Dunlap v. Presidential Advisory Commission on Election Integrity ( 2018 )


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  •                             UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    MATTHEW DUNLAP,
    Plaintiff,
    v.
    Civil Action No. 17-2361 (CKK)
    PRESIDENTIAL ADVISORY
    COMMISSION ON ELECTION
    INTEGRITY, et al.,
    Defendants.
    MEMORANDUM OPINION
    (June 27, 2018)
    On December 22, 2017, the Court held that Plaintiff Matthew Dunlap was entitled to certain
    documents to vindicate his right, as an appointed commissioner, to fully participate in the
    proceedings of the Defendant Presidential Advisory Commission on Election Integrity (the
    “Commission”). See Dunlap v. Presidential Advisory Comm’n on Election Integrity, 
    286 F. Supp. 3d
    96 (D.D.C. 2017). The Commission never complied with the Court’s Order. Nor did any co-
    Defendant officials or entities indicate an intention to do so. 1 An Executive Order issued on
    January 3, 2018, terminated the Commission and triggered a series of motions seeking to clarify
    1
    As of the filing of the [1] Complaint, Defendants consisted of the Commission; Michael R. Pence,
    in his official capacity as Chair of the Commission; Kris W. Kobach, in his official capacity as
    Vice Chair of the Commission; Andrew Kossack, in his official capacity as Designated Federal
    Officer for the Commission; the General Services Administration (“GSA”); Timothy R. Horne, in
    his official capacity as Acting Administrator of the GSA; the Executive Office of the President;
    the Office of the Vice President; the Office of Administration; and Marcia L. Kelly, in her official
    capacity as Director of the Office of Administration. In this Memorandum Opinion, the Court
    shall continue to refer to those individuals and entities as Defendants, despite some question as to
    whether some remain in this case following the Commission’s dissolution. The Court need not
    decide that issue in this Opinion.
    1
    the path forward in this case.
    Upon consideration of the pleadings, 2 the relevant legal authorities, and the record as a
    whole, including the Court’s [32] Order and [33] Memorandum Opinion of December 22, 2017,
    which the Court expressly incorporates herein, the Court DENIES Plaintiff’s [35] Application for
    a Temporary Restraining Order (“TRO Application”), DENIES Defendants’ [39] Motion to
    Reconsider This Court’s December 22, 2017, Order (“Motion to Reconsider”), and, in an exercise
    of the Court’s discretion, DENIES Plaintiff’s [48] Motion for Leave to Serve a Preservation
    Subpoena (“Subpoena Motion”).
    Defendants have indicated that if the Court were to deny their Motion to Reconsider, they
    would consider seeking appellate review rather than producing the documents at issue. MTR
    Mem. at 12-13. They accordingly requested a stay of any adverse decision to give them time to
    evaluate. As the Court shall discuss in this Opinion, Defendants are not entitled to a stay either
    during their determination of whether to appeal or during any appeal, subject to any finding that
    2
    The Court’s consideration has focused on the following documents:
    •   Mem. of Law in Supp. of Pl.’s Appl. for a TRO, ECF No. 35-1 (“TRO Mem.”);
    •   Defs.’ Mot. to Reconsider This Ct.’s Dec. 22, 2017, Order, ECF No. 39 (“MTR Mem.”);
    •   Mem. in Opp’n to Defs.’ Mot. to Reconsider the Dec. 22, 2017 Order Granting in Part Pl.’s
    Mot. for a Prelim. Inj., ECF No. 46 (“MTR Opp’n”);
    •   Reply in Further Supp. of Defs.’ Mot. to Reconsider This Ct.’s Dec. 22, 2017, Order, ECF
    No. 47 (“MTR Reply”);
    •   Suppl. Br. in Supp. of Pl.’s Mot. for a TRO, ECF No. 42 (“TRO Ancillary Issue Mem.”);
    •   Defs.’ Resp. to Pl.’s Suppl. Br. in Supp. of Mot. for TRO, ECF No. 44 (“TRO Ancillary
    Issue Opp’n”);
    •   Suppl. Reply Br. in Supp. of Pl.’s Mot. for a TRO, ECF No. 45 (“TRO Ancillary Issue
    Reply”);
    •   Pl.’s Mot. for Leave to Serve a Preservation Subpoena, ECF No. 48 (“Subpoena Mem.”);
    •   Defs.’ Opp’n to Pl.’s Mot. for Leave to Serve a Subpoena, ECF No. 49 (“Subpoena
    Opp’n”); and
    •   Reply Br. in Supp. of Pl.’s Mot. for Leave to Serve a Subpoena, ECF No. 50 (“Subpoena
    Reply”).
    2
    the Court lacks jurisdiction over aspects of the case under consideration by the United States Court
    of Appeals for the District of Columbia Circuit (“D.C. Circuit” or “Court of Appeals”).
    Plaintiff is entitled under Cummock v. Gore, 
    180 F.3d 282
    (D.C. Cir. 1999), to the
    preliminary relief guaranteed by the Court’s [32] Order and [33] Memorandum Opinion of
    December 22, 2017, as further clarified in this Memorandum Opinion, but not to anything more
    at this time. Defendants must produce the relevant documents by no later than JULY 18, 2018.
    I.   BACKGROUND
    The Court extensively discussed the statutory and factual background of the Commission
    in its decision as to Plaintiff’s [7] Motion for a Preliminary Injunction. See Dunlap, 
    286 F. Supp. 3d
    at 99-104. The Court shall only briefly recapitulate here the Commission’s short life and
    Plaintiff’s role therein, with emphasis on the factual and procedural developments that have
    occurred since the Court’s decision.
    President Donald J. Trump launched the Commission on May 11, 2017, with a mandate to
    “study the registration and voting processes used in Federal elections.” Executive Order No.
    13,799 § 3, 82 Fed. Reg. 22,389, 22,389 (May 11, 2017) (“May 11, 2017 Exec. Order”). Plaintiff
    Matthew Dunlap, Secretary of State of the State of Maine, was among the appointed
    commissioners. Over the following summer and early fall, the Commission held several meetings
    regarding election issues and collected some state voter data. Yet, despite his eagerness to
    contribute to the Commission’s work, Plaintiff had reason to believe that Defendants and perhaps
    other commissioners were inhibiting his ability to fully do so. Plaintiff tried to obtain certain
    documents from the Commission to vindicate his rights, and when he was unsuccessful, he brought
    this lawsuit against the Commission, Vice President Michael R. Pence in his capacity as Chair of
    the Commission, Kris W. Kobach in his capacity as Vice Chair, the Executive Office of the
    3
    President (“EOP”), and the Office of the Vice President (“OVP”), among others.
    Unofficial information shortly thereafter suggested that the Commission might hold a
    meeting without inviting Plaintiff’s involvement in the planning. This precipitated his efforts to
    obtain preliminary relief, which this Court granted in significant part on December 22, 2017. The
    Court found that Plaintiff was likely to succeed in obtaining certain relief pursuant to the Court’s
    mandamus jurisdiction, 28 U.S.C. § 1361, and met the remaining elements for a preliminary
    injunction as to that relief. Defendants were required to provide Plaintiff with certain past and
    future documents to facilitate his meaningful participation as a commissioner. See, e.g., Dunlap,
    
    286 F. Supp. 3d
    at 107-08. They never did so.
    On January 3, 2018, Defendants abruptly notified the Court that President Trump had
    signed an Executive Order that terminated the Commission. Notice of Executive Order, ECF No.
    34. A flurry of public statements comprised the Commission’s early epitaph. That day the White
    House Press Secretary offered one version of the reasons for its demise:
    Despite substantial evidence of voter fraud, many states have refused to provide the
    Presidential Advisory Commission on Election Integrity with basic information
    relevant to its inquiry. Rather than engage in endless legal battles at taxpayer
    expense, today President Donald J. Trump signed an executive order to dissolve the
    Commission, and he has asked the Department of Homeland Security to review its
    initial findings and determine next courses of action.
    Statement, The White House, Statement by the Press Secretary on the Presidential Advisory
    Commission on Election Integrity (Jan. 3, 2018), ECF No. 46-1. Mr. Kobach, who had overseen
    much of the Commission’s operations as its Vice Chair, highlighted the realpolitik:
    “It got to the point where the staff of the commission was spending more time
    responding to litigation than doing an investigation,” Mr. Kobach said. “Think of
    it as an option play; a decision was made in the middle of the day to pass the ball.
    The Department of Homeland Security is going to be able to move faster and more
    efficiently than a presidential advisory commission.”
    4
    TRO Mem. at 5 (quoting Michael Tackett and Michael Wines, Trump Disbands Commission on
    Voter Fraud, N.Y. Times (Jan. 3, 3018), https://www.nytimes.com/2018/01/03/us/politics/trump-
    voter-fraud-commission.html). At least from his perspective, Mr. Kobach evidently would serve
    as “an informal adviser to homeland security,” 
    id. (quoting Tackett
    and 
    Wines, supra
    ) (internal
    quotation marks omitted), who would be “working closely with the White House and DHS to
    ensure the investigations continue,” 
    id. at 5-6
    (quoting John Binder, Exclusive—Kris Kobach:
    Voter Fraud Commission ‘Being Handed off’ to DHS, Will No Longer Be ‘Stonewalled’ by Dems,
    Breitbart (Jan. 3, 2018), http://www.breitbart.com/big-government/2018/01/03/exclusive-kris-
    kobach-voter-fraud-commission-being-handed-off-to-dhs-will-no-longer-be-stonewalled-by-
    dems/) (internal quotation marks omitted). Confirming that the issue would remain on the agenda,
    President Trump tweeted, “Push hard for Voter Identification!” on January 4, 2018. MTR Opp’n
    at 10 n.18 (quoting Donald J. Trump (@realDonaldTrump), Twitter (Jan. 4, 2018)) (internal
    quotation marks omitted).
    Nowhere did Defendants indicate that they would comply with the Court’s December 22,
    2017, Order compelling them to provide Plaintiff with certain documents.               Defendants’
    correspondence with Plaintiff indicated that they would instead seek reconsideration of the Court’s
    Order in light of the Commission’s termination. TRO Mem. Ex. 2, ECF No. 35-3, at 1-2. Fearing
    that his final opportunity to participate in the Commission was slipping away, Plaintiff applied for
    a temporary restraining order (“TRO”) seeking extensive relief, including a variety of orders
    regarding post-dissolution management of Commission documents and an order compelling
    Defendants’ compliance with the Court’s preliminary injunction. See Pl.’s Appl. for a TRO, ECF
    No. 35, at 1-2.
    In parallel, Defendants sought reconsideration of the Court’s preliminary injunction, citing
    5
    the “changed circumstances” of the Commission’s termination without “issu[ing] a report or
    mak[ing] any recommendations before its dissolution.” MTR Mem. at 1. In an effort to handle
    the motion practice most efficiently, the Court held a teleconference with the parties and decided
    to hold the TRO Application in abeyance while the Court resolved the Motion to Reconsider. Min.
    Order of Jan. 10, 2018. Plaintiff did, however, request the Court’s prompt attention to one issue
    that he had not expressly raised in the TRO Application, namely whether former Commission
    members—some of whom were never Defendants in this case—could be restrained from
    unofficially disseminating official Commission records to the Department of Homeland Security
    or to other third parties. 
    Id. The parties
    proceeded to brief the Motion to Reconsider, as well as
    Plaintiff’s ancillary request for some form of restraint on former Commission members.
    Defendants argued in their briefing that Mr. Kobach, as a Defendant sued only in his
    official capacity as Vice Chair of the Commission, is no longer a party to this case after the
    Commission’s dissolution. 3 See, e.g., TRO Ancillary Issue Opp’n at 1. Plaintiff accordingly filed
    a motion for leave to serve a subpoena on Mr. Kobach to ensure that he would preserve documents,
    in light of Defendants’ position that they could not compel him to do so. Subpoena Mem. at 1; see
    also TRO Ancillary Issue Opp’n at 1 (“The Commission no longer exists and no longer has the
    power to compel the actions of its former Commission members.”).
    On the basis of the briefing, the Court is now prepared to resolve Defendants’ Motion to
    Reconsider the preliminary injunction, together with Plaintiff’s TRO Application, the request
    ancillary to Plaintiff’s TRO Application, and Plaintiff’s Subpoena Motion directed to Mr. Kobach.
    3
    Defendants made the same argument about Vice President Michael R. Pence, sued only in his
    official capacity as Chair of the Commission. TRO Ancillary Issue Opp’n at 1. Plaintiff has not
    sought leave to serve a preservation subpoena on him.
    6
    II.    LEGAL STANDARD
    A. Motion to Reconsider
    Under Federal Rule of Civil Procedure Rule 54(b), “any order . . . that adjudicates fewer
    than all the claims or the rights and liabilities of fewer than all the parties . . . may be revised at
    any time before the entry of a judgment adjudicating all the claims and all the parties’ rights and
    liabilities.” Fed. R. Civ. P. 54(b). As it has before, the Court again shares the view in this district
    that a Rule 54(b) motion may be granted “as justice requires.” E.g., Coulibaly v. Tillerson, 278 F.
    Supp. 3d 294, 301 (D.D.C. 2017) (Contreras, J.); United States v. Dynamic Visions, Inc., 
    321 F.R.D. 14
    , 17 (D.D.C. 2017) (Kollar-Kotelly, J.); Singh v. George Washington Univ., 
    383 F. Supp. 2d 99
    ,
    101 (D.D.C. 2005) (Lamberth, J.) (quoting Cobell v. Norton, 
    224 F.R.D. 266
    , 272 (D.D.C. 2004)
    (Lamberth, J.)). The proponent carries the burden of proving “that some harm, legal or at least
    tangible, would flow from a denial of reconsideration,” and accordingly persuading the Court that
    in order to vindicate justice it must reconsider its decision. Dynamic Visions, 
    Inc., 321 F.R.D. at 17
    (quoting 
    Cobell, 355 F. Supp. 2d at 540
    ) (internal quotation marks omitted).
    “In general, a court will grant a motion for reconsideration of an interlocutory order only
    when the movant demonstrates: ‘(1) an intervening change in the law; (2) the discovery of new
    evidence not previously available; or (3) a clear error in the first order.” Zeigler v. Potter, 555 F.
    Supp. 2d 126, 129 (D.D.C. 2008) (quoting Keystone Tobacco Co., Inc. v. U.S. Tobacco Co., 
    217 F.R.D. 235
    , 237 (D.D.C. 2003)), aff’d No. 09-5349, 
    2010 WL 1632965
    (D.C. Cir. Apr. 1, 2010).
    “Justice [also] may require reconsideration . . . ‘where a controlling or significant change in the . . .
    facts has occurred since the submission of the issue to the court.’” McLaughlin v. Holder, 864 F.
    Supp. 2d 134, 141 (D.D.C. 2012) (quoting Ficken v. Golden, 
    696 F. Supp. 2d 21
    , 35 (D.D.C.
    2010)).
    7
    However, as the parties were warned, “motions for reconsideration . . . cannot be used as
    an opportunity to reargue facts and theories upon which a court has already ruled, nor as a vehicle
    for presenting theories or arguments that could have been advanced earlier.” Estate of Gaither ex
    rel. Gaither v. District of Columbia, 
    771 F. Supp. 2d 5
    , 10 & n.4 (D.D.C. 2011)) (quoting SEC v.
    Bilzerian, 
    729 F. Supp. 2d 9
    , 14 (D.D.C. 2010)) (internal quotation marks omitted); Order
    Establishing Procedures for Cases Assigned to Judge Colleen Kollar-Kotelly, ECF No. 6, ¶ 13.
    B. Application for Temporary Restraining Order
    Like a preliminary injunction, a temporary restraining order is an extraordinary form of
    relief. An application for a TRO is analyzed using factors applicable to preliminary injunctive
    relief. See, e.g., Gordon v. Holder, 
    632 F.3d 722
    , 723-24 (D.C. Cir. 2011) (applying preliminary
    injunction standard to district court decision denying motion for TRO and preliminary injunction);
    Sibley v. Obama, 
    810 F. Supp. 2d 309
    , 310 (D.D.C. 2011) (articulating TRO elements based on
    preliminary injunction case law).
    Preliminary injunctive relief is “an extraordinary remedy that may only be awarded upon
    a clear showing that the plaintiff is entitled to such relief.” Sherley v. Sebelius, 
    644 F.3d 388
    , 392
    (D.C. Cir. 2011) (quoting Winter v. Nat. Res. Def. Council, Inc., 
    555 U.S. 7
    , 22 (2008)); see also
    Mazurek v. Armstrong, 
    520 U.S. 968
    , 972 (1997) (per curiam) (“[A] preliminary injunction is an
    extraordinary and drastic remedy, one that should not be granted unless the movant, by a clear
    showing, carries the burden of persuasion.” (internal quotation marks omitted)). A plaintiff
    seeking preliminary injunctive relief “must establish [1] that he is likely to succeed on the merits,
    [2] that he is likely to suffer irreparable harm in the absence of preliminary relief, [3] that the
    balance of equities tips in his favor, and [4] that an injunction is in the public interest.” Aamer v.
    Obama, 
    742 F.3d 1023
    , 1038 (D.C. Cir. 2014) (quoting 
    Sherley, 644 F.3d at 392
    (quoting Winter,
    
