MEMORANDUM OPINION
Plaintiffs Valerie Píame Wilson and Joseph C. Wilson IV bring this action against four high-level Executive Branch officials, including the Vice President of the United States and his former Chief of Staff, based on the widely-publicized disclosure of the fact that Mrs. Wilson worked as a covert operative for the Central Intelligence Agency. Plaintiffs allege that defendants undertook a concerted effort to reveal this information to reporters in order to retaliate against and discredit Mr. Wilson for his public criticism of the Bush Administration’s handling of foreign intelligence prior to this country’s military involvement in Iraq. The Wilsons have sued the defendants personally for money damages based on claims brought directly under the First and Fifth Amendments of the Constitution and on a common-law tort claim for the public disclosure of private facts. Now pending before the Court are motions to dismiss filed by each of the four named defendants and the United States pursuant to Federal Rules of Civil Procedure 12(b)(1) and 12(b)(6).
This is a case of some notoriety and public interest. The merits of plaintiffs’ claims pose important questions relating to the propriety of actions undertaken by our highest government officials. Defendants’ motions, however, raise issues that the Court is obliged to address before it can consider the merits of plaintiffs’ claims. As it turns out, the Court will not reach, and therefore expresses no views on, the merits of the constitutional and other tort claims asserted by plaintiffs based on defendants’ alleged disclosures because the motions to dismiss will be granted.
For the reasons explained below, the Court finds that, under controlling Supreme Court precedent, special factors— particularly the remedial scheme estab *78 lished by Congress in the Privacy Act— counsel against the recognition of an implied damages remedy for plaintiffs’ constitutional claims. The Court also finds that it lacks subject-matter jurisdiction over the tort claim because plaintiffs have not exhausted their administrative remedies under the Federal Tort Claims Act, which is the proper, and exclusive, avenue for relief on such a claim.
BACKGROUND 1
In the 2003 State of the Union address, President George W. Bush told the nation that “[t]he British government has learned that Saddam Hussein recently sought significant quantities of uranium from Africa.” Am. Compl. ¶ 19(a). As it turned out, the veracity of the claim asserted in these “sixteen words” had previously been disputed to some degree within the Executive Branch. See id. ¶ 19(b). Newspaper articles published in May and June 2003 revealed that plaintiff Joseph C. Wilson IV, a former Senior Director for Africa at the National Security Council under President Clinton and the former U.S. ambassador to Gabon and Sao Tomé and Principé under President George H.W. Bush, id. ¶ 8, was sent to Niger in 2002 to investigate claims that Iraq had attempted to purchase uranium yellowcake from that country, id. ¶ 19(b), (i). Mr. Wilson’s trip was reportedly taken at the behest of the CIA, in response to inquiries made by the Office of the Vice President into the alleged Iraqi activities. See id. Upon the conclusion of the Niger trip, and well before the State of the Union address, Mr. Wilson advised the CIA and the State Department that the allegations were based on forged documents and were wholly untrue. Id. ¶ 19(b), (i).
The first newspaper column recounting this information, which was published in the New York Times on May 6, 2003, referred to Mr. Wilson only as an unnamed former ambassador. Id. ¶ 19(b). In response to the article, defendant I. Lewis Libby, Jr., the Vice President’s Chief of Staff and Assistant for National Security Affairs, id. ¶ 9, asked the Under Secretary of State for further information about the Niger trip, id. ¶ 19(c). The Under Secretary in turn directed the State Department’s Bureau of Intelligence and Research to prepare a report on the trip. Id. On or before June 10, 2003, the Under Secretary received that report, which was labeled “Secret” and referred to Valerie Píame Wilson as a Weapons of Mass Destruction (“WMD”) manager for the CIA. Id. ¶ 36. The particular paragraph mentioning Mrs. Wilson was prefaced with the letters “S/NF,” which indicate that the information was both secret and not to be shared with foreigners. Id. Based on information gathered for this report, the Under Secretary informed Libby by early June 2003 that Mr. Wilson was the former ambassador in question. See id. ¶ 19(c). The Under Secretary also advised Libby by June 12, 2003, that Mr. Wilson’s wife worked at the CIA and the scuttlebutt around the State Department was that she was involved in planning his trip. Id. ¶ 19(e). At about the same time, Libby spoke with a senior officer at the CIA, who told Libby that Mr. Wilson’s wife worked at the CIA and was thought (erroneously) *79 to have been responsible for Wilson’s trip. Id. ¶ 19(f). Libby further learned from Vice President Cheney, who obtained the information from the CIA, that Wilson’s wife worked in the CIA’s Counterproliferation Division. Id. ¶ 19(h). Libby additionally heard, sometime between June 1 and July 8, 2003, that Wilson’s wife worked at the CIA from the Assistant to the Vice President for Public Affairs, who in turn had learned that information “from another government official.” Id. ¶ 19(t).
