This is the first of three companion cases we decide today addressing application of
*182
the qualified immunity standard of
Harlow v. Fitzgerald,
I
A detailed factual background of this case is set out in this court’s earlier opinion.
See Halperin v. Kissinger (“Halperin I”),
Kissinger ordered that the electronic surveillance continue in the face of FBI observations in May and June of 1969 that it was fruitless, and a July 8 FBI recommendation that it be terminated. It remained in place also despite Dr. Halperin’s September 1969 resignation from the NSC staff, whereupon he continued only as a consultant with no access to classified information. Through most of the wiretap’s first year, the FBI relayed written summaries of plaintiffs’ telephone conversations to Nixon (through presidential aide John Ehrlichman) and Kissinger, and occasionally to Mitchell. In May 1970, Dr. Halperin resigned his consultant position. The wiretap continued— with the FBI summaries reported to H.R. Haldeman, Nixon’s chief administrative aide — until February 10, 1971. While the FBI summaries reported much information of political significance to the Nixon Administration, at no point during its twenty-one month duration did any intercepted conversation implicate Dr. Halperin in any leak.
When the already-terminated Halperin wiretap came to light in connection with an unrelated criminal prosecution, United States v. Russo & Ellsberg, Crim. No. 9373 (WNB) (C.D.Cal. dismissed May 11, 1973), Dr. Halperin and his family brought an action for damages in the United States District Court for the District of Columbia against Nixon and nine federal officials. Plaintiffs alleged that the wiretap violated their rights under the fourth amendment’s warrant and reasonableness requirements and Title III of the Omnibus Crime Control and Safe Streets Act of 1968, Pub.L. No. 90-351, 82 Stat. 197, 211 (current version *183 as amended by Title II of the Foreign Intelligence Surveillance Act of 1978, Pub.L. No. 95-511, 92 Stat. 1783, 1796, codified at 18 U.S.C. §§ 2510-2520 (1982)).
The District Court initially held Nixon, Mitchell, and Haldeman jointly liable for violating the fourth amendment’s reasonableness requirement and granted summary judgment to the remaining defendants,
Halperin v. Kissinger,
This court reversed, holding that the wiretap violated (1) Title Ill’s procedural requirements for any period — to be determined by the District Court on remand— during which the wiretap’s “primary purpose” was not the protection of national security,
Halperin I,
An equally divided Supreme Court affirmed without opinion as to all defendants except Haldeman, whose writ of certiorari was dismissed as improvidently granted.
Kissinger v. Halperin,
While this case was on remand, the Supreme Court decided
Harlow v. Fitzgerald,
II
The qualified immunity doctrine is an attempt to reconcile two important but conflicting concerns. On the one hand, “[i]n situations of abuse of office, an action for damages may offer the only realistic avenue for vindication of constitutional guarantees.”
Harlow v. Fitzgerald,
As originally formulated, the qualified immunity defense had both objective and subjective elements.
Wood v. Strickland,
If these expansive descriptions were clearly correct, our task in the present case would be considerably simplified. The problem, however, is that whether (in the words of the
Harlow
test) “conduct does not violate clearly established ... rights,”
The legality of the Halperin wiretap under the statutory law that was then clearly established turns on its purpose. Title III, with exceptions not relevant here,
see
18 U.S.C. § 2511(1), (2) (1976), required all electronic surveillance to comply with intricate approval and minimization requirements,
id.
§§ 2516, 2518-2519, and provided for a $100-per-day civil remedy for violations plus punitive damages and attorney’s fees,
id.
§ 2520. However,'nothing in Title III “limit[ed] the constitutional power of the President ... to protect national security information against foreign intelligence activities.”
Id.
§ 2511(3). A wiretap legitimately directed to the protection of national security information from foreign intelligence activities, while it might have been unconstitutional, was at least exempted from (and
a fortiori
cannot have been clearly subject to) Title Ill’s specific procedural requirements.