    8 555 U.S. at 20
    ) (alteration in original; internal quotation marks omitted)). When seeking such
    relief, “the movant has the burden to show that all four factors, taken together, weigh in favor of
    the injunction.” Abdullah v. Obama, 
    753 F.3d 193
    , 197 (D.C. Cir. 2014) (quoting Davis v. Pension
    Benefit Guar. Corp., 
    571 F.3d 1288
    , 1292 (D.C. Cir. 2009)) (internal quotation marks omitted).
    “The four factors have typically been evaluated on a ‘sliding scale.’” 
    Davis, 571 F.3d at 1291
    .
    Under this sliding-scale framework, “[i]f the movant makes an unusually strong showing on one
    of the factors, then it does not necessarily have to make as strong a showing on another factor.”
    
    Id. at 1291-92.
    The Court notes that it is not clear whether this Circuit’s sliding-scale approach to assessing
    the four preliminary injunction factors survives the Supreme Court’s decision in Winter. See Save
    Jobs USA v. U.S. Dep’t of Homeland Sec., 
    105 F. Supp. 3d 108
    , 112 (D.D.C. 2015). Several judges
    on the D.C. Circuit have “read Winter at least to suggest if not to hold ‘that a likelihood of success
    is an independent, free-standing requirement for a preliminary injunction.’” 
    Sherley, 644 F.3d at 393
    (quoting 
    Davis, 571 F.3d at 1296
    (Kavanaugh, J., concurring)). However, the D.C. Circuit
    has yet to hold definitively that Winter has displaced the sliding-scale analysis. See id.; see also
    Save Jobs 
    USA, 105 F. Supp. 3d at 112
    . In light of this ambiguity, the Court shall consider each
    of the preliminary injunction factors and shall only evaluate the proper weight to accord the
    likelihood of success if the Court finds that its relative weight would affect the outcome.
    C. Motion for Leave to Serve Subpoena
    Federal Rule of Civil Procedure 26(d) explains that “[a] party may not seek discovery from
    any source before the parties have conferred as required by Rule 26(f),” subject to certain
    exceptions, including a “court order” authorizing such early discovery. Fed. R. Civ. P. 26(d)(1).
    The Court of Appeals has held that Rule 26 “vests the trial judge with broad discretion to tailor
    9
    discovery narrowly and to dictate the sequence of discovery.” Watts v. SEC, 
    482 F.3d 501
    , 507
    (D.C. Cir. 2007) (quoting Crawford–El v. Britton, 
    523 U.S. 574
    , 598 (1998)). Federal Rule of
    Civil Procedure 34 sets forth procedures for requesting that a party produce documents during
    Rule 26 discovery, and expressly directs elsewhere for analogous requests to nonparties. See Fed.
    R. Civ. P. 34(a); 
    id. 34(c) (“As
    provided in Rule 45, a nonparty may be compelled to produce
    documents . . . .”).
    “Federal Rule of Civil Procedure 45 authorizes court-issued subpoenas to obtain discovery
    from third parties . . . .” 
    Watts, 482 F.3d at 507
    . Among the requirements of Rule 45, “[a] party
    or attorney responsible for issuing and serving a subpoena must take reasonable steps to avoid
    imposing undue burden or expense on a person subject to the subpoena.” Fed. R. Civ. P. 45(d)(1).
    “The Rule 45 ‘undue burden’ standard requires district courts supervising discovery to be generally
    sensitive to the costs imposed on third parties.” 
    Watts, 482 F.3d at 509
    (citing, e.g., Cusumano v.
    Microsoft Corp., 
    162 F.3d 708
    , 717 (1st Cir. 1998) (“[C]oncern for the unwanted burden thrust
    upon non-parties [by a subpoena] is a factor entitled to special weight in evaluating the balance of
    competing needs.”)). “In addition, Federal Rule of Civil Procedure 26(b)(1)-(2) requires district
    courts . . . to consider a number of factors potentially relevant to the question of undue burden”
    under Rule 45. 4 
    Id. The rule
    setting forth the general scope of discovery covers some of these
    factors:
    Unless otherwise limited by court order, the scope of discovery is as follows: Parties
    may obtain discovery regarding any nonprivileged matter that is relevant to any
    party’s claim or defense and proportional to the needs of the case, considering the
    importance of the issues at stake in the action, the amount in controversy, the
    parties’ relative access to relevant information, the parties’ resources, the
    importance of the discovery in resolving the issues, and whether the burden or
    expense of the proposed discovery outweighs its likely benefit.
    4
    While Rule 26(b)(1)-(2) has been revised since Watts, this observation remains true of the present
    language.
    10
    Fed. R. Civ. P. 26(b)(1). Further findings can trigger non-discretionary restrictions on discovery:
    On motion or on its own, the court must limit the frequency or extent of discovery
    otherwise allowed by these rules or by local rule if it determines that: (i) the
    discovery sought is unreasonably cumulative or duplicative, or can be obtained
    from some other source that is more convenient, less burdensome, or less
    expensive; (ii) the party seeking discovery has had ample opportunity to obtain the
    information by discovery in the action; or (iii) the proposed discovery is outside the
    scope permitted by Rule 26(b)(1).
    
    Id. 26(b)(2)(C) (emphasis
    added).
    D. Request for Stay Pending Appeal
    A party that moves for a stay pending appeal bears the burden of showing that the balance
    of four factors weighs in favor of the stay:
    (1) the likelihood that the party seeking the stay will prevail on the merits of the
    appeal; (2) the likelihood that the moving party will be irreparably harmed absent
    a stay; (3) the prospect that others will be harmed if the court grants the stay; and
    (4) the public interest in granting the stay.
    Cuomo v. U.S. Nuclear Regulatory Comm’n, 
    772 F.2d 972
    , 974 (D.C. Cir. 1985) (per curiam); see
    also 
    id. at 978
    (“On a motion for stay, it is the movant’s obligation to justify the court’s exercise
    of such an extraordinary remedy.”); Nat. Res. Def. Council v. EPA, 
    489 F.3d 1250
    , 1263-64 (D.C.
    Cir. 2007) (Randolph, J., concurring) (citing Cuomo as demonstrative of the Court of Appeals’
    “long-standing principles governing stays”). 5 A party does not necessarily have to make a strong
    showing with respect to the first factor (likelihood of success on the merits) if a strong showing is
    made as to the second factor (likelihood of irreparable harm).           
    Cuomo, 772 F.2d at 974
    5
    “The test for a stay or injunction pending appeal is essentially the same” as the test for a
    preliminary injunction, “although courts often recast the likelihood of success factor as requiring
    only that the movant demonstrate a serious legal question on appeal where the balance of harms
    strongly favors a stay[.]” Al–Anazi v. Bush, 
    370 F. Supp. 2d 188
    , 193 & n.5 (D.D.C. 2005) (citing
    United States v. Philip Morris Inc., 
    314 F.3d 612
    , 617 (D.C. Cir. 2003), abrogated on other
    grounds, Mohawk Indus., Inc. v. Carpenter, 
    558 U.S. 100
    (2009); 
    Cuomo, 772 F.2d at 978
    ; Wash.
    Metro. Area Transit Comm’n v. Holiday Tours, Inc., 
    559 F.2d 841
    , 843-44 (D.C. Cir. 1977)).
    11
    (“Probability of success is inversely proportional to the degree of irreparable injury evidenced. A
    stay may be granted with either a high probability of success and some injury, or vice versa.”).
    Ultimately, a court must weigh the factors depending on the circumstances of the particular case.
    See, e.g., Ctr. for Int’l Envtl. Law v. Office of the U.S. Trade Representative, 
    240 F. Supp. 2d 21
    ,
    23 (D.D.C. 2003) (“The remaining two factors—potential harm to plaintiffs and other individuals
    or to the public interest if a stay is granted—argue against a stay but ultimately do not outweigh
    defendants’ showing of a substantial case on the merits and irreparable harm from disclosure.”).
    III.    DISCUSSION
    A. Motion to Reconsider This Court’s December 22, 2017, Order
    1. Rule 54(b) Standard
    The preliminary injunction granted in this case did not resolve all of Plaintiff’s claims, even
    preliminarily. The Court has yet to resolve on the merits the claims presented in Plaintiff’s motion
    for preliminary injunction. And the Court has not made any decision as to at least one further
    claim in Plaintiff’s [1] Complaint, namely that Defendants violated Section 9(c) of the Federal
    Advisory Committee Act (“FACA”) by acting out of turn with their filing of the Commission
    charter. See, e.g., Dunlap, 
    286 F. Supp. 3d
    at 109 n.5 (declining to decide this claim not pursued
    in preliminary injunction motion). Accordingly, it is appropriate to evaluate the Motion to
    Reconsider under the Rule 54(b) standard applicable to an order that “adjudicates fewer than all
    the claims or the rights and liabilities of fewer than all the parties.” Fed. R. Civ. P. 54(b). As
    discussed above, that standard is whether “justice requires” reconsideration. Dynamic Visions,
    
