No. 99-1871
In the Supreme Court of the United States
UNITED STATES DEPARTMENT OF THE INTERIOR AND
BUREAU OF INDIAN AFFAIRS, PETITIONERS
v.
KLAMATH WATER USERS PROTECTIVE ASSOCIATION
ON PETITION FOR A WRIT OF CERTIORARI
TO THE UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
PETITION FOR A WRIT OF CERTIORARI
SETH P. WAXMAN
Solicitor General
Counsel of Record
DAVID W. OGDEN
Acting Assistant Attorney General
EDWIN S. KNEEDLER
Deputy Solicitor General
MALCOLM L. STEWART
Assistant to the Solicitor General
LEONARD SCHAITMAN
MATTHEW M. COLLETTE
Attorneys
Department of Justice
Washington, D.C. 20530-0001
(202) 514-2217
QUESTION PRESENTED
Whether confidential communications between Indian Tribes and the Department
of the Interior, in connection with the federal government's performance
of its trust responsibility to protect and manage tribal water rights, are
"intra-agency" documents that may be protected from disclosure
under Exemption 5 of the Freedom of Information Act, 5 U.S.C. 552(b)(5).
In the Supreme Court of the United States
No. 99-1871
UNITED STATES DEPARTMENT OF THE INTERIOR AND
BUREAU OF INDIAN AFFAIRS, PETITIONERS
v.
KLAMATH WATER USERS PROTECTIVE ASSOCIATION
ON PETITION FOR A WRIT OF CERTIORARI
TO THE UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
PETITION FOR A WRIT OF CERTIORARI
The Solicitor General, on behalf of the United States Department of the
Interior and the Bureau of Indian Affairs, respectfully petitions for a
writ of certiorari to review the judgment of the United States Court of
Appeals for the Ninth Circuit in this case.
OPINIONS BELOW
The opinion of the court of appeals (App., infra, 1a-30a) is reported at
189 F.3d 1034. The decision of the district court (App., infra, 31a-32a)
adopting the findings and recommendation of the magistrate judge is unreported.
The findings and recommendation of the magistrate judge (App., infra, 33a-71a)
is unreported.
JURISDICTION
The judgment of the court of appeals was entered on August 31, 1999. A petition
for rehearing was denied on December 22, 1999 (App., infra, 72a-73a). On
March 10, 2000, Justice O'Connor extended the time for filing a petition
for a writ of certiorari to and including April 20, 2000. On April 10, 2000,
Justice O'Connor further extended the time for filing to and including May
20, 2000. This Court's jurisdiction is invoked under 28 U.S.C. 1254(1).
STATUTORY PROVISION INVOLVED
Exemption 5 of the Freedom of Information Act, 5 U.S.C. 552(b)(5), provides:
(b) This section does not apply to matters that are-
* * * * *
(5) inter-agency or intra-agency memorandums or letters which would not
be available by law to a party other than an agency in litigation with the
agency.
STATEMENT
1. The Freedom of Information Act (FOIA), 5 U.S.C. 552 (1994 & Supp.
IV 1998), generally mandates disclosure upon request of records held by
an agency of the federal government. Section 552(b) (1994 & Supp. IV
1998), however, identifies several categories of records that are exempt
from compelled disclosure. This case involves the application of FOIA Exemption
5, 5 U.S.C. 552(b)(5), which authorizes an agency to withhold "inter-agency
or intra-agency memorandums or letters which would not be available by law
to a party other than an agency in litigation with the agency."
Exemption 5 "codifies the traditional common law privileges afforded
certain documents in the context of civil litigation and discovery."
Confidentiality of the Attorney General's Communications in Counseling the
President, 6 Op. Off. Legal Counsel 481, 490 (1982); see United States v.
Weber Aircraft Corp., 465 U.S. 792, 799 (1984) ("Exemption 5 simply
incorporates civil discovery privileges."); NLRB v. Sears, Roebuck
& Co., 421 U.S. 132, 149 (1975) ("It is reasonable to construe
Exemption 5 to exempt those documents, and only those documents, normally
privileged in the civil discovery context."). Those privileges include
the "deliberative process" privilege, a privilege unique to the
government that protects "documents reflecting advisory opinions, recommendations
and deliberations comprising part of a process by which governmental decisions
and policies are formulated." Id. at 150 (internal quotation marks
omitted). Exemption 5 also applies to records covered by "the attorney-client
and attorney work-product privileges generally available to all litigants."
Id. at 149. This case principally involves the application of Exemption
5 to documents that were created outside the government but were provided
to federal agency officials at the agency's request and were considered
by the government in its internal deliberations.1
For purposes of the FOIA, the term "agency" is defined to mean
(with exceptions not relevant here) "each authority of the Government
of the United States." 5 U.S.C. 551(1). The courts of appeals that
have considered the question have uniformly concluded that at least under
some circumstances, a document prepared outside the government may qualify
as an "intra-agency memorandum[]" within the meaning of Exemption
5.
The District of Columbia Circuit has developed the most extensive body of
case law, beginning with its decision in Soucie v. David, 448 F.2d 1067
(1971), in which the court stated:
The rationale of the exemption for internal communications indicates that
the exemption should be available in connection with the Garwin Report even
if it was prepared for an agency by outside experts. The Government may
have a special need for the opinions and recommendations of temporary consultants,
and those individuals should be able to give their judgments freely without
fear of publicity. A document like the Garwin Report should therefore be
treated as an intra-agency memorandum of the agency which solicited it.
