Opinion for the court filed by Circuit Judge BUCKLEY.
Appellant Robert Charles Beck invokes the Freedom of Information Act in order to secure certain records pertaining to two Drug Enforcement Administration agents. Citing Exemptions 6 and 7(C) of the Act, the Department of Justice’s Office of Professional Responsibility refused to either confirm or deny the existence of such records. Because the public interest served by the Act would not be advanced by revealing whether the Government has credible evidence that these individuals have engaged in wrongdoing, we agree that the requested information was properly withheld.
I. Background
A. Legal Framework
The purpose of the Freedom of Information Act, 5 U.S.C. § 552 (1988) (“FOIA”), is to “facilitate public access to Government documents.”
Department of State v. Ray,
— U.S. -, -,
Although FOIA’s disclosure requirements are broad, Congress exempted nine categories of documents from the Act’s reach. See 5 U.S.C. § 552(b). Exemption 6 excepts
personnel and medical files and similar files the disclosure of which would consti *1491 tute a clearly unwarranted invasion of personal privacy.
Id. § 552(b)(6). Exemption 7(C) protects
records or information compiled for law enforcement purposes, but only to the extent that the production of such law enforcement records or information ... could reasonably be expected to constitute an unwarranted invasion of personal privacy.
Id.
§ 552(b)(7)(C). The protection available under these exemptions is not the same. Noting the use of the adverb “clearly” in Exemption 6 and its requirement that disclosure constitute an actual rather than a likely invasion of privacy, the Supreme Court has held that “the standard for evaluating a threatened invasion of privacy interests ... is somewhat broader” under Exemption 7(C) than under Exemption 6.
Department of Justice v. Reporters Comm. for Freedom of the Press,
In applying Exemption 7(C), we have noted that “we balance the privacy interests that would be compromised by disclosure against the public interest in release of the requested information.”
Davis v. Department of Justice,
Consistent with the purpose of the Act, the burden is on the agency to justify withholding requested documents.
See
5 U.S.C. § 552(a)(4)(B);
see also Ray,
— U.S. at-,
B. Factual and Procedural History
Appellant Beck filed FOIA requests with several federal agencies, including the Department of Justice’s Office of Professional Responsibility (“OPR”). Beck sought records that mentioned him as well as OPR records pertaining to two DEA special agents. Not satisfied with the responses to his FOIA requests, Beck brought this pro se action in November 1988.
In a memorandum opinion dated January 31, 1991, the district court granted the Government’s motion for summary judgment and denied Beck’s cross-motion for summary judgment.
Beck v. Department of Justice,
No. 88-3433, Mem.Op. at 13,
The only FOIA request at issue, then, is Beck’s request for OPR records, which reads as follows:
I[n] the records of your office, have there been any complaints to your office regarding the activities of Drug Enforcement [Special Agent] Dale L. Stenson? Further, I request a copy of all records regarding [Special Agent] Stenson that your office has in its files.
Brief for Appellees at 5. Beck sent an identical request for records pertaining to Special Agent Raymond W. Troy.
Beck had been named in an indictment alleging his involvement in a continuing criminal enterprise, in violation of 21 U.S.C. § 848, and a conspiracy to possess with the intent to distribute in excess of 50 kilograms of marijuana, in violation of 21 U.S.C. §§ 841(a)(1), 846. Beck was convicted and sentenced to prison. He alleged in a Memorandum of Points and Authorities in support of his Motion for Summary Judgment filed in the district court that in connection with the *1492 DEA’s investigation, Special Agents Stenson and Troy “planned and put into effect actions that can only be characterized as unethical conduct and willful disregard for the safety and wellbeing of members of the public.” Appendix of Court-Appointed Amicus Curiae (“App.”) at 58. He also claimed that the agents knowingly presented false information and documents to the grand jury in order to secure his conviction. See id. at 75.
The OPR responded to Beck’s FOIA request in a January 1989 letter indicating that it was OPR policy neither to confirm nor deny the existence of records pertaining to individuals except in two circumstances: either (1) when those individuals signed a waiver of their privacy rights or (2) when some set of compelling circumstances made clear that the release of the records would not constitute an invasion of privacy. The OPR reiterated this position in a declaration filed with the district court in support of its motion for summary judgment and claimed an exemption from disclosure on the basis of Exemptions 6 and 7(C), 5 U.S.C. §§ 552(b)(6), (b)(7)(C). See App. at 44, 46.
In that declaration, Richard M. Rogers, Deputy Counsel on Professional Responsibility for the Department of Justice, argued that “there does not appear to be any identifiable general public interest in the disclosure ... which would outweigh the personal privacy interest of these individuals.” Id. at 46. The district court agreed, holding that
[t]o require OPR, the internal investigative arm of DOJ, to confirm or deny the existence of records regarding DOJ employees where, as here, a litigant merely alleges that those investigating him engaged in misconduct, would elevate a mere accusation to a compelling public interest.
Mem.Op. at 11. This appeal followed.