    Inc., 321 F.R.D. at 17
    .
    Defendants do not discuss the “as justice requires” standard but instead refer to several
    other standards, both for Rule 54(b) and other rules on which a decision purportedly could be
    12
    based. As to Rule 54(b), Defendants argue that the relevant standard is whether “a change of
    circumstances between entry of the injunction and the filing of the motion” to reconsider has
    occurred “that would render the continuance of the injunction in its original form in equitable
    [sic].” MTR Mem. at 4 (quoting Fox Television Stations, Inc. v. FilmOn X LLC, 
    968 F. Supp. 2d 134
    , 140 (D.D.C. 2013)) (internal quotation marks omitted) (mistake not in original). However,
    Defendants do not cite any cases in this jurisdiction that apply this standard to Rule 54(b) decisions.
    On the contrary, Defendants’ main case expressly recognizes that the “justice requires” standard
    applies in the Rule 54(b) context. See Fox Television Stations, 
    Inc., 968 F. Supp. 2d at 140
    n.3
    (“find[ing] that justice does not require reconsideration” upon “assuming arguendo that the Rule
    54(b) standard applies”).
    In the alternative to resolving this motion on Rule 54(b) grounds, Defendants urge the
    Court to apply the Rule 59(e) standard. See MTR Mem. at 3-5. Although Plaintiff does not
    expressly respond to that alternative argument, the Court finds that it is unnecessary to apply Rule
    59(e), which Defendants aptly note “is generally used for reconsideration of final judgments,” 
    id. at 4.
    See also Fed. R. Civ. P. 59(e) (setting deadline for “motion to alter or amend a judgment”
    following “entry of the judgment”); 
    id. 54(a) (defining
    “judgment” as “a decree and any order from
    which an appeal lies”). “Motions under Rule 59(e) are ‘disfavored’ and the moving party bears
    the burden of establishing ‘extraordinary circumstances’ warranting relief from a final judgment.”
    United States v. Burwell, 
    253 F. Supp. 3d 283
    , 285 (D.D.C. 2017) (Kollar-Kotelly, J.) (quoting
    Niedermeier v. Office of Baucus, 
    153 F. Supp. 2d 23
    , 28 (D.D.C. 2001) (Hogan, C.J.)). Because
    the Court has not entered final judgment, and because the Court shall in any event find that the
    Rule 54(b) standard is not satisfied, the Court need not separately evaluate whether Defendants are
    entitled to relief based on what appears to be a higher standard associated with Rule 59(e).
    13
    Defendants also make some reference to case law applying a Rule 60(b) standard. See,
    e.g., MTR Mem. at 3-4 (citing Petties ex rel. Martin v. District of Columbia, 
    662 F.3d 564
    , 571
    (D.C. Cir. 2011) (“[C]hanged circumstances ha[ve] rendered continued enforcement of the
    preliminary injunction . . . contrary to the public interest[.]”)). “Rule 60(b)(5) provides that a
    district court may vacate an order or judgment if ‘applying it prospectively is no longer equitable,’”
    among other possible grounds. 
    Petties, 662 F.3d at 568
    (quoting Fed. R. Civ. P. 60(b)(5)). But,
    similarly to Rule 59(e), Rule 60(b) pertains to “a final judgment, order, or proceeding.” Fed. R.
    Civ. P. 60(b). There is no argument here that the Court’s preliminary injunction represents a final
    judgment. Even if there were some argument, the Court clearly has not concluded its management
    of this case by resolving all of the claims on the merits.
    In any event, Defendants have primarily urged the Rule 54(b) standard. See MTR Mem.
    at 4 (arguing that the “more permissive” Rule 54(b) standard, rather than Rule 59(e) standard,
    applies in these circumstances). Plaintiff does not object. The Court shall now apply the Rule
    54(b) standard to Defendants’ motion.
    2. Justice Does Not Require Reconsideration
    Because Defendants fail to articulate, and consequently, address, the threshold Rule 54(b)
    consideration of whether “justice requires” reconsideration, they forge ahead with a fresh analysis
    of whether the Court should grant a preliminary injunction under the standard four-factor test that
    this Court previously applied. See Dunlap, 
    286 F. Supp. 3d
    at 104 (citing 
    Aamer, 742 F.3d at 1038
    ). But they are not entitled to that second bite at the apple. For the reasons that follow, the
    Court finds that justice does not require reconsideration of its decision to grant partial preliminary
    relief to Plaintiff.
    The dissolution of the Commission on January 3, 2018, is a relevant factual development,
    14
    in the basic sense that a commission existed when the Court issued the preliminary injunction and
    now does not exist. But that change is not “controlling or significant” for purposes of compelling
    reconsideration of whether Plaintiff satisfies the standards for preliminary relief. See 
    McLaughlin, 864 F. Supp. 2d at 141
    (contemplating reconsideration in the event of “a controlling or significant
    change” of fact (internal quotation marks omitted)). The Commission’s termination does not affect
    the premise of the Court’s December 22, 2017, opinion: “Plaintiff ha[d] a right, as a commissioner,
    to ‘fully participate’ in the proceedings of the Commission,” and his ability to do so was stunted
    by Defendants’ failure to provide him with documents during the life of the Commission. Dunlap,
    
    286 F. Supp. 3d
    at 106 (“[Plaintiff] has a right to access documents that the Commission is
    considering relying on in the course of developing its final recommendations.”); see also
    
    Cummock, 180 F.3d at 291
    (“[FACA] must be read to confer on a committee member the right to
    fully participate in the work of the committee to which he or she is appointed.”). The Court’s
    December 22, 2017, decision affords Plaintiff access to documents described therein that were
    generated before the Court’s Order and those that were generated afterwards through the point of
    the Commission’s termination.      See Dunlap, 
    286 F. Supp. 3d
    at 108 (holding that “[t]he
    Commission has a clear duty to provide Plaintiff with these [exemplary categories of past]
    documents and any similar documents that exist now or in the future.”).
    Defendants argue that they should not be required to turn over documents to Plaintiff
    because there is no longer a Commission in which to participate using those documents. MTR
    Mem. at 2 (quoting Dunlap, 
    286 F. Supp. 3d
    at 107 (“Plaintiff is entitled to substantive information
    so that he can contribute along the way in shaping the ultimate recommendations of the
    Commission . . . .”)). Neither was there still a commission in which to participate in Cummock.
    In its December 22, 2017, decision, the Court “[found] that a preliminary injunction is necessary
    15
    in this case to prevent the Commission from reaching the level of dysfunction that precipitated
    Cummock,” namely by frustrating Ms. Cummock’s ability to fully participate in the relevant
    commission before that commission was terminated.             Dunlap, 
    286 F. Supp. 3d
    at 107.
    Unfortunately, by January 3, 2018, despite the Court’s best efforts the same dysfunction had
    materialized in this case: a commissioner whose full participation had been thwarted during the
    life of his commission service was now left to vindicate his rights after the fact.
    The principle that “FACA rights are enforceable even after an advisory committee has been
    disbanded” is settled law in this Circuit. 
    Cummock, 180 F.3d at 292
    (citing Byrd v. EPA, 
    174 F.3d 239
    , 243-44 (D.C. Cir. 1999)). In Cummock, the Court of Appeals again recognized this principle
    in finding that a former commissioner of a then-defunct commission was nevertheless “entitled to
    review” any “information that was made available to [that] Commission during the course of its
    deliberative process and without which her ability to fully and adequately participate in that
    process was impaired.” 
    Id. Courts in
    this Circuit continue to observe that Cummock preserves certain rights after
    dissolution of a commission subject to FACA. “A claim for document disclosure survives the
    termination of a FACA advisory committee, at least until all of the relevant materials have been
    disclosed.” Ctr. for Biological Diversity v. Tidwell, 
    239 F. Supp. 3d 213
    , 227 (D.D.C. 2017)
    (Kollar-Kotelly, J.) (citing, e.g., 
    Cummock, 180 F.3d at 292
    ); see also, e.g., Nat. Res. Def. Council
    v. Abraham, 
    223 F. Supp. 2d 162
    , 184 (D.D.C. 2002) (Collyer, J.) (“In Cummock v. Gore, the D.C.
    Circuit held that a request for documents pursuant to FACA is not rendered moot by the termination
    of the advisory committee in question.”), set aside in part on other grounds sub nom., Nat. Res.
    Def. Council v. Dep’t of Energy, 
    353 F.3d 30
    (D.C. Cir. 2004) (mem.). Although such cases
    generally concern the post-dissolution availability of documents to the public under FACA § 10(b),
    16
    a similar policy rationale is applicable to this former commissioner’s right to documents under
    Cummock:
    A finding that disclosure of the documents was no longer available because the
    committee[ ] ceased to exist would allow [Defendants] to frustrate the purposes of
    FACA by convening committees and disbanding them before materials could be
    requested, or a lawsuit concluded. The documents that [P]laintiff[ ] request[s] are
    still in existence and have not been produced to [him].
    
    Abraham, 223 F. Supp. 2d at 184
    .
    Whereas the former commissioner in Cummock needed documents to amend her response
    to that commission’s final report, Defendants distinguish this case as not involving a final report
    to which Plaintiff has responded or could now do so. See MTR Mem. at 6. In support of this
    argument, Defendants submit a declaration from Charles C. Herndon, the Director of White House
    Information Technology, indicating that “[t]he Commission did not create any preliminary
    findings.” 2d Decl. of Charles C. Herndon, ECF No. 39-2, ¶ 5. It is undisputed that there is no
    published final report in this case, and the Court shall accept for a moment, arguendo, that there
    are no preliminary findings either. Even so, this distinction is not persuasive. Cummock itself
    articulated the commissioner’s separate rights 1) to review any documents to which she was
    entitled, as discussed above, and 2) “assuming that Cummock is entitled to review certain
    Commission documents to which she has heretofore been denied access, [to] be given an
    opportunity to amend and publish a dissent incorporating her fully enlightened views.” 
    Cummock, 180 F.3d at 293
    . Under Defendants’ reasoning, a former commissioner’s right to documents under
    Cummock turns on the arbitrary fact of whether the commission published a report before its
    termination. But the Court of Appeals’ decision clearly establishes otherwise. Full participation
    in the Commission would have involved the opportunity to contribute to a published report if there
    was one, but even where there is not, still Plaintiff’s right must be vindicated to any remaining
    17
    extent to which it was abridged. 6
    Only upon Plaintiff’s review of the documents generated by the Commission will the extent
    to which his participation was thwarted become clear. Why should the Plaintiff, a duly appointed
    member of that body, be expected to rely on the assertion of a records custodian that there are no
    “preliminary findings”? There is no claim that Mr. Herndon had a substantive role in the work of
    the Commission. See TRO Ancillary Issue Mem. at 7 n.10 (noting it is not “clear what basis Mr.
    Herndon had to make this declaration, including what is meant by ‘finding’ in the declaration and
    whether Mr. Herndon, in his role as Director of White House Information Technology, was privy
    to all communications between DHS (or other federal agencies and officials) and the Chair, Vice
    Chair, Executive Director, and/or other Commission officials”). Among those who did have such
    a substantive role, the Vice Chair, Mr. Kobach, was interviewed in preparation for a Breitbart
    article that ultimately stated that “the voter fraud commission has revealed” certain specific
    findings. 
    Binder, supra
    ; TRO Ancillary Issue Mem. at 7-8 & nn. 8-11 (inaccurately asserting that
    article “quoted” Mr. Kobach as saying this). 7 Defendants—purportedly not representing Mr.
    Kobach any longer 8—suggest that this assertion is attributable, at least in part, not to “findings by
    6
    As Judge Judith W. Rogers separately observed of the decision in Cummock, this Court likewise
    “has not considered, and expresses no view about, whether ‘full’ participation necessarily entails
    an equal opportunity to participate at all times.” 
    Cummock, 180 F.3d at 293
    (Rogers, J.,
    concurring). Defendants make no argument, for example, that they withheld “classified . . .
    information” from Plaintiff to which other commissioners were entitled by virtue of security
    clearance. 
    Id. 7 Plaintiff’s
    “id.” citation in his note 11 would seem to refer to the Tackett and Wines article in the
    New York Times, but the “voter fraud commission has revealed” language cannot be found there.
    The citation appears instead to refer to the Binder article in Breitbart, where this language can
    indeed be found. See TRO Ancillary Issue Mem. at 7-8 & nn. 8-11 (citing, inter alia, 
    Binder, supra
    ).
    8
    There is some dispute as to whether Mr. Kobach remains a Defendant in this suit, as he was sued
    exclusively in his official capacity. See, e.g., Subpoena Mem. at 2-3 (observing Defendants’
    counsel’s disclaimers). The Court need not decide that point here, because the press secretary’s
    18
    the Commission itself” but rather to “reference material that was presented to the Commission at
    its meetings,” TRO Ancillary Issue Opp’n at 10 n.1. But this suggestion of findings cannot be
    skirted so easily. On behalf of the President, whose Executive Office was and indisputably remains
    a Defendant in this matter, the press secretary has stated that the President “asked the Department
    of Homeland Security to review [the Commission’s] initial findings.” Statement, The White
    