Id. at 1078 n.44; see also, e.g., Public Citizen, Inc. v. Department of
Justice, 111 F.3d 168, 170 (D.C. Cir. 1997) ("[R]ecords of communications
between an agency and outside consultants qualify as 'intra-agency' for
purposes of Exemption 5 if they have been 'created for the purpose of aiding
the agency's deliberative process.'") (quoting Dow Jones & Co.,
Inc. v. Department of Justice, 917 F.2d 571, 575 (D.C. Cir. 1990)); Formaldehyde
Inst. v. Department of Health & Human Servs., 889 F.2d 1118, 1122-1125
(D.C. Cir. 1989); Ryan v. Department of Justice, 617 F.2d 781, 789-791 (D.C.
Cir. 1980); Hoover v. United States Dep't of the Interior, 611 F.2d 1132,
1137-1138 (5th Cir. 1980); Lead Indus. Ass'n v. OSHA, 610 F.2d 70, 83 (2d
Cir. 1979); cf. CNA Fin. Corp. v. Donovan, 830 F.2d 1132, 1159-1162 (D.C.
Cir. 1987) (applying same principle to discovery request in administrative
adjudication), cert. denied, 485 U.S. 977 (1988).
This Court has not yet had occasion to decide whether, and to what extent,
Exemption 5 may cover documents received from (or furnished to) persons
outside the government. In United States Department of Justice v. Julian,
486 U.S. 1 (1988), three Members of this Court endorsed the approach to
Exemption 5 taken by the courts of appeals:
[T]he most natural meaning of the phrase "intra-agency memorandum"
is a memorandum that is addressed both to and from employees of a single
agency-as opposed to an "inter-agency memorandum," which would
be a memorandum between employees of two different agencies. The problem
with this interpretation is that it excludes many situations where Exemption
5's purpose of protecting the Government's deliberative process is plainly
applicable. Consequently, the Courts of Appeals have uniformly rejected
it, holding the "intra-agency memorandum" exemption applicable
to such matters as information furnished by Senators to the Attorney General
concerning judicial nominations, see Ryan v. Department of Justice, 199
U. S. App. D. C. 199, 207-209, 617 F.2d 781, 789-791 (1980), and reports
prepared by outside consultants, see Government Land Bank v. GSA, 671 F.2d
663, 665 (CA1 1982). It seems to me that these decisions are supported by
a permissible and desirable reading of the statute. It is textually possible
and much more in accord with the purpose of the provision, to regard as
an intra-agency memorandum one that has been received by an agency, to assist
it in the performance of its own functions, from a person acting in a governmentally
conferred capacity other than on behalf of another agency- e. g., in a capacity
as employee or consultant to the agency, or as employee or officer of another
governmental unit (not an agency) that is authorized or required to provide
advice to the agency.
Id. at 18 n.1 (Scalia, J., joined by White & O'Connor, JJ., dissenting).
The Court in Julian did not address the question whether the relevant documents
were "inter-agency or intra-agency" records within the meaning
of Exemption 5, see id. at 11 n.9, since it concluded that the documents
would be routinely discoverable in civil litigation and therefore would
not be covered by the Exemption in any event, see id. at 11-14.
2. This Court has frequently recognized that "Indian tribes occupy
a unique status under our law." National Farmers Ins. Cos. v. Crow
Tribe of Indians, 471 U.S. 845, 851 (1985). "Since the formation of
the Union, the United States has recognized Indian tribes as domestic dependent
nations under its protection." Exec. Order No. 13,084, 63 Fed. Reg.
27,655 (1998). Accordingly, the United States is subject to a trust responsibility
to protect the natural resources of Indian Tribes. See, e.g., United States
v. Cherokee Nation, 480 U.S. 700, 707 (1987); United States v. Mitchell,
463 U.S. 206, 225 (1983); Seminole Nation v. United States, 316 U.S. 286,
296-297 (1942); 25 U.S.C. 162a(d). The relationship between the federal
government and the Tribes with respect to Indian resources has been analogized
to the relationship existing under a common law trust, with the United States
as trustee, the Indian Tribe as beneficiary, and the property and natural
resources as the trust corpus. See Mitchell, 463 U.S. at 225. The Bureau
of Indian Affairs (BIA), an agency located within the Department of the
Interior (DOI), is the federal agency having primary responsibility for
administering land and water held in trust for the Indian Tribes. 25 U.S.C.
1a; 25 C.F.R. Subch. H, Pts. 150-181.
In November 1993, the Secretary of the Interior directed all bureaus and
offices within the agency to "be[] aware of the impact of their plans,
projects, programs or activities on Indian trust resources," and "to
consult with the recognized tribal government with jurisdiction over the
trust property that the proposal may affect * * * if their evaluation reveals
any impact on Indian trust resources." C.A. E.R. 252. In April 1994,
President Clinton issued a memorandum imposing similar requirements on all
executive departments and agencies. Id. at 250-251. In May 1998, the President
issued an Executive Order that directs federal agencies to "establish
regular and meaningful consultation and collaboration with Indian tribal
governments in the development of regulatory practices" that affect
tribal governments. Exec. Order No. 13,084, 63 Fed. Reg. at 27,655.
