Opinion for the Court filed by Circuit Judge WALD.
WALD, Circuit Judge:
Birchel Carson appeals an order of the district court entered on cross-motions for summary judgment under the Freedom of Information Act (FOIA), 5 U.S.C. § 552 (1976). That order denied Carson access to materials which were withheld by the United States Parole Commission (Parole Commission) in response to Carson’s request for access to his Parole Commission files.
The primary issue on appeal is the narrow but important question whether a pre-sentence report is an agency record within the meaning of the FOIA. For the reasons given in Part I of this opinion we conclude that the presentence report is such a record and therefore vacate the contrary judgment entered in the district court. Our holding in this respect is no broader than the narrow question presented; we decide only that the presentence report is an agency record within the meaning of the FOIA. We do not decide, nor even suggest that the FOIA mandates disclosure of all or some part of the presentence report; these questions we leave to the district court on remand.
The other issues presented by this appeal are treated in Part II of this opinion. As we there explain, the district court’s order denying FOIA access to other withheld materials is affirmed in several respects; but because we find the withholding of a few items to have been inadequately justified under controlling FOIA precedent, we vacate and remand certain other aspects of the judgment.
I. THE PRESENTENCE REPORT
That the Parole Commission is an “agency” governed by the FOIA is clear.
However, the presentence report is prepared not by the Parole Commission but by the probation service of the United States courts,
and the United States courts are not agencies within the meaning of the FOIA.
The Department of Justice maintains that the non-agency origin of the presentence report determines its status under the FOIA.
The Department argues that transmission of the report from the probation service to the Parole Commission does not convert the report into a “record” of the Parole Commission for purposes of the FOIA.
A.
The FOIA and the Presentence Report in the Courts
The first reported decision to -address the issue of presentence report availability under the FOIA was
Cook v. Willingham,
400 F.2d 885 (10th Cir. 1968). In that case a motions panel of two judges of the Tenth Circuit issued a three paragraph
per curiam
opinion summarily affirming a district court decision denying access under the FOIA to a presentence report. In agreeing with the lower court’s determination that “the presentence report [was] made for the use of the sentencing court and thereafter remains in the exclusive control of that court despite any joint utility it may eventually serve,”
id.,
the
Cook
court relied upon two factors: first, that the sentencing court had absolute discretion to grant or deny access to the report, id.; and second, that the FOIA did not apply to the courts.
Id. Cook
has been .approved in the circuit where it was decided
and has been followed by other courts.
No subsequently decided case of which we are aware has disagreed with
Cook’s
holding. Furthermore,.
Cook
was cited with approval by the majority of a panel of this court in
Goland v. Central Intelligence Agency,
607 F.2d 339, 346 (D.C. Cir. 1978),
cert. denied,
445 U.S. 927, 100 5.Ct. 1312, 63 L.Ed.2d 759 (1980), holding that a stenographic transcript of a “secret” Congressional hearing in the custody of the CIA was not an agency record under the FOIA.
B.
The FOIA’s Agency Record Requirement
The majority in
Goland,
in an opinion by Judge Wilkey, decided that the FOIA’s applicability to a document generated by an expressly exempted non-agency (in that case the Congress) would be determined by a standard of control rather than possession:
Whether a congressionally generated document has become an agency record, . . . depends on whether under all the facts of the case the document has passed from the control of Congress and become property subject to the free disposition of the agency with which the document resides.
607 F.2d at 347. Noting that the Congress retained unbridled discretion to conduct secretly the proceedings recorded in the document at issue,
id.
at 346, that the Congress had manifested an intent to preserve the secrecy of
those
proceedings,
id.
at 347, and that the document had been released to the agency for limited purposes, the
Goland
majority agreed with the district court’s conclusion that the document “ ‘remain[ed] within the control of Congress,’ ”
id.
at 345
(quoting
the district court), and denied access under the FOIA.
Id.
at 348.
However, when the control test adopted by the
Goland
majority was subsequently applied to different sorts of congressionally generated material, a strikingly different result was reached. In
Ryan v. Department of Justice,
617 F.2d 781, this court held, again in an opinion by Judge Wilkey, that United States Senators’ responses to Justice Department questionnaires concerning the procedures they used for selecting and recommending potential nominees for federal judgeships were agency records subject to the FOIA. In that case the court reasoned:
Unless there is evidence of control by some other entity, we must conclude that the Attorney General and his Department control these documents. . . . Senators generated these materials at the specific request of the Attorney General, and they gave no indication that they wished to limit his use of them. There are no express or reasonably implied senatorial instructions concerning the Attorney General’s disposition of these documents. The Senators gave no indication that their responses were to be treated as secret or sensitive, and nothing in the Attorney General’s questionnaire or other circumstances indicated that Senators would have the prerogative to maintain secrecy. On this record we cannot find control by the Senators.
