Spurling v. United States Department of Justice ( 2019 )


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  •                            UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    _________________________________________
    )
    LEO CORNELIUS SPURLING,                   )
    )
    Plaintiff,              )
    )
    v.                                  )                  Civil Action No. 17-0780 (RBW)
    )
    U.S. DEPARTMENT OF JUSTICE,               )
    )
    Defendant.              )
    _________________________________________ )
    MEMORANDUM OPINION
    The plaintiff, a prisoner at the Kentucky State Penitentiary, brings this action under the
    Freedom of Information Act (“FOIA”), see 5 U.S.C. § 552 (2016), to obtain records maintained
    by the Federal Bureau of Investigation (“FBI”), a component of the United States Department of
    Justice (“DOJ”). This matter is before the Court on the parties’ cross-motions for summary judg-
    ment. For the reasons discussed below, the Court grants summary judgment for the defendant.
    I. BACKGROUND
    A. The Murder of Glenn Burks
    “On April 29, 1988, Glenn Burks, a prisoner at the Kentucky State Penitentiary was
    killed.” Plaintiff’s Response to Defendant’s Motion for Summary Judgment with Submission of
    a Cross Motion for Summary Judgment (ECF No. 31, “Pl.’s Opp’n”) at 8 ¶ 12.1 Burks was
    1
    The plaintiff’s opposition to the defendant’s summary judgment motion (pages 1-64), cross-
    motion (pages 64-70), and statement of material facts (pages 1-22 as designated by the plaintiff,
    and pages 73-94 designated by CM/ECF) are filed on the docket in a single document (ECF No.
    31). Some, but not all text of the plaintiff’s opposition, is presented in sequentially numbered
    paragraphs. Citations to the plaintiff’s opposition will include the page number and, where ap-
    plicable, the paragraph number designated by the plaintiff.
    1
    black, and the plaintiff, who is white, allegedly was a member of the Aryan Brotherhood. The
    plaintiff was indicted for Burks’ murder, 
    id. at 8
    ¶ 13, and plead not guilty, 
    id. at 9
    ¶ 18. At his
    trial, the plaintiff testified on his own behalf, 
    id. at 10
    ¶ 25, and presented “alibi witness[es] . . .
    and impeachment witnesses . . . against the Commonwealth’s witnesses,” 
    id. at 9
    ¶ 20, one of
    whom “actually confessed to killing Glenn Burks,” 
    id. at 9
    ¶ 20. Nevertheless, a jury found the
    plaintiff guilty. The plaintiff characterized the jury’s verdict as “the outcome of a swearing con-
    test between convicts” who testified at his trial. 
    Id. at 10
    ¶ 26.
    Upon his conviction, the court imposed a 150-year term of imprisonment. Plaintiff’s
    Statement of Disputed and Undisputed Material Facts (ECF No. 31, “Pl.’s SMF”) ¶ 11. This
    sentence was designated to be served consecutively to the “two . . . life sentences he was already
    serving for prior murder convictions[.]” Memorandum of Points and Authorities in Support of
    Defendant’s Motion for Summary Judgment (ECF No. 27-1, “Def.’s Mem.”), Declaration of Da-
    vid M. Hardy (ECF No. 27-3, “Hardy Decl.”) ¶ 28. One of the prior life sentences has now been
    set aside, and the plaintiff was resentenced to a 20-year term of imprisonment. Pl.’s SMF ¶ 11;
    see 
    id., Exhibit (“Ex.”)
    1 (Amended Judgment of Conviction and Sentence). According to the
    defendant, the plaintiff is not eligible for release until September 1, 2176. Hardy Decl. ¶ 28; see
    Pl.’s SMF, Ex. 2 (Resident Record Card).
    In June 2016, the plaintiff filed a Motion for DNA Testing to Support a Claim of Actual
    Innocence. Pl.’s Opp’n at 11 ¶ 31. In those proceedings conducted in the Lyon Circuit Court, 
    id. at 13
    ¶ 34, in Kentucky, 
    id. at 14
    ¶ 36, the plaintiff obtained a copy of a Kentucky State Police
    file where he found a document “indicat[ing] that at some point during the criminal proceedings .
    . . the FBI, through L.V. McGinty[,] became involved” in the Burks case. 
    Id. at 13
    (page number
    2
    designated by the plaintiff) ¶ 40. The plaintiff also obtained the names of three prisoners who
    provided testimony that other prisoners – not the plaintiff – killed Burks. See 
    id., Ex. L.
    B. Escape from the Kentucky State Penitentiary
    On June 16, 1988, the plaintiff and seven other prisoners “successfully escaped from a
    maximum security area of the Kentucky State Penitentiary [(KSP)].” Pl.’s Opp’n at 9 ¶ 14; see
    
    id., Ex. A
    at 3. The plaintiff has submitted excerpts from two published court opinions, see 
    id., Exs. A-B,
    further describing the escape:
    In the early morning hours of June 16, 1988, eight men successfully
    escaped from the Kentucky State Penitentiary at Eddyville, Ken-
    tucky. The eight escaped convicts were identified as [James Blan-
    ton], Derrick Quintero, William Hall, Joseph Montgomery, Ronnie
    Hudson, Bobby Sherman, Leo Sperling and Floyd Cook. Sherman
    was apprehended on June 17, 1988. Sperling and Cook were appre-
    hended on June 18, 1988. Montgomery and Hudson were seen in
    Lebanon, Kentucky, on June 19, 1988, and captured in Kentucky on
    June 22, 1988. Hall was captured in July of 1988. [Blanton] and
    Quintero were captured shortly after Hall’s apprehension.
    State v. Blanton, 
    975 S.W.2d 269
    , 271 (Tenn. 1998). Prior to their capture, Hall, Quintero and
    Blanton committed two murders:
    Three of the eight escaped prisoners, Billy Hall, Derrick Quintero
    and James Blanton, traveled together to Stewart County, Tennessee,
    fifty miles from the prison, where they brutally murdered Buford
    and Myrtle Vester . . . . Buford Vester was shot from an outside
    window. Myrtle Vester was shot once with a high powered rifle,
    was shot again at close range with a sawed-off shotgun, and was
    stabbed repeatedly in the neck and chest. Following a trial by jury,
    Hall, Quintero and Blanton were each found guilty of the murders
    of Buford and Myrtle Vester and sentenced to death.
    Commonwealth of Kentucky, Corrections Cabinet v. Vester, 
    956 S.W.2d 204
    , 204 (Ky. 1997), as
    modified on denial of reh’g (Nov. 20, 1997), and holding modified by Gaither v. Justice & Pub.
    Safety Cabinet, 
    447 S.W.3d 628
    (Ky. 2014)
    3
    According to the plaintiff, he “was singled out and charged with the [Burks] murder . . .
    in retaliation for his role in the escape[.]” Pl.’s Opp’n at 10 ¶ 25. The plaintiff “was tried and
    convicted for his participation in the 1988 prison escape.” 
    Id. at 11
    ¶ 28. He was sentenced to
    an additional 15-year term of incarceration and his conviction was affirmed by the Supreme
    Court of Kentucky. See generally 
    id., Ex. E;
    see 
    id., Ex F.
    Montgomery, Sherman and Hudson
    were also tried and convicted, but their convictions were reversed. 
    Id. at 11
    ¶ 29.
    C. The FBI’s Investigation
    Unidentified prisoners at the KSP allegedly contacted the Kentucky Alliance Against
    Racist and Political Repression, resulting in the Alliance contacting the FBI’s Louisville, Ken-
    tucky field office regarding the murder of Burks and another black inmate allegedly by members
    of the Aryan Brotherhood. Pl.’s Opp’n at 17-18 ¶ 56; see 
    id., Ex. VV.
    According to the FBI’s
    declarant, “the FBI assisted local/state law enforcement and the Kentucky State Penitentiary in
    [an] investigation of civil rights violations against inmates at the Kentucky State Penitentiary by
    conducting interviews of inmates to determine if their civil rights were being violated.” Hardy
    Decl. ¶ 49.
    According to the plaintiff, L.V. McGinty, the Special Agent in Charge of the FBI’s Lou-
    isville field office, was assigned to investigate Burks’ murder. Pl.’s Opp’n at 19 ¶ 61. Special
    Agent McGinty allegedly “[i]nterviewed numerous inmates and KSP administrative officials re-
    garding Glenn Burks[’] murder,” 
    id. at 22
    ¶ 71(8), in a “[c]oncurrent investigation conducted
    with the criminal investigations by the Commonwealth and Kentucky State Police[,]” 
    id. at 22
    ¶
    71(9), which generated “a plethora of documents germane to the Glenn Burks murder and the
    1988 prison escape,” 
    id. at 22
    ¶ 71(10). However, none of these documents were made available
    to the plaintiff during the criminal proceedings on the murder and escape charges. 
    Id. at 23
    ¶
    4
    71(11). The plaintiff concludes that the government failed to disclose “a file that contained evi-
    dence directly related to his murder and escape cases,” Pl.’s Opp’n at 23 ¶ 72(3), in violation of
    Brady v. Maryland, 
    373 U.S. 83
    (1963).
    D. The Plaintiff’s FOIA Requests
    When the plaintiff obtained the Kentucky State Police file “indicat[ing] that at some point
    during the criminal proceedings of [his] case the FBI, through L.V. McGinty[,] became in-
    volved,” Pl.’s Opp’n at 13 (page number designated by the plaintiff) ¶ 40, he sought to obtain in-
    formation from the FBI “regarding the escape and documents relative to [the] civil rights investi-
    gation that was conducted in and around the time of his criminal trial proceedings,” 
    id. at 13
    ¶
    41. The plaintiff believed “that biological evidence in [his] case may have been turned over to
    L.V. McGinty of the FBI and taken to the FBI Crime lab to be tested[.]” 
    Id. at 15
    ¶ 43.
    The plaintiff submitted two FOIA requests to the DOJ on July 11, 2016. See Complaint
    for Injunctive Relief (“Compl.”) ¶¶ 7–8.2 He sought:
    copies of all documents in F.B.I. No. 819-776-P4 regarding [his]
    personal involvement in the June 1988 escape from the Kentucky
    State Penitentiary . . . or any other documents found in other files
    regarding the 1988 prison escape inclusive of any Federal Investi-
    gation of KSP personnel involvement in the escape as directed by
    Attorney General Steven Beshear of Kentucky and/or Governor
    Wallace G. Wilkinson. There is reason to believe that the Kentucky
    Department of Corrections’ Secretary’s Fact Finding Report dated
    July 5, 1988 is also on file with the F.B.I.
    