    House, supra
    . President Trump likewise seemed to suggest that the issues entrusted to the
    Commission were still live topics, rather than dead-ends proven by an absence of findings. See
    MTR Opp’n at 10 n.18 (quoting Donald J. Trump (@realDonaldTrump), Twitter (Jan. 4, 2018))
    (“Push hard for Voter Identification!” (internal quotation marks omitted)). Defendants’ effort to
    walk back public statements consists of the records custodian’s assertion as well as a footnote
    addressing the Breitbart article referenced above:
    [T]he statement by Mr. Kobach appears to reference material that was presented to
    the Commission at its meetings, not findings by the Commission itself. Material
    presented to the Commission at a meeting does not constitute a “finding” by the
    Commission any more than material presented to a Court in the context of litigation
    constitutes a “finding” by the Court.
    TRO Ancillary Issue Opp’n at 10-11 & n.1 (citations omitted). 9 But such post-hoc rationalizations
    are not persuasive, particularly where Defendants offer no declarations from Mr. Kobach or the
    press secretary (or the President), nor even counsel’s own explanation of the press secretary’s
    statement on the part of those Defendants who indisputably remain in this case.
    A review of the records themselves will reveal whether some of them could be
    statement effectively makes the same admission on the part of a Defendant—the Executive Office
    of the President—that undisputedly remains in the case.
    9
    Defendants’ comment about a “statement by Mr. Kobach” comes close to an admission that Mr.
    Kobach supplied the statistics that the Breitbart article quotes. But because the Court does not
    decide today whether Mr. Kobach remains a Defendant in this case, the Court does not attribute
    Defendants’ comment specifically to him.
    19
    characterized as findings, or even a report, although they may not be captioned as such. Perhaps
    there were draft findings or a draft report that simply were not deemed “final.” Or perhaps e-mails
    exist that informally characterize the results of the Commission’s work. It is more difficult to
    envision a presidential commission, with paid staff, being terminated without any internal
    characterization of that commission’s work over more than six months. In any event, now that the
    Commission is terminated, any findings, any report, or any internal characterization of the
    Commission’s work is “final” from the perspective of the historical record that will be preserved
    in the National Archives pursuant to the Presidential Records Act (“PRA”). See generally 2d Decl.
    of Charles C. Herndon, ECF No. 39-2, ¶ 5 (“Non-public Commission records will continue to be
    maintained as Presidential Records.”).       Plaintiff is entitled to see for himself whether any
    documents that were generated can be considered “findings” by Commission staff or between
    certain of the commissioners and staff that, in lieu of a formal set of “findings” or formal final
    report, will be recorded for posterity in the Archives as the fruits of the Commission.
    When Commission records preserved in the Archives under the PRA are made publicly
    accessible at the appointed time after the end of the Trump Administration, the documents
    themselves will represent to the public the findings and the report of the Commission. In the
    meantime, the press secretary’s statement to the public—if not also Mr. Kobach’s statements—
    takes the place of final findings and a final report. 10 Plaintiff is entitled to see any such findings,
    report, or internal characterization that was not shared with him before it became the final work
    product of the Commission. In turn, Plaintiff may respond in public, if he chooses, to any such
    10
    Defendants “have also directly followed up with Secretary Kobach . . . and requested that he not
    share with DHS or any other federal entity (except the White House) any Commission records not
    otherwise already made public during the pendency of the plaintiff’s motion. He has agreed to do
    so.” TRO Ancillary Issue Opp’n at 2; see also 
    id. at 14
    (same). But Mr. Kobach has not committed
    not to speak to the public.
    20
    work product in what may be deemed for posterity as an informal oral or written version of any
    alternative findings, or an informal concurring or dissenting report.
    The last reason for denying reconsideration is a matter of respect for the tribunal. Shutting
    down the Commission due to “endless legal battles,” Statement, The White 
    House, supra
    , and as
    part of an “option play,” TRO Mem. at 5 (quoting Tackett and 
    Wines, supra
    ) (internal quotation
    marks omitted), suggests an effort to evade this Court’s December 22, 2017, Order. Were it not
    so, the Court would have expected Defendants to pursue an interlocutory appeal, rather than
    termination of the Commission twelve days after this Court’s preliminary injunction compelling a
    document production.      They shall not be permitted to further postpone compliance with a
    preliminary injunction.
    As in Abraham discussed above, termination of the Commission should not change the
    ability of Defendants to comply. See 
    Abraham, 223 F. Supp. 2d at 184
    . Even before the Court’s
    December 22, 2017, decision, Defendants had already reviewed and organized a number of
    Commission documents pursuant to court-ordered production of a Vaughn-type index in a related
    case before this Court involving the Commission. Dunlap, 
    286 F. Supp. 3d
    at 110 (citing Vaughn-
    type index in Lawyers’ Committee for Civil Rights Under Law v. Presidential Advisory
    Commission on Election Integrity, Civil Action No. 17-1354-CKK). Moreover, Defendants
    already offered to make available some of those documents for Plaintiff’s inspection. Mem. in
    Opp’n to Pl.’s Mot. for a Prelim. Inj. Ex. G, ECF No. 30-7, at 2 (extending offer to inspect certain
    documents related to September 12, 2017, meeting). Defendants do not assert that they are no
    longer able to produce those documents or that they are unable to produce documents post-dating
    the Vaughn-type index. As discussed above, the White House records custodian’s declaration
    suggests that they are all preserved.
    21
    Defendants have not persuaded the Court that justice requires reconsideration.
    Accordingly, Defendants must produce the documents discussed in the Court’s December 22,
    2017, decision through the time of the Commission’s termination. See Dunlap, 
    286 F. Supp. 3d
    at
    108 (giving guidance as to types of documents to which Plaintiff is entitled). For the avoidance of
    doubt, the Court makes clear that such production must include relevant documents listed on the
    Vaughn-type index as well as those generated or received afterwards. 11 The covered time period
    includes relevant documents generated or received between the Court’s December 22, 2017,
    decision and the Commission’s termination. The Court has reason to believe that at least some
    such documents exist. See TRO Mem. at 8 n.11 (citing Allison Kite, Kobach Voter Integrity
    Commission, Stalled by Lawsuits, Will Meet in January, Topeka Capital-Journal (Dec. 29, 2017),
    http://cjonline.com/news/state-government/2017-12-29/kobach-voter-integrity-commission-
    stalled-lawsuits-will-meet). Plaintiff ultimately should receive relevant documents that any of the
    former commissioners generated or received. This includes material that commissioners solicited
    and subsequently received from third parties. See, e.g., TRO Ancillary Issue Opp’n at 10 n.1
    (attributing certain statistics to one such third-party submission, albeit allegedly supplied at one or
    more Commission meetings). Defendants are not obligated, however, to disclose any materials
    that were generated before the termination of the Commission but which exclusively concern
    document management after its termination. See MTR Mem. at 12.
    B. Application for Temporary Restraining Order & Ancillary Request
    In his TRO Application, Plaintiff seeks not only a further order compelling the relief
    granted by the Court’s December 22, 2017, preliminary injunction, but also additional relief
    11
    The Court does not here decide the sufficiency of the Vaughn-type index for purposes of the
    Lawyers’ Committee litigation.
    22
    stemming directly from the Committee’s dissolution.           Any necessity for a TRO is much
    diminished, however, by the Court’s denial today of Defendants’ Motion to Reconsider that
    preliminary injunction. Plaintiff’s fears, for example, that Defendants might publish a report or
    findings absent Court intervention simply have not materialized. None of the briefing of motions
    decided today—which fully ripened on February 21, 2018—identified any verifiable example of
    such report or findings since the Commission’s January 3, 2018, termination. Nor has any party
    brought such publication to the Court’s attention during the pendency of the motions decided
    today.
    Plaintiff’s fears came closest to realization when the White House Press Secretary
    announced that the Commission’s “initial findings” would be given to DHS. Statement, The White
    