The Secretary's November 1993 directive has been incorporated into the Departmental
Manual governing the DOI. The Manual states that "[i]t is the policy
of the Department of the Interior to recognize and fulfill its legal obligations
to identify, protect, and conserve the trust resources of federally recognized
Indian tribes and tribal members, and to consult with tribes on a government-to-government
basis whenever plans or actions affect tribal trust resources, trust assets,
or tribal health and safety." C.A. E.R. 254. Accordingly, the Manual
directs that "[a]s part of the planning process, each bureau and office
must identify any potential effects on Indian trust resources" in order
to ensure that such effects can "be explicitly addressed in the planning/decision
documents." Id. at 255. The Manual further provides that
[i]n the event an evaluation reveals any impacts on Indian trust resources,
trust assets, or tribal health and safety, bureaus and offices must consult
with the affected recognized tribal government(s). * * * Information received
shall be deemed confidential, unless otherwise provided by applicable law,
regulations, or Administration policy, if disclosure would negatively impact
upon a trust resource or compromise the trustee's legal position in anticipation
of or during administrative proceedings or litigation on behalf of tribal
government(s).
Ibid.
3. This case principally involves documents submitted to petitioner BIA
by the Klamath Indian Tribes. Pursuant to an 1864 treaty, the Klamath Tribes
retain fishing, hunting, and gathering rights on lands that were previously
part of the former Klamath Indian Reservation in Oregon. See Treaty Between
the United States of America and the Klamath and Modoc Tribes and Yahooskin
Band of Snake Indians, Oct. 14, 1864, 16 Stat. 107.2 In United States v.
Adair, 723 F.2d 1394 (9th Cir.), cert. denied, 467 U.S. 1252 (1984), the
court of appeals held that the hunting and fishing rights reserved to the
Klamath Tribes by the 1864 treaty carry with them an implied reservation
of water rights, "with a priority date of immemorial use, sufficient
to support exercise of treaty hunting and fishing rights." Id. at 1415;
see id. at 1408-1415. The court in Adair further explained that
the right to water reserved to further the Tribe's hunting and fishing purposes
is unusual in that it is basically non-consumptive. The holder of such a
right is not entitled to withdraw water from the stream for agricultural,
industrial, or other consumptive uses (absent other consumptive rights).
Rather, the entitlement consists of the right to prevent other appropriators
from depleting the streams['] waters below a protected level in any area
where the non-consumptive right applies.
Id. at 1411 (citation omitted).
4. Although federal reserved water rights for an Indian Tribe derive from
and are defined by federal law, the adjudication of the existence and quantification
of such reserved water rights may take place in the context of a general
stream adjudication in state court, pursuant to the waiver of sovereign
immunity in the McCarran Amendment, 43 U.S.C. 666. The State of Oregon has
established a statutory procedure to determine the surface water rights
of all claimants in the Klamath River Basin in Oregon. See United States
v. Oregon, 44 F.3d 758, 764 (9th Cir. 1994), cert. denied, 516 U.S. 943
(1995). In United States v. Oregon, the court of appeals held that the waiver
of federal sovereign immunity contained in the McCarran Amendment applied
to the Oregon proceeding. 44 F.3d at 763-770.
The United States is thus a party to the Oregon adjudication and, in addition
to asserting water rights on its own behalf, has an affirmative obligation
to assert water rights claims on behalf of the Klamath Tribes. See United
States v. White Mountain Apache Tribe, 784 F.2d 917, 920 (9th Cir. 1986);
C.A. E.R. 148. The BIA has therefore engaged in extensive consultation with
the Tribes, including the exchange of legal analyses and theories regarding
the scope of the claims submitted by the United States on behalf of the
Tribes. Id. at 149-150. The Department of Justice, on behalf of the BIA,
then submitted claims for the benefit of the Klamath Tribes. The adjudication
remains pending.
5. The Bureau of Reclamation (BOR), an agency located within the DOI, administers
the Klamath Irrigation Project (Klamath Project). The Klamath Project uses
water from the Klamath River Basin to irrigate over 200,000 acres in Klamath
County, Oregon, and two northern California counties, primarily for agricultural
purposes. App., infra, 14a, 35a; C.A. E.R. 273. In 1995, DOI began efforts
to develop the Klamath Project Operations Plan (KPOP or Operations Plan),
a long-term operations plan for the Project. App., infra, 14a, 35a.
In connection with those efforts, DOI entered into a memorandum of agreement
(MOA) with the Klamath, Hoopa Valley, Karuk, and Yurok Tribes (collectively
Klamath Basin Tribes). See C.A. E.R. 115-120. Consistent with the President's
memorandum of April 1994 and the Secretary's directive of November 1993
(see pp. 6-7, supra), the MOA recognized that "[t]he United States
Government has a unique legal relationship with Native American tribal governments."
C.A. E.R. 115. The MOA further recognized that "[w]ith respect to the
development of the KPOP, the government-to-government relationship"
between the United States and the Tribes requires "[a]ssessment, in
consultation with the Tribes, of the impacts of the KPOP on Tribal trust
resources." Id. at 116. The MOA observed that "[t]his involvement
of the Tribes is a major means of assuring that the development of the KPOP
reflects the United States' trust obligations and Tribal rights." Id.
at 118.
6. Respondent is a non-profit association consisting of Klamath Project
irrigators. In 1996, respondent filed a series of FOIA requests with the
BIA, seeking access to all communications between the BIA and the Klamath
Basin Tribes regarding water resources issues. App., infra, 3a, 16a-19a,
37a-38a. The agency released several documents, but it withheld others as
exempt under the attorney-work-product and deliberative-process privileges
protected by FOIA Exemption 5. Plaintiff then brought this action against
the DOI and the BIA.
