While awaiting a parole hearing, appellant Richard S. Berry sought copies of his presentence investigation report and Report on Sentenced Offender from the United States Parole Commission. When his request was denied, Berry filed this action pursuant to the Freedom of Information Act (FOIA). The district court dismissed Berry’s suit on the ground that the reports are court documents and thus exempt from disclosure under the FOIA. Berry appealed. Because presentence investigation reports and Reports on Sentenced Offenders are agency records when they are in the possession of either the Federal Bureau of Prisons or the Parole Commission, we reverse and remand for additional proceedings.
FACTUAL AND PROCEDURAL BACKGROUND
Richard S. Berry was sentenced to three years imprisonment for conspiracy to transport money obtained by interstate fraud. In compliance with Federal Rule of Criminal Procedure 32(c), 1 Berry was permitted to review his presentence investiga *1345 tion report prior to sentencing. He was not permitted to retain a copy of the report. Similarly, in compliance with the Parole Commission and Reorganization Act, 18 U.S.C. § 4201 et seq. (1976), 2 Berry was permitted to review both his Report on Sentenced Offender and his presentence report briefly before his parole hearing. 3 Berry requested copies of the presentence report, the Report on Sentenced Offender, and other documents from the Federal Bureau of Prisons, the Parole Commission, and, ultimately, from the Department of Justice. Although a number of documents were given to Berry, he was denied copies of his presentence report and Report on Sentenced Offender. Berry filed this lawsuit pursuant to the Freedom of Information Act, 5 U.S.C. § 552 (1976), to obtain copies of the contested documents.
The government moved to dismiss the action on the ground that the undisclosed documents are court records and are thus exempt from disclosure under the FOIA. This motion was granted on March 14, 1983. Plaintiff filed a timely appeal.
DISCUSSION
I. Background
The FOIA was enacted in 1966 to “permit access to official information long shielded unnecessarily from public view.”
EPA v. Mink,
Presentence investigation reports are prepared by court probation officers. They contain a broad range of information about a defendant’s background, recommend a sentence to the court, suggest a treatment plan, and contain an independent investigation of the offense charged. Fennell & Hall,
Due Process at Sentencing: An Empirical and Legal Analysis of the Disclosure of Presentence Reports in Federal Courts,
93 Harv.L.Rev. 1613, 1617 (1980) (hereinafter “Fennell & Hall”). The report is used by the court in the sentencing process,
see
Division of Probation, Administrative Office of the United States Courts,
The Presentence Investigation Report
1 (1978), and by the Bureau of Prisons to classify
*1346
and plan the release of prisoners,
United States v. Cesaitis,
The Report on Sentenced Offender is prepared by the sentencing judge. It presents a statement of sentencing objectives and a recommendation of the type of institution in which the defendant should be imprisoned. It also permits the judge to comment on treatment needs and the propriety of parole. Like the presentence report, the Report on Sentenced Offender is forwarded to the Bureau of Prisons and the Parole Commission and is relied upon in making correctional decisions affecting the prisoner. The Report is intended to promote communication between the sentencing judge and correctional authorities to encourage “consistent treatment of the defendant at the sentencing and parole release stages.” Fennell & Hall, supra, 93 Harv.L.Rev. at 1683.
II. The Split Between the Circuits
A. The D.C. Circuit Standard
The issue we confront today was first addressed by the D.C. Circuit in
Carson v. Department of Justice,
Carson
traces the history of ‘agency records’ cases under the FOIA.
Cook v. Willingham,
Cook
was cited with approval in
Goland v. Central Intelligence Agency,
The
Goland
standard was applied and disclosure ordered in
Ryan v. Department of Justice,
After reviewing these cases, the
Carson
court applied their rationale to presentence reports. It noted two major changes in the treatment of presentence reports since the
Cook
decision. First, Federal Rule of Criminal Procedure 32(c), adopted in 1975,
*1347
requires sentencing courts, upon request, to show defendants substantial portions of presentence reports. Second, the Parole Commission and Reorganization Act, 18 U.S.C. § 4201
et seq.
