The Providence Journal Company v. The Rhode Island Department of Public Safety, by and through Peter Kilmartin, Attorney General , 136 A.3d 1168 ( 2016 )


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  •                                                              Supreme Court
    No. 2014-182-Appeal.
    (PC 12-5458)
    The Providence Journal Company et al.     :
    v.                      :
    The Rhode Island Department of Public     :
    Safety, by and through Peter Kilmartin,
    Attorney General et al.
    NOTICE: This opinion is subject to formal revision before
    publication in the Rhode Island Reporter. Readers are requested to
    notify the Opinion Analyst, Supreme Court of Rhode Island,
    250 Benefit Street, Providence, Rhode Island 02903, at Telephone
    222-3258 of any typographical or other formal errors in order that
    corrections may be made before the opinion is published.
    Supreme Court
    No. 2014-182-Appeal.
    (PC 12-5458)
    The Providence Journal Company et al.       :
    v.                        :
    The Rhode Island Department of Public        :
    Safety, by and through Peter Kilmartin,
    Attorney General et al.
    Present: Suttell, C.J., Goldberg, Flaherty, and Indeglia, JJ.
    OPINION
    Justice Indeglia, for the Court.       The Providence Journal Company and Amanda
    Milkovits (collectively, the Journal or plaintiffs), seek review of an order granting summary
    judgment entered against them and in favor of the Rhode Island Department of Public Safety, the
    Rhode Island State Police, and Steven G. O’Donnell, in his capacity as the Commissioner of the
    Rhode Island Department of Public Safety and Superintendent of the Rhode Island State Police
    (collectively, defendants). The Journal filed suit in Providence County Superior Court alleging
    violations of Rhode Island’s Access to Public Records Act (APRA), G.L. 1956 chapter 2 of title
    38, after they unsuccessfully requested records from the Rhode Island State Police concerning an
    investigation of an underage drinking incident at property owned by the then-Governor, Lincoln
    Chafee. On appeal, the Journal takes issue with the Superior Court’s determination that the
    requested documents are not subject to public disclosure pursuant to the APRA. After careful
    consideration of the submitted memoranda and oral arguments, we affirm the judgment of the
    Superior Court.
    -1-
    I
    Facts and Travel
    The travel of the case is easily sketched. On May 28, 2012, Caleb Chafee (Caleb), the
    son of then-Governor Lincoln Chafee, hosted a party on property owned by the then-Governor,
    during which some underage attendees consumed alcohol. At some point, an underage female
    left the party and, shortly thereafter, she was taken to a local hospital for alcohol-related illness.
    As a result, the Rhode Island State Police went to the property 1 to conduct an investigation. This
    investigation resulted in the compilation of 186 pages of investigative documents, including
    witness lists, witness statements, land evidence records, and narrative reports written by various
    officers (collectively, the requested records). At the conclusion of the investigation, Caleb was
    charged with the furnishing or procurement of alcoholic beverages for underage persons in
    violation of G.L. 1956 § 3-8-11.1, to which he pled nolo contendere in Rhode Island District
    Court on August 22, 2012, and received a $500 civil penalty. On March 13, 2013, a judge of the
    District Court granted Caleb’s motion to expunge his record.
    However, Caleb’s liability was not the only product of the police investigation. In an
    effort to gather further information about the incident, on June 21, 2012, Amanda Milkovits
    (Milkovits), a reporter for the Providence Journal Company, sent an email to Colonel Steven G.
    O’Donnell (Col. O’Donnell), in which she “request[ed] copies of state police reports regarding
    the May 28 incident involving Caleb Chafee.” This email further stated: “This is a public
    report, regarding the responses and actions of public employees. It’s in the public interest to
    know how the situation was handled regarding the governor’s son—especially since the state
    1
    The property at which the party occurred is located in Exeter, Rhode Island. It is notable that
    the Rhode Island State Police responded because the Town of Exeter does not maintain its own
    police force.