    House, supra
    . But the press secretary made this statement on the very day of the Commission’s
    termination, when perhaps an assertion of findings was little more than hasty boilerplate.
    Reinforcing that possibility, the Court has observed a slightly different version of the press
    secretary’s statement that is also in the record. The version attached to Andrew Kossack’s January
    3, 2018, email informing commissioners of the dissolution of the Commission refers to the
    President in the first person as instructing DHS to “review these issues,” rather than review “initial
    findings.” TRO Ancillary Issue Mem. Ex. 1, ECF No. 42-1. While it is unclear which version of
    the statement was produced first, at the very least the discrepancy appears to signal uncertainty as
    to the existence of any findings. Mr. Kobach may have referred to some information as findings
    on or about January 3, 2018. See 
    Binder, supra
    . But as discussed above, these statements by the
    press secretary and any by Mr. Kobach are undercut by Mr. Herndon’s declaration that “[t]he
    Commission did not create any preliminary findings.” 2d Decl. of Charles C. Herndon, ECF No.
    23
    39-2, ¶ 5. And no more definitive revelations have been docketed with the Court since then. 12
    As set forth in full below, Plaintiff’s requests in his TRO Application may be summarized
    in pertinent part as follows: (1) preservation of Commission documents; (2) Plaintiff’s
    participation in Commission wind-down and document retention activities; (3) his participation in
    document transfer decisions; (4) an injunction against document transfer; (5) an injunction against
    dissemination or publication of a report or findings until Plaintiff has had an opportunity to
    respond; and (6) an order that Defendants comply with the Court’s December 22, 2017, Order.
    See Pl.’s Appl. for a TRO, ECF No. 35, at 1-2. The Court also considers here Plaintiff’s ancillary
    request to prohibit the unofficial transfer of official Commission records by former Commission
    officials. See Min. Order of Jan. 10, 2018.
    Because the Court held the TRO Application in abeyance during its consideration of the
    Motion to Reconsider, the Court did not receive an opposition from Defendants (or reply from
    Plaintiff). But the salient information is contained in other briefing. Plaintiff’s memorandum in
    support of his TRO, and the parties’ full briefing of his ancillary request, sufficiently identify the
    issues to make clear that Plaintiff is not entitled to relief. The Court therefore decides the TRO
    Application at this time.
    12
    The foregoing analysis of the likelihood of a report or findings may seem to be in some tension
    with the parallel analysis supporting the Court’s denial of Defendants’ Motion to Reconsider. But
    the Court finds no inconsistency. Uncertainties about any report or findings work against each of
    the parties as to their respective burdens in their respective motions. Defendants fail to obtain
    reconsideration due, in part, to the possibility that a draft report or informal findings are among
    the documents. Plaintiff fails to obtain a TRO due, in part, to the low likelihood that such a report
    or findings exist. In any event, Plaintiff shall soon see whether these documents are among the
    Commission records.
    24
    1. Document Management Requests
    a. Likelihood of Success
    Plaintiff’s requests collectively seek a substantial role, for himself and effectively this
    Court, in the management of documents after the termination of the Commission. He seeks a
    decision:
    (1) ordering Defendants to preserve, pending the outcome of this litigation, all
    documents and communications relating to the Commission, including but not
    limited to all documents and communications on the Vaughn-type index, all
    documents and communications regarding the decision to dissolve the
    Commission, all documents and communications regarding the disposition of
    Commission data and documents, and all documents and communications
    regarding the transfer of Commission activities and responsibilities to the
    Department of Homeland Security or any other agency, person, group, or entity;
    (2) ordering Defendants to permit Secretary Dunlap to fully participate, on an equal
    basis as any other commissioner, in all remaining Commission activities, including
    but not limited to . . . the disposal or other disposition of documents, data, and
    communications (including but not limited to all documents and communications
    listed on the Vaughn-type index) received by, generated by, or otherwise related to
    the Commission; (3) ordering Defendants to permit Secretary Dunlap’s full
    participation in discussions regarding whether and how to transfer documents, data,
    and communications (including but not limited to all documents and
    communications listed on the Vaughn-type index) received by, generated by, or
    otherwise related to the Commission to the Department of Homeland Security, any
    other agency, or any other person, group or entity; [and] (4) enjoining Defendants
    from transferring to the Department of Homeland Security or any other agency,
    person, group or entity any documents, data, and communications (including but
    not limited to all documents and communications listed on the Vaughn-type index)
    received by, generated by, or otherwise related to the Commission[.] 13
    Pl.’s Appl. for a TRO, ECF No. 35, at 1-2. In addition, Plaintiff’s ancillary request, as framed in
    his supplement to the TRO Application, is for
    [A]n order preserving the status quo by enjoining Mr. Kobach and those acting in
    concert with him from distributing Commission records (including documents on
    the Vaughn-type index) in his possession to the Department of Homeland Security
    or otherwise pending the resolution of the motion for reconsideration and the
    receipt by Secretary Dunlap of documents to which he is entitled under the Court’s
    13
    The Court separately considers below the portion of Plaintiff’s request (2) seeking participation
    in Commission wind-down activities.
    25
    December 22, 2017 Order.
    TRO Ancillary Issue Mem. at 1-2. 14 Plaintiff characterizes his request as “only seek[ing] a
    temporary injunction” pending his receipt of the documents at issue, which would equip him to
    “fully and fairly participate in ongoing discussions.” TRO Ancillary Issue Reply at 16.
    In order to assess the first of the TRO elements, the likelihood of success, the Court shall
    begin with a brief overview of the statutory and regulatory regime that applies to Commission
    documents now that the Commission has terminated. Federal regulations governing advisory
    committee records provide as follows concerning their retention:
    Official records generated by or for an advisory committee must be retained for the
    duration of the advisory committee. Upon termination of the advisory committee,
    the records must be processed in accordance with the Federal Records Act (FRA),
    44 U.S.C. Chapters 21, 29–33, and regulations issued by the National Archives and
    Records Administration (NARA) (see 36 CFR parts 1220, 1222, 1228, and 1234),
    or in accordance with the Presidential Records Act (PRA), 44 U.S.C. Chapter 22.
    41 C.F.R. § 102-3.175(e). Pursuant to Section 102-3.175(e), it is necessary to determine whether
    post-termination management of official Commission documents is subject to the FRA and NARA
    regulations, or to the PRA. The parties do not argue that the FRA and NARA regulations apply.
    But see TRO Ancillary Issue Opp’n at 13 n.5 (observing that Presidential records sent to federal
    agencies “then become federal records subject to the Freedom of Information Act”). Rather, they
    acknowledge that the PRA is applicable here. See, e.g., TRO Ancillary Issue Mem. at 6 (making
    argument about certain “Commission records subject to the Presidential Records Act”); TRO
    Ancillary Issue Opp’n at 12-13 (“The Presidential Records Act governs Presidential records
    (including, in this context, Commission records).” (citation omitted)). The Court agrees that the
    14
    Plaintiff “does not seek a gag order that would prevent any [former] commissioner from
    speaking about Commission records or about his or her experiences on the Commission.” TRO
    Ancillary Issue Mem. at 2 n.3.
    26
    entities that produced or received the documents at issue render the Commission records subject
    to the PRA.
    Documentary materials produced or received by the President, the President’s staff,
    or units or individuals in the Executive Office of the President the function of which
    is to advise or assist the President, shall, to the extent practicable, be categorized as
    Presidential records or personal records upon their creation or receipt and be filed
    separately.
    44 U.S.C. § 2203. The Commission’s charter recognized that the Commission would “provide its
    advice and recommendations to the President” and that its documents would “be maintained
    pursuant to the [PRA] and FACA.”           Charter, ECF No. 30-2, ¶¶ 5, 13.          Accordingly, the
    Commission seems to be subjected by its charter to the above-referenced PRA provision applicable
    to “units . . . in the Executive Office of the President” whose “function” is to “advise or assist the
    President.” If that were not clear, Mr. Herndon, the Director of White House Information
    Technology, has confirmed by declaration in this litigation that “[n]on-public Commission records
    will continue to be maintained as Presidential records,” while those that are public are available
    on the White House website. 2d Decl. of Charles C. Herndon, ECF No. 39-2, ¶ 5.
    Even if the Commission documents were properly associated with the Vice President,
    rather than the President, the documents would similarly be covered by the PRA’s document
    management regime. The President’s Executive Order establishing the Commission designated
    the Vice President as its chair. May 11, 2017 Exec. Order § 2. For purposes of this opinion, all
    PRA provisions applicable to the President and Presidential records are also applicable to the Vice
    President and Vice-Presidential records. See 44 U.S.C. § 2207 (drawing some distinctions not
    relevant here). Accordingly, whether official Commission documents were created or received by
    units or individuals within the EOP, or by those within the OVP, both of which are Defendants in
    this case, they would be covered by the PRA.
    27
    The Presidential Records Act defines certain records as “Presidential records” (and,
    correspondingly, “Vice-Presidential records”) subject to the categorization required above:
    The term “Presidential records” means documentary materials, or any reasonably
    segregable portion thereof, created or received by the President, the President’s
    immediate staff, or a unit or individual of the Executive Office of the President
    whose function is to advise or assist the President, in the course of conducting
    activities which relate to or have an effect upon the carrying out of the
    constitutional, statutory, or other official or ceremonial duties of the President.
    44 U.S.C. § 2201(2); see also 
    id. § 2207
    (Vice-Presidential records). The President and Vice
    President have obligations to ensure that Presidential records and Vice-Presidential records,
    respectively, are appropriately maintained:
    Through the implementation of records management controls and other necessary
    actions, the President shall take all such steps as may be necessary to assure that
    the activities, deliberations, decisions, and policies that reflect the performance of
    the President’s constitutional, statutory, or other official or ceremonial duties are
    adequately documented and that such records are preserved and maintained as
    Presidential records pursuant to the requirements of this section and other
    provisions of law.
    44 U.S.C. § 2203(a); see also 
    id. § 2207
    (Vice President’s obligations). It is clear to this Court
    that the PRA is a comprehensive regime that does not expressly afford a third party, such as
    Plaintiff, any role in the management of Presidential or Vice-Presidential records. Indeed, the
    President and Vice President are charged with taking “all . . . steps as may be necessary,” for
    preservation under the PRA, 44 U.S.C. § 2203(a) (emphasis added); 
    id. §2207 (Vice
    President), in
    conjunction with the activities of the Archivist, see 
    id. § 2203
    (c)-(g).
    Plaintiff argues that Defendants are not fulfilling their document preservation obligations
    under the PRA, among other authorities. See TRO Ancillary Issue Reply at 2-5. But the D.C.
    Circuit has generally prohibited courts in this jurisdiction from evaluating compliance with the
    PRA: “We conclude that permitting judicial review of the President’s compliance with the PRA
    would upset the intricate statutory scheme Congress carefully drafted to keep in equipoise
    28
    important competing political and constitutional concerns. We therefore hold that the PRA is one
    of the rare statutes that does impliedly preclude judicial review.” Armstrong v. Bush, 
    924 F.2d 282
    , 290 (D.C. Cir. 1991) (Armstrong I); see also Armstrong v. Exec. Office of the President, 
    1 F.3d 1274
    , 1294 (D.C. Cir. 1993) (Armstrong II) (recognizing that “the PRA impliedly precludes
    judicial review of the President’s decisions concerning the creation, management, and disposal of
    presidential records during his term of office”). The Circuit’s limited carve out from that blanket
    rule is not applicable to this case, at least at this juncture. See Armstrong 
    II, 1 F.3d at 1294
    (permitting “review [of] guidelines outlining what is, and what is not, a ‘presidential record’ to
    ensure that materials that are not subject to the PRA are not treated as presidential records”).
    Despite the Court’s inability to evaluate Defendants’ compliance with the PRA, the Court
    would be remiss to omit their representations of efforts to manage Commission documents.
    Regarding document preservation, as indicated above, certain “Commission documents and
    records remain publicly accessible on the former Commission’s public webpage,” while “[n]on-
    public Commission records will continue to be maintained as Presidential Records.” 2d Decl. of
    Charles C. Herndon, ECF No. 39-2, ¶ 5. And again, with the exception of certain administrative
    text messages, “all records reflected on the Vaughn-like index [filed in Lawyers’ Committee] have
    been preserved either physically . . . at the Executive Office of the President or on the computer
    network maintained by the Director of White House Information and Technology and his staff.”
    Decl. of Philip C. Droege, ECF No. 44-1, ¶ 3.
    As far as document transfer, “no Commission records or data will be transferred to the
    DHS or another agency, except to NARA, if required, in accordance with federal law.” 2d Decl.
    of Charles C. Herndon, ECF No. 39-2, ¶ 5. In particular, “[t]he state voter data has never been,”
    and “will not be transferred to, or accessed or utilized by, DHS or any other agency, except to
    29
    [NARA], pursuant to federal law, if the records are not otherwise destroyed.” 
    Id. ¶ 4.
    15 As with
    all of their affidavits in this case, the Court shall hold Defendants responsible for following through
    with their representations, in particular here that they will not transfer Commission records or data,
    including the state voter data. A magistrate judge handling another Commission case also was
    persuaded in part by similar representations as to state voter data. See Joyner v. Presidential
    Advisory Comm’n on Election Integrity, Case No. 17-22568-CIV-Cooke/Goodman, 
    2018 WL 1863751
    , at *1, *8-*9, *12-*13 (S.D. Fla. Feb. 6, 2018) (issuing recommendation that district
    judge deny preliminary relief of “prevent[ing] the now-terminated [Commission] and other federal
    defendants from transferring or using voter registration information and other data that the
    Commission collected or otherwise obtained from the states”).
    Defendants make separate representations specific to Plaintiff’s ancillary request,
    indicating that they have attempted to control the unofficial flow of Commission records as well.
    What defendants are doing to preserve the status quo is to request that the former
    Commission members not share Commission records with other entities. The White
    House Office of Records Management is sending all the former Commission
    members a letter requesting that they not independently transfer non-public
    Commission records to DHS or any other entity. Counsel from the White House
    Counsel’s Office has also reached out to Mr. Kobach in his personal capacity,
    requesting that he not share with the Department of Homeland Security or any other
    federal entity, other than the White House for preservation purposes, any
    Commission records not otherwise made public, during the pendency of the
    plaintiff’s motion. Secretary Kobach has agreed to that request.
    TRO Ancillary Issue Opp’n at 14. The White House has tried to collect any Commission
    documents—official or otherwise—that it does not yet have. Philip C. Droege, the Director of the
    White House Office of Records Management, has attested to such undertakings. See Decl. of
    15
    Mr. Herndon has also confirmed that “[n]o Commission member was provided access to the
    state voter data prior to the Commission’s termination and none has access now.” 2d Decl. of
    Charles C. Herndon, ECF No. 39-2, at 2.
    30
    Philip C. Droege, ECF No. 44-1, ¶¶ 3-4 (indicating that Mr. Droege would be “sending a letter to
    all former Commissioners instructing them to forward to [his] office any documents that they
    created or received regarding Commission work that they [had] not already sent to the White
    House, to include [certain] text messages” regarding “administrative topics like scheduling” that
    had not previously been collected (internal quotation marks omitted)); Subpoena Opp’n at 2-3
    (confirming that Mr. Droege sent this letter to all former commissioners, including Plaintiff and
    Mr. Kobach); Subpoena Opp’n Ex. A, ECF No. 49-1 (containing Plaintiff’s copy of
    aforementioned letter sent by Mr. Droege).
    It is true that those representations do not cover all eventualities. For example, Defendants
    make no commitments regarding documents that former commissioners may have that have not
    yet been provided to the White House. Plaintiff objects to the implications of Defendants’
    argument that former commissioners, such as Mr. Kobach, are neither party to this case any longer
    nor subject to compulsion by Defendants now that the Commission has terminated. See, e.g., TRO
    Ancillary Issue Opp’n at 3-4 (asserting that “individual former Commission members [who were
    sued only in official capacity] are no longer defendants as soon as they no longer have an official
    capacity”); TRO Ancillary Issue Reply at 3 (arguing that “the Government now takes the
    position . . . that the best the Government can do is make a non-binding and non-enforceable
    ‘request’ . . . that the individual commissioners forward documents for preservation to the White
    House”). Plaintiff also notes that Mr. Droege seems to make no representation about maintenance
    of Commission documents generated after the Vaughn-type index was filed on September 29,
    2017, in the Lawyers’ Committee litigation. See TRO Ancillary Issue Reply at 2-4; Decl. of Philip
    C. Droege, ECF No. 44-1, ¶¶ 3-4 (appearing to explain such an omission by reference to “no
    further meetings of the Commission” between its September 2017 meeting and its January 2018
    31
    termination). Plaintiff evidently fears the destruction of documents wherever Defendants have not
    expressly represented that they are ensuring preservation.
    The Court is of the view that the President and Vice President must preserve more than
    what is listed on the Vaughn-type index, which purports to represent only the entitlement of the
    public to certain Commission documents at a specific point in time. It would seem that all
    Commission materials should be provided to the Archivist, whether during or upon the conclusion
    of this Administration, with the Archivist ultimately playing a significant role in determining what
    is to be preserved and released after the end of the Trump Administration. See, e.g., 18 U.S.C.
    § 2203(f) (giving President (and Vice President) the option during Administration to entrust
    maintenance and preservation to Archivist); 
    id. § 2203
    (g) (turning all responsibility over to
    Archivist after Administration). But the Court shall opine no further, because Armstrong I
    prohibits this Court from evaluating whether the President and Vice President are fulfilling their
    obligations under the PRA with respect to Commission documents. 16
    Even if the Court were not prohibited, the Court is not persuaded that this case, at least in
    its current posture, is the appropriate vehicle for adjudicating the President’s obligations under the
    PRA to maintain Commission documents.             The operative [1] Complaint chiefly concerns
    Plaintiff’s role on the Commission. That Complaint does not—and could not at the time—make
    claims about post-termination management of Commission documents.
    For the foregoing reasons, Plaintiff is not likely to succeed on the merits of his attempt to
    16
    Because the Court finds that the President and Vice President are generally responsible for
    Commission records under the PRA, the Court need not reach Plaintiff’s arguments about the
    extent of judicial power over former commissioners who may hold some documents, or copies
    thereof. See, e.g., TRO Ancillary Issue Mem. at 4-5 (asserting that Court has authority over
    commissioners in “active concert or participation with” Defendants (quoting Fed. R. Civ. P. 65(d)
    (internal quotation marks omitted)). The Court also need not reach Defendants’ opposing
    arguments concerning, e.g., due process. See, e.g., TRO Ancillary Issue Opp’n at 10-11.
    32
    establish a right to intervene in the management of documents after the termination of the
    Commission, insofar as he seeks an order to preserve them (request (1)), a role in activities
    regarding their disposition (request (2), in pertinent part), a role in discussions about their transfer
    (request (3)), or an injunction against their transfer (request (4), and the ancillary request). Plaintiff
    was appointed to serve as a commissioner of a now-defunct commission; that appointment did not
    include an invitation to linger on afterwards—if Plaintiff thought necessary—as a de facto member
    of the White House records management team.
    One further word must be said about Plaintiff’s ancillary request. Defendants argue that
    the Court is without jurisdiction over former Commission officials, such as Mr. Kobach.
    Defendants cite a ream of cases, most of which are not persuasive authority, for the proposition
    that suit cannot proceed against a former official who was sued only in his or her official capacity.
    See TRO Ancillary Issue Opp’n at 4. The Court shall shortly consider this issue to some degree in
    the context of the Subpoena Motion, but the Court need not reach it here. The Court has resolved
    the document management requests in the TRO, including the ancillary request, on the grounds
    that Plaintiff does not have a right to insert himself into the post-dissolution management of
    Commission records, as this process is governed by the PRA. The Court need not evaluate
    Defendants’ assertion that “any dissemination [of Commission materials] by the now-
    decommissioned individuals [who formerly were Commission members] would not violate the
    Presidential Records Act or any other statute of which defendants are aware.” 
    Id. at 1.
    That is an
    issue of Defendants’ interpretation of their PRA obligations, which the Court is unlikely, under
    Armstrong I, to be permitted to address. In any event, unofficial dissemination of the defunct
    Commission’s materials is an issue not properly before this Court on the operative [1] Complaint.
    The issue of how to handle any copies of Commission documents that may reside with former
    33
    commissioners alone is likewise an issue of Defendants’ compliance with the PRA that the Court
    is not in a position to address. See TRO Ancillary Issue Reply at 4 (arguing that the United States’
    “complete ownership” of Presidential records requires that individual commissioners return their
    copies of such documents (citing 44 U.S.C. § 2202 (internal quotation marks and emphasis
    omitted))). The Court’s finding that Plaintiff has no role in the document management he seeks
    means that the Court need not separately decide whether it still has jurisdiction over certain
    individuals who may have relevant documents but purportedly are no longer Defendants.
    b. Irreparable Harm, Balance of Equities, and the Public Interest
    Plaintiff has likewise failed to persuade the Court that he should prevail on the other
    elements of the test for a TRO. The Court need not re-hash its above description of Defendants’
    obligations under the PRA and their representations of efforts to comply. When Defendants are
    charged with, inter alia, maintaining Commission records pursuant to the PRA, Plaintiff is not
    likely to sustain the irreparable harm, in the absence of a TRO, of alleged destruction of those
    documents. Nor could Plaintiff be irreparably harmed by an inability to participate in document
    management decisions, TRO Mem. at 8, when the President and Vice President, not Plaintiff, are
    charged with management of those documents.
    Plaintiff will still “‘obtain[ ] in a timely fashion information vital to the current and ongoing
    debate’ surrounding election and voter fraud,” TRO Mem. at 9 (quoting Elec. Privacy Info. Ctr. v.
    Dep’t of Justice, 
    416 F. Supp. 2d 30
    , 41 (D.D.C. 2006)), through the Court’s decision to enforce
    its preliminary injunction. Accordingly, Plaintiff’s interest in participating in public dialogue—
    assuming arguendo that such an interest is a legitimate consideration in this analysis—will be
    vindicated to the extent that the Court has found that he is entitled to some documents that would
    support that participation. This interest alone does not entitle him to the further document
    34
    management he seeks in his TRO.
    Plaintiff could be irreparably harmed if documents containing any “findings” or “report”
    were destroyed, inhibiting his ability to respond to them, as contemplated by the Court’s denial of
    Defendants’ Motion to Reconsider. But it is not plausible that any such findings or report will be
    destroyed while this litigation is pending, for at least three reasons.
    First, Defendants’ preservation initiatives are very likely to encompass any such findings
    or report, which presumably would be easily identified as Commission documents subject to
    preservation under the PRA, rather than peripheral documents at some risk of routine purge—
    absent litigation hold—or documents residing only in the possession of a former commissioner.
    See Notice of Correction to the Record, ECF No. 37, at 2 (conveying Defendants’ representation
    that “documents are being preserved in accordance with the litigation holds in place in this and
    other related litigation, and in any event are being preserved in accordance with the Presidential
    Records Act”); TRO Ancillary Issue Mem. Ex. 1, ECF No. 42-1 (containing January 3, 2018, email
    from Andrew Kossack, Designated Federal Officer for the Commission, informing members of
    Commission’s termination and reminding them of August 4, 2017, Litigation Hold Notice).
    Second, the President’s press secretary had indicated that the “initial findings” would be
    passed to DHS. Statement, The White 
    House, supra
    . Transfer entails preservation somewhere.
    And finally, the affidavit from Mr. Herndon, the Director of White House Information
    Technology, that disavows “creat[ion] [of] any preliminary findings”—limited though this
    representation may be—suggests that no official Commission findings (and, accordingly, no report
    encompassing them) exist anyway. See 2d Decl. of Charles C. Herndon, ECF No. 39-2, ¶ 5.
    Accordingly, no transfer could take place. If that were not enough, Defendants’ declaration
    confirms that no transfer to an agency (other than NARA, if necessary) will occur. 
    Id. Defendants 35
    also indicate that Mr. Kobach agrees not to make such a transfer either of any non-public
    documents in his possession. TRO Ancillary Issue Opp’n at 14. However, the Court mentions
    Mr. Kobach’s assurance only for completeness.           The Court does not rely on Defendants’
    representation of Mr. Kobach’s assent because the Court has not decided whether it still has
    jurisdiction over Mr. Kobach. Even if it did have jurisdiction, the Court has found that the
    President and Vice President—but not Plaintiff—are responsible for managing Commission
    documents pursuant to the PRA.
    The balance of equities tips in favor of Defendants as well. As a former commissioner,
    Plaintiff has a general interest in the maintenance of documents created by the former Commission.
    That interest is reinforced by the Court’s December 22, 2017, decision recognizing that Plaintiff
    is entitled to certain documents of which he has been deprived. But when it comes to management
    of documents after the Commission’s termination, Defendants have a concrete interest in
    complying with document maintenance obligations imposed by the PRA. The Court is disinclined
    to interfere with Defendants’ statutory obligations for the sake of Plaintiff’s interest, which is
    loosely connected to the Court’s own preliminary injunction. Moreover, the Court’s denial of
    Defendants’ Motion to Reconsider the preliminary injunction should vindicate the rights that
    Plaintiff does have regarding Commission documents; the scope of his legitimate interest in this
    further relief, in light of the foregoing discussion, is minimal.
    The public’s interest in this dispute is to ensure that pertinent documents concerning the
    Commission’s life and work survive to see the light of day. Defendants’ obligations under the
    PRA, coupled with their representations in this case, assure the Court that the public interest will
    be protected. The Court is not persuaded that the public interest will be better served by issuing a
    TRO that the Court does not otherwise find to be justified than by the alternative: enforcing the
    36
    Court’s preliminary injunction with its more limited scope and ultimately resolving the remainder
    of this dispute on the merits.
    The foregoing analysis demonstrates that Plaintiff has not carried his burden to prove that
    he is entitled to a TRO granting him the document management relief that he requests.
    2. Plaintiff’s Participation in Commission Wind-Down Activities
    As part of his request (2), Plaintiff seeks a Court order compelling “Defendants to permit
    Secretary Dunlap to fully participate, on an equal basis as any other commissioner, in all remaining
    Commission activities, including but not limited to the winding down of the Commission.” Pl.’s
    Appl. for a TRO, ECF No. 35, at 2. Plaintiff represents the wind-down aspect as a subcomponent
    of any “remaining Commission activities.” The Commission is no more, however, and so there
    are no further Commission activities as such. The Court considers only Plaintiff’s request
    specifically to participate in wind-down activities, and only insofar as any such activities can
    remain after dissolution of the Commission.
    Setting aside decisions about documents and data, which the Court elsewhere considers, it
    is not clear what kind of wind-down activities remain (or remained at the time Plaintiff’s TRO
    Application was filed). The Court shall not specifically fault Plaintiff where details of any such
    wind-down may reside only with Defendants, but the absence of detail does undermine his ability
    to discharge his burden.
    Plaintiff is not likely to succeed on the merits of proving that he should be allowed to
    participate in any wind-down. Just as Plaintiff’s appointment to the Commission did not entail an
    informal appointment to the White House records team after his service, so he was not informally
    deemed an official of the EOP or OVP who is now responsible for any remaining wind-down.
    Cummock did not create any such entitlement. It is unclear, too, how Plaintiff could be irreparably
    37
    harmed by depriving him of a right to participate in the wind-down of a defunct organization of
    which he is no longer a member by operation of the organization’s status. The documents are
    properly his concern, and the Court elsewhere deals with those. Defendants’ legitimate interest in
    wrapping up the affairs of the Commission in an orderly fashion clearly outweighs the interest of
    Plaintiff, now a member of the public, in intervening on some grounds.
    The public’s interest here is rather ambiguous. The Court supposes that the American
    people would be concerned more with the former Commission’s documents than with any wind-
    down that does not in some way concern those documents. The potential caveat is decisions about
    who should carry the torch, as it were, of further inquiry into election integrity. If Plaintiff is any
    indication, the public would be interested in those decisions. But the determination of whether
    DHS or another agency, if any, continues to perform work that the Commission had engaged in
    during its existence is a decision for the President, who constituted the Commission, not for the
    Plaintiff.
    Plaintiff has not established a preliminary entitlement to participate in wind-down of the
    former Commission’s affairs.
    3. Injunction Against Dissemination or Publication of a Report or Findings Until
    Plaintiff Has Had an Opportunity to Respond
    In his request (5), Plaintiff would have the Court “enjoin[ ] Defendants from disseminating
    or publishing any initial, preliminary, or final findings or report of the Commission until such time
    as Secretary Dunlap has been provided with all Commission documents to which he is entitled,
    given a meaningful opportunity to participate in deliberations that lead to the findings, and has
    been given a reasonable amount of time in which to draft comments, a concurrence, or dissent to
    the findings or report.” Pl.’s Appl. for a TRO, ECF No. 35, at 2.
    38
    Of the claims in his TRO, this one comes closest to the scenario that occurred in Cummock
    and was the concern of this Court in its December 22, 2017, Order. In each instance, a commission
    concluded without permitting a commissioner to fully participate in its proceedings along the way.
    But the crucial difference is that the Cummock commission had produced a final report before its
    doors were closed. The plaintiff commissioner had dissented from that report, but the Court of
    Appeals recognized a further right to amend her dissent upon receiving any information to which
    she was entitled but had been denied. See 
    Cummock, 180 F.3d at 286-87
    , 292-93. There is no
    published majority report here, unlike in Cummock. And it is not clear that any findings have been
    circulated either. Nor has the state data been consulted.
    Even though some type of report, or underlying findings, may lurk in the non-public
    Commission documents, the Court finds that an injunction against their dissemination or
    publication is either unnecessary, or at least still premature. See Dunlap, 
    286 F. Supp. 3d
    at 109
    (“The request to temporarily enjoin the final report is similarly premature, insofar as it assumes
    that Defendants will not provide the required documents in a timely fashion.”). First, there is no
    Commission left to carry out the Commission’s obligation to issue a report to the President. See
    May 11, 2017 Exec. Order § 3 (“The Commission . . . shall submit a report to the President . . . .”).
    Second, although Defendants did not follow through by providing the documents compelled by
    the preliminary injunction in a timely fashion, the Court today enforces their compliance. Plaintiff
    will be able to vindicate his right to fully participate by reviewing—and, if need be, responding
    to—the documents contained in Defendants’ forthcoming production. Lastly, the Court reiterates
    that, in the period since briefing concluded, the parties have not given any indication that
    Defendants may move forward with a report or findings. Accordingly, Plaintiff is not likely at this
    39
    time to succeed on the merits of a claim that he is entitled to an injunction against dissemination
    or publication of a report or findings.
    Nor is there any appreciable likelihood of irreparable harm. Defendants’ representations
    render it unlikely that Defendants have any findings or report to release, and likewise unlikely—
    recall the “endless legal battles” to which the press secretary expressly adverted—that they would
    do so pending the merits in this case, if not also in others. Plaintiff’s ability soon to consult the
    documents compelled by the Court’s December 22, 2017, preliminary injunction further
    diminishes any likelihood that he would be prejudiced by denying this additional injunction.
    Neither side of this dispute appears to have markedly greater equities here. Plaintiff’s
    desire to prevent dissemination or publication of findings or a report to which he could not fully
    contribute is a legitimate one. He still has an “interest in contributing his unique perspective” to
    the Commission to which he was appointed, and “gaining the ‘recognition and even prestige’ of
    full participation in such a commission.” Dunlap, 
    286 F. Supp. 3d
    at 110 (quoting 
    Cummock, 180 F.3d at 292
    ). But Plaintiff will have his opportunity, under the December 22, 2017, preliminary
    injunction, to review Commission documents to see whether there are any informal findings or
    draft report on which he wishes to informally comment in the public square. See TRO Mem. at
    10 (arguing that Plaintiff “is still entitled to draft and publish a ‘dissent incorporating [his] fully
    enlightened views’ responding to the statements published in the press by President Trump and
    Vice-Chair Kobach” (citing 
    Cummock, 180 F.3d at 293
    )). For their part, Defendants of course
    would want to avoid the imposition of an expansive further injunction, especially when the
    injunction which the Court shall now enforce may ultimately have the same effect. Even if
    Plaintiff’s equities were greater than Defendants’, prevailing on this prong would not make up for
    40
    Plaintiff’s inability to carry his burden as to the likelihood of success or likelihood of irreparable
    harm.
    The public’s interest would seem to lie in efficient resolution of this matter, together with
    the release of any Commission documents evidencing informal findings or a draft report. Without
    a greater showing that findings or a report likely exist, in the Court’s view the public is better
    served by avoiding duplicative orders in the interest of focusing on the document production to
    which Plaintiff is entitled.
    Plaintiff cannot discharge his burden on this claim either.
    4. Order to Comply with the Court’s December 22, 2017, Order
    Lastly, in his request (6), Plaintiff asks the Court to “order[ ] Defendants to produce without
    further delay the documents required by the Court’s December 22, 2017 Order and requested in
    Secretary Dunlap’s January 4, 2018 letter to counsel for Defendants.” Pl.’s Appl. for a TRO, ECF
    No. 35, at 2. It is not clear whether this request seeks more than the preliminary injunction entitles
    Plaintiff to, and for the reasons set forth above, Plaintiff is not likely to succeed in proving that he
    is entitled to more than that. The Court supposes that the request to “produce without further
    delay,” attempts to add some urgency to the Court’s preliminary injunction. But because the
    Court’s Order accompanying this Memorandum Opinion shall add that urgency by other means,
    Plaintiff is not likely to be irreparably harmed by denial of this request in the TRO. The balance
    of equities tilts in favor of subjecting Defendants to only one Court order pertaining to the Court’s
    December 22, 2017, Order, namely that Order itself, unburdened by this more-or-less redundant
    command. Plaintiff’s interest is served by other means, chiefly enforcement of the December 22,
    2017, preliminary injunction. The public’s interest in ensuring that the documents ordered by the
    Court are produced will be vindicated without this further command. The Court finds that Plaintiff
    41
    is not entitled to this essentially redundant preliminary relief in light of the Court’s decision to
    deny Defendants’ Motion to Reconsider the preliminary injunction. Plaintiff might in any event
    agree that such further relief is moot.
    C. Motion for Leave to Serve Subpoena
    Plaintiff seeks leave to serve a subpoena on Mr. Kobach that would require him to preserve,
    or produce at an unspecified future time, any Commission-related documents in his possession.
    Subpoena Mem. at 1, 10. It is not fully clear whether Plaintiff intends such a subpoena to apply
    solely during the pendency of Defendants’ Motion to Reconsider, or rather throughout the
    pendency of the merits of this case. See 
    id. at 6
    (arguing that “there is a strong likelihood . . . that
    the White House is not in possession of all documents to which the Court’s December 22 Decision
    applies, or which might otherwise be relevant to this litigation” (emphasis added)). Erring on the
    side of caution, the Court assumes the latter. Even upon denial of the Motion to Reconsider,
    Plaintiff presumably would be interested in the preservation of documents by Mr. Kobach,
    particularly because the Court has not decided whether Mr. Kobach remains a Defendant in this
    matter. The Court again finds the issue of Mr. Kobach’s status in this case to be not properly
    before the Court in this posture—rather than in a motion to dismiss—but the Court need not resolve
    it in order to dispose of the present motion.
    Ordinarily, the Court would consider whether Plaintiff’s request for leave to serve a
    subpoena satisfies Rule 45’s “undue burden” standard, to which Rule 26 adds additional
    limitations that are standard in the discovery context. See 
    Watts, 482 F.3d at 509
    . But Plaintiff’s
    request arrives before this Court has held an initial scheduling conference with the parties pursuant
    to Federal Rule of Civil Procedure 16(b) and discussed the parameters of discovery. Generally
    such expedited discovery is not permissible, though the Court may grant an exception. See Fed.
    