(1976), expressly requires parole authorities to consider available presentence reports in making parole determinations. The court read this requirement to vest “the Parole Commission with a degree of control over available reports commensurate with the fulfillment of its statutory mission as an agency.”
Carson,
B. The First Circuit Approach
The First Circuit differs with the D.C. Circuit over whether presentence reports are agency records under the FOIA. In
Crooker v. United States Parole Commission,
Crooker
acknowledged that the
Goland
control test is properly applied to determine whether documents are agency records.
Crooker,
Crooker analyzed the relative control exercised over presentence reports by the courts and the Parole Commission. It found court control to be fairly pervasive. Courts can, in some circumstances, choose not to have presentence reports written, id. at 6, they need not reveal to defendants those parts of the report that are not relied upon in sentencing, id. at 6-7, and, under Rule 32, they have discretion to leave a copy of the report in the defendant's possession. Id. at 7.
Conversely, Crooker found the Parole Commission to exercise little control over presentence reports. The Parole Commission. cannot require that a presentence report be written, although it must rely on reports that are already available, id. at 7, the Commission may rely on information more recent than presentence reports in making parole determinations, id. at 7, it must provide summaries of all materials in the report to the defendant, unlike courts that must summarize only factual materials relied upon in sentencing, id. at 8, and, also unlike the courts, the Parole Commission is not free to leave a copy of the presentenee report in the defendant’s possession. Id. Finally, Crook-er expresses a concern that if presentence reports are deemed agency records, defendants’ privacy may be invaded when FOIA requests for presentence reports from persons other than the defendant must be respected. Id. at 8-10. On balance, the First Circuit concludes that presentence reports should not be deemed agency records. Id. at 10-11.
III. Transforming Court Documents Into Agency Records in the Ninth Circuit.
A. Warth v. Department of Justice
The Ninth Circuit case that discusses the agency records question in greatest detail,
Warth v. Department of Justice,
*1348
Warth
bars us from adopting in full the
Goland
“control” standard applied in
Carson.
Despite protestations to the contrary,
see Warth,
Although such analysis would easily resolve the issue before us, 6 we are not free to adopt this control test. The trial transcript at issue in Warth was not, in any sense, a confidential document. A federal statute requires that transcripts be available for public viewing. See 28 U.S.C. § 753(b) (1976 and Supp.1982). Thus, confidentiality is not dispositive of a document’s status as an agency record in this circuit.
By discarding the confidentiality aspect of Goland's analysis, Warth is also discarding much of the Goland standard. The case before us, therefore, turns on the meaning of Warth. The government argues that Warth adopts an “origination” test, while Berry claims it adopts a “control” test. We discuss these arguments in turn.
B. Origination is Not the Test
The government asks this court to adopt an origination test to decide whether documents are agency records under the FOIA. Under this test, documents generated by nonagencies would never be discoverable under the FOIA.
Heeding both logic and precedent, we reject this argument categorically. In
Goland,
the D.C. Circuit held that the “origins of a document, standing alone” do not “dictate” that it is a nonagency record.
Goland,
C. Toward a Meaningful Control Test
Berry argues that the control test, created in
Goland
and applied to compel disclosure of presentence reports in
Carson,
should be the law of this circuit. We have shown a willingness to move in this direction, because
Warth
claimed to cite
Go-land
with approval. In another sense, however, the control test is not very helpful. When the Supreme Court was asked to decide if Secretary of State Kissinger’s personal notes of telephone conversations were agency records, it offered no more than a list of factors relevant to this determination.
Kissinger,
We hold that court-generated documents are agency records if they are 1) in the possession of an agency and 2) prepared substantially to be relied upon in agency decisionmaking.
Both of these requirements are mandated by case law. Possession of the document by an agency was deemed a prerequisite to agency record status in
Forsham v. Harris,
Possession alone, however, does not transform a document from a court to an agency record.
See Goland,
One of the goals of the FOIA is to allow the public to determine how agencies reach decisions.