    Id., Ex. 1.
    His second request sought:
    copies of all documents generated in File No. 44-113631 regarding
    Office of Origin File 44A-3091, Cross Ref. No. DJ 144-31-994 re-
    garding myself . . . [from] September 1988 [through] April 1990
    when the case was closed.
    2
    The plaintiff sent his FOIA requests to the DOJ, and its staff forwarded them to the FBI. See
    Compl. ¶ 9; 
    id., Exs. 3-4.
                                                     5
    
    Id., Ex. 2.
    The FBI assigned each request a separate tracking number, see 
    id. ¶¶ 10-11,
    and
    closed the second administratively, 
    id. ¶ 11.
    Because both requests “share[d] the same infor-
    mation,” 
    id., Ex. 6,
    “material responsive to the request[s] would be processed in FOIPA Request
    Number 1355003-000,” Hardy Decl. ¶ 9.
    “By letter dated September 15, 2016, the FBI informed [the p]laintiff [that] it located ap-
    proximately 1,294 pages potentially responsive to . . . FOIPA Request Number 1355003-000[.]”
    Hardy Decl. ¶ 11; see Compl. ¶ 12. However, when the plaintiff filed this civil action roughly
    seven months later, the FBI had not released to him any responsive records. Compl. ¶ 22.
    On August 21, 2017, the FBI advised the plaintiff that it had reviewed 240 pages of rec-
    ords, and of these pages it released to him 157 pages in full or in part, after having redacted cer-
    tain information under Exemptions 6, 7(C), 7(D) and 7(E). Hardy Decl. ¶ 23. With regard to
    three pages of these responsive records, the FBI consulted with DOJ’s Civil Rights Division,
    which withheld certain information under FOIA Exemptions 6 and 7(C). See 
    id. ¶¶ 23,
    26.
    On September 21, 2017, the FBI advised the plaintiff that it had reviewed 503 additional
    pages of responsive documents and that it released 13 pages in full or in part, relying on Exemp-
    tions 6, 7(C), 7(D), 7(E) and 7(F) for the information it withheld. 
    Id. ¶ 25.
    The FBI relied on
    these same exemptions when, on October 23, 2017, it notified the plaintiff of its decision to with-
    hold all of the 441 remaining pages of records it reviewed. 
    Id. ¶ 27.
    II. DISCUSSION
    A. Summary Judgment Standard
    The Court may grant summary judgment to a government agency as the moving party if
    the agency shows that there is no genuine dispute as to any material fact and if it is entitled to
    judgment as a matter of law. Fed. R. Civ. P. 56(a). “Unlike the review of other agency action
    6
    that must be upheld if supported by substantial evidence and not arbitrary or capricious, the
    FOIA expressly places the burden ‘on the agency to sustain its action’ and directs the district
    courts to ‘determine the matter de novo.’” U.S. Dep’t of Justice v. Reporters Comm. for Free-
    dom of the Press, 
    489 U.S. 749
    , 755 (1989) (quoting 5 U.S.C. § 552(a)(4)(B)).
    The Court may grant summary judgment based on information in an agency’s supporting
    declaration if the declaration is “relatively detailed and nonconclusory[.]” Goland v. CIA, 
    607 F.2d 339
    , 352 (D.C. Cir. 1978) (internal quotation marks and footnote omitted). Further, the
    supporting declaration must “describe the documents and the justifications for nondisclosure
    with reasonably specific detail, demonstrate that the information withheld logically falls within
    the claimed exemption, and [is] not controverted by either contrary evidence in the record [or] by
    evidence of agency bad faith.” Military Audit Project v. Casey, 
    656 F.2d 724
    , 738 (D.C. Cir.
    1981) (footnote omitted).
    B. The FBI’s Searches for Responsive Records
    An agency “fulfills its obligations under FOIA if it can demonstrate beyond material
    doubt that its search was reasonably calculated to uncover all relevant documents.” Ancient Coin
    Collectors Guild v. U.S. Dep’t of State, 
    641 F.3d 504
    , 514 (D.C. Cir. 2011) (citations and inter-
    nal quotation marks omitted). The agency may submit affidavits or declarations to explain the
    method and scope of its search, see Perry v. Block, 
    684 F.2d 124
    , 127 (D.C. Cir. 1982), and such
    affidavits or declarations are “accorded a presumption of good faith, which cannot be rebutted by
    purely speculative claims about the existence and discoverability of other documents,” SafeCard
    Servs., Inc. v. SEC, 
    926 F.2d 1197
    , 1200 (D.C. Cir. 1991) (citation and internal quotation marks
    omitted). Here, the defendant’s declarant asserts that the FBI’s search of its Central Records
    7
    System (“CRS”) using variations of the plaintiff’s name as search terms was a reasonable search.
    See Hardy Decl. ¶¶ 36-40.
    The CRS contains “applicant, investigative, intelligence, personnel, administrative, and
    general files compiled and maintained by the FBI in the course of fulfilling its integrated mis-
    sions and functions as a law enforcement, counterterrorism, and intelligence agency[.]”
    