When a second article about the sixteen words and the Niger trip was published in the Washington Post on June 12, 2003, it also referred to Wilson only as a retired ambassador. Id. ¶ 19(i). The author of the Post article, Walter Pincus, had contacted the Office of the Vice President prior to its publication. Pincus’s call generated discussions in the Office of the Vice President that involved Libby, among others. Id. ¶ 19(g). Two days after the Post article was published, Libby met with a CIA briefer and “expressed displeasure that CIA officials were making comments to reporters critical of the Vice President’s office.” Id. ¶ 19(j). Furthermore, on June 13, 2003, defendant Richard L. Armitage, Deputy Secretary of the Department of State, met with reporter Bob Woodward in Armitage’s office at the State Department and told Woodward that Mrs. Wilson worked as a WMD analyst at the CIA— information he had learned from a State Department memorandum. Id. ¶ 37.
A third related article, entitled “The First Casualty: The Selling of the Iraq War,” appeared in the online edition of The New Republic on June 19, 2003. Id. ¶ 19(k). This article again referred to Mr. Wilson as an unnamed ambassador and quoted him anonymously as saying that officials in the Bush Administration “ ‘knew the Niger story was a flat-out he.’” Id. The article also accused the Bush Administration of suppressing dissent from the intelligence agencies with respect to Iraq’s WMD capacity. Id. The publication of The New Republic article prompted further activity within the Office of the Vice President. Libby discussed the article with his principal deputy, who asked Libby whether he could counter the reports that Vice President Cheney had arranged for Mr. Wilson’s trip by discussing that trip with journalists. Id. ¶ 19(1). Libby “responded that there would be complications at the CIA in disclosing that information publicly, and that he could not discuss the matter on a non-seeure line.” Id. Libby did, however, meet with reporter Judith Miller on June 23, 2003, and offered criticism of the CIA and “informed Miller that Wilson’s wife might work at a bureau of the CIA.” Id. ¶ 19(m).
Two additional publications are central to the events leading up to this action. First, an op-ed written by Mr. Wilson, entitled “What I Didn’t Find in Africa,” appeared in the July 6, 2003, edition of the New York Times. Id. ¶ 19(n). In that oped, Mr. Wilson asserted “that he had taken a trip to Niger at the request of the CIA in February 2002 to investigate allegations that Iraq had sought or obtained uranium yellowcake from Niger, ... that he doubted Iraq had obtained uranium from Niger recently” and “that the Office of the Vice President had been advised of the results of his trip.” Id. This information was also publicly conveyed by Mr. Wilson in the course of his appearance as a guest on the July 6 edition of the television show “Meet the Press,” and in an interview with a reporter that provided the basis for a July 6 Washington Post article about the Niger trip. Id.
Subsequently, on July 14, 2003, several national newspapers, including the Chicago Sun Times and The Washington Post, published a column by writer Robert No- *80 vak that discussed the Niger trip. Id. ¶ 14. Novak’s column stated, in relevant part: “[Joseph] Wilson never worked for the CIA, but his wife, Valerie Píame, is an Agency operative on weapons of mass destruction. Two senior administration officials told me Wilson’s wife suggested sending him to Niger ....” Id. The publication of Novak’s column revealed to the public, for the first time, Mrs. Wilson’s “previously secret and classified CIA identity.” Id. The disclosure of this information “destroyed her cover as a classified CIA employee.” Id. The Government has conceded that Mrs. Wilson’s identity was classified in July 2003 and that her “cover was blown” when Novak’s column was published. Id. ¶¶ 21, 22.
According to plaintiffs, “[t]here is evidence that multiple officials in the White House discussed [Valerie Wilson’s] employment with reporters prior to ... July 14.” Id. ¶ 33 (quoting Gov’t’s Resp. to Def.’s Third Mot. to Compel Disc, at 30 n.10, United States v. Libby, No. 05-cr-394 (D.D.C. Apr. 5, 2006)). For example, on or before July 8, 2003, Vice President Cheney informed Libby that President Bush “specifically had authorized Libby to disclose to New York Times reporter Judith Miller certain information from an October 2002 National Intelligence Estimate concerning Iraq and weapons of mass destruction in order to rebut Mr. Wilson.” Id. ¶ 19(q). Libby met with Judith Miller on July 8, 2003. Id. ¶ 19(r). Libby and Miller discussed Mr. Wilson’s trip: Libby “criticized the CIA reporting concerning Wilson’s trip” and “advised Miller of his belief that Wilson’s wife worked at the CIA.” Id. Also on that day, Libby asked the Counsel to the Vice President “in sum and substance, what paperwork there would be at the CIA if an employee’s spouse undertook an overseas trip.” Id. ¶ 19(s).