2
Forsyth,
Purpose is also relevant to the qualified immunity defense to violation of the fourth amendment’s warrant requirement. It is now clear that that requirement attaches to national security wiretaps that are not directed against foreign powers or suspected agents of foreign powers.
Halperin I,
Since, therefore, the defendants’ intent in performing their acts is crucial to the legitimacy of those acts under clearly established law, we are confronted with the problem of whether the expansive language of
Harlow, Forsyth,
and
Davis
is to be taken seriously. To give genuine effect to the Supreme Court’s intimation in
Harlow
that it was instituting a new regime of “[r]eliance on the objective reasonableness of an official’s conduct,”
It is, to say the least, unclear whether
Harlow
intended that result — or indeed whether it even had in mind the problem of legitimizing or illegitimizing intent
except insofar as intent is affected by the defendant’s knowledge of the state of the law.
It is clear from the Court’s opinion that the qualified immunity defense is not to be denied because the defendant official in fact knew (even though most people would not) that his action was categorically unlawful, or that it violated the plaintiff’s rights because of the particular motive for which it was taken. This sort of
knowledge-related
malicious intention was what the facts of
Harlow
presented, and what the most explicit portions of the opinion specifically addressed,
see
It would not be a conclusive objection to such an interpretation that intentional injustices would be left without a civil damage remedy. That consequence is no different in kind from what Harlow unquestionably tolerates. Even interpreted most narrowly, as addressing only intent related to knowledge of the law, Harlow precludes monetary relief for a violation of constitutional rights by an officer who knows he is acting unlawfully, so long as the law enforcement community in general considers his conduct arguably proper. It cannot be disputed, however, that if intent unrelated to knowledge is also brought within Harlow ’s proscription of inquiry, the scope of cases in which such a consequence will be produced would be vastly expanded. It is rare that a plaintiff’s claim rests upon the defendant’s subjective knowledge (despite uncertainty in the law) that what he did was unlawful; but common that it rests upon absence of a needful validating intent (as we have at issue here), and even more common that it rests upon presence of an invalidating intent unrelated to knowledge of the law (e.g., racial or political antagonism).
The lower courts have been unwilling to rest such a massive expansion of official immunity upon the language of
Harlow
and later cases, without more specific indication that that was intended. No court, as far as we are aware, has extended
Harlow
’s proscription of subjective inquiry beyond the issue of knowledge of the law and intent related to knowledge of the law, except in a national security context. Though often unanalyzed, the approach has been that most clearly expressed by Judge Rubin in
Kenyatta v. Moore,
Because the Court did not [in Harlow ] purge substantive constitutional doctrine of all subjective issues, it did not entirely eliminate subjective inquiry from every qualified immunity analysis: some rights ... might be violated by actions undertaken for an impermissible purpose but not by the same actions undertaken for permissible purposes. *187 See also Stathos v. Bowden,728 F.2d 15 , 20 (1st Cir.1984); McGee v. Hester,724 F.2d 89 , 92 (8th Cir.1983). 5 This circuit has clearly aligned itself with that point of view. See Hobson v. Wilson,737 F.2d 1 , 27 & n. 79, 30-31 (D.C.Cir.1984), cert. denied,470 U.S. 1084 ,105 S.Ct. 1843 ,85 L.Ed.2d 142 (1985); Briggs v. Goodwin,698 F.2d 486 , 491-93, vacated on other grounds,712 F.2d 1444 (D.C.Cir.1983).
We have not considered, however, nor to our knowledge has any other court of appeals, whether the objective principle of
Harlow
extends to the specific area of intent (unrelated to knowledge of the law) that consists of the validating intent to protect national security. Two district courts, however, including our own, have answered that question in the affirmative.
See Burkhart v. Saxbe,
The concept of a special rule for national security matters is no stranger to court-made law — from reduced due process requirements,
see Haig v. Agee,
Requiring national security validating intent to be determined on an objective basis would confer special treatment less expan
*188
sive than the examples just mentioned since it would not alter the rules of conduct governing official action but merely the manner of proof in a damage action. In that regard it is closely analogous to the exception, in the national security context, to the general rule of executive amenability to judicial process,
see United States v. Nixon,
compulsion of the evidence will expose ... matters which, in the interest of national security, should not be divulged.”