SDC Development Corp. v. Mathews,
IV. Presentence Reports and Reports on Sentenced Offenders Constitute Agency Records When in the Possession of Government Agencies
Both presentence reports and Reports on Sentenced Offenders are routinely forwarded to the Bureau of Prisons and the Parole Commission. They are clearly “possessed” by government agencies.
Both of the reports at issue are also intended to be relied upon in the agency decisionmaking process.
11
Rule 32 recog
*1351
nizes that presentence reports will be relied upon by correctional authorities when it requires that the reports include informa
tios.
that “may be helpful ... in the correetional treatment of the defendant.” Fed.R. Crim.P. 32(c)(2).
See
Note,
A Proposal to Ensure Accuracy in Presentence Investigation Reports,
91 Yale L.J. 1225, 1229 n. 22 (1982). Commentators have noted that presentenee reports are prepared “with the intention of assisting the Federal Bureau of Prisons in classification, institutional programming, and release planning decisions.” Schmolesky & Thorson,
The Importance of the Presentence Investigation Report After Sentencing,
18 Crim.L.Bull. 406, 407 (1982) (footnote omitted).
See
Comment,
Proposed Changes in Presentenca Investigation Report Procedures,
66 J.Crim.L. & Crim. 56, 56 n. 5 (1975). The reports are, in fact, routinely relied upon in prison decisionmaking.
See United States v. Cesaitis,
Similarly, the Report on Sentenced Offender is prepared substantially to be relied upon in agency decisionmaking. “This form allows the judge to communicate his recommendations on place of incarceration and treatment to the Bureau of Prisons, and his recommendation for parole release to the hearing examiner.” Fennell & Hall, supra, 93 Harv.L.Rev. at 1681. In fact, the form is completed by the judge at the final stage of the sentencing process and thus must be aimed primarily at post-sentencing (that is, agency) objectives. We find that the Report on Sentenced Offender is an agency record when it is in the possession of either the Federal Bureau of Prisons or the Parole Commission. 13
V. Limitations on Disclosure
Presentence reports often contain -fairly intimate information about defendants. The government argues that public disclosure of that information might improperly intrude on a defendant’s privacy 14 or undercut government rehabilitative efforts. We address these issues in turn.
A. Disclosure to Third Parties
Both the government and the First Circuit in
Crooker,
Experience suggests that third party requests for presentence reports would not be common. In the D.C. Circuit, presentence reports have been agency records since the Carson decision in 1980. In the last four years, however, there are no reported cases where third parties have requested access to reports. Moreover, we can locate no cases suggesting that defendants’ privacy has been invaded. There is no reason to think that our experience in the Ninth Circuit will be different from that in the District of Columbia.
Conversely, in those circuits where presentence reports are not agency records, third party access is not completely barred. If disclosure of a report is necessary to serve the ends of justice, courts will order disclosure.
See United States v. Anderson,
Moreover, third parties will rarely have access to presentence reports under the FOIA scheme. FOIA exemption (6) exempts from disclosure “personnel and medical files and similar files the disclosure
*1353
of which would constitute a clearly unwarranted invasion of privacy.” 5 U.S.C. § 552(b)(6). The phrase “similar files” is to be given an expansive interpretation,
see United States Department of State v. Washington Post Co.,
B. Disclosure to the Defendant
The FOIA scheme also precludes disclosure of certain information to the defendant himself where such revelation would prove harmful. The Parole Commission and Reorganization Act maintains the confidentiality of:
(1) diagnostic opinions which, if made known to the eligible prisoner, could lead to a serious disruption of his institutional program;
(2) any document which reveals sources of information obtained upon a promise of confidentiality; or
*1354 (3) any other information which, if disclosed, might result in harm, physical or otherwise, to any person.
18 U.S.C. § 4208(b) (1976). FOIA exemption (3) exempts from disclosure documents that are “specifically exempted from disclosure by statute ... provided that such statute ... establishes particular criteria for withholding or refers to particular types of matters to be withheld.” 5 U.S.C. § 552(b)(3) (1976). Since the Parole Commission and Reorganization Act qualifies as a withholding statute, certain information will be kept from the defendant under the FOIA scheme.
