MEMORANDUM OPINION
On March 6, 2007, the defendant was convicted on four counts of obstruction of justice, perjury, and making false statements to federal investigators. On June 5, 2007, as a consequence of these convictions, the defendant was sentenced, inter alia, to a term of thirty months imprison *3 ment. 1 Upon the imposition of the sentence, the defendant requested that he be released on bond pending his appeal pursuant to 18 U.S.C. § 3143 because one or more of the issues he plans to raise on appeal constitute “substantial question[s] of law or fact likely to result in [a reversal of his convictions or an order for a new trial].” 18 U.S.C. § 3143(b) (2000); see also I. Lewis Libby’s Motion for Release Pending Appeal (“Motion”) at 2-5; I. Lewis Libby’s Reply in Further Support of His Motion for Release Pending Appeal (“Reply”) at 1. The government opposes the defendant’s request. Government’s Response in Opposition to Defendant’s Motion for Release Pending Appeal (“Opp.”) at 1. For the following reasons, and in accordance with the Court’s oral orders issued at the June 14, 2007 motions hearing, the defendant’s motion for release pending appeal is denied.
I. Legal Standard
The United States Code requires that a federal criminal defendant “who has been found guilty of an offense and sentenced to a term of imprisonment” bе detained during the pendency of his appeal, unless the Court finds (1) that the person does not pose a flight risk or a danger to the community;
and
(2) “that the appeal is not for the purpose of delay and raises a substantial question of law or fact likely to result in ... reversal[ ][or] an order for a new trial.”
2
18 U.S.C. § 3143(b)(1). Thus, under § 3143(b), “[t]he law has shifted from a presumption of release to a presumption of valid conviction,”
United States v. Perholtz,
In
United States v. Perholtz,
the District of Columbia Circuit held that an issue is “substantial” for the purposes of § 3143(b) if it “is a close question or one that very well could have been decided the other way.”
3
Perholtz,
II. Legal Analysis
Here, the defendant proffers numerous issues for the Court’s consideration, each of which he claims “raises a substantial question of law or fact likely to result in ... reversal [of his convictions],” 18 U.S.C. § 3143(b)(1), and each of which the Court addressed during the June 14, 2007 hearing on the defendant’s motion.
6
See
Motion
*5
at 4 (stating that the defendant’s “pre-trial and trial motions, combined with defense objections preserved in the record, present a number of close questions that are more than sufficient to satisfy the requirements of § 3143(b)”). Among the issues identified as “substantial” by the defendant is whether the Special Counsel in this case qualifies as an “inferior officer” or a “principal officer” under the Appointments Clause of the United States Constitution, art. II, § 2, cl. 2.
7
Motion at 5-7; see
generally United States v. Libby,
The Appointments Clause
The defendant argues that “[t]he question whether the appointment of Patrick Fitzgerald as Special Counsel satisfied the Appointments Clause of the Constitution ... is a close one,” and one for which “[t]he Court of Appeals could easily reach the opposite conclusion from this Court.”
9
*6
Motion at 5. The Court disagrees. In its April 27, 2006 Memorandum Opinion addressing this issue, the Court undertook a thorough and painstaking, yet ultimately straightforward analysis of the role of the Special Counsel in the constitutional firmament, concluding easily that the scope of the Special Counsel’s duties and authority fit “squarely into the mold of
[Morrison v. Olson,
1. Factual Background
The circumstances of the Special Counsel’s appointment are set forth in great detail in the Court’s April 27, 2006 Memorandum Opinion,
see Libby,
2. The Morrison Factors
In evaluating whether the delegation of authority to Fitzgerald in his role as Spe
*8
cial Counsel was sufficiently broad and unconstrained as to make him a principal officer (and thus subject to appointment by the President and confirmation by the Senate) within the meaning of the Appointments Clause, the Court turned first to the four factors deemed dispositive by the Supreme Court in
Morrison. Libby,
*9
Here, after analyzing the text of the Comey letters and carefully reviewing the parties’ arguments and all relevant precedent, this Court held in its April 27, 2006 Memorandum Opinion that “[the present] case falls squarely into the mold of
Morrison,”
and that “[t]he factors employed in
Morrison ...
are equally applicable here.”
