Louis v. Department of Labor ( 2005 )


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  •                   FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    JEFFREY M. LOUIS, DPM,                 
    Plaintiff-Appellant,
    No. 04-35389
    v.
    U.S. DEPARTMENT OF LABOR, an                  D.C. No.
    CV-03-05534-FDB
    executive department of the
    OPINION
    United States,
    Defendant-Appellee.
    
    Appeal from the United States District Court
    for the Western District of Washington
    Franklin D. Burgess, District Judge, Presiding
    Argued and Submitted
    February 16, 2005—Seattle, Washington
    Filed August 15, 2005
    Before: Betty B. Fletcher, M. Margaret McKeown, and
    Ronald M. Gould, Circuit Judges.
    Opinion by Judge B. Fletcher
    10601
    10604          LOUIS v. U.S. DEP’T OF LABOR
    COUNSEL
    Kenneth G. Kieffer, Gordon, Thomas, Honeywell, Malanca,
    Peterson & Daheim, LLP, Tacoma, Washington, for the
    appellant.
    Peter A. Winn, Assistant United States Attorney, Seattle,
    Washington, for the appellee.
    LOUIS v. U.S. DEP’T OF LABOR                  10605
    OPINION
    B. FLETCHER, Circuit Judge:
    Plaintiff Jeffrey Louis appeals from the district court’s
    grant of summary judgment on his claims for disclosure of
    documents by the Department of Labor (“Department”) under
    the Privacy Act, 5 U.S.C. § 552a, and the Freedom of Infor-
    mation Act (“FOIA”), 5 U.S.C. § 552.1 Louis contends a sys-
    tem of records from which he sought information about
    himself was improperly exempted by the Department pursu-
    ant to subsection (k)(2) of the Privacy Act, 5 U.S.C.
    § 552a(k)(2), because the Department did not comply with the
    rulemaking procedures of the Administrative Procedure Act
    (“APA”) in exempting the system. Louis further contends that
    the Department’s belated reliance on subsection (d)(5) of the
    Privacy Act, 5 U.S.C. § 552a(d)(5), which exempts from dis-
    closure “any information compiled in reasonable anticipation
    of a civil action or proceeding,” is improper “post-hoc ratio-
    nalization” for the Department’s decision to withhold infor-
    mation because it did not assert this exemption during the
    administrative proceedings.
    We hold that the Department failed to follow the APA’s
    rulemaking procedures for designating its system of records
    as exempt, and therefore cannot rely on this exemption to
    withhold documents from Louis. However, because an agen-
    cy’s withholding of information under the Privacy Act is
    reviewed de novo by the district court, we hold that the
    Department may rely on § 552a(d)(5) to withhold documents
    that were compiled in anticipation of litigation, even though
    it raised this provision for the first time before the district
    court. Because the Department’s description of the withheld
    documents demonstrates that each falls within the scope of
    1
    In this opinion, we address only Louis’ Privacy Act claims. The FOIA
    claims are addressed in a separate disposition. We refer to the FOIA
    claims as necessary to provide context.
    10606               LOUIS v. U.S. DEP’T OF LABOR
    subsection (d)(5), we affirm the judgment of the district court
    as to Louis’ Privacy Act claims.
    I.
    From 1986 to 1988, Dr. Jeffrey Louis was employed as a
    podiatric surgeon with the Department of Veterans Affairs.
    He claims to have become disabled as a result of his employ-
    ment, and thus filed for disability workers’ compensation in
    1993. For reasons not completely explained in the record and
    beyond the scope of the current appeal, that claim is still
    pending before the Office of Workers’ Compensation Pro-
    grams (“OWCP”) within the Department of Labor.2
    After a series of agency decisions and appeals, one of
    which was to this court,3 Louis made a series of Privacy Act
    requests to the Department of Labor between August 7, 2002,
    and October 27, 2002. The Department eventually denied
    access to the records in a letter decision, stating that all of the
    requested records were exempt from disclosure under the Pri-
    vacy Act, indirectly relying on 5 U.S.C. § 552a(k)(2) as
    grounds for exemption of the system of records in which the
    documents were located. The agency then released some doc-
    uments under FOIA, but continued to assert that a subset of
    the documents were exempt from disclosure under Exemption