Exemption (3), originally a broad mechanism for avoiding disclosure,
see Administrator, FAA v. Robertson,
Here, there can be little doubt that Congress saw a public interest in maintaining the confidentiality of specific portions of presentence reports and Reports on Sentenced Offenders. The reports have long been confidential,
see
C. Wright,
Federal Practice and Procedure
Criminal 2d § 524 (1982), and the reasons for maintaining confidentiality of certain portions of the reports appear in the statute itself. 18 U.S.C. § 4208(b) (1976). The Parole Commission and Reorganization Act is an express nondisclosure statute which affirmatively requires confidentiality to achieve stated goals. We hold that it constitutes a withholding statute under exemption (3).
Cf., e.g., Lee Pharmaceuticals v. Kreps,
*1355 VI. Effect on the Quality of the Report
The government argues that disclosing the presentence report will chill sources of information for the report and decrease the report’s accuracy. 18 This contention has been raised for decades, and has now been disproved, both analytically and empirically. In 1944, the Advisory Committee on Criminal Rules to the Judicial Conference of the United States submitted to the Supreme Court a draft provision requiring full disclosure of presentence reports to the parties once guilt was established. This proposal was ultimately dropped in the face of strong judicial opposition.
Thirty years later, this dispute resurfaced and the advocates of disclosure carried the day. In 1975, the Supreme Court approved and Congress adopted the version of Rule 32(c)(3) at issue in this lawsuit. The rule requires disclosure to the defendant, upon request, of the factual sections of the presentence report, subject to certain exceptions. The defendant is generally not permitted to retain a copy of the report. 19 Fennell & Hall, supra, 93 Harv.L.Rev. at 1646-47. Thus, routinely, the defendant has two opportunities to view his presentence report — once before sentencing and once before his parole hearing.
Despite the fears of those who opposed Rule 32(c)(3), disclosure has not chilled information sources. Fennell & Hall, supra, 93 Harv.L.Rev. at 1686. Moreover, those districts that make copies of reports available to defendants report no information loss. Comment, supra, 66 J.Crim.L. & Criminology at 58 & n. 22. Empirical studies examining the effect of disclosure con-elude that “disclosure has been achieved without the serious repercussions predicted by opponents of the mandatory disclosure rule.” Fennell & Hall, supra, 93 Harv.L. Rev. at 1689; see McLauchlan, Privacy and the Presentence Report, 54 Ind.L.J. 347, 353 (1979). In fact, “a significant minority of the judges ... believe that disclosure has improved the quality of the report.” Fennell & Hall, supra, 93 Harv.L.Rev. at 1688. Thus, empirics suggest that the government’s argument is without merit.
Beyond empirics, common sense suggests that making copies of reports available to defendants will not chill information sources. Under Rule 32, defendants have the right to view substantial portions of their presentence reports. Fed.R.Crim.P. 32(c). If any chilling of sources were to occur, this disclosure would certianly trigger it. It is unlikely that any additional chilling will be caused by permitting defendants to retain copies of that which they have already seen.
Finally, the Supreme Court has recently suggested that any information loss that might result from disclosure of presentence investigation reports is not a significant threat to the quality of reports.
See Gardner v. Florida,
CONCLUSION
Presentence investigation reports and Reports on Sentenced Offenders, because they are substantially prepared for agency use, are agency records under the FOIA when they are in the possession of either the Federal Bureau of Prisons or the United States Parole Commission. On remand, the Department of Justice is free to assert any alternative FOIA exemptions that may preclude disclosure.
REVERSED AND REMANDED.
Notes
. Prior to 1983, Federal Rule of Criminal Procedure 32(c) provided, in pertinent part:
(C) Presentence Investigation.
....
(3) Disclosure.
(A) Before imposing sentence the court shall upon request permit the defendant, or his counsel if he is so represented, to read the report of the presentence investigation exclusive of any recommendation as to sentence, but not to the extent that in the opinion of the court the report contains diagnostic opinion which might seriously disrupt a program of rehabilitation, sources of information obtained upon a promise of confidentiality, or any other information which, if disclosed, might result in harm, physical or' otherwise, to the defendant or other persons; and the court shall afford the defendant or his counsel an opportunity to comment thereon and, at the discretion of the court, to introduce testimony or other information relating to any alleged factual inaccuracy contained in the presentence report.
