WILKEY, Circuit Judge:
Appellant sought to obtain disclosure under the Freedom of Information Act1 [1088]*1088of the Defense Contract Audit Manual, a manual prepared by the Defense Contract Audit Agency in the Department of Defense. On cross-motions for summary judgment, and after an in camera inspection, the District Court held that the portions of the Manual not available to the public were exempt from disclosure under exemptions two and five of the FOIA.2 For lack of a detailed record essential to this type action, we are unable to determine if the information sought by appellant falls within one of the exemptions. We remand for further proceedings.
I. Facts
The Defense Contract Audit Agency was established .to provide necessary audit services to government officers in contract administration. DCAA acts in an advisory capacity to the contracting officer, and verifies that the costs incurred in performing a contract for the Armed Services comply with criteria of the Armed Services Procurement Regulations by conducting an examination of government contractors’ books and records. In view of the large number of government contractors and the great volume of contracts in different stages of performance, the DCAA must necessarily be selective and must limit its scrutiny to a relatively small portion of the books and records which could be audited. The Defense Contract Audit Agency Manual, first issued in its current form in 1965,3 was designed to guide DCAA auditors in effective auditing in a selective manner.
Appellant alleges that the Manual, or parts of it, have regularly been made available to members of the public, including on occasion appellant’s clients. Appellees do not dispute this but, rather, allege that these disclosures were never authorized.4 In addition, a relatively complete description of the contents of the Manual, including quotations from it, has been published in a treatise on [1089]*1089defense contract auditing.5 Finally, the Manual is made available to certain non-federal agencies and foreign governments who deal with American contractors.6 Thus, to at least some extent, the Manual has been made available to individuals outside the DCAA.
The Government argued before the trial court that the information in controversy was exempt because it was “(2) related solely to the internal personnel rules and practices of an agency”; constituted “(5) inter-agency or intra-agen-cy memorandums or letters which would not be available by law to a party other than an agency in litigation with the agency”; and/or was composed of “(7) investigatory files compiled for law enforcement purposes except to the extent available by law to a party other than an agency.”7 The trial court, after examining the Manual in camera, on motions for summary judgment held that it was a “playbook,” or “game plan,” i.e., tactics to be employed, and that this playbook was exempt from disclosure under categories (2) and (5).
On appeal appellant abandoned his efforts to obtain those portions of the Manual that constitute a mere playbook.8 He redoubled his argument, however, that portions of the Manual dealt with the allowability of costs. Such portions, according to appellant, constitute a form of substantive “secret law” that must be disclosed under the FOIA. Appellant also argued that the disclosure of portions of the Manual to various individuals, other non-federal agencies and foreign governments, constituted a waiver of exemption as to those portions.
II. The Nature of the Information Sought
Before the trial court appellant was requesting the entire contents of the Manual. According to the Government, the non-public portions of the Manual provide “uniform guidance and instructions concerning the criteria to be used in deciding what must be audited, how it shall be audited, what is to be the depth of the examination, what the frequency of the audit shall be, and how to determine the extent of reliance which may be placed on the contractor’s own inter[1090]*1090nal controls.”9 In other words, the Manual is a mere “playbook” that tells auditors where to look in the mass of books and records confronting them, but does not provide substantive guidance or otherwise set standards for what costs will actually be allowed. If a contractor knows in advance the coverage, depth, and scope of an audit, the contractor may be able to claim improper costs in areas that will receive little or no scrutiny. Thus, the Government argues that, for an audit to be effective, the portion of the Manual on coverage, depth, and scope must be kept secret.
Appellant disputes as a matter of fact this characterization of the Manual’s contents. As a matter of law appellant’s primary theory originally was that the Manual was an “administrative staff manual . . . that affect [s] a member of the public.”10 The FOIA specifically requires that such “administrative staff manuals” be made available to the public.
In addition to his principal contention that the entire Manual be disclosed as being an “administrative staff manual,” appellant advanced two subsidiary arguments that, if accepted, would require the disclosure of portions of the Manual. First, appellant contended that at least portions of the Manual set forth standards of interpretation of ASPR and guidelines for the allowability of costs; these portions were said to constitute a form of “secret law” that must be disclosed under the FOIA. Secondly, appellant claimed that portions of the Manual had been made available to various persons and entities outside the Federal Government, and that at least as to these disclosed portions, DCAA had waived any right it might have to keep them secret.
At oral argument appellant abandoned his request for the entire Manual and narrowed his efforts to seeking disclosure of the portions that constituted “secret law.”11 Due to this concession, we no longer have reason to consider whether the entire Manual must be disclosed under the requirement covering “administrative staff manuals.”12 By like token, we need not consider the argument that disclosure to certain individuals and entities constituted a waiver of any right to keep those portions secret. This is true because appellant has stated that he wants only those portions of the Manual which constitute “secret law.” Since appellant has an undeniable right to obtain such law, it is irrelevant whether those portions may also be obtained under a theory of waiver. We therefore do not decide any waiver issue here.