    Id. ¶ 29.
    These files “are organized according to designated subject categories,” such as investi-
    gations the FBI conducts. 
    Id. ¶ 30.
    “[G]eneral indices to the CRS are the index or ‘key’ to locat-
    ing records within . . . [the] CRS.” 
    Id. ¶ 31.
    These indices are arranged in alphabetical order
    and fall within two categories: (1) “main” entries carrying the name of the individual, organiza-
    tion, or other subject matter that is the designated subject of the file, or (2) “reference” or cross-
    reference entries mentioning an individual who is within a main file indexed to a different indi-
    vidual or subject matter. 
    Id. “FBI employees
    may index information in the CRS by individual
    (persons), by organization (organizational entities, places, and things), and by event (e.g., terror-
    ist attack or bank robbery).” 
    Id. ¶ 32.
    An individual’s name “may be recorded with applicable
    identifying information such as date of birth, race, sex, locality, Social Security Number, ad-
    dress, and/or date of an event.” 
    Id. ¶ 34.
    While the FBI’s systems have been upgraded over the
    years, see 
    id. ¶¶ 33-35,
    the index search methodology still applies, see 
    id. ¶ 38.
    The FBI’s declarant explains that the CRS is the “only system of records where infor-
    mation pertaining to [the plaintiff’s] request would likely be maintained,” 
    id. ¶ 37,
    because it “is
    where the FBI indexes information about individuals, organizations, events, and other subjects of
    investigative interest for future retrieval,” 
    id. Accordingly, in
    August 2016, FBI staff searched
    the CRS using variations of the plaintiff’s name “in order to identify responsive investigatory
    files responsive to [his] request and subject to the FOIA.” 
    Id. ¶ 39.
    The search yielded “the two
    8
    . . . main files” identified by the plaintiff in his requests: 44-HQ-113361 and 44A-LS-309. 
    Id. After the
    plaintiff filed this lawsuit, in July 2017, FBI staff conducted a second search “to con-
    firm the accuracy of its previous search . . . and to identify any potentially responsive cross-refer-
    ence files indexed [under the plaintiff’s] name.” 
    Id. ¶ 40.
    This second search disclosed no rec-
    ords other than those identified in the August 2016 search. 
    Id. The plaintiff
    acknowledges that “the FBI did conduct a reasonable search for documents
    germane to [his] two . . . FOI[]A requests.” Pl.’s Opp’n at 3. He does not dispute “the reasona-
    bleness of the search, or the methods employed, but rather the Government’s refusal and/or fail-
    ure to locate and produce records responsive to his FOIA [request] that are not subject to any
    FOIA exemptions, and relate directly to the 1988 prison escape[.]” Plaintiff’s Reply to Defend-
    ant’s Response and Opposition (ECF No. 47, “Pl.’s Reply”) at 4-5; Pl.’s Opp’n at 32-33.
    For example, the plaintiff obtained through a Kentucky Open Records Request a document con-
    taining “an FBI referencing number ‘819-776-P4,’” Pl.’s Opp’n at 33 ¶ 91, which he submitted
    with his FOIA request, see Compl, Ex. 1, yet the FBI did not locate and disclose it, Pl.’s Opp’n
    at 33 ¶ 91. Similarly, he sought a copy of “the Kentucky Department of Corrections[] Secre-
    tary’s Fact Finding Report dated July 5, 1988 [, believed to be] on file with the F.B.I.,” Compl.,
    Ex. 1, and mentioned in a published opinion of the Supreme Court of Kentucky, see Pl.’s Opp’n,
    Ex. B, which the FBI did not locate and disclose, 
    id. at 33
    ¶ 93. And, the plaintiff learned from a
    published opinion of the United States District Court for the Middle District of Tennessee,3 see
    
    id. at 34
    ¶ 97, that “the FBI conducted a fugitive investigation at the request of Kentucky state
    3
    See Quintero v. Carpenter, No. 3:09-CV-00106, 
    2014 WL 7139987
    , at *1 (M.D. Tenn. Dec.
    12, 2014) (denying Quintero’s petition for a writ of habeas corpus), appeal docketed sub nom.
    Quintero v. Mays, No. 18-5377 (6th Cir. Apr. 18, 2018).
    9
    authorities after Quintero and others escaped from the Kentucky State Penitentiary” and “ob-
    tain[ed] warrants for the arrest of Quintero and others on the federal charge [of] unlawful flight
    to avoid confinement,” 
    id. at 35
    ¶ 98, yet the FBI disclosed none of this information in response
    to his FOIA request. Thus, in the plaintiff’s view, “the FBI’s search was far from adequate” be-
    cause there “may be a plethora of documents and information directly related to . . . documents .
    . . in the public domain that should have been located, disclosed and produced as responsive doc-
    uments to [his] FOIA request.” 
    Id. at 35.
    “[T]he adequacy of a FOIA search is generally determined not by the fruits of the search,
    but by the appropriateness of the methods used to carry out the search.” Iturralde v. Comptroller
    of the Currency, 
    315 F.3d 311
    , 315 (D.C. Cir. 2003) (citing Steinberg v. DOJ, 
    23 F.3d 548
    , 551
    (D.C. Cir. 1994)). An agency “need not demonstrate . . . that it located every document that the
    FOIA requester expected the agency to find,” Pejouhesh v. U.S. Postal Serv., No. 17- CV-1684,
    
    2019 WL 1359292
    , at *4 (D.D.C. Mar. 26, 2019), or that it “search[ed] every record system,”
    Oglesby v. U.S. Dep’t of the Army, 
    920 F.2d 57
    , 68 (D.C. Cir. 1990), or that its search was ex-
    haustive, see Bigwood v. U.S. Dep’t of Defense, 
    132 F. Supp. 3d 124
    , 135 (D.D.C. 2015). As
    Bigwood indicates, “the proper inquiry is not whether there might exist additional documents
    possibly responsive to a request, but whether the agency conducted a search reasonably calcu-
    lated to uncover relevant documents.” 
    Bigwood, 132 F. Supp. 3d at 135
    .
    Here, the defendant has provided a reasonably detailed and non-conclusory declaration
    describing the contents and organization of the CRS and the search terms FBI staff employed to
    search the CRS. The declaration is presumed to have been submitted in good faith, and the
    plaintiff’s speculation about the existence of additional responsive records neither rebuts that
    presumption nor creates a genuine dispute of material factual as to the FBI’s compliance with its
    10
    search obligations under the FOIA. See Davis v. FBI, No. 18-CV-0086, 
    2019 WL 2870729
    , at
    *6 (D.D.C. July 3, 2019) (rejecting requester’s argument that agency’s “fail[ure] to turn up a
    grand jury subpoena that is referenced in some of the records it produced to him” demonstrated
    the inadequacy of the search where he offered no evidence of circumstances overcoming an
    otherwise adequate agency affidavit); Richardson v. DOJ, No. 17-CV-1181, 
    2018 WL 4637364
    ,
    at *4 (D.D.C. Sept. 27, 2018) (concluding that search was adequate notwithstanding the FBI’s
    failure to disclose incident report and audio recordings where requester did not show that agency
    failed to search particular offices or files where responsive records might have been located).
    The FBI’s failure to locate particular documents alone does not render its search inadequate, see
    