By the time that the district court ruled in this case, only seven documents
remained in dispute. See App., infra, 3a, 41a. Three of the documents involve
the KPOP; three involve the Oregon adjudication; and the seventh is relevant
to both proceedings. See id. at 41a-49a. Six of the documents were prepared
by the Klamath Tribes or their representative and were submitted to the
BIA (or, in one instance, to DOI's Regional Solicitor, see id. at 45a) at
the agency's request. See id. at 41a-49a. The seventh document was prepared
by a BIA official and was provided to attorneys for the Klamath and Yurok
Tribes. Id. at 43a-44a.3
The case was referred to a magistrate judge, who recommended that the government's
summary judgment motion be granted on the ground that the documents in question
are protected by Exemption 5. App., infra, 33a-71a. The magistrate judge
found
that all the documents in question qualify as inter-agency or intra-agency
documents under the "functional test". All the documents played
a role in the agency's deliberations with regard to the current water rights
adjudication and/or the anticipated [KPOP]. Most of the documents were provided
to the agency by the Tribes at the agency's request. Disclosure of these
documents would expose the agency's decision-making process and discourage
candid discussion within the agency undermining the agency's ability to
function.
Id. at 59a. The magistrate judge found that all of the documents were covered
by the deliberative-process privilege, id. at 56a-61a, and that two of the
documents (involving the Oregon adjudication) were covered by the attorney-work-product
privilege as well, id. at 61a-65a. The district court adopted the findings
and recommendation of the magistrate judge. Id. at 31a-32a.
7. The court of appeals reversed. App., infra, 1a-30a. The court acknowledged
that the District of Columbia Circuit has adopted a "functional"
approach to Exemption 5, under which a document generated outside the government
may under some circumstances be regarded as an "intra-agency"
memorandum. Id. at 6a-8a (see pp. 4-6, supra). The court declined to decide
whether that approach to Exemption 5 is appropriate. App., infra, 8a. Rather,
the court found it dispositive that "the Tribes with whom the Department
has a consulting relationship have a direct interest in the subject matter
of the consultations. The development of the KPOP and the Oregon water rights
adjudication will affect water allocations to the Tribes as well as those
to members of the Association." Ibid. The court therefore concluded
that because "the matters with respect to which [DOI] sought advice
were matters in which the Tribes had their own interest and the communications
presumptively served that interest," id. at 9a, the Tribes' submissions
to the BIA could not properly be regarded as "inter-agency or intra-agency"
documents, id. at 10a. The court stated that "[t]o hold otherwise would
extend Exemption 5 to shield what amount to ex parte communications in contested
proceedings between the Tribes and the [DOI]." Ibid.
Judge Hawkins dissented. App., infra, 11a-30a. He explained:
Where the Bureau and Department are, by law, required to represent the interests
of Indian Tribes, the majority's holding stands as a barrier to that representation.
The majority implies that status as a federally recognized Indian Tribe,
and the U.S. government's trust responsibilities to the Tribes, create not
a cooperative, but an adversarial relationship between the government and
the Tribe, and thus FOIA can be used to destroy any opportunity for "open
and honest" consultation between them. * * * I simply cannot agree
with a notion I think so fundamentally wrong.
Id. at 12a-13a. Judge Hawkins also stated that "[t]he affidavits from
Department and Bureau employees, accepted by the court below, confirm that
these communications spring from a relationship that remains consultative
rather than adversarial, a relationship in which the Bureau and Department
were seeking the expertise of the Tribes, rather than opposing them."
Id. at 25a-26a.4
REASONS FOR GRANTING THE PETITION
In managing and protecting the property of Indian Tribes, the federal government
acts as a trustee and is bound by the high fiduciary standards that the
trustee's role entails. Under established principles, a trustee is required,
inter alia, to maintain the confidentiality of information acquired in the
trust relationship if disclosure of the information would disserve the beneficiary's
interests. The court of appeals in this case, however, construed the FOIA
as effectively precluding federal officials from complying with that fundamental
trust obligation. Because the court of appeals' decision threatens substantial
disruption of the trust relationship between the United States and Indians,
and in light of the broad range of property located within the Ninth Circuit
that the United States holds in trust for Indian Tribes or individual Indians,
review by this Court is warranted.
1. The documents at issue in this case were intended to assist the BIA in
performing its responsibility to manage and protect tribal water rights
held in trust by the United States. "It is, of course, well established
that the Government in its dealings with Indian tribal property acts in
a fiduciary capacity." United States v. Cherokee Nation, 480 U.S. 700,
707 (1987); accord, e.g., United States v. Mitchell, 463 U.S. 206, 225 (1983)
("[A] fiduciary relationship necessarily arises when the Government
assumes * * * elaborate control over * * * property belonging to Indians.");
see id. at 224-226. The government's "conduct, as disclosed in the
acts of those who represent it in dealings with the Indians, should therefore
be judged by the most exacting fiduciary standards." Seminole Nation
v. United States, 316 U.S. 286, 297 (1942).
Under basic trust principles, "[t]he trustee is under a duty to the
beneficiary not to disclose to a third person information which he has acquired
as trustee where he should know that the effect of such disclosure would
be detrimental to the interest of the beneficiary." Restatement (Second)
of Trusts § 170 cmt. s (1959). The "direct interest" test
announced by the court of appeals permits use of the FOIA as a means by
which federal officials may be compelled to breach that obligation on a
regular basis. Because Indian Tribes will always have a "direct interest"
in the government's performance of its fiduciary responsibilities with respect
to resources that the United States holds in trust for the Tribe, the court's
holding effectively precludes the use of Exemption 5 to shield the confidentiality
of communications between the Tribes and the BIA regarding trust property.