On July 10 or 11, 2003, Libby was told by a senior White House official, thought by plaintiffs to be defendant Karl C. Rove, that Robert Novak would be writing a story about Wilson’s wife based on a conversation that Rove had with him earlier that week. Id. ¶ 19(u). Libby conversed with the press again himself on July 12, 2003. He spoke first with Matthew Cooper, who asked whether Libby had heard that Mr. Wilson’s wife was involved in sending Mr. Wilson to Niger; Libby confirmed that he had also heard that information. Id. ¶ 19(w). Libby then spoke with Judith Miller and discussed the fact that Mr. Wilson’s wife worked at the CIA. Id. ¶ 19(x).
Rove, who held several positions in the Bush White House, including Deputy Chief of Staff and head of the Office of Political Affairs, id. ¶ 10, also spoke with reporters during this time period. On July 11, 2003, Matthew Cooper of Time magazine called Rove at the White House. Id. ¶ 27. Rove spoke to Cooper on the condition that the conversation was on “deep background,” meaning that Cooper could use the information provided by Rove but could not quote it or reveal its source. Id. Rove then told Cooper that Mrs. Wilson worked “at the agency,” clearly referring to the CIA, and that she “worked on WMD’ ” issues and had been responsible for sending Mr. Wilson to Niger. Id. ¶ 28. Rove ended the call by saying, “I’ve already said too much.” Id. ¶ 29. According to Cooper, who later wrote a Time article about the incident entitled “What I Told the Grand Jury,” his July 11 conversation with Rove was the first time he had heard about Mr. Wilson’s wife. Id. ¶¶ 26, 28. Shortly after the publication of Novak’s article, Rove also called Chris Matthews, the host of the television program “Hardball,” and told him off the record that “Mr. Wilson’s wife was ‘fair game.’ ” Id. ¶ 30.
*81 Plaintiffs also assert that Armitage spoke with reporters about Mrs. Wilson between the publication of Mr. Wilson’s op-ed and the date of the Novak article. On July 6, 2003, the day that the op-ed appeared in the Times, Armitage directed that the Bureau of Intelligence and Research update its report on the Wilson trip and send the report to the Secretary of State. Id. ¶ 38. Armitage also met with Robert Novak at the State Department on July 8, 2003, and told Novak that Mrs. Wilson worked for the CIA on WMD issues. Id. ¶ 39.
The Wilsons initiated this lawsuit on July 13, 2006. The complaint originally named Libby, Rove, Cheney, and John Does 1-10 as defendants. The amended complaint, now the operative complaint, was filed on September 13, 2006, and substituted Armitage for one of the Doe defendants. Plaintiffs seek money damages for injuries they allegedly suffered as a result of the public disclosure of Mrs. Wilson’s covert operative status. In particular, plaintiffs assert that they both fear for their safety and the safety of their children because they are potential targets for “those persons and groups who bear hostility to the United States and/or its intelligence officers.” Id. ¶42. Additionally, both plaintiffs allege that they have been impaired in pursuing professional opportunities, id. ¶ 44, and that Mrs. Wilson was unable to continue with her chosen career path at the CIA, id. ¶ 43.
Now pending before the Court are motions to dismiss filed by each of the four named defendants. The United States has also filed both a Statement of Interest and a motion to dismiss. On May 17, 2007, the Court heard argument on the many issues raised in these motions.
STANDARD OF REVIEW
All that the Federal Rules of Civil Procedure require of a complaint is that it contain “ ‘a short and plain statement of the claim showing that the pleader is entitled to relief,’ in order to ‘give the defendant fair notice of what the ... claim is and the grounds upon which it rests.’ ”
Bell Atl. Corp. v. Twombly,
550 U.S. —,
The notice pleading rules, however, are not meant to impose a great burden on a plaintiff.
Dura Pharm., Inc. v. Broudo,
Under Rule 12(b)(1), the plaintiff bears the burden of establishing that the court has subject-matter jurisdiction.
See Grand Lodge of Fraternal Order of Police v. Ashcroft,
ANALYSIS
Plaintiffs have asserted five causes of action in their amended complaint. Four are what are commonly known as
Bivens
claims: they seek money damages directly under the Constitution for alleged violations of plaintiffs’ constitutional rights.
See Bivens v. Six Unknown Fed. Narcotics Agents,
I. Plaintiffs’ Constitutional Claims
Each of plaintiffs’ four
Bivens
claims is predicated on the alleged violation of a distinct constitutional right. The first claim, pled on Mr. Wilson’s behalf alone, alleges that defendants Libby, Rove, and Cheney violated the First Amendment by disclosing Mrs. Wilson’s covert status in order to retaliate against Mr. Wilson for exercising his speech rights.
See
Am. Compl. ¶¶ 46-49. The remainder of the
Bivens
claims are grounded in alleged Fifth Amendment violations. Both plaintiffs assert a cause of action against defendants Libby, Rove, and Cheney for the violation of plaintiffs’ rights under the Equal Protection Clause. Am. Compl. ¶¶ 50-54. This “class of one” Equal Protection claim is premised on defendants having allegedly subjected plaintiffs to treatment different than that accorded to others similarly situated.
See id.