United States v. Reynolds,
While the state secrets privilege protects primarily the content of national security information, and the qualified immunity defense primarily the process of national security decision-making, in our view the latter is equally worthy of special protection, which Harlow was meant to provide. Accordingly, at least where, as here, the officials claiming immunity purported at the time they engaged in the challenged conduct to have been motivated by national security concerns, a purely objective inquiry into the pretextuality of the purpose is appropriate. That is to say, if the facts establish that the purported national security motivation would have been reasonable, the immunity defense will prevail. 6
Ill
The District Court granted summary judgment because the “objective record ... reflecte[d] a rational national security concern.”
Contrary to defendants’ arguments,
see
Brief for Appellees at 23-24, application of summary judgment rules to the objective test is entirely consistent with this court’s decisions in
Zweibon IV,
In
Zweibon IV
we simply reiterated
Chagnon
to reject the plaintiffs’ contention that because the putative domestic security wiretap constituted “ ‘ “a good faith” surveillance undertaken
primarily
for prosecutorial purposes, [the defendant] violated “clearly established” law.’ ”
We turn, then, to application of the summary judgment standard to, first, the initiation and, then, the duration and scope of the wiretap.
A
The District Court, believing it irrelevant whether Dr. Halperin had access to information that was
actually
leaked, J.A. 230-31, based its summary judgment of qualified immunity on the uncontested observation that Dr. Halperin “was exposed to [classified] national security information while on the NSC staff.”
When we first considered this case, Dr. Halperin had admitted having learned of the bombing of North Vietnamese sanctuaries in Cambodia “soon after the bombing began, probably in March 1969,” Plaintiffs’ Answers to Defendants’ Second Interrogatories, No. 10 (Mar. 31, 1976), and that he might have had access to limited planning papers concerning the withdrawal of troops from North Vietnam, Deposition of M. Halperin at 184. The evidence also reflected that those who initiated the wiretap knew that Dr. Halperin had roomed with the reporter who wrote the May 9, 1969 story, that he failed to report stops in Greece, Yugoslavia, and the Soviet Union when filling out a 1966 Department of Defense form, and that he misidentified a Russian national with whom he lunched in 1967.
Halperin I,
Since the first appeal, however, further information has surfaced bearing on the objective reasonableness of the national security purpose. Upon production of accumulated work-related documents that Dr. Halperin had deposited with the National Archives, Dr. Halperin admitted that “[t]he documents ... demonstrate that [he] had access to option papers discussing the possibility of [a Cambodia bombing operation, secret talks with the North Vietnamese, and the withdrawal of troops from Vietnam], as well as contingency planning in the event these steps might be taken.” J.A. 220. Further, plaintiffs have not denied that Dr. Halperin had advance knowl
*191
edge of the decision to alter the Administration’s negotiating strategy regarding the reversion of Okinawa to Japanese control, which was also leaked to and reported by the press.
See
Brief for Appellees at 10 n. 10, 30 n. 30;
see also Smith II,
Plaintiffs argue that summary judgment is inappropriate because Dr. Halperin “vigorously asserts,” Brief for Appellants at 20 n.* (citing J.A. 220), that he “did not have prior access to the details of the Cambodian bombing operation which were revealed in the New York Times on May 9, 1969,” J.A. 220 (emphasis added). Even if this is so, it does not undercut the force of Halperin’s admission that he had nearly unique access to what was (in light of the United States’ agreement with Prince Sihanouk of Cambodia, see Nixon Deposition at 22, 32-34) the single most damaging detail that was leaked. On the basis of the evidence, a reasonable jury might disagree with the decision to tap plaintiffs’ telephone. But no reasonable jury could fail to find that there were reasonable national security grounds for such a wiretap. Summary judgment as to the initiation of the wiretap was therefore proper.