The ability of the United States to receive candid advice and information
from Tribes is integral to the government's performance of its trust responsibilities.5
Consistent with that understanding, DOI's Departmental Manual mandates consultation
with Tribes whenever their trust resources may be affected by the Department's
actions. C.A. E.R. 255. The Manual further provides that "[i]nformation
received shall be deemed confidential, unless otherwise provided by applicable
law, regulations, or Administration policy, if disclosure would negatively
impact upon a trust resource or compromise the trustee's legal position."
Ibid.
Under the court of appeals' decision, however, Tribes and individual Indians
who continue to provide the government with advice and information concerning
trust resources may receive representation that falls short of traditional
fiduciary standards, since federal officials will be unable to guarantee
the confidentiality that a trust relationship ordinarily entails. Alternatively,
Tribes and individual Indians may decline to furnish candid assessments
and proposed strategies for protecting their resources. But in that event,
federal officials will be deprived of critical expertise and the beneficiaries'
perspective concerning trust resources that are vital to the well-being
of the Indians; they may be forced to duplicate pertinent research at government
expense; and their ability to manage and protect the trust property will
be compromised. Under either scenario, the United States will be unable
to satisfy the "exacting fiduciary standards," Seminole Nation,
316 U.S. at 297, that have historically governed its relationships with
tribal governments; a wedge will be driven between the United States and
the beneficiaries in whose interest the United States must act, and the
historical relationship of trust and confidence between the United States
and the Indians will be undermined.
The harm caused by the court of appeals' decision, it should be emphasized,
is not visited upon the Tribes and tribal members alone. This Court has
repeatedly recognized the substantial public and governmental interest in
the United States' fulfillment of its trust responsibilities regarding Indian
property. See, e.g., United States v. Candelaria, 271 U.S. 432, 443-444
(1926); United States v. Minnesota, 270 U.S. 181, 194 (1926); Heckman v.
United States, 224 U.S. 413, 437 (1912). The court of appeals' decision
in this case significantly disserves those public and governmental interests
by impairing the ability of the responsible officials of the United States
government to perform that important federal function.
This Court has consistently expressed "reluctance to construe the FOIA
as silently departing from prior longstanding practice." Kissinger
v. Reporters Committee for Freedom of the Press, 445 U.S. 136, 154 (1980)
(citing Renegotiation Bd. v. Bannercraft Clothing Co., 415 U.S. 1, 22 (1974),
and NLRB v. Robbins Tire & Rubber, 437 U.S. 214, 237 (1978)). The court
of appeals' construction of Exemption 5, however, effectively compels federal
officials to breach an obligation of confidentiality that has traditionally
been regarded as integral to any trust relationship. Absent the clearest
evidence of congressional intent, the FOIA should not be read to require
such a departure from traditional practice. As we explain below, no such
evidence exists. To the contrary, the text and history of the FOIA, and
judicial decisions interpreting the Act, reflect a recognition that FOIA's
general rule of agency disclosure should not be applied in so rigid a fashion
as to subvert the effective performance of governmental functions.
2. Although the FOIA reflects "a general philosophy of full agency
disclosure," Department of the Air Force v. Rose, 425 U.S. 352, 360
(1976) (quoting S. Rep. No. 813, 89th Cong., 1st Sess. 3 (1965)), this Court
"has recognized that the statutory exemptions are intended to have
meaningful reach and application," John Doe Agency v. John Doe Corp.,
493 U.S. 146, 152 (1989). Because "Congress realized that legitimate
governmental and private interests could be harmed by release of certain
types of information," it provided "specific exemptions under
which disclosure may be refused." FBI v. Abramson, 456 U.S. 615, 621
(1982). Congress thereby sought "to reach a workable balance between
the right of the public to know and the need of the Government to keep information
in confidence to the extent necessary without permitting indiscriminate
secrecy." H.R. Rep. No. 1497, 89th Cong., 2d Sess. 6 (1966) (H.R. Rep.
No. 1497); see John Doe Agency, 493 U.S. at 152. Congress recognized in
particular that "a full and frank exchange of opinions would be impossible"
if all internal agency communications were made public, and that "advice
from staff assistants and the exchange of ideas among agency personnel would
not be completely frank if they were forced to operate in a fishbowl."
H.R. Rep. No. 1497, at 10 (internal quotation marks omitted); see United
States v. Weber Aircraft Corp., 465 U.S. 792, 802 (1984) (legislative history
of Exemption 5 "recognizes a need for claims of privilege when confidentiality
is necessary to ensure frank and open discussion and hence efficient governmental
operations"); Wolfe v. Department of Health & Human Servs., 839
F.2d 768, 773 (D.C. Cir. 1988) (en banc).
It is thus well established that the indiscriminate release of deliberative
materials prepared by federal officers and employees and retained by the
agency would be incompatible with vigorous and effective government. At
least under some circumstances, public disclosure of documents that are
created by persons outside the federal government, and then provided to
agency officials at the agency's request, may cause similar disruption of
governmental processes. In recognition of that fact, the courts of appeals
have repeatedly sustained the application of Exemption 5 to materials prepared
by outside consultants or advisors. Recognizing that "Congress apparently
did not intend 'inter-agency' and 'intra-agency' to be rigidly exclusive
terms," Ryan v. Department of Justice, 617 F.2d 781, 790 (D.C. Cir.