Libby,
The defendant asserts that the District of Columbia Circuit could very well rule that, under
Morrison,
the Special Counsel is a principal officer within the meaning of the Appointments Clause because one or more of the
Morrison
factors do not apply.
See
Reply at 3 (contending that “[b]ecause the оffice[s] at issue in
Morrison
and in this case differ in several significant respects ... it is at least a close question whether
Morrison
applies at all”). For the reasons articulated in its April 27, 2006 Memorandum Opinion and during the June 14, 2007 hearing, the Court is unconvinced that this case is a close question under
Morrison.
Not only are all of the factors present in
Morrison
plainly met in this case as well,
see Libby,
For example, the defendant argues that an appellate court “might well conclude that ... unlike the independent counsel [in Morrison ], Mr. Fitzgerald is not obligated by any statute or regulation to comply with Justice Department policies and regulations” and that his power to act is therefore unconstitutionally unrestrained. Reply at 3. The defendant’s primary argument in this regard is that the February 6, 2004 letter from Comey to Fitzgerald “expressly relieves Mr. Fitzgerald of any obligation to comply with 28 C.F.R. § 600 et seq.” Id. at 4. As discussed above, however, see supra at n. 12, this regulation, one provision of which does indeed require compliance with Department of Justice policies and procedures, applies only to Special Counsel who have been appointed from positions outside the federal government. 28 C.F.R. § 600.3. It therefore has no application when an individual from within the Justice Department — someone who is already obligated to abide by internal Department policies — is delegated the authority to act as Special Counsel, as Fitzgerald clearly was.
Nor is it convincing to claim, as the defendant does, that an appellate court might well decide that Fitzgerald is no longer bound by Department of Justice rules and regulations because he has been “relieved of numerous other requirements otherwise binding on a [United States] Attorney” in his capacity as Special Counsel. Reply at 4. The defendant substantially overstates the plausible breadth of the authority granted to Fitzgerald by the Co-mey letters. They do not confer upon Fitzgerald as Special Counsel the prosecu-torial equivalent of James Bond’s license to kill, and are unlikely to be read by any court as a blank check “permitt[ing][him] to ignore well-established Department of Justice policies without any clear authorization to do so.”
Libby,
3. Section H of the Classified Information Protection Act
The defendant’s argument regarding Fitzgerald’s exercise of authority under the Classified Information Protection Act (“CIPA”), 18 U.S.C. Appx. Ill et seq. (2000), is similarly without merit, albeit for different reasons. See Reply at 4-5. The defendant contends that in the course of the CIPA proceedings held during the fall and winter of 2006, Fitzgerald assumed certain duties that could only have been performed “by the Attorney General himself or other specifically enumerated members of the Department” and thus could not lawfully have been delegated to the Special Counsel. Id. at 4. Specifically, the defendant argues that Fitzgerald improperly exercised the authority to submit to this Court (1) an affidavit pursuant to § 6(a) of the CIPA requesting that the CIPA proceedings be conducted in camera, 18 U.S.C. Appx. III § 6(a), and (2) affidavits pursuant to § 6(c) of the CIPA “certifying that disclosure of classified information would cause identifiable damage to the national security of the United States and explaining the basis for the classification of such information,” id. *12 § 6(c)(2). The defendant claims that Fitzgerald’s submission of the § 6(c) affidavits, in particular, “is compelling evidence that the Special Counsel, with all of his sweeping powers, qualifies as a principal officer under the Appointments Clause.” Id. at 5.
The Court first notes that this argument has never previously been raised by the defendant or briefed by the parties. At the time the Court issued its April 27, 2006 Memorandum Opinion denying the defendant’s motion to dismiss the indictment on Appointments Clause grounds, the CIPA proceedings had not yet been initiated, and the defendant did not renew his Appointments Clause argument once it became evident to him that Fitzgerald was handling аll aspects of the CIPA process on behalf of the government.
