive requirement, but rather one that serves a proper governmental regulatory function. Thus, any intrusion into the plaintiffs privacy right is not punitive in effect or otherwise. Moreover, as discussed above, the government has a compelling interest in maintaining this regulatory function through the CODIS database. This Court therefore concludes that the government’s interest far outweighs the diminished privacy interest held by the plaintiff even after the completion of his sentence. Accordingly, the government is not violating the plaintiffs privacy interest by retaining his DNA sample and its analysis now that his sentences has been completed. 18
VI. Conclusion
For the foregoing reasons, all of the plaintiffs claims are without merit and must be dismissed.
SO ORDERED this day of 21st day of March, 2005. 19
Notes
.
United States v. Kincade,
. This Court could only find three cases where courts found that a DNA collection statutes violated the Fourth Amendment. However, none of these cases remain good law. For example, in
United States v. Kincade,
.
See, e.g., Green v. Berge,
.
See, e.g., Kincade,
. The Ninth Circuit in
Kincade
noted that the Supreme Court recently concluded in
Knights
that despite its prior Fourth Amendment rulings in
City of Indianapolis v. Edmond,
. The plaintiff provides a thoughtful and thorough discussion of potential misuses of DNA. For example, the plaintiff opines that in the future a DNA sample may be able to provide other information about an individual, such as whether the individual has a hereditary disease, a specific character trait, and possibly even the individual’s race. PL's Opp’n at 14. These potential misuses, the plaintiff contends, results in the privacy prong of the reasonableness test weighing in his favor. Id. Although the hypotheticals offered by the plaintiff raise legitimate concerns, the Court must decide the constitutionality of the statutes before it based on the purpose for which they were designed and have been utilized, and not on how the plaintiff perceives the statutes might be used in the future. As drafted, the DNA Act limits the permissible use of DNA samplеs. 42 U.S.C. § 14132(b)(3) (limiting the use of DNA profiles to, inter alia, "criminal justice agencies for law enforcement purposes” and "in judicial proceedings”). Moreover, the statute prescribes criminal penalties for the improper acquisition, use or disclosure of DNA or of DNA sample results, 42 U.S.C. § 14135e(c). And, should the plaintiffs hypotheses one day come to fruition, the plaintiff can certainly challenge the improper use of these new developments in a subsequent action.
. The defendants invite this Court to conclude that because Congress and the District of Columbia City Council have passed "a law which affects a general class of persons, those persons have received all procedural due process — the legislative process” that is due to them. Def.'s Reply at 9 (quoting
County Line Joint Venture v. City of Grand Prairie,
. The Court limits its analysis to the period of time during which the plaintiff was on probation because that is the time during which the defendants demanded the plaintiffs DNA sample and thus the period when any alleged procedural due process violations occurred. The plaintiff also seems to suggest that his procedural due process rights were violated because the statute does not provide for a right of expungement of his DNA sample after his probationary term expired. Pi’s Opp'n at 24. As this Court will more fully discuss below, see infra, part III(G), the plaintiff has no right to expungement of his DNA sample or the information contained in the CODIS database.
. The plaintiff also contends that there is a risk of “false matches'1 from the use of the information contained in CODIS database, thus creating a substantial risk that an individual could be implicated in a crime he did not commit. Pl.'s Opp’n at 23-24. He has submitted two declarations of scientific witnesses to support this theory. PL’s Opp’n, Ex. B (declaration of Greg Hampikian); Ex. C. (declaration of Dan Krane). Assuming the accuracy of the declarations, there is no impediment to a challenge being made to an alleged false match if the government initiates action against an individual based on an alleged erroneous match. Moreover, this Court concludes that the possibility that the CODIS database may produce "false matches” does not outweigh the government’s countervailing compelling interests.
. The equal protection component of the Fifth Amendment is derived from the Amendment's due process clause.
Edmonson v. Leesville Concrete Co., Inc.,
. The plaintiff does not allege, nor can he, that an individual on probation is part of a suspect class warranting “strict scrutiny” review of his equal protection claim.
See Nicholas v. Riley,
. As a predicate to this analysis, of course, the Court must first determine whether the statute in question was intended to be applied or is being applied retroactively.
See, e.g., INS v. St. Cyr,
. Former Councilmember Brazil stated that while he supported the bill, he believes it should be expanded to include a greater number of qualifying offenses. He noted “these are people who are convicted of crimes." D.C. Council Report at 14-15. ’
. However, the Director of the Bureau of Prisons or an agency "may (but need not) collect a DNA sample from” an individual who’s DNA analysis is already contained in the CODIS database. 42 U.S.C. § 14135b(a)(3).
. Admittedly, because submission of a DNA sample is now a condition of release for individuals on probation, parole, or supervised release, failure to comply with this condition could result in their release being terminated. However, this potential consequence does not increase the punishment for the commission of the underlying offense and therefore does not alter this Court’s Ex Post Facto Clause analysis.
See, e.g., Jones,
. In some instanсes, juveniles are entitled to have their arrest records, including fingerprints expunged.
See Matter of Clueso,
. The potential that a DNA sample may be "mined” for data far beyond what is necessary for the CODIS database and then shared with private parties or other non-law enforcement entities is curtailed by the structure of the DNA Act. For example, as noted earlier, information contained in the CODIS database can only be accessed by a small group of individuals. See 42 U.S.C. § 14132(b)(3). Moreover, the DNA analysis conducted on a sample is only conducted to determine "identification information.” See 42 U.S.C. § 14135b(c)(2). Thus, the Act itself protects the privacy interests of those individuals whose samples are contained in the database. Moreover, if future technology permits the type of mining of data and analysis about which the plaintiff is concerned and his sample is being used in that manner, he can at that time challenge the new procedures and the use of his sample as being violative of the DNA Act.
. Even if this Court concluded that expungement is required, it is not clear that this Court has before it the proper defendant to order that the DNA sample and its analysis be expunged. As Laura Hankins, Chief Legislative Counsel for the Public Defenders Service noted, "the FBI, not the District, has custody of the DNA sample.” D.C. Council Report at 13; 42 U.S.C. § 14135b(b) (mandating that DNA samples be given to the FBI for analysis). Moreover, the FBI, not the District of Columbia maintains the CODIS database. H.R.Rep. No. 106-900, at 8. And the FBI is not a defendant in this action, and therefore this Court could not order the defendants before it to provide the relief being requested.
. An Order consistent with the Court’s ruling accompanies this Memorandum Opinion.