1980), those courts have applied a "functional test" that focuses
on the role a document plays in the agency's performance of its assigned
functions, and on whether the document's public disclosure would result
in harms comparable to those caused by release of agency-created records.
See pp. 4-6, supra.
In the instant case, the court of appeals concluded that those decisions
were inapposite-i.e., that the materials at issue here could not be regarded
as "intra-agency" documents within the meaning of Exemption 5-because
"the Tribes with whom the [DOI] has a consulting relationship have
a direct interest in the subject matter of the consultations." App.,
infra, 8a. That reasoning is deeply flawed. As we have explained above,
a duty to maintain the confidentiality of information acquired in administering
a trust where disclosure would disserve the beneficiary's interests has
traditionally been an integral feature of the trustee's responsibilities.
The beneficiary's interest in the trust property, and the trustee's duty
to protect that interest, form the essence of the trust relationship. To
put it another way, the trustee's distinct responsibilities run precisely
to those persons having an interest in the trust corpus. It is therefore
perverse to treat the Klamath Tribes' "direct interest" in the
allocation of water within the Klamath Basin as a ground for public disclosure
of communications made by the Tribes to the government when acting in fulfillment
of the United States' responsibilities as trustee for tribal property.
In determining whether particular materials constitute "intra-agency"
records in this type of situation, a reviewing court should focus on whether
the interests of the relevant federal agency and the creator of the documents
are sufficiently congruent that the private party may reasonably be consulted
by the agency on the matter in a confidential manner. In its capacity as
trustee, the United States owes a duty of loyalty to Indian Tribes, resulting
from the unique legal relationship-emanating from the Constitution and congressional
mandates and recognized for nearly two centuries by this Court-in which
the United States holds the lands and associated resources of the Tribes
in trust for their benefit. Because a Tribe's communications with the government
concerning trust resources are integral to its "governmentally conferred
capacity," United States Department of Justice v. Julian, 486 U.S.
1, 18 n.1 (1988) (Scalia, J., dissenting) (see p. 5, supra), as beneficiary
under that unique relationship, the requisite congruence of interests is
inherent in the trust relationship and the functional test is satisfied.
Indeed, a Tribe's "direct interest" in the trust property makes
it a particularly appropriate "consultant" with respect to the
government's performance of its trust responsibilities.
The District of Columbia Circuit confronted a similar question in Public
Citizen, Inc. v. Department of Justice, 111 F.3d 168 (1997). In Public Citizen,
the court of appeals held that Exemption 5 applied to communications between
the National Archives and former President Bush, pursuant to the Presidential
Records Act of 1978, 44 U.S.C. 2201 et seq., concerning the appropriate
disposition of the former President's records. 111 F.3d at 170-172. The
court stated that "[c]onsultations under the Presidential Records Act
are precisely the type that Exemption 5 was designed to protect." Id.
at 171. It explained that an agency may sometimes require the assistance
of outside experts and that "[t]he former President clearly qualifies
as an expert on the implications of disclosure of Presidential records from
his administration." Ibid.
The plaintiff in Public Citizen contended that under the "functional
test," those communications were subject to disclosure because "the
former President has a distinct and independent interest that makes him
an adversary rather than a consultant." 111 F.3d at 171. The court
acknowledged that "a former President's power to assert his rights
and privileges * * * constitutes an independent interest." Ibid. The
court held, however, that neither "[t]he existence of independent presidential
interests," nor the possibility of future conflict between the former
President and the Archivist, was sufficient to negate the consultative relationship.
Ibid. It observed in that regard that "[d]octors, lawyers and other
expert advisors may find themselves in litigation as either plaintiffs or
defendants against those whom they advise (e.g., breach of contract and
malpractice claims), but for all that they are still consultants."
Ibid.
Similarly here, the mere possibility that an Indian Tribe might be dissatisfied
with the government's performance of its duties as trustee in a particular
instance in the future should not obscure the basic congruence of interests
that is inherent in the trust relationship. To the contrary, a Tribe-like
the former President in Public Citizen-is an especially valuable and appropriate
consultant in this setting because it "clearly qualifies as an expert
on the implications of" the government's decisions regarding the management
and protection of trust property. See 111 F.3d at 171. As the dissenting
judge in the instant case explained, "[t]he mandated consideration
that the Bureau and Department have to give to the Klamath Basin Tribes'
claims virtually requires that they consult the Tribes, much as the Archivist
consulted the ex-President, to seek their peculiar expertise concerning
their rights." App., infra, 25a.
3. The court of appeals also stated that to permit withholding of the documents
at issue in this case "would extend Exemption 5 to shield what amount
to ex parte communications in contested proceedings between the Tribes and
the [DOI]." App., infra, 10a. That reasoning, too, is flawed.
a. The error in the court of appeals' analysis is particularly clear with
respect to the documents pertaining to the Oregon adjudication. In that
proceeding, the federal government is not the decisionmaker; its role is
limited to the presentation of claims (on its own behalf and on behalf of
Tribes) for ultimate resolution by state officials. See United States v.
Oregon, 44 F.3d at 764 (describing procedures to be employed in the state
adjudication). As the dissenting judge explained, the court of appeals'
analysis "fails to recognize * * * that at least four of the seven
documents were used by the Bureau and the Department to prepare to represent
the Tribes' claims in the Oregon water rights adjudication-not a proceeding
which either the Bureau, or the Interior Department, has the authority to
'resolve.'" App., infra, 23a n.4. Submissions intended to assist federal
officials in their performance of representational functions before a state
adjudicative body cannot sensibly be characterized as "ex parte communications."