    Iturralde, 315 F.3d at 315
    ; 
    Perry, 684 F.2d at 128
    . The Court therefore concludes that the FBI
    conducted a reasonable search for records responsive to the plaintiff’s FOIA request.
    C. The Privacy Act
    Generally, the Privacy Act (“PA”) provides an individual access to records maintained in
    federal government files about that person. See 5 U.S.C. § 552a(d) (“Each agency that maintains
    a system of records shall . . . (1) upon request by any individual to gain access to his record or to
    any information pertaining to him which is contained in the system, permit him . . . to review the
    record and have a copy made of all or any portion thereof[.]”). There are exceptions to this right,
    however, and by regulation an agency may exempt a system of records from certain 3PA disclo-
    sure provisions if the system is
    maintained by an agency or component thereof which performs as
    its principal function any activity pertaining to the enforcement of
    criminal laws, including police efforts to prevent, control, or reduce
    crime or to apprehend criminals, and the activities of prosecutors,
    courts, correctional, probation, pardon, or parole authorities, and
    which consists of (A) information compiled for the purpose of iden-
    tifying individual criminal offenders and alleged offenders and con-
    sisting only of identifying data and notations of arrests, the nature
    11
    and disposition of criminal charges, sentencing, confinement, re-
    lease, and parole and probation status; (B) information compiled for
    the purpose of a criminal investigation, including reports of inform-
    ants and investigators, and associated with an identifiable individ-
    ual; or (C) reports identifiable to an individual compiled at any stage
    of the process of enforcement of the criminal laws from arrest or
    indictment through release from supervision.
    5 U.S.C. § 552a(j)(2); see 5 U.S.C. § 552a(k)(2). The FBI’s declarant explains that the “DOJ has
    exempted [the] FBI[’s] law enforcement investigative records maintained in the CRS from the
    Privacy Act’s access provision pursuant to [5 U.S.C. § 552a](j)(2).” Hardy Decl. ¶ 42 (footnote
    omitted). Accordingly, under the Privacy Act, the plaintiff “has no individual right of access to
    investigative records about himself.” 
    Id. The plaintiff
    asserts “that the FBI knew and recognized that [his] two . . . requests were
    ‘FOIA’ requests, and not PA requests.” Pl.’s Opp’n at 29 ¶ 88 (emphasis in original); see Pl.’s
    Reply at 5-6. He deems the position taken by the FBI as a “slight of hand,” Pl.’s Opp’n at 29 ¶
    90, and strenuously objects to the “conver[sion]” of his “clearly submitted FOIA requests into
    requests under both the FOIA and PA,” 
    id. at 30,
    in order to “bar disclosure of documents re-
    sponsive to his FOIA request,” 
    id., under 5
    U.S.C. § 552a(j)(2). The plaintiff therefore asks the
    Court to reject “[t]he Government’s contention that PA Exemption (j)(2) somehow applies to
    [his] FOIA requests[.]” Pl.’s Opp’n at 30. However, no such position has been taken by the
    government.
    Even if the FBI could have withheld all of the responsive records under a Privacy Act ex-
    emption, the FBI also processed the plaintiff’s request for documents under the FOIA, Hardy
    Decl. ¶ 43, just as the plaintiff demanded. Thus, the FBI’s declarant explains, “[n]one of the in-
    formation exempt from disclosure under the Privacy Act has been withheld . . . unless it was
    withheld under a FOIA exemption.” 
    Id. 12 D.
    FOIA Exemption 74
    1. Law Enforcement Records
    Exemption 7 protects from disclosure “records or information compiled for law enforce-
    ment purposes,” but only to the extent that disclosure of such records would cause an enumerated
    harm. 5 U.S.C. § 552(b)(7); see FBI v. Abramson, 
    456 U.S. 615
    , 622 (1982). “To show that . . .
    documents were compiled for law enforcement purposes, the [agency] need only establish a ra-
    tional nexus between the investigation and one of the agency’s law enforcement duties and a
    connection between an individual or incident and a possible security risk or violation of federal
    law.” Blackwell v. FBI, 
    646 F.3d 37
    , 40 (D.C. Cir. 2011) (internal quotation marks and citations
    omitted).
    The FBI’s declarant describes the agency’s role as “the primary investigative agency of
    the federal government with the authority . . . to investigate all violations of federal law not ex-
    clusively assigned to another agency,” Hardy Decl. ¶ 48, and to “provide investigative assistance
    to state, local, and tribal enforcement agencies” in matters involving federal law, 
    id. ¶ 49.
    It is in
    this capacity that “the FBI assisted local/state law enforcement and the Kentucky State Peniten-
    tiary in [its] investigation of civil rights violations against inmates at the Kentucky State Peniten-
    tiary by conducting interviews of inmates to determine if their civil rights were being violated.”
    
    Id. All of
    the responsive records discovered in this case “were specifically compiled in the
    course of the FBI’s investigation of [the plaintiff] and others pertaining to civil rights violations
    against inmates at the Kentucky State penitentiary in violation of federal statutes, such as 18
    4
    “The practice of the FBI is to assert Exemption 6 in conjunction with Exemption 7(C).” Hardy
    Decl. ¶ 52 n.9. While the FBI does not abandon its reliance on Exemption 6, see Def.’s Reply at
    3 n.1, the Court need not consider whether Exemption 6 applies if the same information is
    properly withheld under Exemption 7(C). See Roth v. DOJ, 
    642 F.3d 1161
    , 1173 (D.C. Cir.
    2011).
    13
    U.S.C. §§ 241, 242 and 245.” Hardy Decl. ¶ 43. Thus, the FBI easily has satisfied the threshold
    requirement for Exemption 7, having shown that the responsive records were compiled for law
    enforcement purposes.
    2. FOIA Exemption 7(C)
    Exemption 7(C) protects from disclosure information in law enforcement records that
    “could reasonably be expected to constitute an unwarranted invasion of personal privacy.” 5
    U.S.C. § 552(b)(7)(C). In determining whether this exemption applies to particular information,
    the Court must balance the interest in privacy of individuals mentioned in the records against the
    public interest in disclosure. See ACLU v. DOJ, 
    655 F.3d 1
    , 6 (D.C. Cir. 2011). When balancing
    an individual’s privacy interest against the public interest in disclosure, “the only public interest
    relevant for purposes of Exemption 7(C) is one that focuses on ‘the citizens’ right to be informed
    about what their government is up to.’” Davis v. DOJ, 
    968 F.2d 1276
    , 1282 (D.C. Cir. 1992)
    (quoting Reporters 
    Comm., 489 U.S. at 773
    ).
    a. Privacy Interests of Third Party Information Sought
    by the Plaintiff
    i. FBI Special Agents and Support Personnel
    Under Exemption 7(C), the FBI has withheld the names and identifying information
    about “FBI Special Agents . . . responsible for conducting, supervising, and/or maintaining the
    investigative activities reflected in the documents responsive to [the plaintiff’s FOIA] request be-
    cause the individuals’ privacy interests outweighed any public interest in disclosure.” Hardy
    Decl. ¶ 54. A Special Agent does not choose his or her assignments, 
    id. ¶ 55,
    and in the course
    of “conduct[ing] official inquiries . . . , conducting searches and making arrests,” he or she
    “come[s] into contact with all strata of society,” 
    id., including individuals
    who may “carry a
    14
    grudge,” or “may seek revenge on the agents . . . involved in a particular investigation,” 
    id. Fur- ther,
    as the FBI declarant explains, “publicity associated with the release of an agent’s identity in
    connection with a particular investigation could trigger hostility toward” the agent. 
    Id. Accord- ingly,
    the declarant states, a Special Agent has a “substantial privacy interest[] in information
    about [him or herself] in criminal investigative files,” 
    id., and “[c]onversely,
    there is no public
    interest to be served by disclosing [the agent’s] identity,” 
    id. And, if
    the public were to learn the
    identity of a Special Agent, such information by itself “would not . . . significantly increase the
    public’s understanding of the FBI’s operations and activities.” 
    Id. The FBI
    advances a similar rationale to protect “[t]he names of FBI support employees . .
    . assigned to handle tasks related to the official investigations reflected in the documents respon-
    sive to [the plaintiff’s FOIA] request.” 
    Id. ¶ 56.
    The FBI declarant explains that support person-
    nel “are[] in positions of access to information regarding official law enforcement investigations,
    and therefore could become targets of harassing inquires for unauthorized access to investiga-
    tions if their identities were released.” 
    Id. The FBI
    ’s declarant posits that “these individuals
    maintain substantial privacy interests in not having their identities disclosed,” 
    id., and it
    identi-
    fies “no public interest [to] be served by disclosing [their] identities . . . because their identities
    would not, themselves, significantly increase the public’s understanding of the FBI’s operations
    and activities,” 
    id. The plaintiff
    claims to know the identity of the Special Agent whose name the FBI has
    withheld: L.V. McGinty, Special Agent in Charge of the Louisville field office. Pl.’s Opp’n at
    38 ¶ 101. He also claims that Special Agent McGinty’s identity “has been public knowledge,”
    