B
While defendants are entitled to immunity for their initiation of the wiretap, plaintiffs contend that immunity does not attach to the allegedly illegal duration and scope of the wiretap under Title III and the fourth amendment’s reasonableness requirement.
We have already held that “Title III will apply to any period during which the wiretap did not involve the primary purpose of protecting national security information against foreign intelligence activities.”
9
Halperin I,
As to that period during which every reasonable juror would agree that the initially rational national security concern continued to justify the wiretap, defendants were still obliged to comply v(ith both the reasonableness and the warrant requirements of the fourth amendment.
Halperin I,
*192 In Halperin I we said, with apparent reference to all fourth amendment elements:
The District Court also applied the objective standard, finding that the defendants violated the Fourth Amendment, and, “[l]ike any other citizen, these officials are charged with knowledge of established law and must be held accountable for personal misconduct.”
We find no basis for disturbing these rulings. Certainly there were no reasonable grounds for believing that the continuing surveillance was in accord with the Constitution____
The state of that law was, however, more intensively perused in our post-Harlow cases, and the clear and unequivocal summary of their conclusion is as follows:
We ... acknowledged in Sinclair [v. Kleindienst,645 F.2d 1080 (D.C.Cir. 1981),] that there “was no judicially imposed reasonableness requirement for national security wiretaps [in 1969-71],” id. at 1082, and that the minimization procedures Mitchell himself had prescribed ... “predated any judicial requirement for them in national security surveillance.”645 F.2d at 1085 . Similarly, in Chagnon v. Bell, [642 F.2d at 1262 (involving a wiretap conducted in 1977-78) ], we noted that even in its 1972 Keith opinion the Supreme Court had “declined to delineate ‘precise standards for domestic security warrants’ ” and instead had invited Congress to articulate them____ It is plain, therefore, that there existed no clearly established warrant or reasonableness requirements at the time Mitchell authorized the JDL surveillance [in 1970-711.
Zweibon IV,
We have acknowledged in the past that “the law of the case ‘is not an inexorable command that rigidly binds a court to its former decisions but rather is an expression of good sense and wise judicial practice.’ ”
Melong v. Micronesian Claims Commission,
that informs the law-of-the-case doctrine,
Melong,
IV
Each defendant also claims absolute immunity, both derivatively from his position as a key presidential aide, and functionally because he was discharging a special “function so sensitive as to require a total shield from liability,”
Harlow, 457
U.S. at 813,
If performance of a national security
function
does not entitle the Attorney General to absolute immunity, then the fact that the National Security Advisor’s
“entire
function is defined by the interrelated concepts of national security and foreign policy,” Appellees’ Supplemental Memorandum at 11-12 (citation omitted) (emphasis added), can hardly justify the conferral of absolute immunity upon that office as such, as counsel for Kissinger would urge. Mitchell and Haldeman, for their part, argue that they are entitled to absolute immunity because of (respectively) the Attorney General’s “central legal functions,”
see
Appellees’ Supplemental Memorandum at 11, and the Chief of Staff’s “critical role ... in the functioning of the modern Presidency,”
id.
at 11-12. But those arguments simply restate defendants’ job titles. The functions of both offices display the same characteristics described by the Supreme Court in rejecting absolute immunity for the Attorney General in
Forsyth, see
We affirm the District Court’s grant of summary judgment to defendants as to the initiation of the wiretap, but remand to the District Court to determine, in accordance with this opinion, the period (beginning with the wiretap’s initiation and ending no later than May 1970) during which no reasonable jury could find the wiretap’s putative national security purpose objectively unreasonable. As to that period, summary judgment against plaintiffs will lie on the Title III claim, and as to the period thereafter the case may proceed to trial on the Title III claim. The period for which summary judgment is granted on the Title III claim is still subject to the fourth amendment reasonableness requirement. The District Court must determine the portion of that period for which defendants are entitled to summary judgment on the fourth amendment reasonableness claim because no reasonable jury could find that the wiretap violated what the Halperin I court found to have been the clearly established reasonableness standards. Of course, any claim that survives summary judgment will still be subject to an assertion of qualified immunity based upon evidence adduced at trial.
