Safecard Services, Inc. v. Securities and Exchange Commission

926 F.2d 1197, 288 U.S. App. D.C. 324, 1991 U.S. App. LEXIS 3185
CourtCourt of Appeals for the D.C. Circuit
DecidedMarch 1, 1991
Docket89-5374
StatusPublished
Cited by1,806 cases

This text of 926 F.2d 1197 (Safecard Services, Inc. v. Securities and Exchange Commission) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Safecard Services, Inc. v. Securities and Exchange Commission, 926 F.2d 1197, 288 U.S. App. D.C. 324, 1991 U.S. App. LEXIS 3185 (D.C. Cir. 1991).

Opinion

Opinion for the Court filed by Circuit Judge D.H. GINSBURG.

D.H. GINSBURG, Circuit Judge:

Appellant SafeCard Services, Inc. sued the Securities and Exchange Commission, under the Freedom of Information Act, 5 U.S.C. § 552, to obtain certain documents relating to that agency’s investigation into the manipulation of SafeCard stock. The district court granted the SEC summary judgment with respect to 44 documents for which it claimed the attorney work product or deliberative process privileges of Exemption 5, or invoked the personal privacy provision of Exemption 7(C). 5 U.S.C. § 552(b)(5) & (7)(C). The district court denied SafeCard’s motion for discovery into the circumstances surrounding the destruction of 127 other documents and the loss of seven files covered by the company’s FOIA *1200 request. We affirm the district court rulings regarding discovery and the work product and privacy exemptions. We remand for further proceedings with respect to the documents withheld pursuant to the deliberative process privilege.

I. Background

In the early 1980s, the SEC initiated a series of investigations into potentially illegal trading in SafeCard’s stock. After the SEC had closed most of those investigations, SafeCard requested all documents relating to 33 individuals and organizations that the agency had suspected of manipulating SafeCard’s stock. After several years of negotiation, SafeCard sued the SEC; thereafter the parties reached a framework agreement, pursuant to which the SEC released approximately 75,000 pages of material. The parties remain in dispute, however, over three groups of documents.

The first group is composed of 127 documents that were among those mistakenly destroyed when the SEC’s contract cleaning service discarded the box in which Denise Dishman, an SEC paralegal, was keeping them. Sixteen of these documents were the subject of a motion for summary judgment pending at the time they were destroyed; hence we shall call them the “MSJ documents.” The parties have denominated the other 111 the “non-responsive documents,” although they, too, were the subject of a later motion for summary judgment.

The second group of documents in dispute comprises the contents of seven files that the SEC located but, according to the agency’s records, sent to the Federal Records Center during a two year hiatus in this litigation. The FRC has not been able to retrieve these files.

The third group is the 44 documents for which the SEC claims an exemption from the FOIA. It asserts that six documents are exempt under the privilege for attorney work product, which is incorporated into Exemption 5; that seven documents (including one of the foregoing six) are exempt under the deliberative process privilege, also incorporated into Exemption 5; and that 32 other documents contain names and addresses that come within Exemption 7(C) because their release would constitute an unwarranted invasion of personal privacy-

II. Discovery

SafeCard moved for discovery in order to inquire into the circumstances surrounding the SEC's loss of documents and the adequacy of its efforts either to locate or to recreate the lost documents. The district court held that the SEC’s affidavits were sufficient to justify summary judgment on the adequacy of its efforts, and therefore denied discovery. This court will overturn the district court’s exercise of its broad discretion to manage the scope of discovery only in unusual circumstances. Brune v. IRS, 861 F.2d 1284, 1288 (D.C.Cir.1988).

In order to establish the adequacy of a search, agency affidavits must be, as the district court correctly noted, "relatively detailed and non-conclusory, and ... submitted in good faith.” Ground Saucer Watch, Inc. v. CIA, 692 F.2d 770, 771 (D.C.Cir.1981) (citations and quotation marks omitted). Agency affidavits are accorded a presumption of good faith, which cannot be rebutted by “purely speculative claims about the existence and discoverability of other documents.” Id.

SafeCard no longer denies that Ms. Dish-man’s affidavit concerning efforts to locate copies of the 111 non-responsive documents is sufficiently detailed and non-conclusory to support the district court’s judgment. Instead, it argues that Ms. Dishman’s other affidavits, regarding the circumstances in which all 127 documents were destroyed, the SEC’s search for and efforts to reconstruct the 16 MSJ documents, and its search for the seven lost files, were lacking in detail and conclusory. SafeCard also points to various inconsistencies in the SEC affidavits, which it claims raise enough uncertainty about the adequacy of the agency’s search, or about its good faith, to warrant discovery. None of SafeCard’s ar *1201 guments is sufficiently weighty to justify the substitution of our judgment for that of the district court.

First, the SEC adequately investigated and described the circumstances surrounding the destruction of the 127 documents. Ms. Dishman interviewed the relevant employees of the cleaning company and recounted what she learned from those interviews. This, coupled with her unavailing room-to-room search for the box of missing documents, provides adequate assurance that the documents were in fact destroyed.

SafeCard objects to the second-hand nature of this affidavit, insofar as it describes what the cleaning crew told the affiant. The point is not well taken in circumstances such as these, however. Ms. Dish-man was in charge of coordinating the SEC’s search and recovery efforts, and therefore she is the most appropriate person to provide a comprehensive affidavit. See, e.g., Meeropol v. Meese, 790 F.2d 942, 951 (D.C.Cir.1986) (approving reliance upon affidavit of agency employee responsible for supervising search, although he necessarily relied upon information provided by staff members who actually performed search). In the case cited by SafeCard, Weisberg v. Department of Justice, 627 F.2d 365 (D.C.Cir.1980), an FBI agent stated only that “he believed the [spectro-graphic] plate [relating to the assassination of President Kennedy] was discarded in one of the periodic housecleanings by the laboratory.” Id. at 369. His belief was not said to be based upon his or anyone else’s actual knowledge that the plate was discarded. In this case, the very person who removed the box confirmed that fact for Ms. Dishman, and the supervisor of the cleaning crew explained to her that the trash would have been compacted and sent to a landfill. Therefore, Ms. Dishman’s affidavit, although partly second-hand, is not at all speculative, as was the affidavit in Weisberg.

Second, Ms.

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Bluebook (online)
926 F.2d 1197, 288 U.S. App. D.C. 324, 1991 U.S. App. LEXIS 3185, Counsel Stack Legal Research, https://law.counselstack.com/opinion/safecard-services-inc-v-securities-and-exchange-commission-cadc-1991.