    id. at 38
    ¶ 102, since September 2016, 
    id. at 38
    ¶¶ 102-04, yet neither Special Agent McGinty
    nor the FBI has suffered any harm resulting from the knowledge of his identity. See 
    id. at 38
    ¶¶
    15
    105-06; 
    id. at 39
    ¶¶ 107-08. Further, the plaintiff points to letters he has written to federal and
    Kentucky state officials, see 
    id., Exs. JJ-KK,
    filings in the Lyon Circuit Court, see 
    id. at 37-38
    ¶
    101, and documents he filed in this Court, see 
    id., Exs. QQ-RR,
    which mention Special Agent
    McGinty by name in connection with the FBI’s investigation, arguing that the information the
    FBI is withholding already has made its way into the public domain, such that “any protective
    cloak has been lost,” 
    id. at 38
    ¶ 104. The plaintiff is mistaken.
    The privacy interest at stake belongs to the individual, not the government agency. See
    Reporters 
    Comm., 489 U.S. at 763-65
    . “That interest can be waived . . . , but only by the individ-
    ual whose interest is affected,” Petrucelli v. DOJ, 
    153 F. Supp. 3d 355
    , 362 (D.D.C. 2016) (cita-
    tions omitted), aff’d, No. 16-5042, 
    2016 WL 5349349
    (D.C. Cir. Aug. 22, 2016) (per curiam).
    Even if the plaintiff knows that Special Agent McGinty may have received information from the
    Kentucky State Police and may have conducted an investigation involving the plaintiff, the
    agent’s privacy interest is not extinguished because the requester knows or can surmise his iden-
    tity. See Weisberg v. DOJ, 
    745 F.2d 1476
    , 1491 (D.C. Cir. 1984); 
    Petrucelli, 153 F. Supp. 3d at 362
    (“[A] government agency is not at liberty to disclose the name of or identifying information
    about an individual referenced in law enforcement records, even if the requester already knows,
    or is able to guess, the individual’s identity.”); Master v. FBI, 
    926 F. Supp. 193
    , 198-99 (D.D.C.
    1996) (protecting subjects of investigative interest even though plaintiffs claimed to know their
    names), aff’d, 
    124 F.3d 1309
    (D.C. Cir. 1997) (per curiam) (table). And, the plaintiff cites no
    authority for the proposition that the absence of proof that a Special Agent has been harmed war-
    rants disclosure in this case.
    Furthermore, the plaintiff’s assertion that the information the FBI has withheld has found
    its way into the public domain is unsupported. “[A] plaintiff asserting a claim of prior disclosure
    16
    must bear the initial burden of pointing to specific information in the public domain that appears
    to duplicate that being withheld,” Afshar v. Dep’t of State, 
    702 F.2d 1125
    , 1130 (D.C. Cir. 1983)
    (citations omitted); see Boehm v. FBI, 
    948 F. Supp. 2d 9
    , 30-31 (D.D.C. 2013). This plaintiff has
    not done so, and therefore his argument on this point fails.
    ii. Other Third Party Information Sought by the Plaintiff
    (1) Interviewees
    The FBI has withheld the names and identifying information about “individuals inter-
    viewed [by or who] provided information to the FBI during the course of its investigation of [the
    plaintiff] in regards to civil rights violations.” Hardy Decl. ¶ 57. The FBI’s declarant explains
    that information obtained through interviews is a “productive investigative tool[],” 
    id. ¶ 58,
    and
    the FBI’s “continued access . . . to persons willing to honestly relate pertinent facts bearing upon
    a particular investigation far outweighs any benefit the public might derive from disclosure of the
    names of those who cooperated with the FBI,” 
    id. Accordingly, the
    FBI takes the position that
    these interviewees’ privacy interests outweigh any public interest in disclosure of their identities.
    See 
    id. The plaintiff
    notes the passage of time, nearly 30 years, since Burks’ murder and the es-
    capes. Pl.’s Opp’n at 40. Because so much time has passed, the plaintiff argues that these indi-
    viduals “have lost any protected cloak, thus, there can be no Exemption 7(C) applied[.]” 
    Id. at 41
    ¶ 111. In addition, the plaintiff notes that there have been public trials at which hundreds
    have testified, post-conviction proceedings, and published court decisions which have put the
    withheld information into the public domain. 
    Id. at 41
    ¶ 114; see generally 
    id. at 42
    ¶ 115
    through 44 ¶ 117. Lastly, the plaintiff argues that interviewees were advised that “information
    17
    furnished [by them] could become [the] subject of court testimony in the future.” Pl.’s Opp’n at
    44; see 
    id., Exs. V-AA.
    This, in the plaintiff’s view, amounts to a waiver of confidentiality. The
    plaintiff’s arguments are not persuasive.
    An individual maintains a privacy interest even if he testifies at a public proceeding, see,
    e.g., Jones v. FBI, 
    41 F.3d 238
    , 247 (6th Cir. 1994) (rejecting the plaintiff’s argument that law
    enforcement officer who testified at habeas proceeding “waived 7(C) protection”), or has been
    identified as a potential witness, see, e.g., SafeCard 
    Servs., 926 F.2d at 1205
    ; Petrucelli v. DOJ,
    