There does not appear to be any disagreement between the parties regarding what the nature of the “secret law” being sought actually is. The portions sought by appellant, which the Government agrees should be made available if they actually exist, are those which either create or determine the extent of the substantive rights and liabilities of a person affected by those portions. Information that falls within this definition would include, for example, guidelines for what costs would be allowed under ASPR, and rules or interpretations dealing with other substantive laws.
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WILKEY, Circuit Judge:
Appellant sought to obtain disclosure under the Freedom of Information Act1 [1088]*1088of the Defense Contract Audit Manual, a manual prepared by the Defense Contract Audit Agency in the Department of Defense. On cross-motions for summary judgment, and after an in camera inspection, the District Court held that the portions of the Manual not available to the public were exempt from disclosure under exemptions two and five of the FOIA.2 For lack of a detailed record essential to this type action, we are unable to determine if the information sought by appellant falls within one of the exemptions. We remand for further proceedings.
I. Facts
The Defense Contract Audit Agency was established .to provide necessary audit services to government officers in contract administration. DCAA acts in an advisory capacity to the contracting officer, and verifies that the costs incurred in performing a contract for the Armed Services comply with criteria of the Armed Services Procurement Regulations by conducting an examination of government contractors’ books and records. In view of the large number of government contractors and the great volume of contracts in different stages of performance, the DCAA must necessarily be selective and must limit its scrutiny to a relatively small portion of the books and records which could be audited. The Defense Contract Audit Agency Manual, first issued in its current form in 1965,3 was designed to guide DCAA auditors in effective auditing in a selective manner.
Appellant alleges that the Manual, or parts of it, have regularly been made available to members of the public, including on occasion appellant’s clients. Appellees do not dispute this but, rather, allege that these disclosures were never authorized.4 In addition, a relatively complete description of the contents of the Manual, including quotations from it, has been published in a treatise on [1089]*1089defense contract auditing.5 Finally, the Manual is made available to certain non-federal agencies and foreign governments who deal with American contractors.6 Thus, to at least some extent, the Manual has been made available to individuals outside the DCAA.
The Government argued before the trial court that the information in controversy was exempt because it was “(2) related solely to the internal personnel rules and practices of an agency”; constituted “(5) inter-agency or intra-agen-cy memorandums or letters which would not be available by law to a party other than an agency in litigation with the agency”; and/or was composed of “(7) investigatory files compiled for law enforcement purposes except to the extent available by law to a party other than an agency.”7 The trial court, after examining the Manual in camera, on motions for summary judgment held that it was a “playbook,” or “game plan,” i.e., tactics to be employed, and that this playbook was exempt from disclosure under categories (2) and (5).
On appeal appellant abandoned his efforts to obtain those portions of the Manual that constitute a mere playbook.8 He redoubled his argument, however, that portions of the Manual dealt with the allowability of costs. Such portions, according to appellant, constitute a form of substantive “secret law” that must be disclosed under the FOIA. Appellant also argued that the disclosure of portions of the Manual to various individuals, other non-federal agencies and foreign governments, constituted a waiver of exemption as to those portions.
II. The Nature of the Information Sought
Before the trial court appellant was requesting the entire contents of the Manual. According to the Government, the non-public portions of the Manual provide “uniform guidance and instructions concerning the criteria to be used in deciding what must be audited, how it shall be audited, what is to be the depth of the examination, what the frequency of the audit shall be, and how to determine the extent of reliance which may be placed on the contractor’s own inter[1090]*1090nal controls.”9 In other words, the Manual is a mere “playbook” that tells auditors where to look in the mass of books and records confronting them, but does not provide substantive guidance or otherwise set standards for what costs will actually be allowed. If a contractor knows in advance the coverage, depth, and scope of an audit, the contractor may be able to claim improper costs in areas that will receive little or no scrutiny. Thus, the Government argues that, for an audit to be effective, the portion of the Manual on coverage, depth, and scope must be kept secret.
Appellant disputes as a matter of fact this characterization of the Manual’s contents. As a matter of law appellant’s primary theory originally was that the Manual was an “administrative staff manual . . . that affect [s] a member of the public.”10 The FOIA specifically requires that such “administrative staff manuals” be made available to the public.
In addition to his principal contention that the entire Manual be disclosed as being an “administrative staff manual,” appellant advanced two subsidiary arguments that, if accepted, would require the disclosure of portions of the Manual. First, appellant contended that at least portions of the Manual set forth standards of interpretation of ASPR and guidelines for the allowability of costs; these portions were said to constitute a form of “secret law” that must be disclosed under the FOIA. Secondly, appellant claimed that portions of the Manual had been made available to various persons and entities outside the Federal Government, and that at least as to these disclosed portions, DCAA had waived any right it might have to keep them secret.
At oral argument appellant abandoned his request for the entire Manual and narrowed his efforts to seeking disclosure of the portions that constituted “secret law.”11 Due to this concession, we no longer have reason to consider whether the entire Manual must be disclosed under the requirement covering “administrative staff manuals.”12 By like token, we need not consider the argument that disclosure to certain individuals and entities constituted a waiver of any right to keep those portions secret. This is true because appellant has stated that he wants only those portions of the Manual which constitute “secret law.” Since appellant has an undeniable right to obtain such law, it is irrelevant whether those portions may also be obtained under a theory of waiver. We therefore do not decide any waiver issue here.
