Tokar v. U.S. Department of Justice

CourtDistrict Court, District of Columbia
DecidedMarch 29, 2018
DocketCivil Action No. 2016-2410
StatusPublished

This text of Tokar v. U.S. Department of Justice (Tokar v. U.S. Department of Justice) is published on Counsel Stack Legal Research, covering District Court, District of Columbia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Tokar v. U.S. Department of Justice, (D.D.C. 2018).

Opinion

UNITED STATES DISTRICT COURT FOR THE DISTRICT OF COLUMBIA

DYLAN TOKAR, : : Plaintiff, : Civil Action No.: 16-2410 (RC) : v. : Re Document No.: 9, 10 : U.S. DEPARTMENT OF JUSTICE, : : Defendant. :

MEMORANDUM OPINION

GRANTING IN PART AND DENYING IN PART DEFENDANT’S MOTION FOR SUMMARY JUDGMENT; GRANTING PLAINTIFF’S MOTION FOR SUMMARY JUDGMENT

I. INTRODUCTION

This case arises from two Freedom of Information Act (“FOIA”) requests to the Criminal

Division of the U.S. Department of Justice (“DOJ”). Dylan Tokar, a reporter for the publication

Just Anti-Corruption, which covers investigations and prosecutions under the Foreign Corrupt

Practices Act (“FCPA”), sought records regarding the selection of corporate compliance

monitors for fifteen corporations that had resolved their FCPA cases through deferred

prosecution agreements (“DPA”). Following discussions with a DOJ attorney, during which Mr.

Tokar was warned that DOJ would likely attempt to withhold documents responsive to his first

FOIA requests under several FOIA exemptions, Mr. Tokar narrowed his request in an attempt to

speed up the production process. Four months after Mr. Tokar narrowed his request, DOJ

informed Mr. Tokar that, pursuant to 28 C.F.R. § 16.8(f), DOJ would need to send notifications

to the fifteen corporations identified in his FOIA request in order to give them an opportunity to

object to DOJ’s proposed disclosures. Following the dispatch of these “submitter notification”

letters, Mr. Tokar submitted a second FOIA request seeking the disclosure of any objection letters the fifteen corporations submitted in response to the notifications. After months without a

production in response to either FOIA request, Mr. Tokar filed this suit. DOJ’s ultimate

responses to Mr. Tokar’s FOIA requests—a table with the information he sought through his first

request, and copies of the letters he sought through his second—contained multiple redactions.

DOJ moved for summary judgment following these releases, and Mr. Tokar cross-moved for

summary judgment, challenging the majority of DOJ’s redactions. For the reasons set forth

below, the Court finds that each of DOJ’s redactions under Exemptions 6 and 7(C) were

improper, but that its redaction pursuant to Exemption 4, which Mr. Tokar did not challenge, was

permissible.

II. FACTUAL AND PROCEDURAL BACKGROUND

Journalist Dylan Tokar, of the trade publication Just Anti-Corruption, has filed two FOIA

requests seeking records and information related to DOJ’s selection process for corporate

compliance monitors in FCPA cases. Corporate compliance monitors are hired at the expense of

a company under DOJ scrutiny and are typically responsible for “(1) investigating the extent of

wrongdoing already detected and reported to the government; (2) discovering the cause of the

corporation’s compliance failure; and (3) analyzing the corporation’s business needs against the

appropriate legal and regulatory requirements.” Veronica Root, The Monitor-“Client”

Relationship, 100 Va. L. Rev. 523, 531 (2014). Following public controversy regarding the

selection of monitors, DOJ launched an inquiry into its monitor selection process and issued the

“Morford Memorandum,” which formally established principles for monitor selection. See Pl.’s

Mem. L. Opp’n Def.’s Mot. Summ. J. & Supp. Pl.’s Cross-Mot. Summ. J. (“Pl.’s Mem.”) at 5,

ECF No. 10-1. According to Mr. Tokar, the memorandum “lays out several mechanisms to

achieve the goals of independence and avoidance of conflict-of-interest, including the creation of

2 a ‘standing or ad hoc committee’ within DOJ and a reminder to those involved in the selection

process that they must comply with DOJ conflict-of-interest regulations.” Id. (internal citation

omitted). “More specifically, the Morford Memorandum calls for the selection of monitors

through the use of a candidate pool ‘of at least three qualified monitor candidates’ whenever

possible.” Id.

As a reporter focused on FCPA enforcement, Mr. Tokar is interested in obtaining records

from DOJ that he claims “would shed light on [corporate compliance monitor selection],

including whether DOJ [is] abiding by the principles for monitor selection set forth in the

Morford Memorandum.” Id. at 6. Accordingly, he submitted a FOIA request on April 24, 2015

seeking “copies of records relating to the review and selection of independent corporate monitors

under Foreign Corrupt Practices Act (FCPA) settlement agreements between the Justice

Department and [fifteen specific]1 corporate defendants,” including:

1. All documents submitted by counsel for the companies at the outset of each monitor selection process, including the names of up to three qualified monitor candidates whom the companies are allowed to recommend. The information should identify which candidate, if any, the company specified as its first choice to serve as monitor.

2. All Monitor Selection Memoranda, including any files, documents and attachments therein, submitted for review to the Standing Committee on the Selection of Monitors . . . [specifically] information about which monitors were approved or disapproved and the reasons therefore, including the recommendations submitted by the committee, the Assistant Attorney General for the Criminal Division, and the Office of the Deputy Attorney General.

1 The fifteen corporations listed were; Alcatel-Lucent, S.A.; Alliance One International AG; Alstom S.A.; Avon Products, Inc.; BAE Systems plc; Bilfinger SE; Biomet Inc.; Daimler AG; Diebold Inc.; Innospec Inc.; JGC Corporation; Smith & Nephew, Inc.; Technip S.A.; Universal Corporation; and Weatherford International Ltd. See Compl., Ex. 1, ECF No. 1-1.

3 3. Records of the Standing Committee, including its membership, attendance records, appointments of temporary designees, voting records and recusals in connection with the consideration of monitor candidates for each of the companies listed below.

Compl., Ex. 1, ECF No. 1-1. During the summer of 2015, Mr. Tokar spoke on the phone several

times with DOJ attorney Peter Sprung, who warned Mr. Tokar that he believed that several

FOIA exemptions would be asserted as to the documents he had requested, and therefore that

several of those documents would be withheld. See Pl.’s Statement of Material Facts (“Pl.’s

SMF”) ¶¶ 23–27, ECF No. 10-2. Based on these conversations, Mr. Tokar grew worried that he

would not be given documents responsive to his first FOIA request unless he narrowed its scope.

Decl. Dylan Tokar (“Tokar Decl.”) ¶¶ 12–14, ECF No. 10-3.

Therefore, Mr. Tokar and his editor, Mary Jacoby, agreed to “narrow [the] request” to the

following for the fifteen corporate defendants named in the original FOIA request:

1. The names of the up to three monitor candidates and their associated law or consulting firms submitted to the [d]epartment by the defendant corporations under the terms of their negotiated resolutions.

2. The names and titles of members of the Criminal Division's Standing Committee on the Selection of Monitors for the period Jan. 1, 2009 up through the present date. Along with the names of the members of the committee, please give their dates of service . . . [and] the names of any temporary designees appointed to the committee and the dates of their service.

Compl., Ex. 2, ECF No. 1-2. Even after narrowing the scope of his request, however, Mr. Tokar

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