    5 of FOIA, which covers privileged and attorney work-
    product materials. The parties agree that this letter constitutes
    the agency’s original partial denial of Louis’ requests.
    Louis appealed this initial decision to the Solicitor of
    2
    Although Louis was employed by the Department of Veterans Affairs,
    workers’ compensation claims are handled by the OWCP.
    3
    See Louis v. Dep’t. of Labor, No. 99-36092, 
    2001 WL 804102
    (9th Cir.
    July 17, 2001) (unpublished disposition) (awarding statutory damages and
    attorney fees in favor of Louis for Department of Labor’s failure to main-
    tain appropriate records and its “attempts to circumvent the protections of
    the Privacy Act”).
    LOUIS v. U.S. DEP’T OF LABOR            10607
    Labor. The reviewing officer again determined that all of the
    information sought by Louis was contained in the “DOL/
    SOL-15” system of records, a system which had been desig-
    nated as an “exempt system” under 5 U.S.C. § 552a(k)(2).
    Specifically, the reviewing officer explained that the system
    of records had been properly exempted from disclosure by the
    agency, citing to the Federal Register, in which the Depart-
    ment purportedly gave notice of the exemption. See Notices,
    67 Fed. Reg. 16816, 16941 (April 8, 2002). The officer fur-
    ther explained that because the records sought by Louis were
    located in “SOL files maintained for the purposes of defend-
    ing the Department of Labor in law suits and claims filed
    against it,” they “were prepared for a law enforcement pur-
    pose,” and were therefore exempt from disclosure. The
    reviewing officer went on to determine that some additional
    documents should be disclosed under FOIA, but still withheld
    certain groups of documents under Exemptions 2 (internal
    procedures) and 5 (privilege and work product) of FOIA. 5
    U.S.C. §§ 552(b)(2) & (b)(5).
    Louis then filed a complaint in district court challenging
    the agency’s reliance on the (k)(2) exemption of the Privacy
    Act and Exemptions 2 and 5 of FOIA. When the plaintiff
    began serving discovery requests on the Department, the
    Department moved for a protective order. Louis moved to
    compel the requested discovery, seeking to obtain discovery
    related to the designation of the DOL/SOL-15 database as an
    “exempt system” and the Department’s methodology in
    searching for responsive documents. During the pendency of
    these motions, the Department filed its motion for summary
    judgment, arguing that the DOL/SOL-15 database had been
    properly exempted from disclosure under the Privacy Act by
    promulgation of an agency rule. In the alternative, the Depart-
    ment argued for the first time that the requested information
    was properly withheld pursuant to § 552a(d)(5). In his cross-
    motion for summary judgment, Louis submitted a list specifi-
    cally identifying fifteen documents sought under the Privacy
    Act. The district court granted the Department’s motion for a
    10608              LOUIS v. U.S. DEP’T OF LABOR
    protective order, thereby prohibiting any discovery, and
    directed the parties to proceed with briefing the cross-motions
    for summary judgment.
    Louis filed a motion for a continuance under Federal Rule
    of Civil Procedure 56(f), seeking much of the same discovery
    he had moved for in his motion to compel. The district court
    denied the Rule 56(f) motion and granted the Department’s
    motion for summary judgment. The court held both that the
    system of records in which the requested information was
    located had been properly exempted from disclosure under the
    Privacy Act by administrative rule, and that disclosure of the
    records was barred under subsection (d)(5) of the Privacy Act.4
    The court specifically found that the “rule” promulgated by
    the Department was valid.
    Because Louis brought this suit under the Privacy Act and
    the Freedom of Information Act, 5 U.S.C. §§ 552a and 552,
    respectively, jurisdiction was proper in the district court pur-
    suant to 28 U.S.C. § 1331. We have jurisdiction under 28
    U.S.C. § 1291 over this direct appeal of a final judgment of
    the district court. Our review of the district court’s grant of
    summary judgment under the Privacy Act is de novo. Rose v.
    United States, 
    905 F.2d 1257
    , 1259 (9th Cir. 1990); see also
    5 U.S.C. § 552a(g). We also review de novo determinations
