Wеllman Industries, Inc., appeals from an order of the district court denying it access under the Freedom of Information Act, 5 U.S.C. § 552, to affidavits obtained by an NLRB investigator during his inquiry into Union objections to a representation election held at Well-man’s Johnsonville, South Carolina, facility. These affidavits, Wellman alleges, were the basis of an order by the Regional Director of the NLRB setting aside that election.
At a second election a majority of Wellman’s employees chose the Union as their bargaining representative, and the Union was so certified after objections by Wеllman were dismissed and a Request for Review denied by the Regional Director. On September 26, 1972, the Union requested that Wellman bargain; that request was refused on October 4, 1972. The Board then issued a complaint charging the Company with refusal to bargain under Section 8(a)(5) of the National Labor Relations Act, 29 U. S.C. § 158(a)(5). The Company raised the defense of improper certification; whereupon General Counsel for the Board moved for summary judgment, and the matter was transferred to the Board in Washington, D. C., by order dated November 15, 1972. Wellman filed a statement in opposition to the mоtion for summary judgment, together with cross-motions seeking affidavits and memoranda under the FOIA. On May 30, 1973, the motion for summary judgment was denied by the Board and the case remanded to the Regional Director for a hearing on the question of newly-discovered evidence relating to the April 1972 (second) election.
On January 25, 1973, the Company filed the complaint in this case. Without specifically deсiding whether exemptions 4 and 7 of the FOIA were *429 applicable, 1 the district court relied upon its equitable power not to issue an injunction where an adequate remedy at law was available and where such аction would produce circuity of action, stating : “Foremost in the mind of the Court is the fact that the question of the Plaintiff’s rights under the Freedom of Information Act will be before the Circuit Court of Appеals in the very near future, whether this Court does or does not issue an injunction.” Wellman appeals, and we affirm, though not for the reasons given by the district judge.
The district court’s “balancing of the equities” approach
2
to withholding injunctive relief under the FOIA is not without support,
see
General Services Administration v. Benson,
After considering voluminous testimony on both sides and balancing the public, private, and administrative interests, Congress decided that the best course was open access to the governmental process with a very few exceptions. It is not the рrovince of the courts to restrict that legislative judgment under the guise of judicially balancing the same interests that Congress has considered.
Equally unpersuasive is the argument that disclosure should be refused because it “would do more harm than good”. Such an argument has nothing to do with “personal privacy” but is rather an argument that courts, in disposing of actions under the Act, may exercise discrеtion to grant or deny equity relief. While such argument has received some limited support, the better reasoned authorities find no basis for this balancing of equities in the application of the Aсt; indeed, the very language of the Act seems to preclude its exercise.
We must, therefore, look to the specific exemptions provided for in the Act. The Board suggests the affidavits are protected from disсlosure as within two exemptions: (1) “trade secrets and commercial or financial information‘obtained from a person and privileged or confidential;” and (2) “investigatory files compilеd for law enforcement purposes except to the extent available by law to a party other than an agency; . ”
3
We think the affidavits are clearly within the second exemptiоn and thus need not decide whether they also fall within the former.
See generally,
*430
Consumers Union v. Veterans Administration,
Wellman argues that while the investigatory files exemption applies to information obtained
after
an unfair labor practice сomplaint has been filed, it does not protect material obtained in Board investigations of representation election irregularities prior to the filing of an unfair labor practice charge since no enforcement proceedings were contemplated and the entire process was nonadver-sary in nature.
But see
Evans v. Department of Transportation,
Congress has given the Board wide discretion in the enforcement of rights guaranteed by Section 7 of the National Labor Relations Act, 29 U.S.C. § 157. Under Section 9 of the NLRA, 29 U.S.C. § 159, the Board is responsible for supervising elections, investigating election irregularities and certifying bargaining representatives. When an election investigation is undеrtaken, as in this case, there is no certainty that an unfair labor practice proceeding under Section 8 will follow. The election irregularities themselves may be sufficient to trigger an unfair labor practice complaint,
see
NLRB v. Gissel Packing Co.,
The legislative history of exemption 7 clearly supports such an interpretation. 5 The House Report states:
This еxemption covers investigatory files related to enforcement of all kinds of laws, labor and securities laws as well as criminal laws. This would include files prepared in connection with relаted Government litigation and adjudicative proceedings. S. 1160 is not intended to give a private party indirectly any earlier or greater access to investigatory files than he would have dirеctly in such litigation or proceedings.
H.R.Rep.No.1497, 89th Cong.2d Sess. 11 (1966), U.S.Code Cong. & Admin.News 1966, p. 2428 (emphasis added). The Senate Report, in not so broad terms, indicates that:
These [investigatory files] are the files prepared by Government agencies to prosecute law violators. Their disclosure of such files, except to the extent they are available by law to a private party, could harm the Government’s ease in court.
*431
S.Rep.No.813, 89th Cong., 1st Sess. 9 (1965). While the Senate’s use of the term “law violators” might be construed to mean transgressions of the criminal law, it can also easily be аccommodated to the House statement without doing damage to the statutory language. See Clement Bros., Inc. v. NLRB,
The practical reasons favoring application of exemption 7 have already been sufficiently exposited by this court and numerous others. We said in Intertype Co. v. NLRB,
If an employee knows that statements made by him will be revealed to an employer, he is less likely, fоr fear of reprisal, to make an uninhibited and non-evasive statement.
Wellman is not without protection from arbitrary action by the Board.
See
NLRB v. Poinsett Lumber and Mfg. Co.,
Affirmed.
Notes
. The district court’s order referred to the Board’s argument that exceptions 4 and 7 exempted tire affidavits from disclosure under the FOIA as “rather weak” and went on to state:
As to exception 7, it must be remembered that this is not informаtion originally contained in “investigatory files compiled for law enforcement purposes”. The statements and affidavits were. taken in connection with the certification election, a non-adversary proceeding, and before any
complaint was brought by the Board for an unfair labor practice.
. The district judge stated in his order:
In considering whether or not to issue an injunction, this Court must consider all оf the facts before it, the purposes and needs of the parties, the burdens involved, the importance of the information and the reasons for non-disclosure.
. These exemptions arе contained in 5 U.S.C. § 552(b) (4) and (7) and are commonly referred to as exemptions 4 and 7.
.
See also
Frankel v. Securities and Exchange Comm’n,
. The weight which we attribute to the legislative history of exemption 7 is considerably greater than that attributable to the legislative history of exemption 4 for reasons set out by Davis, supra, at § 3A.19 and § 3A.22.