(B) If the court is of the view that there is information in the presentence report which should not be disclosed under subdivision (c)(3)(A) of this rule, the court in lieu of making the report or part thereof available shall state orally or in writing a summary of the factual information contained therein to be relied on in determining sentence, and shall give the defendant or his counsel an opportunity to comment thereon. The statement may be made to the parties in camera.
(C) Any material disclosed to the defendant or his counsel shall also be disclosed to the attorney for the government.
(D) Any copies of the presentence investigation report made available to the defendant or his counsel and the attorney for the government shall be returned to the probation officer immediately following the imposition of sentence or the granting of probation, unless the court, in its discretion otherwise directs.
The revisions to Rule 32 that became effective after this lawsuit was filed do not alter our analysis. See Fed.R.Crim.P. 32(c) (August 1, 1983).
. The Parole Commission and Reorganization Act provides, in pertinent part:
§ 4208. Parole determination proceeding; time
....
(b) At least thirty days prior to any parole determination proceeding, the prisoner shall be provided with (1) written notice of the time and place of the proceeding, and (2) reasonable access to a report or other document to be used by the Commission in making its determination. A prisoner may waive such notice, except that if notice is not waived the proceeding shall be held during the next regularly scheduled proceedings by the Commission at the institution in which the prisoner is confined.
(c) Subparagraph (2) of subsection (b) shall not apply to—
(1) diagnostic opinions which, if made known to the eligible prisoner, could lead to a serious disruption of his institutional program;
(2) any document which reveals sources of information obtained upon a promise of confidentiality; or
(3) any other information which, if disclosed, might result in harm, physical or otherwise, to any person.
If any document is deemed by either the Commission, the Bureau of Prisons, or any other agency to fall within the exclusionary provisions of subparagraphs (1), (2), or (3) of this subsection, then it shall become the duty of the Commission, the Bureau, or such other agency, as the case may be, to summarize the basic contents of the material withheld, bearing in'mind the need for confidentiality or the impact on the inmate, or both, and furnish such summary to the inmate.
18 U.S.C. § 4208 (1976).
. Berry was permitted to view the reports once, for approximately one hour, 30 days before his parole hearing.
. The
Goland
control test was reaffirmed in
Lykins v. United States Department of Justice,
. The government attorney working on this case has demonstrated extraordinary diligence and strength of character. The decisions in both
Lykins
and
Crooker v. United States Parole Commission,
. Here, the court is statutorily required to reveal the presentence report to the defendant. Fed.R. Cr.P. 32(c); Parole Commission and Reorganization Act, 18 U.S.C. § 4208(b) (1976). Just as initial secrecy led to continued secrecy in Go-land, initial disclosure would require later disclosure here.
. Kissinger notes:
We simply decline to hold that the physical location of the notes of telephone conversations renders them "agency records.” The papers were not in the control of the State Department at any time. They were not generated in the State Department. They never entered the State Department’s files, and they were not used by the Department for any purpose.
Kissinger,
. Commentators, too, have wrestled with the problem of defining the phrase "agency records.” Their thoughts are helpful, although, constrained by precedent, we are not always free to adopt their conclusions. See, e.g., Note, The Definition of “Agency Records" Under the Freedom of Information Act, 31 Stan.L.Rev. 1093, 1115 (1979) (adopting a definition inconsistent with Warth)-, Note, "Agency Records" Under the Freedom of Information Act: An Analysis of Forsham v. Califano, 13 Ga.L.Rev. 1040, 1067-68 (1979) (adopting a definition inconsistent with Forsham).
. In addition, the jurisdictional requirement for a district court to hear a FOIA case is "improper withholding of agency records.”
See GTE Sylvania, Inc. v. Consumers Union of the United States,
. The limits of this holding arc worth noting. First, we are addressing only the transformation of
court
documents into agency records.