    regarding the scope of the notice-and-comment and publica-
    tion requirements of the APA. Natural Res. Def. Council, Inc.
    v. Evans, 
    316 F.3d 904
    , 910 (9th Cir. 2003).
    II.
    The Privacy Act of 1974 requires each agency that main-
    tains a “system of records” to provide access to an individu-
    4
    The court also held that the documents were properly withheld under
    Exemption 5 of FOIA, and we review that determination in our concur-
    rently filed memorandum disposition. The Department no longer relies on
    Exemption 2 as a basis for withholding.
    LOUIS v. U.S. DEP’T OF LABOR              10609
    al’s “record or to any information pertaining to him” by that
    individual. 5 U.S.C. § 552a(d)(1). However, the Act specifi-
    cally provides that “nothing in this section shall allow an indi-
    vidual access to any information compiled in reasonable
    anticipation of a civil action or proceeding.” 
    Id. § 552a(d)(5).
    In addition, the Act provides a mechanism by which an
    agency may promulgate rules in accordance with the APA in
    order “to exempt [certain] system[s] of records within the
    agency” from disclosure. 
    Id. § 552a(k).
    Relevant to the pres-
    ent appeal, agencies may under most circumstances exempt
    systems that consist of “investigatory material compiled for
    law enforcement purposes.” 
    Id. § 552a(k)(2).
    Louis argues that the Department’s “rule” exempting the
    DOL/SOL-15 system of records did not follow the APA’s
    procedures and is therefore invalid, and that the DOL cannot
    rely on § 552a(d)(5) because the final agency determination
    did not rely on this section. We address each of these argu-
    ments in turn.
    A.   Exemption by Rule pursuant to § 552a(k)(2)
    Louis argues that the agency never properly invoked sub-
    section (k)(2) because it did not appropriately give notice of
    a proposed rulemaking in accordance with the requirements of
    the APA, 5 U.S.C. § 553, as incorporated at 5 U.S.C.
    § 552(a)(k). Specifically, Louis argues that the Department
    did not properly publish a notice of proposed rulemaking in
    accordance with 5 U.S.C. § 553(b), and did not properly
    solicit public comment in accordance with 5 U.S.C. § 553(c).
    [1] Section (b) of the APA requires a notice of proposed
    rulemaking to include:
    (1)   a statement of the time, place, and nature of
    public rulemaking proceedings;
    (2)   reference to the legal authority under which the
    rule is proposed; and
    10610            LOUIS v. U.S. DEP’T OF LABOR
    (3)   either the terms or the substance of the pro-
    posed rule or a description of the subjects and
    issues involved.
    5 U.S.C. § 553(b). In turn, Section (c) requires in pertinent
    part:
    After notice required by this section, the agency
    shall give interested persons an opportunity to partic-
    ipate in the rule making through submission of writ-
    ten data, views, or arguments with or without
    opportunity for oral presentation. After consideration
    of the relevant matter presented, the agency shall
    incorporate in the rules adopted a concise general
    statement of their basis and purpose.
    5 U.S.C. § 553(c).
    1.    Sufficiency of the Department’s Notice
    [2] Subsection (e)(4) of the Privacy Act requires each
    agency that maintains a system of records to publish informa-
    tion pertaining to each system, including: the system’s name,
    the categories of individuals covered by the system, the cate-
    gories of records contained within the system, routine uses for
    the records, and policies and practices regarding storage,
    retrieval and access to records. 
    Id. § 552a(e)(4)(A)-(I).
    Sub-
    section (e)(4) does not require or suggest that the agency
    include in its notice whether a particular system of records is
    exempt from disclosure.
    In April of 2002, the Department published an updated
    notice of all systems of records entitled “Publication in Full
    of All Notices of Systems of Records Including Several New
    Systems; Publication of Proposed Routine Uses.” 67 Fed.
    Reg. at 16816. That notice, which unequivocally states that it
    was published in accordance with subsection (e)(4) of the Pri-
    vacy Act, contained the required information for scores of
    LOUIS v. U.S. DEP’T OF LABOR              10611
    systems of records maintained by the Department. 
    Id. at 16816-16948.
    Yet nowhere in its introductory section does