    51 F. Supp. 3d 142
    , 168 (D.D.C. 2014); Lewis v. DOJ, 
    867 F. Supp. 2d 1
    , 19 (D.D.C. 2011).
    Moreover, although the passage of time may diminish an individual’s privacy interest, this factor
    does not extinguish that interest. See, e.g., Halpern v. FBI, 
    181 F.3d 279
    , 297 (2d Cir. 1999)
    (“Confidentiality interests cannot be waived through prior public disclosure or the passage of
    time.”); Judicial Watch, Inc. v. U.S. Dep’t of Homeland Sec., 
    736 F. Supp. 2d 202
    , 211 (D.D.C.
    2010) (finding “that the passage of time has not diluted the privacy interest at stake and, if any-
    thing, has actually increased [the] privacy interest as the events surrounding the . . . prosecution
    have faded from memory”).
    (2) The Mere Reference to Third Parties In Responsive
    Documents
    The FBI has withheld the names and identifying information about “third parties merely
    mentioned in the criminal investigative files responsive to [the plaintiff’s] request.” Hardy Decl.,
    first ¶ 59. As to these individuals, the plaintiff contends that “the [g]overnment’s claims are ex-
    aggerated and specious at best, after the passage of 30 years.” Pl.’s Opp’n at 48. Exaggerated or
    not, the FBI’s declaration, see Hardy Decl. ¶ 59, suffices to show that disclosure of such third
    party information “could reasonably be expected to constitute an unwarranted invasion of per-
    sonal privacy.” 5 U.S.C. § 552(b)(7)(C) (emphasis added). And, as stated above, the passage of
    18
    time alone does not undermine the FBI’s argument or eliminate the third parties’ privacy inter-
    ests. See, e.g., King v. DOJ, 
    830 F.2d 210
    , 234 (D.C. Cir. 1987).
    (3) State and Local Law Enforcement Personnel
    The FBI has withheld the names and identifying information about “local/state law en-
    forcement employees [who were] acting in their official capacities and aided the FBI in the law
    enforcement activities reflected in the records responsive to [the plaintiff’s] requests.” Hardy
    Decl., second ¶ 59. Its rationale for withholding this information is similar to the position it as-
    serts for protecting the FBI Special Agent information, see 
    id. ¶ 54,
    arguing that release of their
    identities “could subject them . . . to unnecessary and unwelcome harassment that would invade
    their privacy, and could cause them to be targeted for compromise,” 
    id. ¶ 59.
    The plaintiff “strongly objects to any inference that he . . . , if possessing these public of-
    ficials[’] names, would target [these individuals] with nefarious motives.” Pl.’s Opp’n at 48 (in-
    ternal quotation marks removed). Otherwise, the plaintiff asserts that these individuals’ identi-
    ties are already known either because they testified at trial or at some other proceeding during
    “subsequent decades of litigation.” 
    Id. Furthermore, the
    plaintiff notes the government’s inabil-
    ity to “point to a single instance where any one of them has ever been targeted by [him] or by an-
    yone in this case or the Kentucky cases, with nefarious motives in the past 30-years[.]” 
    Id. It appears
    that the plaintiff is under the mistaken impression that the FBI may withhold
    third party information only if its release certainly will endanger the protected individuals. Not
    so. However, it is sufficient that the declaration demonstrates an invasion of the third parties’
    privacy could reasonably occur upon release of their identities, even if they testified publicly or
    19
    if the plaintiff is able to identify them. See 5 U.S.C. § 552(b)(7)(C); see also 
    Jones, 41 F.3d at 247
    ; 
    Weisburg, 745 F.2d at 1491
    .
    (4) Kentucky State Penitentiary Personnel
    The FBI has withheld information concerning “Kentucky State Penitentiary personnel
    who cooperated [with] and provided assistance to the FBI and other law enforcement agencies
    during the course of the FBI’s investigation of civil rights violations,” Hardy Decl. ¶ 60, by
    “provid[ing] reports and information to the FBI in their official law enforcement capacities,” 
    id. Again, the
    plaintiff deems the FBI’s claims “exaggerated and specious at best,” Pl.’s Opp’n at
    49, mainly because “[m]any if not all the . . . staff . . . involved in both the investigation of Glenn
    Burks[’] murder and the 1988 prison escape are already known,” 
    id. Once again,
    the Court con-
    cludes that the plaintiff’s prior knowledge of third parties’ identities is of no moment.
    (5) Crime Victims
    The FBI has withheld “the names and prisoner identification numbers of victims of a
    crime,” Hardy Decl. ¶ 61, asserting that release of their identities “could cause harm . . . such as
    personal distress or embarrassment,” 
    id. The plaintiff
    posits that “there are several victims, three
    of [whom] are dead, Glenn Burks and the Vesters,” Pl.’s Opp’n at 51, and perhaps a fourth,
    Claude Plummer, 
    id. According to
    the plaintiff, any privacy interests the dead victims may have
    had expired with their deaths and that their “names are forever engraved in 30-years of perma-
    nent record litigation in two states.” 
    Id. With regard
    to Mr. Plummer, the plaintiff represents
    that he “is alive and well at the Kentucky State Reformatory,” 
    id., and “has
    not been subjected to
    any unwarranted invasion of his privacy.” 
    Id. Otherwise the
    plaintiff has not articulated why he
    is entitled to receive the information he seeks to obtain about these individuals.
    20
    The Court readily disposes of the plaintiff’s assertion that the FBI improperly relies on
    Exemption 7(C) to protect the identity of a living crime victim. The plaintiff does not dispute
    that the relevant documents were compiled for law enforcement purposes and thus fall within the
    scope of Exemption 7. And, the identities of third parties appearing in law enforcement records
    typically are “categorically . . . exempt from disclosure.” SafeCard 
    Servs., 926 F.2d at 1206
    ; see
    Schrecker v. DOJ, 
    349 F.3d 657
    , 666 (D.C. Cir. 2003).
    To the extent that the FBI is protecting the identity of a deceased crime victim, the Court
    recognizes that the victim’s death “does diminish to some extent the privacy interest in [per-
    sonal] information [about him or her], though it by no means extinguishes that interest; one’s
    own and one’s relations’ interests in privacy ordinarily extend beyond one’s death.” Schrecker v.
    DOJ, 
    254 F.3d 162
    , 166 (D.C. Cir. 2001); see Accuracy in Media, Inc. v. Nat'l Park Serv., 
    194 F.3d 120
    , 123 (D.C. Cir. 1999) (“[O]ur circuit has squarely rejected the proposition that FOIA’s
    protection of personal privacy ends upon the death of the individual depicted [at the location of
    his death and during his autopsy].”). Although “the deceased . . . cannot personally suffer the
    privacy-related injuries that may plague the living, . . . the court must also account for the fact
    that certain reputation interests and family-related privacy expectations survive death.” Accu-
    racy in 
    Media, 194 F.3d at 166
    (quoting Campbell v. DOJ, 
    164 F.3d 20
    , 33 (D.C. Cir. 1998), as
    amended (Mar. 3, 1999)) (emphasis removed).
    Burks and the Vesters were murdered, if not by the plaintiff, then by individuals known
    to or affiliated with the plaintiff. Thus, notwithstanding the passage of more than 30 years, these
    victims and their families retain diminished yet cognizable privacy interests which are deserving
    of protection. See, e.g., ACLU v. DOJ, 
    750 F.3d 927
    , 936 (D.C. Cir. 2014) (noting that, even if
    21
    “any of the six individuals who were the subject of the prosecutions at issue have died, the rele-
    vant privacy interests remain substantial”); Wessler v. DOJ, 
    381 F. Supp. 3d 253
    , 259 (S.D.N.Y.
    2019) (recognizing deceased federal pretrial detainees’ diminished privacy interest in their own
    medical records and their family members’ privacy interest in the medical and autopsy records);
    Dayton Newspapers, Inc. v. Dep’t of Veteran Affairs, 
    257 F. Supp. 2d 988
    , 1008 (S.D. Ohio
    2003) (“[W]ithin the FOIA context, the same privacy interests that a person may have in his
    name when he is alive, such as the right to be left alone, the right to be free of harassment or hu-
    miliation, the right to closure, and the like, survive his death.”) (subsequent history omitted).
    And, the plaintiff has failed to demonstrate that his interest in acquiring the information he seeks
    outweighs those privacy interests. See Nat’l Archives & Records Admin. v. Favish, 
    541 U.S. 157
    , 171 (2004) (holding that in determining whether Exemption 7(C) applies to protect the pri-
    vacy interests of individuals who have died, courts must “balance the [decedent’s] privacy inter-
    ests against the public interest in disclosure”).
    (6) Third Parties with Criminal Records
    The FBI protects “third party individuals who have a criminal record with the FBI and/or
    other law enforcement agencies,” by withholding identifying information about them, including
    their “names, dates of birth, photographs, social security numbers, addresses, [and] FBI and/or
    law enforcement identification numbers.” Hardy Decl. ¶ 62. The plaintiff “concedes that social
    security numbers and FBI and/or law enforcement numbers can be properly withheld under
    FOIA,” Pl.’s Opp’n at 52, but argues that such information “is easily segregable,” 
    id. Further, he
    argues that the personal identifying information about third parties who have criminal convic-
    tions have a weaker privacy interest than a person who has been acquitted or whose criminal
    charges are dismissed. 
    Id. The plaintiff
    , however, cites no authority for the proposition that a
    22
    criminal conviction extinguishes an individual’s privacy interests. Furthermore, this Circuit has
    held that the FOIA categorically exempts from disclosure identifying third party information in
    law enforcement records on the ground that associating them with a law enforcement investiga-
    tion reasonably could bring about an unwarranted invasion of their privacy. See, e.g., Nation
    Magazine v. U.S. Customs Serv., 
    71 F.3d 885
    , 894 (D.C. Cir. 1995); SafeCard 
    Servs., 926 F.2d at 1205
    -06.
    b. Public Interest in Disclosure of the Third Party Information
    Each of the third parties the FBI seeks to protect under Exemption 7(C) has a cognizable
    interest in his or her personal privacy. Granted, some individuals have a greater interest than
    others. See Stern v. FBI, 
    737 F.2d 84
    , 92 (D.C. Cir. 1984) (stating that individuals have a
    “strong interest in not being associated unwarrantedly with alleged criminal activity”);
    