18
Cf. United States v. Libby,
Section 14 of the CIPA provides that “[t]he functions and duties of the Attorney General under [the CIPA] may be exercised by the Deputy Attorney General, the Associate Attorney General, or by an Assistant Attorney General designated by the Attorney General for such purpose and may not be delegated to any other official.” 18 U.S.C. Appx. III, § 14 (emphasis added). At the June 14, 2007 hearing, the defendant’s attorney argued that (1) the Special Counsel performed certain functions during the CIPA proceedings that could not have been delegated to him; and (2) the fact that the Special Counsel performed those non-delegable functions is an indication of his “sweeping powers” and suggests strongly that he should be considered a principal officer under the Appointments Clause. Reply at 5. It is truе that, by the plain language of § 14, the Special Counsel cannot be delegated certain duties under the CIPA that are expressly assigned by Congress to the Attorney General and his duly designated proxies. 19 See *13 18 U.S.C. Appx. III, § 14. It is similarly true that the Special Counsel appears to have performed at least some of these duties, in seeming contravention of § 14. 20 And if the scope of authority given to the Special Counsel by the Comey letters encompassed duties that no inferior officer could possess, this is indeed strong evidence that the Special Counsel is a principal officer for Appointments Clause purposes. 21 Here, however, the defendant has not demonstrated, nor even credibly argued, that Comey intended for his delegation of authority to Fitzgerald under 28 U.S.C. § 510 to include powers expressly declared to be non-delegable to United States Attorneys (such as Fitzgerald) under § 14 of the CIPA. It further follows that if the delegation of these duties under the CIPA was not intended — if, by the terms of his appointment as Special Counsel, Fitzgerald never actually possessed the powers to act in the Attorney General’s stead in submitting §§ 6(a) and 6(c) affidavits in the CIPA proceedings — then the Appointments Clause is not implicated at all, and the defect identified by the defendant is one of statutory, rather than constitutional, dimension.
Indeed, standard principles of statutory interpretation support this conclusion. As the Supreme Court has observed, “it is a commonplace of statutory construction that the specific governs the general.”
Morales v. Trans World Airlines, Inc.,
*15 Ip. The Edmond Standard and the Continuing Vitality of Morrison
The defendant next suggests that the factors articulated in
Morrison
have been supplanted, either in whole or in part, by the “straightforward rule” set forth in
Edmond,
Reply at 3, in which the Supreme Court concluded that judges of the Coast Guard Court of Criminal Appeals were inferior officers under the Appointments Clause because “[their] work is directed and supervised at some level by others who were appointed by Presidential nomination with the advice and consent of the Senate.”
Edmond, 520 U.S.
at 663,
First, there is nothing in
Edmond
to suggest that the
Morrison
factors do not remain a valid method of determining whether an officer is a principal or an inferior for the рurposes of the Appointments Clause.
See United States v. Hilario,
Surveying the state of Appointments Clause jurisprudence, the Supreme Court in
Edmond
observed that “[its] cases have not set forth an exclusive criterion for distinguishing between principal and inferior officers for Appointments Clause purposes.”
Edmond,
In reaching [its] conclusion [that the independent counsel was an inferior officer], [the Morrison Court] relied on several factors: that the independent counsel was subject to removal by a higher officer (the Attorney General), that she performed only limited duties, that her jurisdiction was narrow, and that her tenure was limited.... [The][p]etitioners are quite correct that the last two of these conclusions do not hold with regard to the office of military judge at issue here.... However, Morrison did not purport to set forth a definitive test for whether an office is “inferior” under the Appointments Clause. To the contrary, it explicitly stated: “We need not attempt here to decide exactly where the line falls between the two types оf officers, because in our view [the independent counsel] clearly falls on the ‘inferior officer’ side of that line.”
Id.
(internal citations and bracketing omitted) (emphasis added). Thus, because the
Morrison
factors did not appropriately fit the facts of the case then before it, the Court in
Edmond
predicated its conclusion that the Coast Guard Court of Criminal Appeals judges were constitutionally inferior officers on
alternative
grounds.