    -2-
    police answer directly to the governor. This is a matter of transparency.” In a letter dated June
    25, 2012, the Rhode Island Department of Public Safety (the department) denied Milkovits’
    request for access to the documents. The purported reason for the denial was two-fold: (i) “the
    requested records [were] exempt from disclosure at [that] time, due to an ongoing criminal
    investigation and/or prosecution”; and (ii) the records “could reasonably be expected to be an
    unwarranted invasion of personal privacy * * *.”
    At some point, a state trooper revealed redacted copies of at least three of the requested
    records to a WPRO radio talk show host. 2 Apparently, this information suggested that Caleb
    demanded that the underage female who was treated for alcohol-related illness be removed from
    the premises and requested that no one call 911 until she was well away from the property.
    On August 21, 2012, Milkovits sent another email to Col. O’Donnell in which she stated
    that she was “following up on the charging of Caleb Chafee in the Memorial Day party.”
    Milkovits further indicated that “now that he’s being charged, I’d like a copy of the report.” In a
    letter dated August 29, 2012, the department again denied her request. As a reason for its denial,
    the department provided that the requested records “are not considered public records under
    Rhode Island law [because] * * * Rhode Island General Law § 38-2-2 excludes records
    identifiable to an individual in any files and law enforcement records, the disclosure of which
    could reasonably be expected to be an unwarranted invasion of personal privacy.” This letter
    also contained the following language: “[E]nclosed please find a copy of the summons issued in
    this matter, as well as the violation complaint as filed with the Rhode Island District Court.
    These records have been entered into the District Court file and are therefore publicly available.”
    2
    This state trooper was charged administratively for revealing the material.
    -3-
    By letter dated September 5, 2012, the Journal requested that the department reconsider
    its denial of the records request. 3 On September 10, 2012, the department stated that it had
    reconsidered its initial denial as requested, but its position had not changed; thus, it denied the
    Journal’s request for the same reasons as provided in its letter dated August 29, 2012. On
    September 24, 2012, the Journal filed an appeal with Col. O’Donnell pursuant to § 38-2-8, which
    was also denied.
    Finding no relief through this preliminary out-of-court skirmishing, on October 22, 2012,
    the Journal filed a complaint in Providence County Superior Court, alleging violations of, inter
    alia, the APRA, the United States Constitution, and the Rhode Island Constitution. On March 5,
    2013, pursuant to the Journal’s request, defendants provided the Journal with a Vaughn index 4 of
    each item withheld by the government.
    In due course, the parties filed cross-motions for summary judgment. In the Journal’s
    motion, it argued that summary judgment should be granted because it was entitled to the
    requested records pursuant to the APRA. In response, defendants argued that public disclosure
    of the requested records would be inconsistent with the District Court’s expungement order in
    Caleb’s case. The defendants also argued that the records were exempt from public disclosure
    pursuant to the APRA, which deems not to be public “[a]ll records maintained by law
    enforcement agencies for criminal law enforcement and all records relating to the detection and
    3
    In addition, this letter provided that it was to serve as “a new request, this time under the
    recently amended [APRA] * * *, which became effective September 1, 2012, for all records
    relating to Caleb Chafee * * * and the investigation which arose from occurrences at his home on
    May 28, 2012 * * *.” Before us, both parties in their arguments rely on the APRA as amended
    in 2012.
    4
    A “Vaughn index” is “[a] comprehensive list of all documents that the government wants to
    shield from disclosure in Freedom of Information Act (FOIA) litigation, each document being
    accompanied by a statement of justification for nondisclosure.” Black’s Law Dictionary 1788
    (10th ed. 2014). In the case at hand, the index contained a description of each withheld record
    and the number of pages contained in each item.
    -4-
    investigation of crime, * * * [where] the disclosure of the records or information * * * could
    reasonably be expected to constitute an unwarranted invasion of personal privacy[.]” Section 38-
    2-2(4)(D), as amended by P.L. 2012, ch. 482, § 1.