¶¶ 51-52.
See generally Vill. of Willowbrook v. Olech,
Defendants have challenged each of these
Bivens
claims on qualified-immunity grounds. Under general qualified-immunity principles, government officials are “shielded from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.”
Harlow v. Fitzgerald,
The special-factors analysis originated in the
Bivens
decision itself. The Supreme Court in
Bivens
implied a cause of action for money damages directly under the Constitution against federal officers who allegedly violated the plaintiffs Fourth Amendment rights.
See
A. Comprehensive Remedial Scheme
The Supreme Court first declined to recognize a
Bivens
remedy because of the existence of an alternative remedial scheme in
Bush v. Lucas,
The Supreme Court revisited this line of special-factors analysis in
Schweiker v. Chilicky,
the concept of “special factors counseling hesitation in the absence of affirmative action by Congress” has proved to include an appropriate judicial deference to indications that congressional inaction has not been inadvertent. When the design of a Government program suggests that Congress has provided what it considers adequate remedial mechanisms for constitutional violations that may occur in the course of its administration, we have not created additional Bivens remedies.
Id.
at 423,
Just last month in
Wilkie v. Robbins,
551 U.S. -,
Relying on
Bush
and
Chilicky,
and fully consistent with
Wilkie,
the D.C. Circuit has gleaned several “general principles” governing when the existence of a statutory remedial scheme counsels hesitation in creating a
Bivens
remedy.
Spagnola v. Mathis,
Defendants in this action argue that two statutes, whether considered independently or in combination, counsel hesitation under the special-factors analysis. The first and most important of these statutes is the Privacy Act, 5 U.S.C. § 552a (2000), which “regulate[s] the collection, maintenance, use, and dissemination of information” about individuals by federal agencies. Privacy Act of 1974, Pub.L. No. 93-579, § 2(a)(5), 88 Stat. 1896, 1896. The second statute, the Intelligence Identities Protection Act of 1982, 50 U.S.C. §§ 421-426 (2000), criminalizes the intentional public disclosure of information identifying a covert agent. 3 Defendants contend that by *86 enacting these statutes, Congress considered the proper recourse for individuals whose personal information has been improperly disclosed by government officials — the alleged activity giving rise to plaintiffs’ claims. Furthermore, the absence in these statutory schemes of a civil damages action against the offending officials was not inadvertent, and Congress has not plainly expressed an intention that the courts preserve Bivens remedies. Therefore, defendants argue, this Court should not imply additional damages remedies under the Constitution.
Plaintiffs respond as an initial matter that the special-factors analysis urged by defendants is less compelling, if not irrelevant, because their complaint alleges violations of constitutional provisions that have given rise to viable
Bivens
claims in the past. In support of this argument, plaintiffs cite
Davis v. Passman,
Thus, it is not enough for plaintiffs to point to cases recognizing
Bivens
actions under the First and Fifth Amendments generally. Although damages actions have been permitted under the First Amendment against federal officials who instituted criminal prosecutions in retaliation for the exercise of protected speech rights,
see Hartman,
1. Privacy Act
The Privacy Act, as noted, regulates how federal agencies maintain and disseminate information pertaining to individuals. Among its requirements, the Act prohibits the disclosure of “any record which is contained in a system of records by any means of communication to any person, or to another agency,” unless the disclosure occurs pursuant to the request of the individual to whom the record pertains, or if one of twelve enumerated exceptions to the disclosure prohibition applies. § 552a(b). Agencies must account for certain types of disclosures made under these provisions. § 552a(c). The Act also “provides for various sorts of civil relief to individuals aggrieved by failures on the Government’s part to comply with [its] requirements.”
Doe v. Chao,
The D.C. Circuit has already confirmed that the Privacy Act may constitute a comprehensive statutory scheme precluding
Bivens
remedies against government officials who improperly disclose a plaintiffs personal information.
See Chung v. U.S. Dep’t of Justice,
Chung
has since been applied by two other judges of this Court on facts also very similar to those alleged in this action. In
Hatfill v. Ashcroft,
Likewise, the plaintiff in
Sudnick v. Dep’t of Defense,
Plaintiffs attempt to distinguish these cases by suggesting that their claims, unlike those of Chung and Hatfill, simply fall outside of the Privacy Act’s scope altogether. In support of this argument, they observe that both Chung and Hatfill pled Privacy Act claims in addition to seeking Bivens remedies. Pis.’ Mem. in Opp’n to Mots, to Dismiss at 53-54. Plaintiffs then contend that the Act is a “highly technical statute” that only applies to a subset of federal agency records, and there is “no factual predicate” for the presumption that the alleged disclosures here involved information covered by the Act. Id. Taking the amended complaint’s allegations as true, however, Libby learned about Mrs. Wilson’s employment from various sources within the CIA, the State Department, and the Office of the Vice President. Am. Compl. ¶ 19. Vice President Cheney ob *89 tained the information from the CIA. Id. ¶ 19(h). Armitage learned about Mrs. Wilson from a State Department memorandum. Id. ¶37. Although there are no allegations explicitly naming the source of Rove’s knowledge, the only logical inference that can be drawn from the facts that are asserted in the amended complaint is that Rove learned about Mrs. Wilson from one of the aforementioned sources: the CIA, a White House office, or the State Department.