Id.
at 786.
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Opinion for the Court filed by Circuit Judge WALD.
WALD, Circuit Judge:
Birchel Carson appeals an order of the district court entered on cross-motions for summary judgment under the Freedom of Information Act (FOIA), 5 U.S.C. § 552 (1976). That order denied Carson access to materials which were withheld by the United States Parole Commission (Parole Commission) in response to Carson’s request for access to his Parole Commission files.
The primary issue on appeal is the narrow but important question whether a pre-sentence report is an agency record within the meaning of the FOIA. For the reasons given in Part I of this opinion we conclude that the presentence report is such a record and therefore vacate the contrary judgment entered in the district court. Our holding in this respect is no broader than the narrow question presented; we decide only that the presentence report is an agency record within the meaning of the FOIA. We do not decide, nor even suggest that the FOIA mandates disclosure of all or some part of the presentence report; these questions we leave to the district court on remand.
The other issues presented by this appeal are treated in Part II of this opinion. As we there explain, the district court’s order denying FOIA access to other withheld materials is affirmed in several respects; but because we find the withholding of a few items to have been inadequately justified under controlling FOIA precedent, we vacate and remand certain other aspects of the judgment.
I. THE PRESENTENCE REPORT
That the Parole Commission is an “agency” governed by the FOIA is clear.
However, the presentence report is prepared not by the Parole Commission but by the probation service of the United States courts,
and the United States courts are not agencies within the meaning of the FOIA.
The Department of Justice maintains that the non-agency origin of the presentence report determines its status under the FOIA.
The Department argues that transmission of the report from the probation service to the Parole Commission does not convert the report into a “record” of the Parole Commission for purposes of the FOIA.
A.
The FOIA and the Presentence Report in the Courts
The first reported decision to -address the issue of presentence report availability under the FOIA was
Cook v. Willingham,
400 F.2d 885 (10th Cir. 1968). In that case a motions panel of two judges of the Tenth Circuit issued a three paragraph
per curiam
opinion summarily affirming a district court decision denying access under the FOIA to a presentence report. In agreeing with the lower court’s determination that “the presentence report [was] made for the use of the sentencing court and thereafter remains in the exclusive control of that court despite any joint utility it may eventually serve,”
id.,
the
Cook
court relied upon two factors: first, that the sentencing court had absolute discretion to grant or deny access to the report, id.; and second, that the FOIA did not apply to the courts.
Id. Cook
has been .approved in the circuit where it was decided
and has been followed by other courts.
No subsequently decided case of which we are aware has disagreed with
Cook’s
holding. Furthermore,.
Cook
was cited with approval by the majority of a panel of this court in
Goland v. Central Intelligence Agency,
607 F.2d 339, 346 (D.C. Cir. 1978),
cert. denied,
445 U.S. 927, 100 5.Ct. 1312, 63 L.Ed.2d 759 (1980), holding that a stenographic transcript of a “secret” Congressional hearing in the custody of the CIA was not an agency record under the FOIA.
B.
The FOIA’s Agency Record Requirement
The majority in
Goland,
in an opinion by Judge Wilkey, decided that the FOIA’s applicability to a document generated by an expressly exempted non-agency (in that case the Congress) would be determined by a standard of control rather than possession:
Whether a congressionally generated document has become an agency record, . . . depends on whether under all the facts of the case the document has passed from the control of Congress and become property subject to the free disposition of the agency with which the document resides.
607 F.2d at 347. Noting that the Congress retained unbridled discretion to conduct secretly the proceedings recorded in the document at issue,
id.
at 346, that the Congress had manifested an intent to preserve the secrecy of
those
proceedings,
id.
at 347, and that the document had been released to the agency for limited purposes, the
Goland
majority agreed with the district court’s conclusion that the document “ ‘remain[ed] within the control of Congress,’ ”
id.
at 345
(quoting
the district court), and denied access under the FOIA.
Id.
at 348.