There does not appear to be any disagreement between the parties regarding what the nature of the “secret law” being sought actually is. The portions sought by appellant, which the Government agrees should be made available if they actually exist, are those which either create or determine the extent of the substantive rights and liabilities of a person affected by those portions. Information that falls within this definition would include, for example, guidelines for what costs would be allowed under ASPR, and rules or interpretations dealing with other substantive laws. Appellant does not seek to obtain disclosure of those portions of the Manual that prescribe techniques to uncover the facts relevant to a particular contract. Nor is a right to disclosure claimed for procedures directing auditors to concentrate examination on certain elements of a contractor’s records.
It is clear that if any portion of the Manual does consist of interpretations of rules and statutes or guidelines for allowability of costs, appellant has a [1091]*1091right to obtain disclosure.13 Indeed, this was conceded by government counsel during oral argument. The sole remaining issue is thus purely factual— whether the Manual does contain any “secret law”.
In the unsatisfactory manner in which these FOIA cases have been arising, we have no record before us containing the answer to this issue. The District Judge was confronted with appellant’s original claim for total access to the Manual, opposed by the Government’s claim to blanket exemption under three exceptions to disclosure. On cross-motions for summary judgment, after in camera examination of the several volumes constituting the Manual, the District Judge sustained the Government’s overall non-disclosure position under exemptions (2) and (5). Counsel apparently made no discriminating analysis of how portions of the Manual might differ in their purpose, nature, and content, and thus be subject to different criteria of disclosure; understandably, the trial judge made none.
III. Procedures Under the FOIA
A. Problems of Testing Disclosability of Allegedly Secret Information
Recently in Vaughn v. Rosen14 this court had occasion to discuss the problems inherent in implementing the FOIA. Despite the heavy emphasis in favor of disclosure15 and the specific requirement that the Government shall have the burden of proving that information need not be revealed,16 we noted in Vaughn that procedures most often used in FOIA cases permit the Government very easily to avoid disclosure.17 Since the party seeking disclosure does not know the contents of the information sought, he cannot argue as effectively that the documents sought are, for example, “secret law” to which he is entitled access. In contrast, the Government does have access to the information and with confidence can convincingly argue to the trial judge that the factual nature of the information is as the Government alleges.
As we noted in Vaughn, the burden of actually determining whether the information is as the Government describes it falls ultimately on the court system.18 After the Government alleges that the documents in controversy do not contain material which must be disclosed, but on the other hand consist of information whose secrecy must be preserved, the very claim of secrecy, under the usual court procedures in vogue, means that the Government has substantially relieved itself of the burden of proving more. To preserve secrecy it is then [1092]*1092up to the trial judge to wade through the mass of documents and determine whether the information must be disclosed. The party seeking disclosure is helpless to contradict the Government’s description of the information or effectively to assist the trial judge.
In Vaughn we concluded that the ease with which the Government could carry its burden, and the difficulty that a trial judge faces in determining whether information should be disclosed, created intolerable problems. First, it encouraged agencies to argue for the widest possible exemption from disclosure for the greatest bulk of material. Secondly, it had a tendency to undermine the reliability of a trial judge’s findings; a trial judge, without the aid of counsel seeking disclosure, cannot be expected to investigate and isolate the factual nature of individual documents in a mass of similar appearing material. Thirdly, because the points of factual dispute have not been isolated by the traditional forms of argumentation and adversary testing, a determination is virtually un-reviewable on appeal. The case at bar we remand for additional proceedings which hopefully will rectify to some extent these flaws.
B. Procedures Upon Remand
1. As in Vaughn v. Rosen, we believe that the problems adverted to will be substantially ameliorated if the Government is required to provide particularized and specific justification for exempting information from disclosure. This justification must not consist of “conclusory and generalized allegations of exemptions, such as the trial court was treated to in this case, but will require a relatively detailed analysis in manageable segments.” 19 It is particularly important that information which is in effect substantive law not be concealed beneath a mass of other material. Even when the law is closely intermingled with other data, we cannot conceive of a situation in which legal interpretations and guidelines could not be segregated from other material and isolated in a form which could be disclosed.
2. Upon remand the Government should correlate its reasons for claiming that the various portions of the Manual should not be disclosed with the relevant portions of the Manual.
[A] n indexing system would subdivide the document under consideration into manageable parts cross-referenced to the relevant portion of the Government’s justification. Opposing counsel should consult with a view toward eliminating from consideration those portions that are not controverted and narrowing the scope of the court’s inquiry. After the issues are focused, the District Judge may examine and rule on each element of the itemized list.20
3. Finally, if the District Judge deems it appropriate, he may appoint a special master to examine the Manual, the Government’s justification, and the indexing. This could, in some circumstances, relieve much of the burden of evaluating voluminous documents that currently falls on the trial judge.
IV. Conclusion
The ease is remanded so that the Government may undertake to index and justify the Manual in a manner consistent with Part III of this opinion, and for the District Judge to rule thereon. So ordered.