II. Analysis
A Exemptions 6 and 7(C)
As noted, Exemptions 6 and 7(C), though similar, are not coextensive. See above at pages 2-3. Amicus argues that OPR failed to demonstrate that the requested documents were in fact prepared for law enforcement purposes; as a consequence, he maintains that the Government may not proceed under Exemption 7(C) in this appeal, but must meet the more stringent requirements of Exemption 6. While it is true that the district court did not identify which of the two exemptions it was invoking in its discussion of the OPR documents, see Mem.Op. at 10-11, we do not reach this argument because under either exemption we find no public interest to be balanced against the two agents’ obvious interest in the continued confidentiality of their personnel records.
B. Public Interest Analysis
Amicus argues that due to the agency’s refusal to either confirm or deny the existence of the requested files, the district court did not have an adequate factual basis for performing the balancing required in an Exemption 6 analysis. According to amicus, there is a public interest in knowing the identity of Government employees who have engaged in wrongdoing; therefore, the OPR’s refusal to either confirm or deny the existence of documents that might reveal wrongdoing by them ignores this potential public interest and leaves the district court without an adequate foundation on which to balance the competing interests.
Amicus, in a substantial shift of position from that of plaintiff below, asserts that the OPR should conduct a review of its files to determine whether they contain “credible evidence” (or, as defined at oral argument, “a finding”) that the individual employees in question have violated any statutes, rules, regulations, or standards of agency conduct. If no such evidence exists, amicus argues, then the agency should so state in a detailed affidavit. If the agency uncovers any documents fitting this description, however, ami-cus suggests that the agency must at least disclose that such documents exist.
The public’s interest in disclosure of personnel files derives from the purpose of the Act—the preservation of “the citizens’ right to be informed about what their government is up to.”
Reporters Committee,
That “point is illustrated by [the Supreme Court’s] decision in
Rose.” Id.
In
Rose,
the Court held that the United States Air Force should submit disciplinary hearing summaries maintained in the Academy’s Honors and Ethics Code reading files for
in camera
review,
Rose,
The public interest identified by
amicus
is akin to a request for the names of the Air Force Academy cadets in
Rose:
Beck seeks information that would identify two specific government employees as the subjects of “findings” of wrongdoing. The Supreme Court has made clear, however, that because there is nothing in such information that would in itself shed light on the employer agency’s actions, there is no public interest in its release. See
id.
at 773-74,
Amicus
nonetheless argues that our decision in
Stern v. FBI,
The
Stem
court noted that none of the public interests that generally arise in requests for government investigatory records, such as the public’s interest in knowing that a government investigation had been comprehensive, or that a report had been accurate, or that disciplinary measures had been adequate, are “satiated ... by the release of the names of the censured employees.”
Id.
at 92;
see also Dunkelberger v. Department of Justice,
In weighing the censured employees’ privacy interest in not being publicly associated with criminal activity, the Stem court reversed a district court order directing the disclosure of the identity of two FBI agents who had contributed inadvertently to the coverup, id. at 92-93, while affirming the order with respect to a senior FBI official because of his complicity in it. It did so on the basis that “[t]he public has a great interest in being enlightened about that type of malfeasance by this senior FBI official — an action called ‘intolerable’ by the FBI — an interest that is not outweighed by his own interest in personal privacy.” Id. at 94.
Although
Stern
was decided before the Supreme Court’s decision in
Reporters Committee
sharpened our understanding of the nature of the public interest that is served by FOIA, we need not assess whether the circumstances of that case would have met
Re
*1494
porters
Committee’s more exacting standard. It suffices to note that the public interest identified in
Stem
was based on the widespread knowledge that certain FBI employees had been censured for their participation in a notorious criminal investigation. Here, by contrast, there is no evidence, let alone any public knowledge, that wrongdoing has occurred. Beck has failed, in short, to identify any such public interest in this case.
Cf. Dunkelberger,
Amicus argues that to draw a distinction between a case in which there is some evidence that wrongdoing has occurred and this ease is to impermissibly cast the burden on the requestor to prove wrongdoing. This argument, though clever, is unpersuasive. A requestor does not have á right to have his case decided on a hypothetical set of facts that strengthen his position; rather, he must see his case succeed or fail on the facts before the court. Our decision today does not require that Beck prove that a scandal exists; it merely requires that a claim of public interest be based on the known facts.
In the usual case, we would first have identified the privacy interests at stake and then weighed them against the public interest in disclosure.
See Ray,
— U.S. at -,
There can be no dispute that there is “something” on the private-interest side of the equation. A government employee has at least some privacy interest in his own employment records, an interest that extends to “not having it known whether those records contain or do not contain” information on wrongdoing, whether that information is favorable or not.
See Dunkelberger,
III. Conclusion
Under either Exemption 6 or Exemption 7(C), the Government may release information about personal employment files only if such release would advance the public interest served by FOIA. Specifically, release of the requested information must shed light on what the Government is up to. As no such interest would be advanced by the release of the information requested by Beck, the decision of the district court is
Affirmed.