    the notice mention that the agency is proposing to exempt cer-
    tain systems from disclosure. 
    Id. at 16816.
    Instead, in the
    description of certain individual systems, the Department
    included a statement that the system was exempt from disclo-
    sure under the Privacy Act, citing the statutory provision
    relied upon and giving a justification for the exemption. For
    example, with respect to the DOL/SOL-15 database at issue
    in the present appeal, the agency stated:
    SYSTEM EXEMPTED FROM CERTAIN PROVI-
    SION OF THE ACT:
    Under the specific exemption authority provided
    by 5 U.S.C. 552a(k)(2), this system is exempt from
    the following provisions of the Privacy Act : 5
    U.S.C. § 552a . . . (d) . . . . Disclosure of information
    could enable the subject of the record to take action
    to escape prosecution and could avail the subject
    greater access to information than that already pro-
    vided under rules of discovery. In addition, disclo-
    sure of information might lead to intimidation of
    witnesses, informants, or their families, and impair
    future investigations by making it more difficult to
    collect similar information.
    67 Fed. Reg. at 16942.
    [3] In general, the notice and comment provisions of the
    APA require an agency to publish a notice of “proposed” rule-
    making, then allow for comment before publishing a “final”
    rule that includes a discussion of the comments received. See
    Nat’l Tour Brokers v. United States, 
    591 F.2d 896
    , 901-902
    (D.C. Cir. 1978) (rejecting procedure of publishing final rule
    with opportunity for reconsideration). “Th[e] requirement is
    designed to give interested persons, through written submis-
    sions and oral presentations, an opportunity to participate in
    10612               LOUIS v. U.S. DEP’T OF LABOR
    the rulemaking process.” Erringer v. Thompson, 
    371 F.3d 625
    , 629 (9th Cir. 2004) (quoting Chief Prob. Officers of Cal.
    v. Shalala, 
    118 F.3d 1327
    , 1329 (9th Cir. 1997). The test for
    sufficiency of the notice is whether the notice “fairly
    apprise[s] interested persons of the subjects and issues before
    the Agency.” Natural Res. Def. Council v. EPA, 
    279 F.3d 1180
    , 1186 (9th Cir. 2002) (quoting Natural Res. Def. Coun-
    cil v. EPA, 
    863 F.2d 1420
    , 1429 (9th Cir. 1988). “[A]n inter-
    ested member of the public should be able to read the
    published notice of an application and understand the ‘essen-
    tial attributes’ of that application. . . . [and] should not have
    to guess the [agency’s] ‘true intent.’ ” State of California ex
    rel. Lockyer v. FERC, 
    329 F.3d 700
    , 706-07 (9th Cir. 2003)
    (noting connection between Due Process Clause and notice
    provisions).
    [4] With these basic principles in mind, we conclude that
    the notice in this case was insufficient. While it is true that
    each of the components of section 553(b) are technically pres-
    ent in the Federal Register notice published by the Depart-
    ment, the presentation of the information obscures the intent
    of the agency and allows for broad exemption of records sys-
    tems through the back door. Rather than a “notice of proposed
    rule,” the Department’s notice was simply entitled “Notices,”
    with a subtitle reading, “Privacy Act of 1974; Publication in
    Full of All Notices of Systems of Records Including Several
    New Systems; Publication of Proposed Routine Uses.” See 67
    Fed. Reg. at 16816. Everything about the title and introduc-
    tory paragraphs of the notice indicates that the Department is
    simply complying with subsection (e)(4) of the Privacy Act.5
    5
    The opening paragraphs of the Department’s notice contain a section
    labeled “ACTION” and a section labeled “SUMMARY.” The described
    agency “action” involves publication of notices of systems including sev-
    eral new systems, publication of “a new universal routine use for all sys-
    tems,” publication of several “proposed system specific routine uses,” and
    some “substantive amendments.” The “summary” expands on this infor-
    mation only slightly, and notes that thirty-one systems will be deleted.
    Additional sections called “Background” and “The Current Action”
    explain more specifically the information contained in the notice, but none
    of these sections includes the word “exempt.”
    LOUIS v. U.S. DEP’T OF LABOR             10613
    