    After conducting an in camera review of the documents, analyzing memoranda submitted
    by the parties, and hearing oral arguments, the hearing justice determined that the order of
    expungement in Caleb’s case did not prevent the Journal from accessing the records if allowable
    under the APRA.      However, the hearing justice determined that the Journal had failed to
    “demonstrate[] a belief by a reasonable person that alleged government impropriety might have
    occurred.” In addition, he determined that “disclosure would not advance the public interest”
    and “that the records are not reasonably segregable” because the documents make plain, even if
    redacted, that it was Caleb’s event that was being investigated.          Accordingly, he granted
    summary judgment in favor of defendants and denied that of the Journal. The Journal timely
    appealed.
    II
    Standard of Review
    Our standard of review in this case is multifaceted. This Court’s review of the grant of a
    motion for summary judgment is familiar and well-settled: We review such a grant de novo,
    “apply[ing] the same standards and rules as did the motion justice.” Symonds ex rel. Symonds v.
    City of Pawtucket, 
    126 A.3d 421
    , 424 (R.I. 2015) (quoting Narragansett Indian Tribe v. State, 
    81 A.3d 1106
    , 1109 (R.I. 2014)). In so doing, “[w]e view the evidence in the light most favorable
    to the nonmoving party.” 
    Id.
     (quoting Narragansett Indian Tribe, 81 A.3d at 1109). “Summary
    judgment is appropriate when no genuine issue of material fact is evident from the pleadings,
    depositions, answers to interrogatories, and admissions on file, together with the affidavits if any,
    -5-
    and the motion justice finds that the moving party is entitled to prevail as a matter of law.”
    Beacon Mutual Insurance Co. v. Spino Brothers Inc., 
    11 A.3d 645
    , 648 (R.I. 2011) (quoting
    National Refrigeration, Inc. v. Travelers Indemnity Co. of America, 
    947 A.2d 906
    , 909 (R.I.
    2008)).
    Additionally, this Court conducts a de novo review of a trial justice’s ruling concerning
    the interpretation of a statute. Twenty Eleven, LLC v. Botelho, 
    127 A.3d 897
    , 900 (R.I. 2015).
    “In matters of statutory interpretation our ultimate goal is to give effect to the purpose of the act
    as intended by the Legislature.” Webster v. Perrotta, 
    774 A.2d 68
    , 75 (R.I. 2001). “[W]hen the
    language of a statute is clear and unambiguous, this Court must interpret the statute literally and
    must give the words of the statute their plain and ordinary meanings.” Swain v. Estate of Tyre
    ex rel. Reilly, 
    57 A.3d 283
    , 288 (R.I. 2012) (quoting Waterman v. Caprio, 
    983 A.2d 841
    , 844
    (R.I. 2009)). In so doing, however, “[we] will not construe a statute to reach an absurd result.”
    Id. at 289 (quoting Long v. Dell, Inc., 
    984 A.2d 1074
    , 1081 (R.I. 2009)). “Further, ‘[a] statute *
    * * may not be construed in a way that would * * * defeat the underlying purpose of the
    enactment.’” 
    Id.
     (quoting Brennan v. Kirby, 
    529 A.2d 633
    , 637 (R.I. 1987)).
    However, a trial justice’s determination in balancing the public interest in disclosure
    against the privacy interests at stake presents a mixed question of law and fact, and we accord
    such questions the same amount of deference that we provide to a trial justice’s findings of fact.
    See Direct Action for Rights and Equality v. Gannon, 
    819 A.2d 651
    , 662 (R.I. 2003). “[W]e will
    not overturn a trial justice’s findings of fact absent a showing that the trial justice overlooked or
    misconceived material evidence or was otherwise clearly wrong.” 
    Id.