However, when the control test adopted by the
Goland
majority was subsequently applied to different sorts of congressionally generated material, a strikingly different result was reached. In
Ryan v. Department of Justice,
617 F.2d 781, this court held, again in an opinion by Judge Wilkey, that United States Senators’ responses to Justice Department questionnaires concerning the procedures they used for selecting and recommending potential nominees for federal judgeships were agency records subject to the FOIA. In that case the court reasoned:
Unless there is evidence of control by some other entity, we must conclude that the Attorney General and his Department control these documents. . . . Senators generated these materials at the specific request of the Attorney General, and they gave no indication that they wished to limit his use of them. There are no express or reasonably implied senatorial instructions concerning the Attorney General’s disposition of these documents. The Senators gave no indication that their responses were to be treated as secret or sensitive, and nothing in the Attorney General’s questionnaire or other circumstances indicated that Senators would have the prerogative to maintain secrecy. On this record we cannot find control by the Senators.
Id.
at 786.
Although the Supreme Court has not had occasion to examine the control test adopted and applied on two occasions in this circuit, a recent Court decision has used language which suggests approval of this test.
Kissinger v. Reporters’ Committee for Freedom of the Press,
445 U.S. 136,156,100 S.Ct. 960, 972, 63 L.Ed.2d 267 (1980) (noting that the papers at issue “were not in the control of the State Department at any time”).
C.
Application of the Goland Standard to the Presentence Report
Since the Tenth Circuit’s decision in
Cook,
cited with approval in
Goland,
significant changes have occurred in the law governing presentenee reports. These changes have both reduced the control over the report vested in the originating body and increased the control vested in the agency in whose possession the document resides. In our view these changes establish that the Parole Commission “controls” the presen-tence reports in its possession and that those reports are agency records within the meaning of the FOIA. In the discussion that follows, we analyze the various changes that have altered the status of presentence reports.
1.
Rule 32(c).
Since 1975 the Federal Rules of Criminal Procedure have required sentencing courts to disclose to a requesting defendant before the imposition of sentence the contents of his presentence report, exclusive of the recommendation of sentence.
Material which
in the opinion of the court . . . contains diagnostic opinion which might seriously disrupt a program of rehabilitation, sources of information obtained upon a promise of confidentiality, or any other information which, if disclosed, might result in harm, physical or otherwise, to the defendant or other persons
is not required to be disclosed verbatim but may instead be summarized for the defendant by the sentencing court.
The wisdom of and need for presentence report disclosure was hotly debated for many years before a rule requiring disclosure was proposed by the Court and approved by the Congress.
In 1966, the advisory committee took note of the debate,
but the amendment to Rule 32 ultimately proposed and adopted in that year left the decision to disclose entirely within the discretion of the sentencing judge.
The 1966 advisory committee “hoped that courts [would] make increasing use of their discretion to dis
close”
but until 1975 no rule governed or reduced the exercise of that discretion.
Thus, when
Cook
was decided in 1968 a sentencing court’s discretion under the Rules to refuse disclosure of the presen-tenee report was absolute. Since 1975 the courts’ unfettered “prerogative of maintaining secrecy”
in this regard' has been abolished and replaced by a rule requiring verbatim disclosure upon request except with respect to certain materials as to which a factual summary must be given. The 1975 amendment substantially dilutes the sentencing court’s control over the pre-sentence report, even before that report is transmitted to the parole authorities and quite apart from the control over the report vested by statute in the parole authorities.
2.
The Parole Commission and Reorganization Act.
Congress’ consideration and approval of the 1975 amendment to Rule 32(c) coincided with its consideration and passage of the Parole Commission and Reorganization Act (the “Parole Act”), 18 U.S.C. § 4201
et seq.
(1976). Two changes bearing upon control of the presentence report were effected by that Act and differentiate the legal context in which this case arose from the context in which
Cook
was decided.
First and most importantly, the Parole Act expressly requires the Parole Commission to consider available presentence reports in making its parole determinations. 18 U.S.C. § 4207 (1976). Presentence reports had for some time served a “joint utility,”
but until the Parole Act became effective their consideration by parole authorities was not expressly required.
In our view this express requirement-quite apart from other provisions of the Parole Act-is sufficient to answer the question of the FOIA agency record status of presen-tence reports which are made available to the Parole Commission.
Assuring the availability to the Parole Commission of relevant presentence reports appears to have been an object of section 4205(e) of the Parole Act.