Notably, plaintiffs do not contest that the Department of State and the CIA are federal agencies required to abide by the Privacy Act’s disclosure requirements. 4 To the extent plaintiffs are suggesting that Bivens claims can only fall within the scope of the Privacy Act for purposes of the special-factors analysis when they are pled in terms of the Privacy Act’s requirements, the Court simply does not agree. Otherwise, any plaintiff could assert a Bivens claim in lieu of an arguably less-desirable Privacy Act claim by way of artful pleading.
The Wilsons do contest the application of the Privacy Act to the Office of the Vice President, which they argue is not an agency and therefore does not come within the Act’s purview for special-factors purposes. The Privacy Act defines “agency” by reference to the Freedom of Information Act (“FOIA”), 5 U.S.C. § 552 (2000).
See
§ 552a(a)(l) (cross-referencing FOIA § 552(e), now codified at § 552(f)). FOIA, in turn, defines “agency” as “any executive department, military department, Government corporation, Government controlled corporation, or other establishment in the executive branch' of the Government (including the Executive Office of the President), or any independent regulatory agency.” § 552(f)(1). Despite the statute’s explicit reference , to the Executive Office of the President, the Supreme Court has held on the basis of “unambiguous” legislative history that the Office of the President does not fall within FOIA’s definition of “agency.”
See Kissinger v. Reporters Comm. for Freedom of the Press,
445 U..S. 136, 156,
This Court does not need to resolve the issue here. Even assuming that the Office of the Vice President is not an agency under the Privacy Act for the reasons given in
Kissinger,
it still comes within the purview of the Act for purposes of the special-factors analysis. It is enough to observe that Congress contemplated whether the Privacy Act should adopt a definition of agency that explicitly excluded “units in the Executive Office whose sole function is to advise and assist the President,” FOIA Conference Committee Report at 15, and then did so. As the district court in
Jones
explained with ref
*90
erence to conference reports and floor debates, “[t]here is every indication from the legislative history that the drafters of the Privacy Act, in choosing to apply the FOIA definition of ‘agency" to the Privacy Act, were cognizant of the Conference Committee Report prepared in connection with the 1974 FOIA Amendments.”
Jones,
Plaintiffs also attempt to distance themselves from
Chung
and
Hatfill
on the slightly different ground that the Privacy Act afforded a possible remedy to the plaintiffs in those cases but does not afford a possible remedy to plaintiffs here. Assuming
arguendo
that the Wilsons do not have any potential Privacy Act remedies for at least some of the alleged disclosures, there is language from the district judges in
Chung
and
Hatfill
that, when read in isolation, might seem to support plaintiffs’ view.
See Hatfill,
These courts have followed to its logical conclusion the Supreme Court’s directive to defer to Congress’s judgment when Congress has constructed “an elaborate remedial system” encompassing a plaintiffs claim.
Bush,
Finally, plaintiffs assert that a
Bivens
remedy is necessary because for them, as for the plaintiffs in
Bivens
and
Davis,
“it is damages or nothing.”
See
Pis.’ Opp’n at 51 (quoting
Davis,
This Court would not hesitate either, were it actually confronted with the issue. As an initial matter, it appears that plaintiffs could have stated colorable Privacy Act claims based on some of the alleged disclosures, particularly those involving information allegedly learned by Armitage from a State Department memorandum. See § 552a(g)(l)(D), (g)(4). Furthermore, plaintiffs have asserted a state-law tort claim against the individual federal offi *92 cials named in this action. Although this cause of action has now been converted into an FTCA claim against the United States, see infra, it nonetheless negates plaintiffs’ assertion that a Bivens claim must be implied because they are left without any other possible remedy. 6
2. Intelligence Identities Protection Act
Defendants have also asserted that the Intelligence Identities Protection Act of 1982 (“UPA”) is a comprehensive statutory scheme barring plaintiffs’ Bivens claims. See Pub.L. No. 97-200, 96 Stat. 122 (codified as amended at 50 U.S.C. §§ 421-426 (2000)). The IIPA prohibits the intentional disclosure of information identifying a covert agent and subjects an individual making such a disclosure to fines and a prison sentence of up to ten years. § 421. It does not provide for civil enforcement or for any other civil remedies. Defendants contend that Congress exhaustively considered the appropriate means of preventing the disclosure of a covert operative’s identity when it passed the IIPA and made the calculated decision to impose criminal sanctions to the exclusion of civil remedies. In support of the argument that the lack of civil remedies was deliberate, Libby contrasts the IIPA with the Foreign Intelligence Surveillance Act of 1978, which provides for private causes of action in addition to criminal penalties. See 50 U.S.C. §§ 1809, 1810 (2000).