    -6-
    III
    Discussion
    In 1979, the General Assembly enacted the APRA in recognition that “[t]he public’s right
    to access to public records and the individual’s right to dignity and privacy are both * * *
    principles of the utmost importance in a free society.” Section 38-2-1, as enacted by P.L. 1979,
    ch. 202, § 1. Thus, the General Assembly provided a two-fold function of the APRA: “The
    purpose of this chapter is to facilitate public access to public records. It is also the intent of this
    chapter to protect from disclosure information about particular individuals maintained in the files
    of public bodies when disclosure would constitute an unwarranted invasion of personal privacy.”
    Id. In addition, “this Court has ‘long recognized that the underlying policy of the APRA favors
    the free flow and disclosure of information to the public.’” In re New England Gas Co., 
    842 A.2d 545
    , 551 (R.I. 2004) (quoting Providence Journal Co. v. Sundlun, 
    616 A.2d 1131
    , 1134
    (R.I. 1992)).
    In recognition of these competing purposes, the General Assembly carefully defined, on
    the one hand, what is subject to public disclosure and, on the other, what is protected. See § 38-
    2-2. Specifically, to perform its purpose of “facilitat[ing] public access to public records[,]” the
    APRA pronounces a general rule of disclosure, providing:
    “Except as provided in § 38-2-2(4), all records maintained or kept on file
    by any public body, whether or not those records are required by any law or by
    any rule or regulation, shall be public records and every person or entity shall
    have the right to inspect and/or copy those records at such reasonable time as may
    be determined by the custodian thereof.” Section 38-2-3(a).
    However, the exception provided in § 38-2-2(4) serves to curtail this general rule of disclosure
    by defining “public records” to include only certain records. These limitations illustrate the
    -7-
    General Assembly’s desire to “protect from disclosure information * * * when disclosure would
    constitute an unwarranted invasion of personal privacy.” Section 38-2-1.
    Section 38-2-2(4) defines “public records,” in pertinent part, as, “all documents, papers,
    letters, maps, books, tapes, photographs, films, sound recordings, magnetic or other tapes,
    electronic data processing records, computer stored data * * * or other material * * * made or
    received pursuant to law or ordinance or in connection with the transaction of official business
    by any agency.” However, the provision continues by providing that certain records “shall not
    be deemed public.” Id. Among those records deemed to not be public, are:
    “All records maintained by law enforcement agencies for criminal law
    enforcement and all records relating to the detection and investigation of crime,
    including those maintained on any individual or compiled in the course of a
    criminal investigation by any law enforcement agency. Provided, however, such
    records shall not be deemed public only to the extent that the disclosure of the
    records or information * * * could reasonably be expected to constitute an
    unwarranted invasion of personal privacy[.]” G.L. 1956 § 38-2-2(4)(D)(c).
    It is this provision—exempting from disclosure records that “could reasonably be expected to
    constitute an unwarranted invasion of personal privacy,” id.—that forms the basis of this appeal. 5
    Because the APRA mirrors the Freedom of Information Act (FOIA), 
    5 U.S.C. § 552
    , we
    look to federal case law interpreting FOIA to assist in our interpretation of the APRA. See, e.g.,
    In re New England Gas Co., 
    842 A.2d at 551
    . Like the APRA, the FOIA provides for public
    5
    In an effort to avoid the interpretation of the APRA entirely, the state contends that the fact
    Caleb’s records were expunged precludes their disclosure under the APRA. Specifically, the
    state cites to G.L. 1956 chapter 1.3 of title 12, the general “Expungement of Criminal Records”
    statute, which provides that, “[w]henever the records of any conviction and/or probation of an
    individual for the commission of a crime have been expunged under the provisions of this
    chapter, any custodian of the records of conviction relating to that crime shall not disclose the
    existence of the records upon inquiry from any source * * *,” subject to certain exceptions not
    applicable here. Section 12-1.3-4(c). However, it is unclear whether Caleb’s expungement was
    granted under chapter 1.3 of title 12, or, rather, pursuant to another statute. Because we conclude
    that the records should not be disclosed in accordance with the APRA and that Caleb’s privacy
    interest is sufficient to preclude disclosure without consideration of the expungement, we need
    not determine the effect of the expungement on the records at issue.