Warth
suggests that court documents may be entitled to special treatment under the FOIA scheme.
Warth,
Second, we note that while our holding establishes one route to disclosure, others may be developed by subsequent cases. In some instances, the fact that a file was assembled — or that a particular document was included in the filc — may be significant independent of the contents of the documents themselves. This independent significance might warrant disclosure in certain cases. Cf.,
e.g., SDC Development Corp. v. Mathews,
Additionally, considerations other than reliance by an agency in its decision-making processes may suffice to trigger the FOIA. For instance, raw research data possessed by an agency and funded by a federal grant might constitute an agency record, even if reliance were lacking. See Note, "Agency Records" Under the Freedom of Information Act: An Analysis of Forsham v. Califano, 13 Ga.L.Rev. 1040, 1061-62 (1979) (discussing funding, access, and reliance as criteria).
. It is this second prong of our proposed test that distinguishes Warth. There, the trial transcript was prepared for court use. Although it might incidentally be used by an agency, it was not "prepared substantially” for agency use.
Additionally, unlike
Warth,
the vast majority of federal cases to address the issue conclude that judicial transcripts in the possession of agencies constitute agency records. Those courts then look to the FOIA exemptions to determine if the documents must be disclosed.
*1351
See Fund for Constitutional Government v. National Archives and Records Svc.,
. The First Circuit, in
Crooker,
unfairly discounts the effect of presentence reports in the parole process.
Crooker
accurately acknowledges that “presentenee reports may in some cases be central to the Parole Commission’s .
c c
i • i i , • primary function ol making parole determinaf. . 2 v , iL. tions,
Crooker,
Parole decisions are based on a Guideline Table prepared by the United States Board of Parole. The Table consists of two indices on which inmates are scored: an "Offense Severity” index and a risk of parole violation or "Salient Factor” index. These two indices form the axes of a matrix. Inmates are scored and rated on each of the indices and parole hearing examiners then look to the intersection of the scores to make a parole decision. See generally Project, Parole Release Decisionmaking and the Sentencing Process, 84 Yale L.J. 810, 822-34 (1975).
Crucially, and absolutely contrary to the First Circuit’s "common sense” view of the matter, neither the Offense Severity score nor the Salient Factor score can change significantly while an inmate is incarcerated. The Offense Severity score simply classifies the offense the defendant committed into one of six groups, ranging from minor thefts to aggravated felonies. The score is unaffected by anything the inmate does while in prison. Similarly, the Salient Factor index cannot be altered substantially by an inmate’s behavior while incarcerated. The index assesses nine weighted personal characteristics of inmates and classifies the person accordingly. "All but two of the nine items are part of the inmate’s past criminal record and behavior; they are ‘static’ and generally known to the j“dSe at the time of sentencing.” Id. at 824. The YaIe Law Journal project that studted the issue concluded that Salient Factor scores usu-ally [do] not cj,ha"|e durlnS the “tire period of incarceration. Id In most cases, the Board s opportunity to observe institutional progress .. t . c and rehabilitation — the only relevant informa- .. . t . . tion not available to the judge at sentencing— , . rc . , j • • » u . o%o does not affect the release decision. Id. at 828.
. The Yale Project is not alone in rejecting the ~ „ „ , . b A11 First Circuits common sense analysis. All . . , j, , , commentators to address the issue conclude that ntence re orts are
the
vitaI document ¡n le release dedsionmaking. See, e.g„ Cur-
^ Fedeml Judicial power> Parole Guidelines¡ and Sentence Reform,
in 2 Prisoners' Rights Sourcebook 91, 106 (I. Robbins ed. 1980); Fennell & Hall,
supra,
93 Harv.L.Rev. at 1617 n. 13; Note,
A Proposal to Ensure Accuracy in Presentence Investigation Reports,
91 Yale L.J. 1225, 1234 (1982).
See also Moore v. Nelson,
. It does not necessarily follow from this holding that the presentence report and Report on Sentenced Offender must be disclosed to Berry. On remand, the government is free to assert any additional FOIA exemptions that may be applicable.