One of Congress’s goals in enacting the IIPA certainly was “to protect intelligence officers and sources from [the] harm” that results from the disclosure of covert identities. S.Rep. No. 97-201, at 11 (1981). But defendants do not cite, and the Court is unaware of, any legislative history indicating that Congress rejected or even considered the possibility of civil remedies for such disclosures. If anything, the legislative history shows that Congress was responding to a series of high-profile incidents in which individuals had purposefully put covert agents at risk, and the IIPA was a targeted effort to punish such behavior criminally.
See, e.g.,
S.Rep. No. 97-201, at 1 (referencing “systematic effort by a small group of Americans ... to disclose the names of covert intelligence agents” and noting that “[njumerous proposals have been made ... for a criminal statute to punish such disclosure”);
id.
at 8-9 (characterizing UPA as “a definitive affirmation ... that anyone who engages in ... identification and exposure of the identities of [undercover agents] should be punished”). More generally, defendants have not been able to point to
any
case in
*93
which a criminal statute has been found to constitute a
Bivens
special factor. In this Court’s view, the existence of a purely criminal statute that provides for no civil remedies at all cannot fairly be said to constitute a comprehensive
remedial
statutory scheme for purposes of assessing the availability of a
Bivens
remedy.
See Bush,
B. Other Special Factors Counseling Against a Bivens Remedy
Even if this Court did not conclude that the Privacy Act is a comprehensive remedial scheme “amount[ing] to a convincing reason for the Judicial Branch to refrain from providing a new and freestanding remedy in damages,”
id.,
plaintiffs’ claims would nonetheless fail under “step two” of the
Bivens
analysis, which requires “weighing reasons for and against the creation of a new cause of action, the way common law judges have always done.”
Id.
As the Supreme Court has recently noted in
Wilkie,
“any freestanding damages remedy for a claimed constitutional violation has to represent a judgment about the best way to implement a constitutional guarantee; it is not an automatic entitlement no matter what other means there may be to vindicate a protected interest.”
Id.
at 2597. In this case, the
Bivens
remedy requested by plaintiffs — a cause of action implied under the Constitution for the alleged disclosure of Mrs. Wilson’s status as a covert CIA operative— raises significant separation-of-powers and justiciability concerns. Given these considerations, this Court believes that the decision whether to recognize a new
Bivens
remedy in this context “ ‘is more appropriately for those who write the laws, rather than for those who interpret them.’ ”
Sanchez-Espinoza v. Reagan,
Defendants argue that creating a private right of action for the disclosure of covert identity would “be inimical to” the Executive Branch’s broad exercise of discretion to protect information pertaining to national security.
See
Rove’s Mem. in Support of Mot. to Dismiss at 18. “The authority to protect such information falls on the President as head of the Executive Branch and as Commander in Chief’ and “exists quite apart from any explicit congressional grant.”
Dep’t of Navy v. Egan,
The need to maintain Executive Branch discretion regarding the protection of national security information raises serious questions of justiciability with respect to a civil damages remedy for unauthorized disclosure of covert identity. In particular, the doctrine established in
Totten v. United States,
Plaintiffs argue that the
Totten
doctrine does not apply in this case because the relationship between Mrs. Wilson and the CIA has been publicly revealed. For a slightly different reason, this Court agrees that
Totten
does not squarely apply to plaintiffs’ claims. The Government has
officially
acknowledged, in documents filed in the
Libby
criminal case and at oral argument in this matter, that Mrs. Wilson was a covert operative for the CIA,
see
Mot. Hearing Tr. 19:12-15, and the Supreme Court has explained that
“Totten’s
core concern” — “preventing the existence of the plaintiffs relationship with the Government from being revealed” — is not implicated in “a suit brought by an acknowledged (though covert) employee of the CIA.”
Tenet,
First, as explained above,
Bivens
remedies are context-specific. As the Supreme Court has observed, “there are varying levels of generality at which one may apply ‘special factors’ analysis.”
United States v. Stanley,
Second, even those claims that do not fall directly under the
Totten
doctrine will inevitably require judicial intrusion into matters of national security. For example, in this case plaintiffs have alleged that “Mrs. Wilson was impaired in her ability to carry out her duties at the CIA.” Am. Compl. ¶43. This statement not only speaks to her injuries generally but also relates to the merits of her Fifth Amendment deprivation of property claim, at least under certain legal theories.
See O’Donnell v. Barry,
Such potential difficulties associated with claims based on the disclosure of information relating to covert CIA operatives gives the Court reason to pause before extending
Bivens
to this context. “[UJnless Congress specifically has provided otherwise, courts traditionally have been reluctant to intrude upon the authority of the Executive in military and national security affairs.”