    Id. Nothing in
    those sections indicates that the agency pro-
    poses to exempt systems from access. This omission allows
    potentially controversial subject matter — exemption of entire
    systems of records from public disclosure laws — to go unno-
    ticed buried deep in a non-controversial publication generally
    describing existing systems and their contents. We cannot say
    that an “interested member of the public [would] be able to
    read the published notice” and “understand [its] ‘essential
    attributes.’ ” See State of California ex rel. 
    Lockyer, 329 F.3d at 707
    . Indeed, a member of the public would likely read the
    first few pages of this document and conclude that this was
    a simple disclosure made by the Department pursuant to
    (e)(4), not a proposed rule exempting certain records systems
    from disclosure.
    While we have yet to address the sufficiency of a notice of
    proposed rulemaking in a factual context substantially similar
    to that presented in the present case, we note that cases from
    at least two other circuits are instructive to our analysis and
    support our view. In McLouth Steel Products Corp. v.
    Thomas, 
    838 F.2d 1317
    (D.C. Cir. 1988), the D.C. Circuit
    stressed the importance of a notice’s heading and summary in
    “alert[ing] a reader to the stakes.” 
    Id. at 1322-23.
    In that case,
    the court held that the EPA’s failure to mention its use of a
    particular diagnostic model to evaluate potentially hazardous
    wastes in the summary of the proposed rule rendered its
    notice inadequate as to its use of that model. Id.; see also
    AFL-CIO v. Donovan, 
    757 F.2d 330
    , 339 (D.C. Cir. 1985)
    (holding rule invalid where no notice given of an important
    change between proposed and final rule; some changes to rule
    were highlighted in the notice of proposed rulemaking, giving
    impression that only highlighted portions had been selected
    for change).
    Similarly, in American Iron and Steel Institute v. EPA, 
    568 F.2d 284
    (3d Cir. 1977), the Third Circuit declared a rule
    invalid where the notice of proposed rulemaking failed to
    indicate that the proposed rule would apply to steelmaking, as
    10614            LOUIS v. U.S. DEP’T OF LABOR
    opposed to other processes involved in iron and steel manu-
    facturing. 
    Id. at 291.
    The court specifically determined that
    such a defect in the notice of proposed rulemaking rendered
    it ineffective at enabling an “interested person . . . to make
    comments which could assist the [agency] in formulating
    [the] regulations.” 
    Id. [5] Again,
    in the present case the Department’s notice only
    indicates that it is publishing information about hundreds of
    pre-existing systems of records, with a few additions and
    deletions. The introductory sections of the notice speak of
    compliance with subsection (e)(4) of the Privacy Act, and
    indicate that there have been changes to the universe of sys-
    tems, but do not refer to subsection (k)(2) and do not mention
    “exemptions” at all. Under these circumstances, we conclude
    that the Department’s notice was insufficient in that it does
    not “fairly apprise interested persons of the subjects and
    issues before the Agency.” See Natural Res. Def. 
    Council, 279 F.3d at 1186
    .
    2.   Comment Period Requirement
    [6] Louis next argues that the Department failed to comply
    with the requirements of § 553(c) of the APA because the
    notice failed to give a meaningful opportunity to comment on
    the exemption of records systems. 5 U.S.C. § 553(c). This
    argument flows directly from the improper notice given by
    the agency. Although the notice invited comment “on newly
    published systems and on the proposed routine uses, both uni-
    versal and specific,” 67 Fed. Reg. at 16816, there was no spe-
    cific invitation to comment on the exemption of systems from
    disclosure. The Department thus never afforded itself the
    opportunity “to educate itself on the full range of interests the
    rule affects” with respect to the exempted systems. See
    Alcaraz v. Block, 
    746 F.2d 593
    , 611 (9th Cir. 1984); see also
    Pac. Coast European Conference v. United States, 
    350 F.2d 197
    , 205 (9th Cir. 1965). In short, the Department did not
    comply with the comment provision of the APA.
    LOUIS v. U.S. DEP’T OF LABOR            10615
    [7] In summary, subsection (k)(2) of the Privacy Act by its
    text requires that a rule be promulgated in accordance with the
    notice and comment provisions of the APA. We hold that
    mere notice of an agency’s invocation of subsection (k)(2) to
    exempt information from the Act’s disclosure requirements,
    when published under headings indicating that the purpose of
    the publication is compliance with a routine reporting require-
    ment of the statute, is insufficient to constitute the kind of
    notice of proposed rulemaking and invitation to comment
    required by the APA. Exemption from the Privacy Act’s fun-
    damental requirement that an individual have access to an
    individual’s “record or to any information pertaining to him”
    collected by the government is a serious matter requiring the
    strictest compliance with the APA’s rulemaking procedures.
    The Department may not withhold documents contained in
    the DOL/SOL-15 system of records on the basis of the (k)(2)
    exemption.
    B.   Bar to Access pursuant to 5 U.S.C. § 552a(d)(5)
    Although the Department’s “rule” exempting the DOL/
    SOL-15 system of records is invalid, the requested documents
    may be withheld if they fall within the scope of subsection
    (d)(5) of the Privacy Act, even though the Department relied
    on this subsection for the first time during the district court
    proceedings. Louis argues that the district court’s alternative
    holding that subsection (d)(5) barred access to certain docu-
    ments was improper because the agency never relied on this
    exception when it issued its final disclosure determination.
    Specifically, Louis asserts that the Department’s belated reli-
    ance on subsection (d)(5) is a post-hoc rationalization prohib-
    ited by SEC v. Chenery Corp., 
    318 U.S. 80
    (1943) (“Chenery
    I”) and its progeny.
    This argument fails for two reasons. First, review of agency
    access decisions under FOIA and the Privacy Act is de novo,
    requiring no deference to the agency’s determination or ratio-
    nale regarding disclosures. Second, the text and structure of
    10616            LOUIS v. U.S. DEP’T OF LABOR
    the statute lead us to conclude that because Louis never had
    a right to access individual records prepared in anticipation of
    litigation, he cannot now claim access to them on a theory that
    the agency passively waived this exception.
    [8] Subsection 552a(g)(3)(A) of the Privacy Act provides
    that where a suit is brought under subsection (g)(1)(B) for
    failure to comply with a records request (as is the present
    case), “the court shall determine the matter de novo . . . and
    the burden is on the agency to sustain its action.” 5 U.S.C.
    § 552a(g)(3)(A). The Supreme Court has recently noted that
    this provision means that no deference is due the agency’s
    determination of which records to disclose and which are
    exempt. Doe v. Chao, 
    540 U.S. 614
    , 618-19 (2004) (distin-
    guishing de novo review from “any form of deferential
    review”).
    The rationale behind the Chenery I Court’s refusal to
    accept belated justifications for agency action not previously
    asserted during the agency’s own proceedings does not apply
    in this case. Chenery I was premised on the policy that courts
    should not substitute their judgment for that of the agency
    when reviewing a “determination of policy or judgment which
    the agency alone is authorized to make and which it has not
    