See id.
at 662-63,
The defendant contends that it is at least a close question whether “the ‘direction and supervision’ test set forth in
[Edmond]”
is now the sole rule that should be applied when evaluating challenges under the Appointments Clause. Reply at 2;
see also
Motion at 6 (arguing that “[t]he Court of Appeals ... could well conclude ... that the generally applicable constitutional test for inferior-officer status is not the multi-factor,
ad hoe
balancing test applied in
Morrison,
but rather the clear test more recently set forth ... in
Edmond”)
(citation omitted). It need hardly be said, however, that the
Edmond
Court’s accurate observation- that
Morrison
“did not purport to set forth a definitive test” for inferior officer status and its acknowledgment that several of the
Morrison
factors were inapplicable in the ease before it in no way amount to a repudiation of the
Morrison
calculus.
Edmond,
Rather, it is simply the task of this Court to determine, based on the facts of the case, whether the Special Counsel’s status is more appropriately analyzed using the framework set forth in
Edmond
or in
Morrison,
and (if the latter) to what extent its conclusion is therefore compelled by the
Morrison
factors. As discussed above, the Court has done so, concluding after careful analysis that the scope of the Special Counsel’s duties and authority fit “squarely into the mold of
Morrison.” Libby,
Second, even if the defendant is correct that the
Edmond
formulation should now be considered a necessary (if not by itself sufficient) predicate for concluding that an office is inferior for Appointments Clause purposes, he has still failed to present “a substantial question of law or fact” under § 3143(b). 18 U.S.C. § 3143(b)(1);
see
Motion at 7 (contending that “[t]he Court of Appeals could well agree ... that ‘having a superior officer is necessary for inferior officer status, but not sufficient to establish it,’ without something more”) (quoting
Edmond,
As stated above, the
Edmond
Court concluded, at least for the purposes of the
*18
facts before it in that case, that “ ‘inferior officers’ are officers whose work is directed and supervised
at some level
by others who were apрointed by Presidential nomination with the advice and consent of the Senate.”
Edmond,
To begin with, the fact that the Special Counsel is removable at will by the Acting Attorney General is a concrete indication that he is not acting without “some level” of supervision and direction.
Id.
As the
Edmond
Court observed, “[t]he power to remove officers ... is a powerful tool to control.”
Id.
at 664,
That the Acting Attorney General continued to exercise some degree of supervisory authority over the Special Counsel following the December 2003 and February 2004 appointment letters is further indicated by the transfer of authority that occurred between James Comey and David Margolis upon Comey’s retirement in August 2005.
See
Def.’s Mem., Ex. B. If Fitzgerald truly was not “directed and supervised at some level,”
Edmond,
More basically, however, it is clear that Fitzgerald’s appointment as Special Counsel satisfies the
Edmond
test bеcause (as the Court has already concluded) the facts of this case fit “squarely into the mold of
[Morrison],” Libby,
Finally, the Court acknowledges that Comey’s December 2003 letter to Fitzgerald expressly authorizes him “to exercise [his] authority as Special Counsel independent of the supervision or control of any officer of the Department.” Def.’s Mem., Ex. C at 1. As this Court noted in its April 27, 2006 Memorandum Opinion, “[t]he integrity of the rule of law, which is a core ingredient of the American system of government, is challenged to the greatest degree when high-level government officials come under suspicion for violating the law,” and “[t]here must therefore be a process by which the perception of fairness [within our system of justice] withstands the scrutiny of the American public when prosecution authority is called upon to investigate [such] public officials.”
Libby,
III. Conclusion
For the foregoing reasons, and for the reasons stated in its April 27, 2006 Memorandum Opinion and at the June 14, 2007 hearing, the Court concludes that the Appointments Clause issue raised by the defendant does not present “a substantial question of law or fact likely to result in ... reversal.” 18 U.S.C. § 3143(b)(1). In addition, for the reasons expressed at the June 14, 2007 hearing as well as in its various other Memorandum Opinions addressing the other issues on which the defendant attends to appeal,
see Libby,
SO ORDERED this 21st day of June, 2007, nunc pro tunc to June 14, 2007. 25
Notes
. The facts of this case have been thoroughly related by the Court in previous opinions, and it is unnecessary to recite them again here.