That section provides:
Upon request of the Commission, it shall be the duty of the various probation officers and government bureaus and agencies to furnish the Commission information available to such officer, bureau, or agency, concerning any eligible prisoner or parolee . .
Assuming the presentence report constitutes “information” within the meaning of this section, the Parole Act’s requirement that available information be furnished to the Parole Commission appears to have removed from the courts the discretion they may once have been thought to have had to prevent transmittal to the parole authorities of presentence reports held by the probation service.
More importantly, how
ever, the Parole Act’s requirement that the Commission consider available presentence reports has vested the Parole Commission with a degree of control over available reports commensurate with the fulfillment of its statutory mission as an agency independent of the courts.
That the Parole Commission has control of the presentence reports in its possession is also supported by a second aspect of the Parole Act. Section 4208 of that Act, 18. U.S.C. § 4208(b) (1976), requires the Parole Commission to provide to a requesting prisoner, in advance of any parole ■ determination, “reasonable access to a report or other document to be used by the Commission in making its determination.” Because available presentence reports must now be considered by the Commission,
section 4208 requires that reasonable access to such reports be provided. However, in language practically identical to that of Rule 32(c), the Parole Act exempts from the reasonable access requirement certain “diagnostic opinions,” material revealing “sources of information obtained upon a promise of confidentiality” or “information which, if disclosed, might result in harm, physical or otherwise, to any person.” 18 U.S.C. § 4208(c) (1976). As to this material a summary of the “basic contents” must be supplied the inmate.
Id.
Thus the Parole Act both vests the Parole Commission with the requisite authority to disclose the contents of the presentence reports in its possession and reduces the Commission’s discretion to withhold disclosure of such reports. Control is both supplied and absolute discretion reduced to a level of discretion quite similar to that provided the sentencing court in the 1975 amendment to Rule 32(c).
That independent control in the Parole Commission was thought necessary to permit disclosure of the presentence report is made clear by the explanatory remarks of one of the House Committee members:
In testimony before the committee, the concern was raised as to whether the Parole Commission would be able to disclose the presentence investigation report or other such reports
that are not within their control. The Parole Reorganization Act provides that authority.
121 Cong.Rec. 15705 (1975) (remarks of Rep. Drinan) (emphasis supplied).
Although not brought to our attention by the appellee in this case, certain language of section 4208 might be argued to diminish that part of the Parole Commission’s control over the presentence report which derives from the Commission’s statutory mandate of disclosure. Section 4208(c) provides:
If any document is deemed by either the Commission, the Bureau of Prisons, or any other agency to fall within . [the exceptions to disclosure under this section], then
it shall become the duty of the Commission, the Bureau, or such other agency,
as the case may be,
to summarize the basic contents
of the material withheld, bearing in mind the need for confidentiality or the impact on the in
mate or both, and furnish such summary to the inmate.
The requirement that other “agencies” submit prepared summaries of exemptable information was taken by the Conference Committee from the bill passed by the Senate. According to the Senate report, the requirement was included “[i]n recognition of administrative time constraints.” S.Rep. No.369, 94th Cong., 1st Sess. 24 (1975), U.S. Code Cbng. & Admin.News 1976, pp. 335, 346. There is no hint in the language of the Senate report and little suggestion elsewhere in the legislative history that the Parole Commission was to be bound by the summaries prepared by the originating agencies.
In our view this requirement was designed to assist the Commission in the fulfillment of its statutory task, not to interfere with it's independent judgment concerning the identification and proper summary of exemptable material. The addition of this provision by the Senate, therefore, does not mandate an interpretation of the Parole Act different from that given by a House supporter of the otherwise similar House bill. According to Representative Drinan, “it [was] the intent of the [House] committee that the Parole Commission make an
independent
determination on disclosure of the presentence investigation and other such reports . . . .” 121 Cong. Rec.15705 (1975) (remarks of Rep. Drinan) (emphasis supplied). The Commission may in fact choose to fulfill its disclosure obligations under the Parole Act strictly in accordance with the summaries provided by the probation service, but this choice is not, we think, required by that Act; and such a choice cannot, therefore, be thought to impair the control vested in the Parole Commission by this aspect of the Parole Act.