    -8-
    disclosure of records unless those records fall within one or more of the several exemptions. See
    National Archives and Records Administration v. Favish, 
    541 U.S. 157
    , 160 (2004). One such
    exemption, 
    5 U.S.C. § 552
    (b)(7)(C), “excuses from disclosure ‘records or information compiled
    for law enforcement purposes’ if their production ‘could reasonably be expected to constitute an
    unwarranted invasion of personal privacy.’” Favish, 
    541 U.S. at 160
     (quoting 
    5 U.S.C. § 552
    (b)(7)(C)).
    In Favish, 
    541 U.S. at 171-75
    , the United States Supreme Court considered the
    applicability of this exemption to certain photographs depicting the condition of a decedent’s
    body at the scene of death. In so doing, the Court stated that “[t]he term ‘unwarranted’ requires
    us to balance the * * * privacy interest against the public interest in disclosure.” 
    Id. at 171
    . To
    effectuate this balance, the Court provided a two-step process by which a citizen must prove that
    it is entitled to disclosure of the records. Specifically, it provided that: “First, the citizen must
    show that the public interest sought to be advanced is a significant one, an interest more specific
    than having the information for its own sake. Second, the citizen must show the information is
    likely to advance that interest. Otherwise, the invasion of privacy is unwarranted.” 
    Id. at 172
    .
    In our opinion, the framework that the Supreme Court sets forth in Favish is sound; thus, we
    follow this example and adopt this scheme in our interpretation of the APRA.
    As a threshold matter, we address the Journal’s contention that this Court’s adoption of
    the interpretation of the FOIA in Favish would displace the burden that the APRA places upon
    the public body to demonstrate that “the record in dispute can be properly withheld from public
    inspection.” Section 38-2-10. What the Journal fails to recognize in making this argument is
    that the FOIA contains a nearly identical statutory provision. See 
    5 U.S.C. § 552
    (a)(4)(B)
    (granting the district court “jurisdiction to enjoin the agency from withholding agency records
    -9-
    and to order the production of any agency records improperly withheld from the complainant * *
    * and the burden is on the agency to sustain its action”). In Favish, 
    541 U.S. at 172
    , the Supreme
    Court observed that “[t]o effect [the balance of privacy interest against the public interest in
    disclosure] and to give practical meaning to the exemption, the usual rule that the citizen need
    not offer a reason for requesting the information must be inapplicable.” We agree, and so we
    place the same gloss upon the APRA.
    We now proceed to the thrust of the Journal’s appeal. Here, the Journal seeks the
    investigatory files related to the facts underlying the charge of a private individual in hopes of
    potentially uncovering some hint of impropriety.          Like Favish, where the Court dealt with
    “photographic images and other data pertaining to an individual who died under mysterious
    circumstances,” the justification most likely to satisfy the APRA’s public interest requirement “is
    that the information is necessary to show the investigative agency or other responsible officials
    acted negligently or otherwise improperly in the performance of their duties.” Favish, 
    541 U.S. at 173
    . Of course, this standard would be toothless if disclosure were required based upon mere
    speculation, without the need to provide some evidence of negligence or impropriety. See 
    id. at 174
    . Thus, we hold, in line with Favish, that:
    “[W]here there is a privacy interest protected by [G.L. 1956 § 38-2-2(4)(D)(c)]
    and the public interest being asserted is to show that responsible officials acted
    negligently or otherwise improperly in the performance of their duties, the
    requester must establish more than a bare suspicion in order to obtain disclosure.
    Rather, the requester must produce evidence that would warrant a belief by a
    reasonable person that the alleged Government impropriety might have occurred.”
    Favish, 
    541 U.S. at 174
    .