Consistent with its trust obligation, the United States has historically
represented the interests of the Tribes in disputes over their property
and natural resources, including water rights. See, e.g., Winters v. United
States, 207 U.S. 564, 576 (1908) (noting that "[t]he Government is
asserting the rights of the Indians"); United States v. Powers, 305
U.S. 527, 528 (1939); Arizona v. California, 373 U.S. 546, 595-601 (1963);
Colorado River Conservation Dist. v. United States, 424 U.S. 800, 812-813
(1976); Nevada v. United States, 463 U.S. 110, 113, 116, 127 (1983). Effective
representation in that setting requires the exchange of communications between
federal and tribal officials in furtherance of the common purpose of protecting
the Tribes' resources. Common law doctrine protecting exchanges of information
between parties with a common interest in litigation "has been recognized
in cases spanning more than a century." United States v. McPartlin,
595 F.2d 1321, 1336 (7th Cir.), cert. denied, 444 U.S. 833 (1979); see also
United States v. Schwimmer, 892 F.2d 237, 243-244 (2d Cir. 1989); United
States v. American Tel. & Tel. Co., 642 F.2d 1285, 1299 (D.C. Cir. 1980).
The court of appeals' decision places the Klamath Tribes at a distinct disadvantage
vis-a-vis other claimants in the Oregon adjudication. Under the court's
ruling, the Tribes' communications to their representative (the United States)
will be subject to compelled disclosure under the FOIA, without regard to
the applicability of any traditional discovery privilege. Opposing claimants
in the state proceeding, by contrast, may continue to assert all available
privileges with regard to documents passing between them and their own representatives.
This Court has "consistently rejected * * * a construction of the FOIA"
that would permit the Act to "be used to supplement civil discovery."
United States v. Weber Aircraft Corp., 465 U.S. 792, 801 (1984). The court
of appeals' unduly narrow construction of the term "intra-agency,"
however, will have precisely that effect.
b. The court of appeals' "ex parte communications" rationale is
also erroneous with respect to the documents prepared in connection with
the development of the KPOP. Like the documents related to the Oregon adjudication,
those documents were submitted to (or, in one instance, prepared by) the
agency in furtherance of the United States' performance of its trust responsibilities
on behalf of the Tribes. That the federal government has additional duties
with respect to the KPOP does not vitiate the government's duty as trustee
to manage and protect tribal resources in accordance with fiduciary standards.
In Nevada v. United States, supra, this Court considered the preclusive
effect of the judgment in a prior water rights adjudication in which the
United States had claimed water rights for both the Pyramid Lake Indian
Reservation and the planned Newlands Reclamation Project. See 463 U.S. at
113. The court of appeals in that case held that the prior judgment was
not binding on the Tribe because the federal government had "compromised
its duty of undivided loyalty to the Tribe" by representing competing
interests in the earlier adjudication. Id. at 141. This Court disagreed,
explaining that
where Congress has imposed upon the United States, in addition to its duty
to represent Indian tribes, a duty to obtain water rights for reclamation
projects, and has even authorized the inclusion of reservation lands within
a project, the analogy of a faithless private fiduciary cannot be controlling
for purposes of evaluating the authority of the United States to represent
different interests.
Id. at 142. The Court held that "the interests of the Tribe and the
Project landowners were sufficiently adverse so that both are now bound
by the final decree entered in the [prior] suit," notwithstanding the
fact that both interests were represented by the United States in the earlier
proceeding. Id. at 143. The Court thus recognized that the United States
government's duty to consider and represent a variety of interests does
not detract from its obligation as trustee to represent Indian Tribes and
protect tribal property rights.
In the instant case, the documents pertaining to the KPOP were submitted
to (or created by) the BIA in carrying out the United States' obligations
as trustee for the tribal water rights potentially affected by the operation
of the Klamath Project. The Court in Nevada v. United States observed that
the government's trust obligations in its dealings with Indian Tribes "have
been traditionally focused on the Bureau of Indian Affairs." 463 U.S.
at 127; see also id. at 135-138 n.15; Poafpybitty v. Skelly Oil Co., 390
U.S. 365, 374 (1968) (identifying the BIA as "the agency of the Department
of the Interior charged with fulfilling the trust obligations of the United
States").
The fact that DOI must also take into account the interests of other water
users in exercising ultimate decisionmaking authority with respect to the
KPOP does not alter the duty of loyalty to the Tribes owed by the agency
insofar as it is acting in its fiduciary role. The KPOP-related documents
submitted by the Tribes were furnished to the BIA rather than to the BOR.
That fact reinforces the conclusion that the documents, while assuredly
relevant to DOI's performance of its ultimate decisionmaking responsibilities
with respect to the KPOP, were provided to the Department in its capacity
as trustee. The court of appeals failed to recognize that the limitation
upon FOIA's overall goal of open government that the confidential trust
relationship requires is simply an unavoidable consequence of the DOI's
dual role as trustee for Indian Tribes and as federal policymaker. See Nevada
v. United States, 463 U.S. at 127-128 (noting the DOI's often-conflicting
responsibilities to act as trustee for Indian resources and to manage federal
water reclamation projects); Idaho v. Oregon, 444 U.S. 380, 391 (1980) (referring
to the United States' "role as trustee for the Indians" and "its
role as manager of the ocean fishery and the dams"). Because the documents
at issue here were submitted to (or created by) the government in its capacity
as trustee, the court of appeals erred in analogizing those documents to
"ex parte communications."