See Carson,
In addition to his FOIA claim, Berry argues that due process entitles him to a copy of his presentence report before his parole hearing. Since our resolution of the FOIA claim gives Berry a statutory opportunity for access, we choose not to address the constitutional issue.
See, e.g., United States v. Raines,
. This possibility is only speculative. In many jurisdictions, the presentence report is routinely made part of the public record and those jurisdictions report no significant intrusion on “the privacy of the individual criminal.” McLauchlan, Privacy and the Presentence Report, 54 Ind.L.J. 347, 355 (1979).
. The First Circuit suggests that exemption (6) may not adequately protect defendants' privacy.
Crooker
argues that disclosure of presenlence reports to third parties would be harmful.
Crooker,
We disagree with this framing of the question. Crooker decides first that documents must be kept secret and then looks for a vehicle to achieve this end. When it concludes that the exemptions will not prevent disclosure, Crooker holds that documents are not agency records.
We prefer to employ the reverse analytic framework. We decide first whether documents are agency records. We then determine whether an exemption applies. By applying this framework, we avoid second-guessing Congress’ wisdom when it drafted the FOIA exemptions. If presentence reports are agency records, they must be disclosed unless exempt. We presume that the exemptions can protect privacy adequately since, after all, that is one of the reasons for which they were enacted.
Moreover, we believe that exemption (6) is fully up to the task for which it was created. The exemption applies only where the privacy interest in nondisclosure “clearly” outweighs the public interest in disclosure. This is perfectly reasonable. If, for instance, a fair trial would be impossible without examination of a third party's presentence report, all courts will order disclosure.
See, e.g., United States v. Charmer Industries, Inc.,
. It almost goes without saying that exemption (6) does not bar access by the defendant himself. Where the record sought "is that of the very individual who seeks its disclosure ... there is no invasion of his privacy, and subsection (6) is inapplicable."
Nix v. United States,
. As part of its universal indictment of the FOIA exemptions,
see
note 15
supra, Crooker
intimates that exemption (3) might not adequately protect presentence reports from disclosure.
Crooker
argues that "exemption 3, like all FOIA exemptions, must be narrowly construed, and much sensitive material could fall on the margins ... and thus might not be protected from FOIA-compelled disclosure.”
Crooker,
As discussed in note 15 supra, this analysis simply evinces the First Circuit’s general objection to the wording of the FOIA. Under all circumstances, exemption (3) must be narrowly construed. Under all circumstances, much sensitive material could fall on the margins of a withholding statute. And, under all circumstances, certain material might not be protected from FOIA-compelled disclosure. There is nothing unique about presentence reports in this regard. The First Circuit's general dissatisfaction with Congress’ choice of language when it drafted the FOIA should not be used as an argument against deeming presentence reports to be agency records.
Moreover, 18 U.S.C. § 4208 provides an extraordinarily clear basis for exemption (3) withholding. Since the language of section 4208 is practically identical to the language of Rule 32, the FOIA will probably entitle defendants to copies of that which they were shown at sentencing and no more. The determination of what must be withheld was made by the trial court at the lime of sentencing; the Parole Commission could simply heed this determination at a later FOIA proceeding. More than almost any other statute, section 4208 provides a clear determination of what is properly withheld under exemption (3).
. Appellee cites
United States v. Charmer Industries, Inc.,
. See also note 1 supra. One might argue that our interpretation of the FOIA distorts the clear intent of the Federal Rules of Criminal Procedure. Rule 32 requires disclosure of presentence reports to defendants but does not require that copies be made available. It would follow that we undercut this intent by providing copies under the FOIA.
This argument is without merit. First, FOIA speaks in terms of disclosure and nondisclosure. It does not recognize degrees of disclosure, such as permitting viewing, but not copying, of documents. Second, the Federal Rules of Criminal Procedure speak to the courts, Fed.R.Crim.P. 1; FOIA speaks to the agencies, 5 U.S.C. § 552(a). Rule 32 limits disclosure by the courts; FOIA may require disclosure by the agencies. To read Rule 32 more broadly than its plain meaning would be to distort the federal statutory scheme.