See, e.g., United States v. Libby,
. The government notes in its opposition to the defendant's motion that it “does not contend that [the] defendant poses a risk of flight or danger to the community, or that [the] defendant’s appeal is frivolous[] or brought solely for purposes of delay.” Opp. at 2 n. 1. The Court agrees with this assessment.
.Contrary to the defendant’s suggestion, the Court can find no caselaw which suggests that a given question is “close” merely because there is no “precedent in this Circuit [which] clearly dictate[s] the answer.” Motion at 4.
.In
Quinn,
the District Court concluded that the § 3143(b) substantiality test was satisfied "where a defendant challenges the Court's ruling on a novel question of law and provides a rationale for a contrary interpretation that is supported by arguably applicable legal authority."
Quinn,
. The
less
demanding of the two standards considered by the
Perholtz
Court provides that "a substantial question is one that is 'fairly debatable,’ 'fairly doubtful,’ or 'one of more substance than would be necessary to a finding that it was not frivolous.’ ”
Perholtz,
. At both the June 5, 2007 sentencing hearing and the June 14, 2007 motion hearing, the defendant adverted to the length of this Court’s opinions on those issues the defendant plans to raise on appeal as an indication that he has presented one or more "substantial question[s] of law or fact” entitling him to release on bond until his appeal can be heard.
See
Motion at 5 (arguing that “the difficulty of the issues [is] evidenced by the Court’s own lengthy writings”);
see also id.
(nоting that "[t]o answer [the Appointments Clause] question” (and a closely related statutory question), this Court wrote a 31-page opinion (20 pages in the Federal Supplement)) (citation omitted). It should be evident, of course, that the fact that this Court has taken the time to explore the issues before it in a careful and thorough manner is in no way reflective of the closeness of the questions presented. It is the habit of this Court — confirmed by a cursory examination of the collective corpus of its published opinions — to evaluate
every
legal issue, however close, to the fullest extent merited by, among other things, the novelty of the
*5
question in this Circuit, the complexity of the facts, the import of the case, and the quality of each party’s legal representation. Indeed, each of the foregoing factors was abundantly present here. Accordingly, the Court’s desire to decide an issue completely and correctly to the best of its ability should not be taken as an indication that the issue is "one that could very well have been decided the other way.”
Perholtz,
Similarly, the defendant quotes liberally from dicta within the Court’s opinions in an apparent attempt to prove to the Court that it believed the defendant’s proffered issues to be close at the time that it decided them.
See, e.g.,
Motion at 6 (citing the Court's statement that the parties had come to “differing conclusions” on the Appointments Clause issue and stating that "[t]he Court then engaged in its own interpretation ..., but indicated that the task was not particularly straightforward and that its own research did not 'reveal[] any case law that clearly addresses th[e] point' ”) (citations omitted), 12 (stating that "[t]he Court described the CIPA § 6(c) process as a ‘tedious and complex expedition’ through terrain 'largely uncharted by written precedent’ ”) (citations omitted). This "[T]al-mudic dissection[]” of the Court’s word choice and phrasing scissors the language of the Court out of its memorandum opinions in a manner that deprives it entirely of context,
see
Opp. at 33 (observing that “[the] Court's statements that it was 'not sure' whether to exclude a portion of the testimony or that it was 'a tough call' must be put in context”), and does not befit a considered and searching analysis of the defendant’s claims on their own merits, in accordance with the circumstances of the case and all relevant precedent, to determine whether a substantial question of law or fact has or has not been raised by the defendant.
Church of Scientology of Calif. v. IRS,
. The Appointments Clause provides that:
[The President] shall nominate, and by and with the Advice and Consent of the Senate, shall appoint Ambassadors, other public Ministers and Consuls, Judges of the Supreme Court, and all other Officers of the United States, whose Appointments are not herein otherwise provided for, and which shall be established by Law; but the Congress may vest the Appointment of such inferior Officers, as they think proper, in the President alone, in the Courts of Law, or in the Heads of Departments.
U.S. Const. art. II, § 2, cl. 2.