    Before assessing whether the Journal presented any such evidence in this case, we pause
    to address the Journal’s contention that the standard presented in Favish, 
    541 U.S. at 174
    , is
    inapplicable to the case at hand. Specifically, it contends that this “governmental impropriety”
    - 10 -
    standard should apply only when the sole alleged public interest is government impropriety. See
    Citizens for Responsibility and Ethics in Washington v. United States Department of Justice, 
    746 F.3d 1082
    , 1095 & n.5 (D.C. Cir. 2014) (declining to apply the standard announced in Favish
    where no impropriety was alleged on the part of the FBI or the DOJ). It then asserts that it
    alleged two public interests in the case at hand:          (i) discovering potential government
    impropriety; and (ii) disclosing to the public how the State Police investigated the Governor
    under the circumstances. For our purposes, however, this is a distinction without a difference:
    the Journal’s second alleged public interest amounts to nothing more than another way of
    describing the first. Put another way, the information that the Journal hopes to uncover under its
    second asserted public interest is, in fact, government impropriety. Thus, to accept the Journal’s
    argument that there are two public interests in the case at hand would allow parties to avoid the
    Favish standard merely by exercising creative semantics. We decline this invitation. We do not,
    however, foreclose the possibility that the Favish standard may be inapplicable where a party
    asserts an authentic secondary public interest. 6
    6
    The Journal also contends that the public interest was increased by (i) “the fact that the State
    Police were investigating a possible violation of such an important law [(the Social Host Law)]”;
    and (ii) “the close relationship under Rhode Island law between the State Police, the Governor,
    and his family * * *.” With regard to the public interest in viewing the implementation of the
    Social Host Law, the Journal’s argument is unavailing. Any information provided by the
    investigatory documents in this isolated incident would provide facts in relation to just that—a
    single incident. The documents would not provide the public with any indication of how this law
    is enforced generally. See Hunt v. Federal Bureau of Investigation, 
    972 F.2d 286
    , 288-89 (9th
    Cir. 1992) (contrasting a FOIA request for a single investigatory file with requests for numerous
    disciplinary files and concluding that “[t]he single file * * * will not shed any light on whether
    all such FBI investigations are comprehensive”). With regard to the close relationship between
    the Governor and the State Police, we note that this appears to be yet another circuitous way of
    describing the “government impropriety” public interest. That is, the public interest in the
    contents of the investigatory documents would flow from whether the State Police adequately
    investigated the then-Governor, or whether corners were cut. Further, such a relationship
    between the Governor and the State Police will be present in any investigation or interaction
    involving the two. Thus, if we were to allow this relationship to rise to the level of a significant
    - 11 -
    We now turn our analysis to whether the Journal has presented evidence that “the
    information is necessary to show the investigative agency or other responsible officials acted
    negligently or otherwise improperly in the performance of their duties.” Favish, 
    541 U.S. at 173
    .
    In conducting our review, we remain mindful that “there is a presumption of legitimacy accorded
    to the Government’s official conduct * * * [and] where the presumption is applicable, clear
    evidence is usually required to displace it.” 
    Id. at 174
    . Even without the disclosure of the
    contents of the sought after records, it is clear that the State Police performed a comprehensive
    investigation of Caleb’s violation of the Social Host Law.      Indeed, the volume of records
    requested under the APRA illustrates that a thorough investigation was performed. The Vaughn
    index (which was provided to the Journal) indicates that the investigation resulted in the
    compilation of 186 pages of documents, including at least eighteen witness statements, seven
    narrative documents from members of the State Police, incident reports, and land evidence
    records. In addition, the investigation resulted in charging Caleb under the Social Host Law.