    42 Rawle Civ
    . P. 26(d) (recognizing that early discovery exceptions include court approval). The decision
    not to permit expedited discovery is, of course, also squarely within the Court’s broad discretion.
    See 
    Watts, 482 F.3d at 507
    (quoting 
    Crawford–El, 523 U.S. at 598
    ) (indicating that Rule 26 “vests
    the trial judge with broad discretion to tailor discovery narrowly and to dictate the sequence of
    discovery”). The Court shall proceed to consider Plaintiff’s purported grounds for obtaining
    expedited discovery. Only upon a finding that expedited discovery is warranted would the Court
    turn to assess under Rule 45 (and Rule 26) the burden that such discovery would impose on Mr.
    Kobach.
    At the threshold, the Court observes that the Federal Rules expressly permit a document
    production subpoena but do not provide for a document preservation subpoena. See Fed. R. Civ.
    P. 45(a)(1)(A)(iii) (including among a seemingly exhaustive list of potential subpoena contents a
    command to “produce designated documents, electronically stored information, or tangible things
    in that person’s possession, custody, or control” (emphasis added)).            Plaintiff’s argument
    effectively admits as much:
    [T]here is no reason why the authority of district courts to permit the issuance of a
    document production subpoena pursuant to Rule 45 should not also encompass the
    lesser authority to issue a document preservation subpoena where appropriate,
    which would impose a lesser burden on the third party than production.
    Subpoena Mem. at 5. Plaintiff urges the Court to bootstrap the authority of Rule 45 into permitting
    what that rule does not expressly provide, citing two strands of case law in support.
    Plaintiff’s first context for a document preservation subpoena is litigation under the Private
    Securities Litigation Reform Act (“PSLRA”). 
    Id. at 4.
    That statute requires that “all discovery
    and other proceedings shall be stayed during the pendency of any motion to dismiss [in covered
    private securities litigation], unless the court finds upon the motion of any party that particularized
    discovery is necessary to preserve evidence or to prevent undue prejudice to that party.” 15 U.S.C.
    43
    § 78u-4(b)(3)(B). But FACA contains no comparable provision for staying discovery subject to
    exceptions. Nor does this case raise the kind of concerns that prompted Congress to address
    discovery in legislation specific to securities litigation. See In re Vivendi Universal, S.A. Sec.
    Litig., 
    381 F. Supp. 2d 129
    , 129-30 (S.D.N.Y. 2003) (articulating Congress’s interest in preventing
    securities class actions that seek discovery to fish for plausible claims).
    Apart from the PSLRA context, Plaintiff offers two out-of-circuit decisions that permitted
    document preservation subpoenas. See Subpoena Mem. at 5 (citing District of Columbia v. Trump,
    No. 17-cv-1596 (D. Md. Nov. 28, 2017), ECF No. 64; Johnson v. U.S. Bank Nat’l Ass’n, 
    2009 U.S. Dist. LEXIS 120111
    , at *1 (S.D. Ohio Dec. 3, 2009)). Neither involved FACA or the PRA,
    however. And one, District of Columbia v. Trump, is a boilerplate order omitting all substantive
    reasoning entirely. Johnson, on the other hand, found that the preservation subpoena was
    warranted under a good cause standard, in a case in which the operations of the third party at issue
    had been dormant for more than three years. Johnson, 
    2009 U.S. Dist. LEXIS 120111
    , at *1
    (reciting the plaintiff’s concern that “critical records and databases [could be] destroyed, lost, or
    otherwise despoiled”). The specific target of Plaintiff’s Subpoena Motion, Mr. Kobach, is not an
    institutional entity as in Johnson, nor is Mr. Kobach—in contrast with the Commission—
    “dormant” in a comparable way. Nevertheless, below the Court shall evaluate, under the standards
    applicable in this jurisdiction, whether Plaintiff is entitled to expedited discovery based on his
    concern that Mr. Kobach could destroy documents.
    That said, resolution of Plaintiff’s request should not require much more than the principles
    articulated elsewhere in this Opinion. Now that the Commission has been terminated, the
    disposition of Commission documents is generally governed by the PRA, which for present
    purposes is beyond the scope of judicial review. Commission documents are also subject to the
    44
    Court’s December 22, 2017, preliminary injunction, of course, which impliedly requires document
    preservation to facilitate compliance.     If any Commission documents have been destroyed
    following the issuance of that preliminary injunction, and if the Court determines that Plaintiff was
    entitled to such documents under the injunction, then Defendants could well be subject to a finding
    of contempt for failure to comply with obligations created by that injunction. 17 Defendants,
    particularly the EOP and OVP, would be wise to do all within their power to preserve documents
    in accordance with the PRA and the December 22, 2017, preliminary injunction. If they are not
    confident that they can comply through the combination of efforts that they have represented to
    the Court, then they ought to go further, e.g., to issue a subpoena of their own to the individual
    former commissioners. Perhaps their proposal of replevin could be appropriate as well. See TRO
    Ancillary Issue Opp’n at 13 (citing, e.g., Jackson v. United States, 
    248 F. Supp. 3d 167
    , 170 n.2
    (D.D.C. 2017)).
    With this in mind, the Court shall consider the two tests for expedited discovery that courts
    in this Circuit have typically applied when determining whether to grant a request for expedited
    discovery: the Notaro test and a reasonableness, or good cause, test. See, e.g., Disability Rights
    Council of Greater Wash. v. Wash. Metro. Area Transit Auth., 
    234 F.R.D. 4
    , 6 (D.D.C. 2006)
    (describing these as the “commonly recognized approaches”).           Plaintiffs seeking expedited
    discovery under the Notaro test should prove
    (1) irreparable injury, (2) some probability of success on the merits, (3) some
    connection between the expedited discovery and the avoidance of the irreparable
    injury, and (4) some evidence that the injury that will result without expedited
    discovery looms greater than the injury that the defendant will suffer if the
    expedited relief is granted.
    17
    Any argument that Defendants should be absolved by virtue of seeking reconsideration of that
    injunction would not obviate their obligation to preserve documents in the event that
    reconsideration were denied, as it now has been.
    45
    Notaro v. Koch, 
    95 F.R.D. 403
    , 405 (S.D.N.Y. 1982).            Courts applying the more lenient
    reasonableness test evaluate the “reasonableness of the request in light of all of the surrounding
    circumstances.” Guttenberg v. Emery, 
    26 F. Supp. 3d 88
    , 98 (D.D.C. 2014) (quoting In re Fannie
    Mae Derivative Litig., 
    227 F.R.D. 142
    , 142-43 (D.D.C. 2005)) (internal quotation marks omitted).
    Colleagues in this Circuit have recently found that the reasonableness “approach [is] more
    suited to the application of the Court’s broad discretion in handling discovery,” 
    id. at 97-98,
    than
    the older Notaro approach adapted from the preliminary injunction standard, 
    Notaro, 95 F.R.D. at 405
    n.4. See also Legal Tech. Grp., Inc. v. Mukerji, Civil Action No. 17-631 (RBW), 
    2017 WL 7279398
    , at *2 (D.D.C. June 5, 2017) (opting for reasonableness standard); Attkisson v. Holder,
    