. The Court articulated its grounds for denying the defendant’s motion as to each of the other issues he plans to raise upon his appeal at the conclusion of the June 14, 2007 hearing. Here, the Court concludes that it is appropriate to fully memorialize its ruling as to the defendant's constitutional challenge to ensure that the Circuit Court has a clear record of this Court's conclusion and reasoning when considering the defendant’s appeal of the denial of his § 3143 motion. The remaining issues presented by the defendant need no further explanation.
. The defendant also argues, albeit in extremely perfunctory fashion, that the Court's conclusion that the Special Counsel's appointment comported with the relevant federal statute authorizing the Attorney General to delegatе “any function” of his position to a
*6
Department of Justice subordinate, 28 U.S.C. § 510 (2000), is similarly a substantial question of law or fact entitling the defendant to release pending his appeal. Motion at 5; Reply at 2 n. 2;
see Libby,
. As the Court notes in its April 27, 2006 Memorandum Opinion, then-Attorney General John Ashcroft "recused himself from all matters involving the [Píame] investigation” and designated Comey as Acting Attorney General with respect to the delegation of authority to Fitzgerald and to the investigation generally.
Libby,
. It is the Court’s understanding, undisputed by the defendant, that Fitzgerald did not relinquish any of his duties as United States Attorney upon accepting the appointment as Special Counsel, and that he has continued to serve in both capacities — and always as a Department of Justice employee — during the pendency of this investigation and throughout the prosecution of the defendant. See
Libby,
. The letter further stated that the "conferral [upon Fitzgerald] of the title 'Special Counsel' in this matter should not be misunderstood to suggest that [his] position and authorities are defined and limited by 28 C.F.R. Part 600.” Def.'s Mem., Ex. D at 1. The defendant contends that this reference to 28 C.F.R. Part 600 is an indication that Fitzgerald is not bound by the policies and procedures of the Department of Justice in the course of his appointment as Special Counsel. See Motion at 4 (arguing that "[t]hose regulations give a special counsel a degree of independence appropriate where high-ranking executive officials are under investigation ... without wholly abdicating the Department’s supervisory obligation”); Reply at 4 (stating that "[t]hose regulations require all other Special Counsel to comply with Department policies and regulations”) (emphasis omitted). However, 28 C.F.R. Part 600 is specifically directed at individuals who, unlike Fitzgerald, are not already Department of Justice employees at the time of their appointment as Special Counsel. 28 C.F.R. § 600.3 (2007) (stating that "[t]he Special Counsel shall be selected from outside the United States [g]overnment”). Accordingly, these regulations were not, and could not be, applicable to the Special Counsel in this case, and his exemption from them cannot рlausibly be construed as an implicit waiver of the obligation to follow Department of Justice polices and procedures that was imposed upon Fitzgerald in his capacity as United States Attorney.
. As the Court discusses below, this letter clearly, although not conclusively, indicates that the Special Counsel was, at the very least, subject to "some level” of supervisory authority throughout the course of his investigation by officials within the Department of Justice.
Edmond,
. As the
Morrison
Court explained, "the Constitution for purposes of appointment divides all its officers into two classes.... Principal officers are selected by the President with the advice and consent of the Senate. Inferior officers Congress may allow to be appointed by the President alone, by the heads of departments, or by the Judiciary.”
Morrison,
. In dissent, Justice Scalia disagreed with the
Morrison
majority’s elicitation of the relevant Appointments Clause factors.
Morison,
. The Court also notes, contrary to the defendant’s suggestion, that the Supreme Court in
Monison
found that the independent counsel was only expressly obligated to comply with Department of Justice policies “to the extent possible.”
Morrison,
. In addition, the obligation of the independent counsel in
Morrison
to comply with Department of Justice rules and regulations was only one of the factors which, taken together, led the Supreme Court to conclude that her duties were limited and that she therefore “clearly [fell] on the ‘inferior officer’ side of the line.”