    The Journal has not pointed to a shred of evidence to suggest that “the investigative agency or
    other responsible officials acted negligently or otherwise improperly,” 
    id. at 173
    , other than to
    speculate as to the mere possibility that some venality or irregularity may have occurred in the
    investigation due to the then-Governor’s position.     When the release of sensitive personal
    information is at stake and the alleged public interest is rooted in government wrongdoing, we do
    not deal in potentialities—rather, the seeker of information must provide some evidence that
    government negligence or impropriety was afoot. Because the Journal failed to provide any such
    evidence, the public interest can, at best, be characterized merely as an uncorroborated
    public interest without proof of some impropriety, then nearly every investigation by the State
    Police involving the Governor would be subject to disclosure as a matter of course. We decline
    to give the mere presence of a relationship such a pervasive effect.
    - 12 -
    possibility of governmental negligence or impropriety. Such a tenuous “public interest” is
    insufficient to mandate disclosure under the Favish standard that we today adopt and thereby
    imbue upon the APRA.
    While we conclude that the Journal failed to satisfy the Favish standard, we nonetheless
    continue our analysis (for the sake of completeness and to provide future guidance) to weigh the
    seemingly negligible public interests asserted by the Journal against the privacy interests at stake.
    The parties vigorously dispute the proper valuation of the privacy interests in this case. The
    Journal contends that (i) Caleb’s privacy interest was substantially diminished because of the
    publicity that the incident received in the media and because he pled nolo contendere to violating
    the Social Host Law; (ii) the then-Governor’s privacy interest was de minimis because his “status
    as a public official operates to reduce his cognizable interest in privacy” (quoting Citizens for
    Responsibility and Ethics in Washington v. United States Department of Justice, 
    846 F. Supp. 2d 63
    , 71 (D.D.C. 2012)); and (iii) the identities of third-persons who provided witness statements
    were “reasonably segregable” and, thus, could be redacted to prevent any invasion of privacy. 7
    Turning first to Caleb, we place little stock in the Journal’s contention that his privacy
    interest was significantly diminished because of the publicity that his charge for violating the
    Social Host Law received. Notably, a copy of the summons and complaint were produced to the
    Journal, which confirmed the existence of a charge against him. While the media coverage may
    have made known to the public the existence of the charge, it certainly did not reveal the intimate
    details underlying the charge. The privacy interest at stake flows not from the widespread
    knowledge of the fact that Caleb was charged, but, instead, from the information and personal
    7
    Both parties agree that the third-party identities could be redacted and, thus, none of their
    privacy interests are implicated by disclosure of the records. Accordingly, we do not consider
    the third-party privacy interests for purposes of our analysis.
    - 13 -
    details that may have been discovered in the police investigation. Moreover, while the charge
    was, in fact, public, “the fact that ‘an event is not wholly private does not mean that an individual
    has no interest in limiting disclosure or dissemination of the information.’” United States
    Department of Justice v. Reporters Commission For Freedom of Press, 
    489 U.S. 749
    , 770 (1989)
    (quoting Rehnquist, Is an Expanded Right of Privacy Consistent with Fair and Effective Law
    Enforcement?, Nelson Timothy Stephens Lectures, University of Kansas Law School, pt. 1, p. 13
    (Sept. 26-27, 1974)). Therefore, we find the Journal’s argument in this regard unconvincing.