Finally, we recognize that during debate on the Parole Act, one member of Congress sought assurance from the Act’s proponents that an amendment requiring FOIA disclosure of the Parole Commission’s votes, “would not make public the record examined by the Parole Board.” 121 Cong.Rec. 15715 (May 21, 1975) (remarks of Rep. Dan-ielson). The seeking or giving of such assurance is probably relevant to the question of the applicability of the FOIA’s exemptions but it does not, we think, bear upon a decision whether the presentence report is an agency record within the meaning of the FOIA.
The presentence report is, after all, central to the Parole Commission’s primary function and from this perspective it would seem somewhat anomalous to hold that such reports do not constitute agency “records” for purposes of the FOIA. There may indeed be valid reasons why the FOIA does not mandate disclosure of the presen-tence report
and whether it does is an important question we do not decide but which we leave to the district court on remand. To that court we also leave the resolution of other issues, peculiar to this case, which may bear upon the FOIA disclosure of the presentence report here at issue.
II. OTHER CLAIMS
Carson’s request to the Parole Commission was broadly cast, seeking,
inter alia,
“copies of all documents in my Regional and National files of the United States Parole Commission pertaining to me relative to both this recent parole hearing [April, 1978] and any and all other hearings which have been held by the Commission involving me since 1972.”
According to an affidavit of a Parole Commission employee (the Christinzio affidavit)
submitted in support of the Department’s motion for summary judgment, Carson was provided with more than 350 pages of documents.
Only five documents were withheld in their entirety; among these was the presentence report already discussed. Deletions were made from twenty-one other documents. The Chris-tinzio affidavit identifies each document withheld in whole or in part, briefly characterizes the information withheld and states the FOIA exemption under which it was withheld.
On the basis of this affidavit and the Department’s memorandum of law the district court denied Carson’s motions for a
Vaughn
index and for summary judgment and granted summary judgment to the Department.
These rulings are contested first on the ground that the Christinzio affidavit does not comport with this circuit’s requirements for a
Vaughn
index, as stated in
Founding Church of Scientology v. Bell,
603 F.2d 945, 949 (D.C. Cir. 1979), and second on the ground that the district court applied inappropriate standards of law in determining the applicability under the FOIA of the various exemptions claimed.
We find the Christinzio affidavit adequate in some respects but deficient in others.
See Goland,
607 F.2d at 351-52.
In those respects we find it adequate we
have also found no error in the grant of judgment to the Department. In those respects we find it deficient the judgment is vacated and remanded for preparation of a new affidavit and for further consideration under applicable law. Only those respects in which we find the affidavit deficient are discussed below.
The Department relied exclusively upon exemptions 6
and 7(C),
the FOIA’s “personal privacy” exemptions, to justify the great majority of its nondisclosures. Four letters and their enclosures were withheld in their entirety on the basis of these exemptions.
As to these letters we find the Christinzio affidavit inadequate to justify the Department’s failure to disclose any “reasonably segregable portion”
of the document. As this court recently stated in
Mead Data Central, supra,
566 F.2d at 261:
[Ujnless the segregability provision of the FOIA is to be nothing more than a preca-tory precept, agencies must be required to provide the reasons behind their conclusions in order that they may be challenged by FOIA plaintiffs and reviewed by the courts.
In addition, in our view the affidavit’s description of certain material deleted from one other letter was too vague to determine
de novo
the justifiability of withholding the information under the FOIA’s privacy exemptions. The deleted material was described merely as “information concerning individuals”;
the nature of the information or how its disclosure might constitute an “unwarranted”
or “clearly unwarranted”
invasion of privacy is not otherwise revealed. So vague a description does not
permit a district court to engage in the analysis and balancing ultimately required when these exemptions are claimed.
The FOIA’s exemption 7(A)
was invoked to justify deletions from two letters. In one case the information deleted was described as “investigative material”
and in another as “information on an investigation.”
Exemption 7(A), however, cannot justify withholding unless the material withheld relates to a “concrete prospective law enforcement proceeding.”
Whether in this case the “investigations” undertaken remain active or whether, as seems more likely given the age of the documents, they have been ended, cannot be ascertained from the affidavit submitted. Indeed in one case the affidavit’s description of the document is so cursory that the law enforcement purpose of the “investigative material” is left in doubt.
On remand the Department should be permitted an opportunity to cure the affidavit’s deficiencies before the justifiability of withholding under the FOIA is again considered by the district court. The judgment of the district court is
Affirmed in part, vacated in part and remanded.