    Schrecker, 254 F.3d at 166
    (recognizing that “the death of the subject of personal information
    does diminish to some extent the privacy interest in that information”). At this juncture, how-
    ever, it is the plaintiff’s burden to demonstrate the existence of a public interest that outweighs
    those privacy interests, see Reporters 
    Comm., 489 U.S. at 774-76
    , and the public interest must be
    significant, see 
    Favish, 541 U.S. at 172
    . The plaintiff makes two arguments to support his posi-
    tion that a public interest outweighs the third parties’ privacy interests asserted by the defendant.5
    i. “Collusion”
    5
    The plaintiff’s cross-motion for summary judgment pertains only to his argument that “there
    exist[] substantial public interests that would be furthered by the disclosure of all 1,294 pages [of
    responsive records] in full.” Pl.’s Opp’n at 64. The Court will deny the plaintiff’s cross-motion,
    as it construes his arguments as opposition to the FBI’s contention that the third party individu-
    als’ privacy interests outweigh any public interest in disclosure of the information the agency is
    withholding under Exemption 7(C).
    23
    First, the plaintiff opines that the federal government and the Commonwealth of Ken-
    tucky colluded “to intentionally keep suppressed any and all information surrounding the 1988
    prison escape and the fact that it was orchestrated by KSP personnel who were members and/or
    sympathizers of the Aryan Brotherhood as a reward for Glenn Burks[’] murder[.]” Pl.’s Opp’n
    at 60; see 
    id. at 16
    ¶ 49. According to the plaintiff, Kentucky officials have therefore been
    shielded from criminal prosecution, see 
    id., even though
    they were complicit in facilitating the
    escape, see 
    id. at 60,
    65. And, “premised upon the active collusion between Kentucky and the
    FBI,” the plaintiff contends that these entities “engaged in a collusive cover up – of both the
    murder and [the] escape . . . – by suppression of . . . evidence [collected by Special Agent
    McGinty] for a tailored prosecution against [the plaintiff] to ensure a conviction in both the mur-
    der and escape cases.” 
    Id. at 26
    ¶ 80. The plaintiff also believes that he was blamed for Burks’
    murder because “they” felt he had not been punished severely enough for the escape. See Pl.’s
    Opp’n, Ex. R.
    The plaintiff asserts that “disclosure [of the information he seeks] will further the public
    interest,” Pl.’s Opp’n at 64, by shedding light on the reasons “why has the U.S. Government en-
    gaged in collusion with the State of Kentucky to cover-up facts relating to the 1988 prison es-
    cape, that was facilitated by Kentucky State Penitentiary personnel who were members or sym-
    pathizers of the Aryan Brotherhood as a reward for the killing of Glenn Burks[,]” id.; see 
    id. at 53.
    According to the plaintiff, the 1998 escape was a “reward” to members of the Aryan Broth-
    erhood for murdering Burks, see 
    id. at 65,
    and the government continues “to keep these facts
    from the public eye,” id.; see 
    id. at 5
    ¶ 1-7 ¶ 6; see generally Notice Challenging Government’s
    Disclosure Requesting Detailed Justification, Itemizing and Indexing under Vaughn with 5
    U.S.C. § 552(a) In Camera Review, ECF No. 16.
    24
    ii. “Actual Innocence”
    Second, the plaintiff argues that “disclosure will further the public’s interest in knowing
    whether the FBI is withholding additional information . . . that could corroborate his claim of ac-
    tual innocence,” Pl.’s Opp’n at 65, on the assumption that the withheld records “contain . . . po-
    tentially exculpatory evidence,” 
    id., unavailable to
    the plaintiff at trial, 
    id. at 66.
    He contends
    that there is a “public interest in knowing whether Kentucky has prosecuted and obtained a con-
    viction against the proper person [which] outweighs any privacy or confidentiality interests in
    this 30-year old case.” 
    Id. at 65.
    The Court finds neither argument persuasive. The so-called “collusion” between the FBI
    and Kentucky is based on nothing more than speculation by the plaintiff. Far from having pro-
    duced “[ir]refutable, non-speculative and tangible evidence,” Pl.’s Opp’n at 68, the plaintiff sets
    forth a wholly unsupported notion that the FBI and Kentucky officials have acted jointly to bar
    the release of information about Burks’ murder and the 1988 escape. Equally speculative is the
    plaintiff’s assertion “that the FBI is in possession of other potentially exculpatory information in
    its files inclusive of information that supports his trial testimony . . . that he did not kill Glenn
    Burks and was singled out for prosecution because he had not paid enough for his role in the
    1988 prison escape.” 
    Id. at 69.
    The plaintiff’s interest in establishing his innocence of the Burks murder is a wholly per-
    sonal interest which the Court need not consider. See, e.g., Oguaju v. United States, 
    288 F.3d 448
    , 450 (D.C. Cir. 2002) (finding that a requester’s “personal stake in using the requested rec-
    ords to attack his convictions does not count in the calculation of the public interest”), vacated
    and remanded, 
    541 U.S. 970
    (2004), on remand, 
    378 F.3d 1115
    (D.C. Cir. 2004) (reaffirming
    prior decision), cert. denied, 
    544 U.S. 983
    (2005); Engelking v. DEA, 
    119 F.3d 980
    , 980-81
    25
    (D.C. Cir. 1997) (per curiam) (“To the extent [the appellant] argues that he seeks exculpatory in-
    formation, [his] personal need for information is immaterial to whether that information is pro-
    tected from disclosure by one of the exemptions to the FOIA.”); Brown v. DOJ, 
    742 F. Supp. 2d 126
    , 133 (D.D.C. 2010) (“Assuming that plaintiff seeks documents responsive to his request in
    order to challenge his conviction and/or bring to light possible government misconduct, the
    Court finds that plaintiff has not demonstrated that either of these reasons constitute[s] a ‘signifi-
    cant’ public interest in documents concerning [a third party].”).
    The FBI’s declarant has demonstrated that all the relevant records were compiled for law
    enforcement purposes, and, therefore, Exemption 7 applies. Further, the declarant has identified
    seven categories of third parties whose names and identifying information appear in the respon-
    sive documents. See Hardy Decl. ¶ 47. For each category, the declarant adequately demon-
    strates that disclosure of such identifying information “could reasonably be expected to consti-
    tute an unwarranted invasion of personal privacy.” 5 U.S.C. § 552(b)(7)(C). However dimin-
    ished certain third parties’ privacy interest may have become due to the passage of time or death,
    their privacy interest prevails where, as here, the plaintiff fails to identify a public interest in dis-
    closure of information about these third parties of such magnitude that it outweighs the third par-
    ties’ privacy interest. Cf. Nat’l Ass’n of Retired Fed. Employees v. Horner, 
    879 F.2d 873
    , 879
    (D.C. Cir. 1989) (“[S]omething, even a modest privacy interest, outweighs nothing every time.”).
    The Court concludes that the FBI properly has withheld information about third parties under
    Exemption 7(C).
    3. Exemption 7(D)
    Exemption 7(D) protects from disclosure records or information compiled for law en-
    forcement purposes that
    26
    could reasonably be expected to disclose the identity of a confiden-
    tial source . . . [who] furnished information on a confidential basis,
    and, in the case of a record or information compiled by criminal law
    enforcement authority in the course of a criminal investigation . . . ,
    information furnished by a confidential source.
    5 U.S.C. § 552(b)(7)(D). There is no general “presumption that a source is confidential within
    the meaning of [FOIA] Exemption 7(D) whenever [a] source provides information [to a law en-
    forcement agency] in the course of a criminal investigation.” DOJ v. Landano, 
    508 U.S. 165
    ,
    181 (1993). Rather, a source’s confidentiality must be determined on a case-by-case basis. 
    Id. at 179-80.
    “A source is confidential within the meaning of [E]xemption 7(D) if the source ‘pro-
    vided information under an express assurance of confidentiality or in circumstances from which
    such an assurance could be reasonably inferred.’” Williams v. FBI, 
    69 F.3d 1155
    , 1159 (D.C.
    Cir. 1995) (per curiam) (quoting 
    Landano, 508 U.S. at 170-74
    ).
    The FBI relies on Exemption 7(D) to “protect[] information provided to the FBI by a lo-
    cal/state law enforcement agency,” Hardy Decl. ¶ 66, to include “source interviews, polygraph
    reports, inmate interviews, inmate letters, and laboratory results regarding crimes that occurred
    within the [KSP,]” 
    id. According to
    the FBI, here the interviewees had “ready access to and/or
    knowledge about crimes committed within the [KSP, and such] access exposed them to potential
    significant harms, should their association and cooperation with local/state law enforcement –
    and by extension, the FBI – be publicly disclosed.” 
    Id. The FBI
    ’s declarant states that disclo-
    sure of this information would put not only the interviewees, but also their families, at risk. 
    Id. He further
    explains that there is “an expectation of confidentiality,” 
    id. ¶ 67,
    when state and local
    law enforcement agencies share information with the FBI, such that disclosure “would . . .
    greatly diminish[],” 
    id., the FBI’s
    cooperative arrangements with state and local law enforcement
    to the “detriment [of] effective law enforcement,” 
    Id. 27 In
    addition, the FBI represents that it is protecting information provided by third parties
    “concerning the activities of [the plaintiff], his associates, and/or others who were of investiga-
    tive interest to the FBI and/or other law enforcement agencies for violent criminal and racially
    motivated activity within a state penitentiary.” 
    Id. ¶ 68.
    The FBI’s declarant provides the fol-
    lowing explanation for why the information was provided under circumstances from which con-
    fidentiality can be inferred:
    These individuals were in a position to have ready access to and/or
    knowledge about targets of investigative interest. Such access ex-
    posed them to potential significant harms that last through today,
    should their association and cooperation with the local/state law en-
    forcement agency and/or FBI be publicly disclosed. The infor-
    mation they provided is singular in nature and concerns the activities
    of certain subjects of investigative interest to the FBI for civil rights
    violations. The disclosure of the identities of these sources and the
    information they provided could have disastrous consequences as
    disclosure could subject [them and] their families[] to embarrass-
    ment, humiliation, and/or physical or mental harm. The sources and
    source-identifying information withheld under [Exemption 7(D)] is
    information provided on very sensitive investigative matters, in-
    cluding the assault of inmates – one resulting in death – at the [KSP],
    the identity of members of the Aryan Brotherhood and/or racially
    motivated activities . . . . If [these sources’] identities were revealed,
    including the information they provided which was so singular in
    nature it would clearly reveal their identit[ies] via their levels of ac-
    cess to the information, it would place them in harm’s way through
    possible retaliation. The identities of these sources and the singular
    information they provided would only be provided with the belief
    that their cooperation with the FBI would not be revealed.
    