Morrison,
. In this regard, the Court observes that Fitzgerald’s submission of the § 6(a) affidavit on September 5, 2006, was a matter of public record which'was placed on the docket and transmitted electronically to the defendant at that time. See Petition for In Camera Hearing, D.E. # 134 (Sep. 5, 2006) (stating that "[t]he United States of America, by its attorney, Patrick J. Fitzgerald, Special Counsel, pursuant to Section 6(a) of CIPA, respectfully requests that this Court conduct an in camera hearing”).
. There are three relevant "functions and duties” under the CIPA that are identified as being the sole province of the Attorney General. 18 U.S.C. Appx. Ill § 14. First, the Attorney General is empowered to certify to the Court that a public proceeding under § 6 of the CIPA "may result in the disclosure оf classified information.” Id. § 6(a). If the Attorney General so certifies, the Court is required to conduct the § 6 proceedings in camera. Id. The Court is similarly required to hold in camera proceedings under § 6(c) of the CIPA "at the request of the Attorney General.” Id. § 6(c)(1). Second, in connection with a § 6(c) motion, the government is entitled to "submit to the [C]ourt an affidavit of the Attorney General certifying that disclosure of classified information would cause identifiable damage to the national security of the United States and explaining the basis for the classification of such information.” Id. § 6(c)(2). Finally, in the event that the Court denies the government's motion for a § 6(c) order directing the substitution or summary of specific identified classified material for use by the defendant, the government may "file[ ] with the Court an affidavit of the Attor *13 ney General objecting to the disclosure of the classified information at issue.” Id. § 6(e)(1). The Court is then obliged to “order that the defendant not disclose or cause the disclosure of such information.” Id. In the present case, the defendant represents, and the government does not dispute, that the Special Counsel submitted affidavits pursuant to the above provisions in §§ 6(a) and 6(c). However, because the Court did not deny the government's motion for a § 6(c) order, there was no occasiоn for the submission of an affidavit under § 6(e) of the CIPA by the Special Counsel or anyone else.
. At the June 14, 2007 hearing, the government argued that (1) the functions at issue here — specifically, the §§ 6(a) and 6(c) affidavits submitted by the Special Counsel during the CIPA proceedings — are purely pro forma and ministerial; and (2) accordingly, no harm was done even if the Special Counsel was precluded de jure from performing those actions under § 14. Because the Court concludes that any arguably improper exercise of CIPA authority in this instance would constitute, at worst, a violation of § 14 of the CIPA, and would not cast doubt upon the Special Counsel's status as an inferior officer under the Appointments Clause, it is unnecessary to decide whether submission of the §§ 6(a) and 6(c) affidavits would properly be classified as ministerial.
. The Deputy Attorney General, the Associate Attorney General, and the several Assistant Attorneys General are all appointed by the President and confirmed by the Senate. 28 U.S.C. §§ 504 (2000) (Deputy Attorney General), 504(a) (2000) (Associate Attorney General), 506 (2000) (Assistant Attorneys General). Although to the best of this Court's knowledge the constitutional status of these positions under the Appointments Clause has never been resolved (nor even addressed) by any court, the Court assumes, for the sake of the defendant’s argument, that they are all properly considered principal, rather than inferior, officers.
. The defendant does not contend that he was specifically prejudiced by the Special Counsel’s ostensibly improper submission of §§ 6(a) and 6(c) affidavits, nor does he argue that a violation of § 14 of the CIPA — as opposed to a violation of the Appointments Clause,
see
Reply at 5-6 — is an error that is "so fundamental and pervasive that [it] required] reversal without regard to the facts or circumstances of the particular case,”
Delaware v. Van Arsdall,
. Indeed, if neither the
Morrison
factors nor the
Edmond
test “set forth an exclusive criterion for distinguishing betwеen principal and inferior officers for Appointments Clause purposes,”
Edmond,
. In addition, it is of at least some relevance that § 510 of Title 28 permits, in undeniably broad terms, the delegation of “any function of the Attorney General” to Justice Department employees. 28 U.S.C. § 510. As Justice Souter sagely remarked in
Weiss v. United States,
"[w]here the label that better fits an officer is fairly debatable, the fully rational congressional determination surely merits tolerance.”
Weiss,
. An Order consistent with the Court’s ral-ing accompanies this Memorandum Opinion.