So ordered.
MIKVA, Circuit Judge, with whom ROBINSON, Circuit Judge, joins, concurring:
Among the issues we must decide in this case is whether the qualified immunity defense shields the appellees from the appellants’ fourth amendment reasonableness claim. We hold that the defense does not shield the appellees from this claim, because Halperin I already decided that the reasonableness requirement was clearly established, and we decline to depart from the law of the case.
Notwithstanding Justice Scalia’s suggestion to the contrary,
Halperin I
unambiguously held that the fourth amendment reasonableness requirement was clearly established with respect to national security wiretaps in 1969. The district court decision on review in that case had stated that the scope and duration of the Halperin wiretap represented the “antithesis of the ‘particular, precise, and discriminate’ procedures required by the Supreme Court, in numerous Fourth Amendment eases.”
Courts, of course, need not always adhere to the law of the case. In certain circumstances, law of the case rules will give way, and courts will reconsider matters once decided during the course of a lawsuit. The most common and most widely accepted formulation of the scope of the law of the case doctrine comes from White v. Murtha, 377 F.2d 428 (5th Cir.1967), in which the court stated that the law of the case
must be followed in all subsequent proceedings in the same case in the trial court or on a later appeal in the appellate court, unless the evidence on a subsequent trial was substantially different, controlling authority has since made a contrary decision of the law applicable to such issues, or the decision was clearly erroneous and would work a manifest injustice.
Id.
at 431-32 (cited in
Arizona v. California,
The primary dispute arising from application of the
Murtha
test to this case concerns the “intervening law” branch of that test. No one has seriously argued that the evidence presented by the defendants in their second trial is sufficient to allow this court to disregard the law of the case. Similarly, no one appears to claim that this case presents any of the “truly ‘exceptional circumstances,’ ”
Laffey v. Northwest Airlines, Inc.,
As an initial matter, the intervening law of which
Murtha
speaks primarily means law deriving from statute or a higher court.
See
18 C. Wright, A. Miller & E. Cooper, Federal Practice and Procedure: Jurisdiction § 5023 (1981). Although courts have often departed from the law of the case as a result of an amendment of a statute,
see, e.g., Amen v. City of Dearborn,
Second, even assuming that a court may under certain circumstances depart from the law of the case because of an intervening decision by a different panel of the same court, this case is not one in which to take that step. Appellees rest their argument on three intervening decisions of this court, but none of those cases is on all fours with the case sub judice and none offers a sufficiently cogent and overarch-
*196
ing analysis of the reasonableness issue to control this case. In
Chagnon v. Bell,
We therefore follow the panel in Halpe-rin I and remand to the district court to determine the precise period in which the wiretap violated Halperin /’ s view of clearly established fourth amendment reasonableness doctrine. If but only if, any part of this period falls outside the period in which the remedies of Title III apply, the constitutional remedy will come into play.
Justice Scalia suggests that in so remanding, we give the district court an impossible task; according to Justice Scalia, the district court will have to “psychoana-lyse],” with little or no guidance, the judges who composed the Halperin I court. We think this characterization of the district court’s task overdramatic and incorrect. The court need do no more than go back to the principles and cases cited by the district court and approved by the circuit court in Halperin I in order to perform its duty. The far greater worry than that the district court will have to “psychoanalyze” the Halperin I court is that future litigants before this court will have to “psychoanalyze” individual judges in order to determine whether they will apply the law that they should apply — the law that has already been argued and decided in the case before the court.