    made.” 318 U.S. at 88
    . “[A]n appellate court cannot intrude
    upon the domain which Congress has exclusively entrusted to
    an administrative agency. 
    Id. In the
    present case, review of
    documents for disclosure under the Privacy Act is not an
    action that is within the particular expertise of any agency,
    and Congress has expressly instructed courts to review such
    actions de novo. 5 U.S.C. § 552a(g)(3)(A). As such, judicial
    review is not limited to the justification for withholding of
    documents originally relied upon by the agency. Cf. SEC v.
    Chenery Corp., 
    332 U.S. 194
    , 196-97 (1947) (“Chenery II”)
    (“[A] reviewing court, in dealing with a determination or
    judgment which an administrative agency alone is authorized
    to make, must judge the propriety of such action solely by the
    grounds invoked by the agency.”).
    LOUIS v. U.S. DEP’T OF LABOR                    10617
    Our opinion in Friends of the Coast Fork v. United States
    Department of the Interior, 
    110 F.3d 53
    , 55 (9th Cir. 1997),
    is distinguishable in that it discussed post-hoc rationalization
    under FOIA’s fee waiver provision, which specifically pro-
    vides that although review of agency determinations on such
    waivers is de novo, “the court’s review of the matter shall be
    limited to the record before the agency.” 5 U.S.C.
    § 552(a)(4)(A)(vii). The judicial review provision relevant to
    this case contains no such limiting language. See 5 U.S.C.
    § 552a(g)(3)(A).6
    [9] We note that in the FOIA context,7 at least one other
    circuit has concluded that an agency does not waive exemp-
    tions prior to litigation in the district court.8 Young v. CIA,
    