    Similarly, we see no merit with regard to the Journal’s contention that Caleb is entitled to
    lesser privacy because he pled nolo contendere to violating the Social Host Law. While the plea
    might lessen the privacy extended to the conviction, it does not do so with respect to the facts
    underlying it. Indeed, in American Civil Liberties Union v. United States Department of Justice,
    
    655 F.3d 1
    , 7 (D.C. Cir. 2011), on which the Journal relies, the D.C. Circuit Court of Appeals
    provided “that the disclosure of convictions and public pleas is at the lower end of the privacy
    spectrum.” However, the court in that case was dealing with only the disclosure of the fact of
    conviction, not the facts underlying the conviction or information provided in the investigation of
    the crime. See 
    id. at 8
     (“It would disclose only information concerning a conviction or plea; it
    would not disclose mere charges or arrests. It would disclose only information that has already
    been the subject of a public proceeding (either a trial or public guilty plea), rather than actions
    (like arrests) that may not have taken place in public.”). Thus, the Journal’s argument that
    Caleb’s privacy interest in the police investigative documents was diminished because he pled
    nolo contendere also lacks force. 8
    8
    In addition, we note that the distinction between the existence of a plea and the facts underlying
    the charges that gave rise to such a plea is further supported by practicality: it is a common
    - 14 -
    In the case of the documents developed by law enforcement in the investigation of a
    private individual, the privacy interest is considerable and should not be easily displaced absent a
    particularly noteworthy public interest. See Reporters Commission for Freedom of Press, 
    489 U.S. at 769, 771
     (“We have * * * recognized the privacy interest in keeping personal facts away
    from the public eye. * * * The privacy interest in a rap sheet is substantial.”). As such, we are
    satisfied that Caleb’s privacy interest is significant, 9 and, consequently, we cannot allow the
    Journal’s unsubstantiated assertion—pointing to the mere possibility that government
    impropriety occurred in the investigation due to the then-Governor’s position—to mandate
    disclosure of sensitive information. 10 Accordingly, we cannot conclude “that the trial justice
    overlooked or misconceived material evidence or was otherwise clearly wrong,” Direct Action
    for Rights and Equality, 
    819 A.2d at 662
    , in his balancing of Caleb’s privacy interest against the
    public interests at issue.
    At oral argument, the Journal posed the following question: “[I]s there a good reason the
    people shouldn’t see what the state police did?” We answer that question in the affirmative.
    Pursuant to the APRA, records need not be disclosed where such disclosure could create an
    unwarranted invasion of privacy—here, Caleb’s privacy interest created a barrier that the public
    interests in disclosure as asserted by the Journal could not overcome.
    tactical move for a defendant to plead guilty or nolo contendere rather than take his chances in
    court, to avoid the exposure of unfavorable facts during a public trial.
    9
    In view of Caleb’s considerable privacy interest that would be compromised if the investigative
    documents were released, we need not pin down the exact valuation of the privacy interest of the
    then-Governor. That is, a disclosure of the records would constitute an unwarranted invasion of
    Caleb’s privacy; thus, the records may be withheld under the APRA regardless of the privacy
    interests of the then-Governor.
    10
    We note that redaction would be ineffective to reduce Caleb’s privacy interest in this case.
    Given the media attention that the investigation of Caleb has received from its onset, the subject
    of any records would be abundantly clear, even if redacted.
    - 15 -
    IV
    Conclusion
    For the reasons set forth above, we affirm the judgment of the Superior Court. The
    materials associated with this case may be remanded to that tribunal.
    Justice Robinson did not participate.
    - 16 -
    RHODE ISLAND SUPREME COURT CLERK’S
    OFFICE
    Clerk’s Office Order/Opinion Cover Sheet
    TITLE OF CASE:        The Providence Journal Company et al. v. The Rhode Island
    Department of Public Safety, by and through Peter Kilmartin,
    Attorney General et al.
    CASE NO:              No. 2014-182-Appeal.
    (PC 12-5458)
    COURT:                Supreme Court
    DATE OPINION FILED: April 11, 2016
    JUSTICES:             Suttell, C.J., Goldberg, Flaherty, and Indeglia, JJ.
    WRITTEN BY:           Associate Justice Gilbert V. Indeglia
    SOURCE OF APPEAL:     Providence County Superior Court
    JUDGE FROM LOWER COURT:
    Associate Justice William E. Carnes, Jr.
    ATTORNEYS ON APPEAL:
    For Plaintiffs: Joseph V. Cavanagh, Jr., Esq.
    Mary C. Dunn, Esq.
    Robert J. Cavanagh, Jr., Esq.
    For Defendants: Michael W. Field
    Lisa Pinsonneault
    Malena Lopez Mora
    Department of Attorney General