    113 F. Supp. 3d 156
    , 161-62 (D.D.C. 2015) (same); True the Vote, Inc. v. IRS, No. 13-734 (RBW),
    
    2014 WL 4347197
    , at *7 (D.D.C. Aug. 7, 2014) (same). An inexhaustive set of guidelines for the
    reasonableness inquiry includes: “(1) whether a preliminary injunction is pending; (2) the breadth
    of the discovery requests; (3) the purpose for requesting the expedited discovery; (4) the burden
    on the defendants to comply with the requests; and (5) how far in advance of the typical discovery
    process the request was made.” 
    Guttenberg, 26 F. Supp. 3d at 98
    (quoting In re Fannie Mae
    Derivative 
    Litig., 227 F.R.D. at 142-43
    ) (internal quotation marks omitted). This Court likewise
    adopts the reasonableness test, recognizing that it is not only more consonant with the Court’s
    discretion in discovery matters in general but also more consistent with the good cause standard
    for issuing a protective order, an arguably analogous context. See Fed. R. Civ. P. 26(c)(1).
    Whether the Court contemplates a document preservation subpoena or, in the alternative,
    a document production subpoena, the reasonableness inquiry is largely the same, though the Court
    shall differentiate as needed. First, the preliminary injunction entered on December 22, 2017,
    militates against a further order compelling document preservation or production. The Court’s
    46
    enforcement of this injunction in short order shall ensure that the documents to which Plaintiff is
    entitled are furnished by Defendants.
    Plaintiff’s sprawling list of nineteen specific document categories likely would render
    compliance with this subpoena rather difficult, even assuming Mr. Kobach has diligently
    maintained the documents at issue. See List of Documents to Be Preserved and/or Produced
    Pursuant to Subpoena, ECF No. 48-6, at 3-5. And it is not clear that Plaintiff even would be
    entitled to all of the documents that he seeks to subpoena. For example, he may not be entitled to
    all of the “Documents concerning . . . how Documents should be treated upon the Commission’s
    closure or termination,” 
    id. at 5,
    if some of those documents concern the President’s or Vice
    President’s document management obligations under the PRA.
    While Plaintiff wants this subpoena to prevent document destruction, it is not clear that he
    has anything substantial to fear. Plaintiff evidently presumes that some Commission documents
    reside with Mr. Kobach, or others, that have not been collected by the President’s or Vice
    President’s records management staff. See Subpoena Mem. at 6 (“[T]here is a strong likelihood—
    undisputed by DOJ—that the White House is not in possession of all documents to which the
    Court’s December 22 Decision applies, or which might otherwise be relevant to this litigation.”).
    But see Subpoena Opp’n at 2 (describing Defendants’ September 2017 records collection efforts).
    Plaintiff would have to believe that Mr. Kobach did not comply with PRA training in July 2017 in
    which the commissioners were “instructed to copy the Commission’s former Designated Federal
    Officer [Andrew Kossack], or the Commission’s email account, on all communications.”
    Subpoena Opp’n at 2. Plaintiff’s motion further assumes that Mr. Kobach will not comply with
    litigation holds in this and related litigation. See Notice of Correction to the Record, ECF No. 37,
    at 2; TRO Ancillary Issue Mem. Ex. 1, ECF No. 42-1. And Plaintiff’s request also assumes that
    47
    Mr. Kobach will not forward his documents to the records management staff as they requested
    after the Commission’s termination. 18 See Decl. of Philip C. Droege, ECF No. 44-1, ¶¶ 3-4
    (describing this plan); Subpoena Opp’n at 2-3 (confirming that letter was sent); Subpoena Opp’n
    Ex. A, ECF No. 49-1 (containing Plaintiff’s copy of this letter). This series of assumptions sallies
    beyond reasonableness.
    The Court is aware that Mr. Kobach’s reputation for candor to the tribunal and compliance
    with its orders is less than sterling. See Subpoena Mem. at 7-8 (citing Fish v. Kobach, 
    267 F. Supp. 3d
    1297, 1303 (D. Kan. 2017) (upholding sanctions against Mr. Kobach, in capacity as Secretary
    of State for the State of Kansas, for misleading statements to magistrate judge), appeal dismissed,
    No. 17-3161, 
    2017 WL 7065741
    (10th Cir. Aug. 30, 2017)); Fish v. Kobach, 
    294 F. Supp. 3d 1154
    ,
    1168-69 (D. Kan. 2018) (granting motion for contempt and imposing sanctions against Secretary
    Kobach for his failure to ensure compliance with court orders), appeal dismissed, No. 18-3094
    (10th Cir. May 22, 2018); Fish v. Kobach, Case Nos. 16-2105-JAR-JPO, 15-9300-JAR-JPO, 
    2018 WL 3017768
    , at *55 (D. Kan. June 18, 2018) (imposing further sanction for Secretary Kobach’s
    “pattern and practice . . . of flaunting disclosure and discovery rules”). But the Court is not
    prepared to assume that Mr. Kobach would disregard the White House’s requests when other
    Defendants—and he too, if the Court finds that he remains a Defendant—are at risk of contempt
    if they irresponsibly lose documents to which the Court finds that Plaintiff was entitled under the
    December 22, 2017, Order. Should it come to light that Mr. Kobach has Commission documents
    that he has not provided to other Defendants, and that other Defendants do not have their own
    18
    Defendants also represent that Mr. Kobach “has already sent a number of records to the former
    Commission.” Subpoena Opp’n at 10. But, as Plaintiff observes, it is unclear whether he sent
    those pursuant to the Commission’s September 2017 records collection effort, during the
    remaining life of the Commission, or in response to the latest collection efforts. Subpoena Reply
    at 6 n.3.
    48
    copies of such documents, then Plaintiff may seek further relief from this Court as appropriate.
    The burden of compliance with this subpoena could be significant. That burden might not
    fall on Defendants, per se, as Guttenberg suggests that the Court consider. But for these purposes,
    it is appropriate to consider the potential burden on Mr. Kobach himself, whether or not he remains
    a Defendant. Mr. Kobach would have to go to the effort of ensuring that every document
    responsive to all nineteen of Plaintiff’s categories is safeguarded for preservation or production.
    Plaintiff’s subpoena would further burden Mr. Kobach because its boilerplate definitions are
    expansive. They dictate that the term “Document(s)” be interpreted “in the broadest possible sense
    as interpreted under the Federal Rules of Civil Procedure . . . whether in hard copy, handwritten,
    printed, electronic, or other form.” List of Documents to Be Preserved and/or Produced Pursuant
    to Subpoena, ECF No. 48-6, at 1 (emphasis added). Actual production of those documents, if the
    Court granted the Subpoena Motion in that form, would entail further time and expense. Even
    though Plaintiff has offered to permit Mr. Kobach to produce the documents at a later date in such
    a circumstance, Subpoena Mem. at 10, Mr. Kobach still would have to shoulder the burden of
    isolating all documents that may be responsive to Plaintiff’s request.
    And this request comes well in advance of typical discovery. Defendants have yet to file a
    response to Plaintiff’s [1] Complaint. See Min. Order of Jan. 10, 2018 (staying this obligation
    until further order). It is unknown whether the Court shall be able to proceed shortly upon
    Defendants’ filing of an answer or whether the Court shall need to entertain briefing of a motion
    to dismiss.
    The Court finds that, for the manifold reasons above, Plaintiff has not carried his burden
    of persuading the Court that it would be reasonable to grant expedited discovery in the form of
    leave to serve a subpoena on Mr. Kobach.
    49
    D. Request for Stay Pending Appeal
    As part of their Motion to Reconsider, Defendants seek a stay pending a possible appeal if
    the decision is not in their favor. MTR Mem. at 12-13. Presumably their request would fall within
    the scope of Rule 62(c) if they had already filed their appeal. See Fed. R. Civ. P. 62(c) (“While an
    appeal is pending from an interlocutory order . . . that grants . . . an injunction, the court may
    suspend . . . an injunction . . . .”). They argue that permitting Plaintiff now to have the documents
    at issue would effectively prohibit Defendants from seeking appellate review of this decision. 
    Id. (citing, e.g.,
    People for the Am. Way Found. v. U.S. Dep’t of Educ., 
    518 F. Supp. 2d 174
    , 177
    (D.D.C. 2007) (citing John Doe Agency v. John Doe Corp., 
    488 U.S. 1306
    , 1308-09 (1989)
    (Marshall, J., in chambers))). But neither side adequately briefs the application of the basic four-
    factor standard for a stay pending appeal. See 
    Cuomo, 772 F.2d at 974
    . Accordingly, the Court
    forges ahead with its application of that Cuomo standard largely based on its own examination of
    the relevant authorities.
    First, Defendants have not sustained their burden to prove a likelihood of success on
    appeal. In its December 22, 2017, decision, the Court found that Cummock entitles Plaintiff to the
    documents at issue. Today the Court has determined that dissolution of the Commission does not
    entitle Defendants to reconsideration of the preliminary injunction. It follows from those two
    decisions that the Court views Defendants as unlikely to succeed on appeal. It is true that a “serious
    legal question” could help tip the scales on this factor when the likelihood of success on appeal is
    low. See 
    Al–Anazi, 370 F. Supp. 2d at 193
    & n.5. But that option is available only where the
    movants would otherwise prevail on the harm prong, see 
    id., which the
    Court shall find below is
    not the case here. See also In re Special Proceedings, 
    840 F. Supp. 2d 370
    , 372 (D.D.C. 2012)
    (citing, e.g., Holiday Tours, 
    Inc., 559 F.2d at 844
    ) (finding that “serious legal question” standard
    50
    replaces likelihood of success on the merits “only when the other three factors tip sharply in the
    movant’s favor”). The fact that the likelihood of success and irreparable harm prongs are subject
    to a sliding scale, see 
    Cuomo, 772 F.2d at 974
    , does not, of course, mean that the movants can
    avoid the conclusion that they failed to adequately prove both of them.
    Defendants argue that enforcement of the preliminary injunction before they could seek
    appellate review would work irreparable damage, MTR Mem. at 13, but their reasoning appears
    to apply, at most, to only a subset of the documents at issue. Of note, Defendants say nothing
    about any privileged, classified, or otherwise sensitive documents in the portion of their Motion to
    Reconsider requesting a stay pending appeal. See supra note 6 (citing 
    Cummock, 180 F.3d at 293
    (Rogers, J., concurring)). Rather, Defendants elsewhere point to the “sensitive and privileged
    information” contained in “forward-looking documents related to the disposition of data collected
    by a now-dissolved Commission.” MTR Mem. at 12 (asserting that Plaintiff’s “request would
    insert a non-federal employee into sensitive internal government discussions about the proper
    disposition of records in compliance with federal law, and may also touch upon internal security
    practices and litigation-related obligations”); see also MTR Reply at 9. But these are not the kinds
    of documents to which the Court found Plaintiff to be entitled in the Court’s December 22, 2017,
    decision, nor in today’s decision to deny reconsideration of it. Evidently some documents pre-
    dating the Commission’s termination are privileged as well. See, e.g., TRO Ancillary Issue Opp’n
    at 12 n.4 (“Some documents on the Vaughn-like index are clearly privileged (i.e., internal
    discussion with counsel), but there is no indication that former Commissioners are in possession
    of any such documents, with the possible exception of litigation-related documents sent to Mr.
    Kobach in his former capacity as Vice Chair.”). But Plaintiff appears not to seek those privileged
    documents. ECF No. 46-3, app. A at 12 (disclaiming Plaintiff’s interest in entries on Vaughn-type
    51
    index consisting of “[l]itigation-related documents exchanged between named defendants and
    DOJ”). Plaintiff is entitled only to the documents discussed in the Court’s December 22, 2017,
    decision, which did not contemplate documents concerning post-termination records management.
    See Dunlap, 
    286 F. Supp. 3d
    at 108. Defendants likewise should not be disturbed by Plaintiff’s
    effort, in his TRO Application, to participate in document management decisions, as the Court has
    denied that relief. Moreover, as the Court has permitted above, Defendants may withhold
    documents generated before the termination of the Commission that exclusively concern document
    management after its termination. That limited carve out would appear to encompass all of the
    documents about which Defendants have presently expressed specific concerns.
    Defendants’ failure to argue that any other documents are sensitive is consistent with prior
    proceedings in this case: Defendants already offered, prior to the Court’s December 22, 2017,
    decision, to make certain documents available for Plaintiff’s in-person review. See Dunlap, 
    286 F. Supp. 3d
    at 103-04 (“Defendants offered to permit Plaintiff to inspect, in person, documents
    related to the September 12, 2017, meeting [of the Commission], but he would not be provided
    with copies, nor would he be permitted to take notes.”). Their willingness to let Plaintiff see certain
    documents, absent a court order compelling them to do so, suggests that Defendants are not
    concerned about their content. If Defendants were in fact concerned about the content of other
    documents that they did not offer to show Plaintiff, then it would have behooved them to say so in
    briefing the Motion to Reconsider. The Court presumes that Defendants are troubled, not about
    the content of documents they did not address, but rather by the Court’s finding, on December 22,
    2017, that Plaintiff has a right to certain Commission documents.
    If Defendants truly are concerned only about the precedential effect of a finding that
    Plaintiff is entitled to documents under Cummock, then the delivery of those documents pending
    52
    appeal would not work any irreparable injury. A finding by the Court of Appeals that Plaintiff is
    not entitled to the documents would remedy Defendants’ legal concern by establishing the
    precedent they desire. In such an event, Plaintiff could simply be required to return the documents
    to Defendants for lack of entitlement to them. The Court can only speculate as to putative harms
    that the Defendants could suffer in the meantime—e.g., responding to comments that Plaintiff may
    make to the press—but finds it unlikely that any such “harms” would be irreparable.
    The Court also finds that release of the documents would not moot any appeal, as
    Defendants’ conclusory citations are meant to suggest. See MTR Mem. at 12-13. In Church of
    Scientology of California v. United States, the Supreme Court considered whether the delivery of
    copies of certain tape recordings to the IRS during the litigation mooted an appeal of the district
    court order compelling the tapes to be delivered. 
    506 U.S. 9
    , 10-12 (1992). The applicable
    standard was whether the appellate court could “grant ‘any effectual relief whatever’ to a
    prevailing party.” 
    Id. at 12
    (citing Mills v. Green, 
    159 U.S. 651
    , 653 (1895)); see also Sierra Club
    v. U.S. Army Corps of Engineers, 
    803 F.3d 31
    , 43 (D.C. Cir. 2015) (finding that availability of
    some effectual relief under Church of Scientology standard precluded mootness). Even after
    delivery of the tapes, the appellate court could grant some relief, the Supreme Court found:
    While a court may not be able to return the parties to the status quo ante—there is
    nothing a court can do to withdraw all knowledge or information that IRS agents
    may have acquired by examination of the tapes—a court can fashion some form of
    meaningful relief in circumstances such as these. Taxpayers have an obvious
    possessory interest in their records. When the Government has obtained such
    materials as a result of an unlawful summons, that interest is violated and a court
    can effectuate relief by ordering the Government to return the records. Moreover,
    even if the Government retains only copies of the disputed materials, a taxpayer
    still suffers injury by the Government’s continued possession of those materials,
    namely, the affront to the taxpayer’s privacy. A person’s interest in maintaining the
    privacy of his “papers and effects” is of sufficient importance to merit constitutional
    protection. Indeed, that the Church considers the information contained on the
    disputed tapes important is demonstrated by the long, contentious history of this
    litigation. Even though it is now too late to prevent, or to provide a fully satisfactory
    53
    remedy for, the invasion of privacy that occurred when the IRS obtained the
    information on the tapes, a court does have power to effectuate a partial remedy by
    ordering the Government to destroy or return any and all copies it may have in its
    possession. The availability of this possible remedy is sufficient to prevent this case
    from being moot.
    