    Id. The plaintiff
    responds by noting that the FBI “proffers no evidence that [he] has exhibited
    any display of violence or executed acts of retaliation . . . towards any person identified as a con-
    fidential source,” Pl.’s Opp’n at 56, either during the course of post-conviction proceedings in
    the Kentucky courts or “in the last 30-years since many of these confidential sources actually tes-
    28
    tified at his trial in 1989,” 
    id. Because the
    plaintiff has not committed any act of violence or re-
    taliation, he objects to any assertion that these third parties or their families are at risk of harm.
    See 
    id. Insofar as
    interviewees provided information with knowledge that their statements could
    become the subject of court testimony, the plaintiff argues that “the Government cannot seriously
    maintain” that these individuals were acting under an implied or express assurance of confidenti-
    ality. 
    Id. at 57.
    “When no express assurance of confidentiality exists, courts consider a number of factors
    to determine whether the source nonetheless spoke with an understanding that the communica-
    tion would remain confidential.” 
    Roth, 642 F.3d at 1184
    (internal quotation marks and citation
    omitted). “These factors include ‘the character of the crime at issue,’ ‘the source’s relation to the
    crime,’ whether the source received payment, and whether the source has an ‘ongoing relation-
    ship’ with the law enforcement agency[.]” 
    Id. (quoting Landano,
    508 U.S. at 172). Contrary to
    the plaintiff’s assertion that the FBI’s declaration “is wholly insufficient,” Pl.’s Opp’n at 58, the
    declarant adequately explains the agency’s rationale for withholding the identities and the infor-
    mation provided by individuals, particularly inmates, who had knowledge of violent and racially-
    motivated activities in a state penitentiary that provided them the ability to offer “information . . .
    singular in nature,” Hardy Decl. ¶ 68, regarding civil rights violations at the prison. Although
    thirty years have passed since the information was provided, the declarant avers that the potential
    for retaliation “last through today,” 
    id., notwithstanding the
    Kentucky court’s decision to make
    documents available to the plaintiff in recent post-conviction proceedings. The Court concludes
    that the declaration’s statements regarding the nature of the underlying crimes and the sources’
    relation to them demonstrates that implied confidentiality existed. See Mays v. DEA, 
    234 F.3d 1324
    , 1329 (D.C. Cir. 2000); Sandoval v. DOJ, 
    296 F. Supp. 3d 1
    , 20 (D.D.C. 2017).
    29
    D. Segregability
    “[N]on-exempt portions of a document must be disclosed unless they are inextricably in-
    tertwined with exempt portions.” Wilderness Soc’y v. U.S. Dep’t of Interior, 
    344 F. Supp. 2d 1
    ,
    18 (D.D.C. 2004) (quoting Mead Data Cent., Inc. v. U.S. Dep’t of the Air Force, 
    566 F.2d 242
    ,
    260 (D.C. Cir. 1977)); 5 U.S.C. § 552(b). An agency must provide “a detailed justification and
    not just conclusory statements to demonstrate that all reasonably segregable information has
    been released.” Valfells v. CIA, 
    717 F. Supp. 2d 110
    , 120 (D.D.C. 2010) (citation omitted).
    The FBI “reviewed a total of 1,184 pages,” Hardy Decl. ¶ 4, of which it released 25 pages
    in full, released 148 pages in part, and withheld 1,011 pages in full, 
    id. The government’s
    de-
    clarant avers that the pages released in part contained “a mixture of material that could be segre-
    gated for release and material that was withheld as release would trigger foreseeable harm to one
    or more interests protected” under the claimed exemption(s). 
    Id. ¶ 70.b.
    Regarding the pages
    withheld in full, the declarant states that “all information on each page was covered by one or
    more of the cited FOIA exemptions,” 
    id. ¶ 70.c.,
    such that “no information . . . could be reasona-
    bly segregated for release without triggering foreseeable harm to one or more of the cited FOIA
    exemptions,” 
    id. The plaintiff
    notes that “[t]he Government’s math just doesn’t add up[.]” Pl.’s Opp’n at
    62. He asserts that “[i]t is without question that the Government located 1,294 pages of docu-
    ments responsive to [his] FOIA requests,” 
    id., and subtracting
    173 pages of records withheld in
    full or in part, there remain 1,121 pages of records for which the FBI must account, 
    id. If the
    FBI withheld 1,011 pages in full, the plaintiff claims that 110 pages “do exist, but have for some
    nefarious reason not been acknowledged, addressed or claimed exempted by any provision of the
    FOIA[.]” Pl.’s Opp’n at 62.
    30
    The plaintiff construes the FBI’s initial estimate in a letter it sent to the plaintiff inform-
    ing him of the number of potentially responsive records as if it were a definitive accounting of
    those records. However, the FBI informed the plaintiff in the letter that it had “located approxi-
    mately 1,294 pages of potentially responsive” records. Hardy Decl. ¶ 11 (emphasis added).
    And, the declaration was prepared after FBI staff actually reviewed the potentially responsive
    records, after FBI staff determined which of these records were responsive, and after the FBI
    processed the responsive records. The FBI has therefore presented a reasonable explanation for
    this apparent discrepancy.
    With respect to 11 pages of records, the plaintiff objects to the redaction of nearly the en-
    tire page, leaving visible only a file stamp on each page. Pl.’s Opp’n at 63; see 
    id., Ex. EE-OO.
    He deems the declaration deficient because it fails to provide a sufficiently detailed explanation
    for such extreme redactions. 
    Id. at 63.
    The Court disagrees. The FBI’s declaration states with
    reasonable specificity that, where information on a particular page was covered by one or more
    FOIA exemptions, no information could be reasonably segregated for release. See Hardy Decl. ¶
    70.c. This explanation suffices to establish the FBI’s compliance with the FOIA’s segregability
    requirement. See Fischer v. DOJ, 
    723 F. Supp. 2d 104
    , 115 (D.D.C. 2010).
    31
    III. CONCLUSION
    The FBI has established that its search for records responsive to the plaintiff’s FOIA re-
    quest was reasonable, that it properly withheld information under FOIA Exemptions 6, 7(C) and
    7(D), and that it released all reasonably segregable information. Therefore, the defendant’s mo-
    tion for summary judgment is granted and the plaintiff’s cross-motion for summary judgment is
    denied.6
    DATE: December 2, 2019                               /s/
    REGGIE B. WALTON
    United States District Judge
    6
    A contemporaneous order in accordance with the Memorandum Opinion has been issued by the
    Court.
    32
    

Document Info

Docket Number: Civil Action No. 2017-0780

Judges: Judge Reggie B. Walton

Filed Date: 12/3/2019

Precedential Status: Precedential

Modified Date: 12/3/2019

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Campbell v. United States Department of Justice , 164 F.3d 20 ( 1998 )

Blackwell v. Federal Bureau of Investigation , 646 F.3d 37 ( 2011 )

American Civil Liberties Union v. United States Department ... , 655 F.3d 1 ( 2011 )

Nassar Afshar v. Department of State , 702 F.2d 1125 ( 1983 )

Safecard Services, Inc. v. Securities and Exchange ... , 926 F.2d 1197 ( 1991 )

Schrecker v. United States Department of Justice , 349 F.3d 657 ( 2003 )

Mays v. Drug Enforcement Administration , 234 F.3d 1324 ( 2000 )

Susan D. Goland and Patricia B. Skidmore v. Central ... , 607 F.2d 339 ( 1978 )

Schrecker v. U.S. Department of Justice , 254 F.3d 162 ( 2001 )

Carl Stern v. Federal Bureau of Investigation , 737 F.2d 84 ( 1984 )

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