American Civil Liberties Union v. Harold Brown, Secretary of Defense

609 F.2d 277
CourtCourt of Appeals for the Seventh Circuit
DecidedJuly 31, 1979
Docket78-1906
StatusPublished
Cited by12 cases

This text of 609 F.2d 277 (American Civil Liberties Union v. Harold Brown, Secretary of Defense) is published on Counsel Stack Legal Research, covering Court of Appeals for the Seventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American Civil Liberties Union v. Harold Brown, Secretary of Defense, 609 F.2d 277 (7th Cir. 1979).

Opinions

NOLAND, District Judge.

This appeal is before the Court pursuant to 28 U.S.C. § 1292(b) to review the District Court’s order of March 28, 1978 rejecting the appellants’ claim that certain information and documents sought by the appellees are protected by the state secrets privilege. The underlying action seeks to redress the appellants’ allegedly unconstitutional investigation and intelligence gathering activities aimed at the appellees and the classes they represent.

On August 16, 1976, the appellees filed their first set of interrogatories to the appellants’ predecessors which included the following requests:

5.....
(B) Identify any and all standards that have directed, governed, and/or applied in any other way to domestic intelligence activities or techniques.
(C) Produce all documents identified in (B).
26. Document Request: With respect to the CIAB’s domestic intelligence files discussed in 25, produce:
(B) Any and all supportive filing materials, including indices (on paper, microfilm, or computerized) that were used in connection with the CIAB’s domestic intelligence files insofar as such materials relate to the Chicago metropolitan area.
34. With respect to the 113th MIG, Region I Headquarters, Evanston, Illinois, and the Evanston and Chicago Field officers:
(M) Identify all persons other than fulltime employees who performed domestic intelligence work of any kind for any of these officers, and with respect to each such person state whether they received payment or other consideration, and if so, the amount.

The appellants responded in December of 1976 by objecting to these requests due to the sensitive nature of the information and materials sought. In June of the following year, the appellants filed three affidavits which identified the only materials which could be provided in order to respond to the appellees’ requests and asserting the state secrets privilege relative to those documents. Relative to requests 5(B) and (C) Army Field Manual 30-17A, Counterintelligence Special Operations (confidential); Army Regulation 381-12-1, Processing of SAEDA Incidents (Subversion and Espionage Directed Against the Army) (confidential); and Army Regulation 381 — 47, U.S. Army Offensive Counterintelligence Operations (Secret) were all found to be responsive. Relative to request 26(B) the Counterintelligence Research Files System (CIRFS) was found to be responsive. Request 34(M) sought the identity of a human source of intelligence information.

In its order of September 14, 1977, the District Court found these affidavits to be “too indefinite” to support the appellants’ claim. It further stated:

The Court hereby orders these officials to set forth more detailed justifications for the claims of privilege and to submit for in camera inspection the Army Regulations here in question within 30 days of the date of this Order.

No specific reference is made to the CIRFS or the human source in this order. The Army responded by filing an additional affidavit and submitting the Army Regulations and Field Manual requested by the Court. On March 28, 1978, the Court found that the Army had failed to “sufficiently support” its claims of privilege. The Court specifically stated: “The Acting Secretary of the Army has now filed further affidavits and submits the materials for which the privilege has been invoked for in camera inspection.” The District Court believed [280]*280the protective orders it has entered would adequately protect the materials involved from the disclosure the appellants fear. The Court’s order further stated “This Court’s in camera examination of these documents [Army Regulations and Manual] reveals that these claims are not meritorious . .” Because the District Judge only examined the Army Regulations and Manual in camera, the quoted language seems to indicate that the District Court failed to fully consider the claims made relative to the CIRFS and the informant. Its ruling relative to these items may thus require more thorough review.

Standard of Review

The parties agree that United States v. Reynolds, 345 U.S. 1, 73 S.Ct. 528, 97 L.Ed. 727 (1953), is the starting point for our inquiry. The District Court correctly pursued the procedure set down in that case by considering the appellees’ need for the information and balancing that need against the claims made by the government. Contrary to the appellants’ assertions, Reynolds itself provides no standard for determining the relative importance of these competing interests because there the plaintiff’s need for the information was clearly insubstantial. The Supreme Court’s determination was based upon a belief that Congress did not by passage of the Federal Tort Claims Act intend to waive the government’s traditional claims of privilege. With passage of the Freedom of Information Act (FOIA), 5 U.S.C. § 552 et seq., the Court seized upon apparent congressional intent to give executive agencies complete discretion to determine which documents required protection and which did not. EPA v. Mink, 410 U.S. 73, 93 S.Ct. 827, 35 L.Ed.2d 119 (1973). Congress later clarified its desire by amending that Act to state that such documents must be “in fact properly classified.” 5 U.S.C. § 552(b)(1) (B). § 552(a)(4)(B) specifically provides for a de novo determination by a District Court and in camera inspection of the Court feels such action is warranted.

It is unclear the extent to which this statutory provision for release of government documents applies to civil discovery disputes; but this Court agrees with the appellees that to apply a different standard in this context would be incongruous. Brief of Appellees at 21. The Supreme Court in fact drew some parallels between civil discovery matters and the FOIA in EPA v. Mink, relative to inter and intra agency communications. Mink, supra at 85, 93 S.Ct. 827. See also Sec. of Labor v. Farino, 490 F.2d 885 (7th Cir. 1973). This Court will look to the FOIA for guidance in determining the sustainability of the appellants’ claims.

No clear and concise standard has been developed under that Act, if one is in fact feasible, to determine whether an agency has adequately made a case for nondisclosure. No formula will likely be of value but the FOIA itself puts the burden upon the agency to justify its classification of the documents. 5 U.S.C. § 552(a)(4)(B). Further a Court generally may not deny disclosure of documents under that Act unless they are clearly covered by one of its exemptions. This Court believes that in the context of civil litigation the balancing test in Reynolds

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Bluebook (online)
609 F.2d 277, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-civil-liberties-union-v-harold-brown-secretary-of-defense-ca7-1979.