    972 F.2d 536
    , 538-39 (4th Cir. 1992) (“[A]n agency does not
    waive FOIA exemptions by not raising them during the
    administrative process. . . . [W]aiver is inappropriate because
    6
    Nor, for that matter, does the general judicial review provision under
    FOIA. See U.S.C. § 552(a)(4)(B).
    7
    The scope of the exception to disclosure under subsection (d)(5) of the
    Privacy Act is somewhat different than that of Exemption 5 of FOIA in
    that it does not incorporate civil discovery privileges. Martin v. Office of
    Special Counsel, 
    819 F.2d 1181
    , 1187-88 (D.C. Cir. 1987). Instead, it
    refers to all “information” rather than communications or facts. This dis-
    tinction, while important, does not affect our analysis here.
    8
    The instant case should be distinguished from cases involving rational-
    izations or new arguments made for the first time on appeal from the dis-
    trict court to the circuit court. See, e.g., Jordan v. United States Dep’t of
    Justice, 
    591 F.2d 753
    , 779-80 (D.C. Cir. 1978), overruled on other
    grounds by Crooker v. Bureau of Alcohol, Tobacco & Firearms, 
    670 F.2d 1051
    (D.C. Cir. 1981) (holding that although government could rely on an
    exemption it raised for the first time in the district court, it could not do
    so for the first time in the appellate court because otherwise there would
    be prejudice to requesting party who had had no opportunity to challenge
    and test the agency’s evidence with respect to the applicability of the
    exemption). Here, we address only the issue of whether, under the de novo
    review provided for in the Privacy Act, a district court may consider and
    rely on an agency’s assertion of a different rationale for non-disclosure in
    district court than the agency originally proffered during the administra-
    tive proceedings.
    10618            LOUIS v. U.S. DEP’T OF LABOR
    [inter alia] FOIA provides for de novo judicial review.”); see
    also Ryan v. Dep’t. of Justice, 
    617 F.2d 781
    , 792 (D.C. Cir.
    1980) (“This court has held that an agency must identify the
    specific statutory exemptions relied upon, and do so at least
    by the time of the district court proceedings.” (emphasis
    added) (citing Jordan v. United States Dep’t of Justice, 
    591 F.2d 753
    , 779-80 (D.C. Cir. 1978), overruled on other
    grounds by Crooker v. Bureau of Alcohol, Tobacco & Fire-
    arms, 
    670 F.2d 1051
    (D.C. Cir. 1981))).
    [10] The text and structure of the statute also suggest that
    passive waiver of the (d)(5) exception is inappropriate, at least
    until the parties reach the district court. While subsection
    (d)(1) requires that agencies “upon request by any individual
    to gain access to his record or to any information pertaining
    to him . . . permit him . . . to review the record and have a
    copy made,” subsection (d)(5) states that “nothing in this sec-
    tion shall allow an individual access to any information com-
    piled in reasonable anticipation of a civil action or
    proceeding.” Unlike the section (k) exemptions, which require
    an agency to exempt a system from access through rulemak-
    ing, subsection (d)(5) is a self-executing exception to the gen-
    eral access granted to individuals in subsection (d)(1). Put
    another way, the right to access granted by subsection (d)(1)
    is expressly qualified by subsection (d)(5). Because an indi-
    vidual has no right to even demand such information, there
    would be no need for the agency to actively assert (d)(5) as
    an applicable exception to disclosure. Louis never had a right
    to access records prepared in reasonable anticipation of litiga-
    tion. Thus, he cannot now claim a right to access simply
    because the Department did not specifically rely on that spe-
    cific exemption when it made its initial determination.
    [11] For the above-stated reasons, it was entirely proper for
    the district court to consider the Department’s argument that
    the documents sought were barred from disclosure by subsec-
    tion (d)(5). Turning now to the merits, we conclude that the
    descriptions of the documents sufficiently indicate that each
    LOUIS v. U.S. DEP’T OF LABOR                     10619
    is a communication or writing specifically related to the ongo-
    ing agency proceeding and eventual litigation with Louis.
    Each document therefore falls within the scope of (d)(5)’s
    intended protection against disclosure of any “information”
    compiled in anticipation of a civil action or proceeding.9
    III.
    In sum, we conclude that the Department failed to comply
    with the notice and comment provisions of the Administrative
    Procedure Act in its attempt to exempt the DOL/SOL-15 sys-
    tem of records from access under Privacy Act subsection
    (k)(2). However, we also conclude that the district court’s
    reliance on the Privacy Act’s litigation exception to access as
    prescribed by subsection (d)(5) of the Act was proper.
    Because review of information for disclosure is not a task that
    has been entrusted to the Department of Labor, and because
    the statute specifically provides for de novo review by the
    courts, we refuse to apply the general bar against post-hoc
    rationalization by an agency originally set forth in Chenery I.
    On the merits, we find the descriptions of the documents
    sought sufficient to conclude that each falls within the (d)(5)
    exception.10
    AFFIRMED IN PART.
    9
    Louis does not seriously challenge the designation under the Privacy
    Act of the described documents as having been compiled in anticipation
    of civil proceedings, instead confining his arguments to the post-hoc ratio-
    nalization aspect of the invocation of the exception. Nevertheless, we took
    the extraordinary step of requiring that the documents be submitted to the
    court under seal for in camera inspection. We have examined each docu-
    ment, and have concluded that each falls within the (d)(5) exemption.
    10
    Because we ultimately determine that the documents were withheld
    appropriately, we need not address whether the district court abused its
    discretion in refusing to allow the plaintiff discovery into the Depart-
    ment’s decision to designate the DOL/SOL-15 database as an exempt sys-
    tem.
    