Egan,
* * * * H:
In sum, the Court finds that the existence of special factors counsels against judicial implication of plaintiffs’ Bivens claims in this setting. Accordingly, there is no need to address defendants’ alternative arguments for dismissal of these claims, including their assertions of qualified immunity and the Vice President’s claim of absolute immunity.
II. Public Disclosure of Private Facts
Plaintiffs have also asserted against all defendants a common-law claim for the public disclosure of private facts, which is a form of the tort of invasion of privacy. This tort claim is based on the same underlying allegations as their Bivens claims — that defendants caused the publication of the allegedly private fact that Mrs. Wilson was a covert CIA operative— and contends that defendants did so in a manner that would be highly offensive to a reasonable person of ordinary sensibilities. See Am. Compl. ¶¶ 65-68.
The Federal Employees Liability Reform and Tort Compensation Act of 1988, commonly known as the Westfall Act, 28 U.S.C. § 2679 (2000), provides the exclusive remedy for a claim of damages arising from any “negligent or wrongful act or omission of any employee of the Government while acting within the scope of his office or employment.” § 2679(b)(1). The Act thus “accords federal employees absolute immunity from common-law tort claims arising out of acts they undertake in the course of their official duties.”
Osborn v. Haley,
549 U.S. -,
Plaintiffs challenge the West-fall certification in this action. The scope-of-employment certification is subject to judicial review.
Gutierrez de Martinez v. Lamagno,
The ensuing scope-of-employment inquiry is governed by the law of agency as applied in the District of Columbia, where the tort allegedly occurred.
See Stokes,
Under the Restatement, an employee’s conduct falls within the scope of employment if: 1) it is of the kind of conduct he is employed to perform; 2) it occurs substantially within the authorized time and space limits; 3) it is actuated, at least in part, by a purpose to serve the master; and 4) if force is intentionally used by the servant against another, the use of force is not unexpected by the master.
Id. at 141 (citing Restatement (Second) of Agency § 228). The fourth Restatement element is irrelevant in this action because plaintiffs have not alleged the use of force. The remaining three elements are contested by plaintiffs, however, and will be considered by the Court in turn.
With respect to the first Restatement element, plaintiffs argue that defendants’ actions were different in kind from that authorized because their conduct was illegal and “placed the national security at risk.” Pis.’ Opp’n at 36. As plaintiffs describe the conduct at issue, defendants engaged “in a deliberate campaign to discredit and punish Mr. Wilson for his constitutionally protected public statements by intentionally disclosing classified information.”
Id.
The test for this element of the scope-of-employment inquiry is disjunctive: defendant’s conduct is of the kind he or she was employed to perform if it was either “ ‘of the same general nature as that authorized’ or
‘incidental to
the conduct authorized.’ ”
CAIR,
The
CAIR
case is illustrative. The Council on American-Islamic Relations (“CAIR”) brought an action for defamation and slander against Congressman Cass Ballenger based on his statement that CAIR was the fund-raising arm of a foreign terrorist organization.
As CAIR makes clear, this Court must look beyond the alleged disclosure of Mrs. Wilson’s covert identity and assess whether the underlying conduct was of the type defendants were employed to perform. The proper inquiry in this Court’s view, then, is whether talking to the press (or, in Cheney’s case, participating in an agreement to do so, see Am. Compl. ¶ 24) in order to discredit a public critic of the Executive Branch and its policies is within the scope of defendants’ duties as federal employees. See Am. Compl. ¶ 3. The alleged means by which defendants chose to rebut Mr. Wilson’s comments and attack his credibility may have been highly unsavory. But there can be no serious dispute that the act of rebutting public criticism, such as that levied by Mr. Wilson against the Bush Administration’s handling of prewar foreign intelligence, by speaking with members of the press is within the scope of defendants’ duties as high-level Executive Branch officials. 8 Thus, the alleged tortious conduct, namely the disclosure of Mrs. Wilson’s status as a covert operative, was incidental to the kind of conduct that defendants were employed to perform.
Plaintiffs’ arguments with respect to the third element of the scope-of-employment test — whether the conduct is act
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uated by a purpose to serve the master— suffer from the same flawed focus on the tort itself rather than the underlying conduct. Plaintiffs observe, undoubtedly correctly, that the unauthorized disclosure of classified information, and in particular of the identity of a covert agent, can never be in the interest of the United States. But, like the inquiry into the kind of conduct authorized, the “ ‘intent criterion focuses on the underlying dispute or controversy, not on the nature of the tort, and it is broad enough to embrace any intentional tort arising out of a dispute that was originally undertaken on the employer’s behalf.’ ”
Stokes,
Finally, the second element of the scope-of-employment inquiry looks to whether the alleged conduct occurs substantially within authorized time and space limits. Plaintiffs concede that this element is satisfied as to Armitage, who allegedly met with reporters in his State Department office. Plaintiffs admittedly have
not
alleged the time and place of the other defendants’ actions; they now argue that discovery is necessary to determine those facts. But “[n]ot every complaint will warrant further inquiry into the scope-of-employment issue.”