Courts are never comfortable when they have to choose between conflicting analy-ses of legal questions offered by different configurations of the jurists who compose a court. Such conflicts are baffling to the parties and embarrassing for the court. We will never be wholly free of such conflicts: hard questions and large courts make their avoidance nearly impossible. But we can try to deal with these conflicts in a sensible and judicious way. When a panel does not follow or does not clearly discern the law of a circuit and utter confusion results, subsequent judges serve *197 bench and bar better by adhering to the law of the case than by playing pick and choose among the cases precedent.
Notes
. We also affirmed the District Court’s holding that Nixon was not entitled to absolute immunity.
. Title III furnishes a good faith defense that, for the purpose of this case, is identical to the
pre-Harlow
qualified immunity test.
Halperin I,
. Prior to the first appeal of this case the District Court found that “defendants’ determination that Title III was inapplicable to the Halpe-rin wiretap was reasonable during the period of surveillance.”
Halperin v. Kissinger,
. Here, as in the last sentence of the previous paragraph (dealing with immunity for violation of Title III), we advisedly state that merely
a
national security purpose was required, and not that that purpose must have been "primary." Opinions of both this and other courts have repudiated a "primary purpose” test for determining substantive legality of a putative national security wiretap under Title III and the fourth amendment.
See Zweibon v. Mitchell (“Zweibon IV"),
. Egger v. Phillips,
Tubbesing v. Arnold,
. Contrary to appellants’ argument, the Supreme Court’s opinion in
Forsyth
does not preclude such a result. There the Court held that summary judgment was appropriate because it could infer that the district court had already found the challenged wiretap to have had a national security purpose.
See Forsyth,
. While the court’s analysis is not pellucid, a companion case illuminates what appears to be its reasoning: "At the very least it can be said that
Harlow
renders certain facts no longer ‘material’ within the meaning of Rule 56: ‘subjective motivation’ and ‘intention’ are of no legal significance after
Harlow
and may not be the subject of inquiry.”
Smith v. Nixon,
. The evidence included letters from Senator Goldwater to Nixon and Mitchell recommending Dr. Halperin’s ouster, and Kissinger’s apparent directive on June 4, 1969 to continue the surveillance to establish ‘“a pattern of innocence,”'
Halperin I,
. Since qualified immunity turns only on whether every reasonable jury would find that a national security justification was reasonable, we need not resolve the apparent contradiction with cases that reject primary purpose as the standard on the merits. See supra note 4.
. The concurrence suggests that guidance can be derived from examination of the cases cited by the
Halperin I district
court.
See Halperin,
. The concurrence accuses me, in adopting this resolution, of "playing pick and choose among the cases precedent.” Concurrence at 5. Leaving oneself open to that charge is, of course, an inevitable consequence of following the well-established rule that law of the case is not an inflexible doctrine. The concurrence is inaccurate, however, to portray the choice before us as merely one between two conflicting analyses in our circuit case-law, both of which are equivalently authoritative. Were that so, I would assuredly follow the analysis previously announced in the present case. But, as plaintiffs themselves at one time acknowledged to this court,
Zweibon IV,
being the more recent opinion,
is the law of this circuit,
so that the choice is between following that law or adhering to the erroneous view expressed in
Halperin I. See
Appellants’ Opposition to Appellees’ Motion for Summary Affirmance at 2 (filed Apr. 6, 1984)
("Zweibon IV, Sinclair,
and
Chagnon
held that the reasonableness requirement was not clearly established.”);
id.
at 3 n.*, 8 (because law of circuit contrary to
Halperin I
reversal would require
en banc
review). If there is any risk of "playing pick and choose” created by the opinions in this case, I suggest it is to be found in the concurrence’s novel proposition that when a panel opinion
(Zweibon IV)
contradicts an earlier panel opinion
(Halperin I)
the later opinion does not control, but rather merely “renders the current law of the circuit unclear," Concurrence at 4, leaving later panels free to go either way. That proposition leaves the law of this circuit in confusion, not merely with respect to the present issue of fourth amendment reasonableness, but with respect to many other fields as well.
See, e.g., Riegle v. Federal Open Market Committee,