    Id. at 12
    -13 (final emphasis added; footnotes omitted). As in Church of Scientology, so upon any
    successful appeal in this case, the Court of Appeals could still craft a remedy that grants some
    relief to Defendants. At the very least, Plaintiff could be compelled to return all copies of
    documents provided to him in compliance with the Court’s preliminary injunction. While there
    may not be a privacy interest comparable to Church of Scientology, that case articulated a second
    interest—the taxpayer’s “obvious possessory interest”—that has an analogue here. If the Court of
    Appeals were to order Plaintiff to return Commission documents to Defendants, that would seem
    to vindicate an obvious possessory interest in Commission documents that the President and Vice
    President, and by extension, Defendants EOP and OVP, are required to maintain pursuant to the
    PRA. Church of Scientology is clear that even if Plaintiff retains some knowledge or information
    derived from the documents that he is provided, that is not enough to render wholly ineffectual the
    relief of returning the documents. Because this situation is analogous to the Supreme Court’s
    decision in Church of Scientology, the Court finds strong authority that delivery of the documents
    in this case would not moot any appeal of the Court’s preliminary injunction.
    The harm to Plaintiff of a stay pending appeal is the harm of further delaying the limited
    means—under the Court’s preliminary injunction—by which he can still vindicate his right to fully
    participate in the Commission. The Court shall not recapitulate here its description of the kind of
    informal alternative findings or informal concurring or dissenting report that he may choose to
    issue to the public. Plaintiff would have received the documents necessary to vindicate that right
    shortly after December 22, 2017, had the Court not needed to decide the Motion to Reconsider. If
    Defendants had promptly delivered the documents, then much of the separate relief that Plaintiff
    54
    sought—in the form of the TRO, ancillary request, and subpoena—could have been prevented too.
    That said, if Defendants are merely required to show that “issuance of the stay will not cause
    substantial harm” to Plaintiff, United States v. Philip Morris Inc., 
    314 F.3d 612
    , 617 (D.C. Cir.
    2003) (citing Holiday Tours, 
    Inc., 559 F.2d at 843
    ) (emphasis added), then perhaps Defendants
    can discharge their burden on this prong. But Defendants never directly address the harm that
    Plaintiff would sustain if the Court’s decision were stayed. See MTR Mem. at 13 (asserting only
    that “any injury to the plaintiff . . . would be significantly diminished relative to his previous
    posture where the Commission remained in existence”); MTR Reply at 10 (arguing simply that
    “the balance of equities[ ] cut[s] in favor of the defendants”). And in any event, Defendants would
    need to succeed on more than this one prong.
    Defendants offer no specific analysis of the public interest factor either. See 
    id. The public
    interest seems to lie in the efficient resolution of litigation concerning the now-defunct
    Commission. By facilitating the provision of the documents at issue, today’s decision moves the
    Court and parties one step closer to identifying what remains to resolve via this litigation.
    In the end, the Court’s decision to issue a stay is a matter for the Court’s inherent discretion,
    which can be triggered only in exceptional circumstances. See Air Line Pilots Ass’n v. Miller, 
    523 U.S. 866
    , 879 n.6 (1998) (citing Landis v. N. Am. Co., 
    299 U.S. 248
    , 254-55 (1936)); Clinton v.
    Jones, 
    520 U.S. 681
    , 706 (1997) (“The District Court has broad discretion to stay proceedings as
    an incident to its power to control its own docket.”); 
    Landis, 299 U.S. at 255
    (requiring movant to
    prove “a clear case of hardship or inequity in being required to go forward, if there is even a fair
    possibility that the stay for which he prays will work damage to some one [sic] else”). The Court
    shall not permit Defendants to have what amounts to a Trojan Horse for re-litigating the Court’s
    December 22, 2017, preliminary injunction and the Court’s decision herein to deny reconsideration
    55
    of it. The Court granted Plaintiff a preliminary injunction—which Defendants did not appeal,
    whether before or after the Commission’s termination—and Plaintiff is entitled now to the benefits
    of it. If Defendants appeal this decision, then they may seek expedited relief from the Court of
    Appeals. See Fed. R. App. P. 8(a)(1)(A), (2)(A)(ii); see also Fed. R. Civ. P. 62(g) (recognizing
    that appellate court may issue stay pending appeal). Moreover, depending on the scope of that
    appeal, it may trigger an automatic stay of certain proceedings in this Court pending its resolution.
    See Loumiet v. United States, Civil Action No. 12-1130 (CKK), 
    2018 WL 2694448
    , at *2 (D.D.C.
    June 5, 2018) (Kollar-Kotelly, J.) (citing Griggs v. Provident Consumer Discount Co., 
    459 U.S. 56
    , 58 (1982) (per curiam); United States v. DeFries, 
    129 F.3d 1293
    , 1302 (D.C. Cir. 1997))
    (recognizing that appeal triggers stay as to claims on appeal). An answer or motion to dismiss
    may remain within the boundaries of proceedings that this Court still could facilitate during appeal
    of its preliminary injunction. And, in any event, the welter of requests that the Court decides today
    renders it unclear how the parties will choose to proceed. Defendants have not made out the “clear
    case of hardship or inequity” that would be required to warrant a stay. 
    Landis, 299 U.S. at 255
    .
    IV.    CONCLUSION
    For all of the foregoing reasons, the Court hereby
    DENIES Plaintiff’s [35] Application for a Temporary Restraining Order;
    DENIES Defendants’ [39] Motion to Reconsider This Court’s December 22, 2017,
    Order, including Defendants’ request for a stay of this decision pending their determination of
    whether to appeal, as well as during any appeal, subject to any finding that the Court lacks
    jurisdiction over aspects of the case under consideration by the D.C. Circuit; and,
    in an exercise of the Court’s discretion, DENIES Plaintiff’s [48] Motion for Leave to
    Serve a Preservation Subpoena.
    56
    Plaintiff is entitled under Cummock v. Gore, 
    180 F.3d 282
    , to the preliminary relief
    guaranteed by the Court’s December 22, 2017, Order, as further clarified in this Memorandum
    Opinion, but not to anything more at this time. Defendants must produce the relevant documents
    by no later than JULY 18, 2018.
    The parties shall submit a Joint Status Report by no later than JULY 27, 2018, indicating
    how they propose to proceed on the merits.
    An appropriate Order accompanies this Memorandum Opinion.
    Dated: June 27, 2018
    /s/
    COLLEEN KOLLAR-KOTELLY
    United States District Judge
    57
    

Document Info

Docket Number: Civil Action No. 2017-2361

Judges: Judge Colleen Kollar-Kotelly

Filed Date: 6/27/2018

Precedential Status: Precedential

Modified Date: 6/27/2018

Authorities (36)

Microsoft Corp. v. United States , 162 F.3d 708 ( 1998 )

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Cummock, M. Victoria v. Gore, Albert , 180 F.3d 282 ( 1999 )

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United States v. DeFries, Clayton E. , 129 F.3d 1293 ( 1997 )

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Davis v. Pension Benefit Guaranty Corp. , 571 F.3d 1288 ( 2009 )

Gordon v. Holder , 632 F.3d 722 ( 2011 )

Sherley v. Sebelius , 644 F.3d 388 ( 2011 )

PETTIES EX REL. MARTIN v. District of Columbia , 662 F.3d 564 ( 2011 )

Washington Metropolitan Area Transit Commission v. Holiday ... , 559 F.2d 841 ( 1977 )

mario-m-cuomo-governor-of-the-state-of-new-york-and-county-of-suffolk-v , 772 F.2d 972 ( 1985 )

scott-armstrong-gary-m-stern-eddie-becker-national-security-archive-center , 1 F.3d 1274 ( 1993 )

natural-resources-defense-council-sierra-club-environmental-integrity , 489 F.3d 1250 ( 2007 )

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Securities & Exchange Commission v. Bilzerian , 729 F. Supp. 2d 9 ( 2010 )

Ficken v. Golden , 696 F. Supp. 2d 21 ( 2010 )

Singh v. George Washington University , 383 F. Supp. 2d 99 ( 2005 )

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