Stokes,
In any event, there would seem to be little utility in applying the concept of authorized time and space limits to high-level government officials such as the Vice President, his Chief of Staff, and a close advis- or to the President. As the United States observed in its reply brief, the “Vice President does not turn into a private citizen on Sundays.” U.S. Reply in Support of Mot. to Dismiss at 8-9. The amended complaint underscores this very point: it alleges, for example, that before Libby spoke with reporters Cooper and Miller on Sunday, July 12, 2003, he had flown that morning with Vice President Cheney and “other officials” on Air Force Two and discussed with those officials how to respond to media inquiries. Am. Compl. ¶ 19(v). The bare assertion that these actions took place on a Sunday — a day on which plaintiffs also allege that at least some official government business had taken place — is not sufficient to rebut the certification that the actions occurred within the scope of employment.
In sum, the Court finds that plaintiffs have not pled sufficient facts that, if true, would rebut the Westfall certification filed in this action. Hence, neither further discovery nor an evidentiary hearing on the seope-of-employment issue is warranted, and the United States is substituted as the sole defendant for the claim of public disclosure of private facts. Furthermore, plaintiffs have not contested defendants’ assertions that they have not exhausted their administrative remedies as required by the FTCA. See § 2679(d)(4); § 2675(a) (“An action shall not be instituted upon a claim against the United States for money damages ... unless the claimant shall have first presented the claim to the appropriate Federal agency and his claim shall have been finally denied by the agen
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cy in writing .... ”). This Court therefore lacks subject-matter jurisdiction over plaintiffs’ tort claim for public disclosure of private facts.
See Jackson v. United States,
CONCLUSION
For the reasons given above, plaintiffs have failed to state a claim upon which relief can be granted with respect to their four causes of action asserted directly under the Constitution. Furthermore, this Court lacks subject-matter jurisdiction over plaintiffs’ claim for public disclosure of private facts. Accordingly, defendants’ motions to dismiss are granted. A separate order accompanies this memorandum opinion.
Notes
. The circumstances giving rise to this action have been recounted extensively in the media, including in press coverage of the criminal trial against defendant I. Lewis Libby, Jr. that took place earlier this year.
See United States v. Libby,
No. 05-cr-394 (D.D.C.). It is therefore worth reiterating that the facts as recounted in this opinion are drawn from the amended complaint, which is presumed true and is liberally construed for purposes of a motion to dismiss.
See, e.g., Leatherman v. Tarrant County Narcotics & Coordination Unit,
. The Supreme Court has treated the special-factors analysis as a prudential matter that can be addressed prior to jurisdictional issues.
See Schweiker v. Chilicky,
. Libby also suggests that the Civil Service Reform Act of 1978 ("CSRA”), Pub.L. No. 95-454, 92 Stat. 1111 (codified as amended in scattered sections of 5 U.S.C.), which governs
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personnel actions taken against federal employees, precludes any
Bivens
remedy here. He argues that, to the extent plaintiffs’ claims involve adverse effects on Mrs. Wilson’s employment, those claims fall within the purview of, and thus are precluded by, the CSRA. Libby's Mem. in Support of Mot. to Dismiss at 13;
see, e.g., Spagnola,
Although plaintiffs allege that Mrs. Wilson was unable to continue with her work as a covert CIA operative as a result of defendants' actions, see Am. Compl. ¶¶ 14, 43, they have not alleged that any adverse employment actions were taken against Mrs. Wilson, or otherwise described any actions taken against Mrs. Wilson by her employer. The crux of plaintiffs’ claims concerns the alleged disclosure of private information — conduct that is not addressed by the CSRA or the CIA grievance procedures one way or the other.
. Although the Director of the Central Intelligence Agency may promulgate regulations exempting records maintained by the CIA from some Privacy Act obligations, see § 552a(j)(l), he or she may not do so with respect to the Act's disclosure requirements, see § 552a(j).
. The D.C. Circuit did not face that situation directly in
Spagnola
because the plaintiffs had a limited administrative remedy under the CSRA.
See
.
Carlson v. Green,
Plaintiffs' failure to exhaust their FTCA remedies cannot justify the recognition of their Bivens claims. If that were true, plaintiffs could seek perhaps greater remedies under a Bivens implied right of action than they otherwise would have obtained had they been more diligent in protecting their statutory rights.
. Alternatively, this claim might be subject to dismissal under the state-secrets doctrine, assuming that the United States properly asserted the privilege.
See, e.g., Sterling v. Tenet,
. Armitage, as Deputy Secretary of State, was accorded "all authorities and functions vested in the Secretary of State.” Delegation of Authority 245, 66 Fed.Reg. 22,065, 22,065 (May 2, 2001).
. Given this Court’s lack of subject-matter jurisdiction over the tort claim, this opinion will not address defendants’ alternative arguments, including their statute-of-limitations defense, as to why the claim fails as a matter of law.