Document Info

Docket Number: 04-35389

Filed Date: 8/15/2005

Precedential Status: Precedential

Modified Date: 10/13/2015

Authorities (22)

american-iron-and-steel-institute-armco-steel-corporation-bethlehem-steel , 568 F.2d 284 ( 1977 )

Phyllis Young v. Central Intelligence Agency , 972 F.2d 536 ( 1992 )

christopher-t-erringer-lawrence-corcoran-ethel-w-vestal-by-her-husband , 371 F.3d 625 ( 2004 )

natural-resources-defense-council-southeast-alaska-conservation-council , 279 F.3d 1180 ( 2002 )

natural-resources-defense-council-inc-the-center-for-marine-conservation , 316 F.3d 904 ( 2003 )

Rhonda J. Rose v. United States of America and United ... , 905 F.2d 1257 ( 1990 )

Michael Alan Crooker v. Bureau of Alcohol, Tobacco & ... , 670 F.2d 1051 ( 1981 )

William Jordan v. United States Department of Justice , 591 F.2d 753 ( 1978 )

pacific-coast-european-conference-and-members-thereof-v-united-states-of , 350 F.2d 197 ( 1965 )

natural-resources-defense-council-inc-and-the-sierra-club-v-us , 863 F.2d 1420 ( 1988 )

friends-of-the-coast-fork-oregon-natural-resources-council-v-united-states , 110 F.3d 53 ( 1997 )

97-cal-daily-op-serv-5380-97-daily-journal-dar-8755-chief-probation , 118 F.3d 1327 ( 1997 )

state-of-california-ex-rel-bill-lockyer-attorney-general-the-city-of , 329 F.3d 700 ( 2003 )

tomas-alcaraz-v-john-r-block-secretary-us-department-of-agriculture , 746 F.2d 593 ( 1984 )

Securities & Exchange Commission v. Chenery Corp. , 63 S. Ct. 454 ( 1943 )

Betty Martin v. Office of Special Counsel, Merit Systems ... , 819 F.2d 1181 ( 1987 )

American Federation of Labor and Congress of Industrial ... , 757 F.2d 330 ( 1985 )

McLouth Steel Products Corporation v. Lee M. Thomas, ... , 838 F.2d 1317 ( 1988 )

national-tour-brokers-association-v-united-states-of-america-and-the , 591 F.2d 896 ( 1978 )

tom-w-ryan-jr-missouri-public-interest-research-group-v-department-of , 617 F.2d 781 ( 1980 )

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