4. No other court of appeals has addressed the application of FOIA Exemption
5 to documents provided by Tribes to a federal agency for the purpose of
assisting the government in the performance of its trust responsibilities.6
Notwithstanding the absence of a circuit conflict concerning the status
under Exemption 5 of tribal submissions to federal agencies, the question
presented warrants immediate review by this Court.
The Ninth Circuit contains approximately 62% (28 million out of 45.5 million
acres) of the lands held by the United States in trust for Tribes and individual
Indians, and 400 of the 556 federally recognized Tribes are within that
Circuit. In addition, approximately 67 of the 122 cases in which the United
States is currently representing Tribes in litigation are within the territory
covered by the Ninth Circuit. The practical impact of the court of appeals'
decision is therefore very substantial even if trust property within the
Ninth Circuit is considered in isolation. The decision can also be expected
to disrupt the trust relationship between the BIA and Tribes and individual
Indians whose lands and resources are in other areas of the country. The
court of appeals' ruling will inevitably cast doubt on the BIA's ability
to protect the confidentiality of tribal submissions bearing on the government's
performance of its fiduciary duties, and it may thereby deter Tribes and
tribal members from candidly expressing their views regarding the appropriate
management of resources that the United States holds in trust for them.
Thus, while the court of appeals' decision is binding precedent only within
the Ninth Circuit, the decision is likely to have a practical impact approaching
that of a nationwide rule. The federal government cannot fulfill its fiduciary
duties with respect to Indian trust resources without receiving candid,
unfiltered information and assessments from the Tribes and individual Indians
who hold the beneficial interest in those resources. In particular, in the
course of litigation and negotiations concerning trust resources, the BIA
and the Justice Department frequently ask Tribes to provide highly sensitive
and privileged information regarding the Tribes' positions on relevant issues,
as well as technical information supporting those positions. The public
disclosure of tribal submissions will cause great damage to the United States'
litigating and negotiating position in ongoing trust resources cases. Under
the court of appeals' decision, Tribes will face a Hobson's choice: they
may disclose important litigation or policy information to the trustee and
face a substantial risk of public disclosure, or they may withhold from
their own representative information that is necessary to the fully effective
performance of the government's trust responsibilities. So profound and
deleterious a change in the relationship between the United States and Indian
Tribes should not be permitted to take effect without plenary review by
this Court.
CONCLUSION
The petition for a writ of certiorari should be granted.
Respectfully submitted.
SETH P. WAXMAN
Solicitor General
DAVID W. OGDEN
Acting Assistant Attorney General
EDWIN S. KNEEDLER
Deputy Solicitor General
MALCOLM L. STEWART
Assistant to the Solicitor General
LEONARD SCHAITMAN
MATTHEW M. COLLETTE
Attorneys
MAY 2000
1 Six of the seven documents currently at issue fit that description. The
seventh was prepared within the agency and was then provided to persons
outside the government from whom the agency sought advice and assistance
concerning its performance of official duties.
2 In 1954, the Klamath Indian Reservation in Oregon was terminated pursuant
to the Klamath Termination Act, see Act of Aug. 13, 1954, ch. 732, §
1, 68 Stat. 718 (25 U.S.C. 564 et seq.). Under the 1954 Act, the Klamath
Tribes' reservation lands were disposed of to private parties, individual
Indians, and to federal agencies, but the Tribes' hunting, fishing, and
gathering rights remained intact. See, e.g., United States v. Adair, 723
F.2d 1394, 1412 (9th Cir.), cert. denied, 467 U.S. 1252 (1984). In 1986
the Klamath Tribes were restored as a federally recognized tribal entity.
See Klamath Indian Tribe Restoration Act, Pub. L. No. 99-398, 100 Stat.
849 (25 U.S.C. 566 et seq.).
3 The Ninth Circuit has repeatedly held that the Yurok Tribe has fishing
rights in the Klamath Basin. See, e.g., Parravano v. Babbitt, 70 F.3d 539
(1995), cert. denied, 518 U.S. 1016 (1996). Although no court has adjudicated
the Yurok Tribe's water rights, the view of the United States is that under
the reasoning of Adair and other precedents of the Ninth Circuit and this
Court, the Tribe has instream flow rights sufficient to support its fishing
rights.
4 Judge Hawkins also observed that the majority's conception of the relationship
between the Tribes and the agency in this case "fails to recognize
or address that at least four of the seven documents were used by the Bureau
and the Department to prepare to represent the Tribes' claims in the Oregon
water rights adjudication-not a proceeding which either the Bureau, or the
Interior Department, has the authority to 'resolve.'" App., infra,
23a n.4.
5 For over half a century, federal policy has favored a broad right of tribal
self-government and self-determination. See, e.g., Morton v. Mancari, 417
U.S. 535, 553 (1974) (explaining that "Congress in 1934 determined
that proper fulfillment of its trust required turning over to the Indians
a greater control of their own destinies" because "[t]he overly
paternalistic approach of prior years had proved both exploitative and destructive
of Indian interests."); Oklahoma Tax Comm'n v. Citizens Band Potawatomi
Indian Tribe, 498 U.S. 505, 510 (1991) (relevant federal statutes "reflect
Congress' desire to promote the goal of Indian self-government, including
its overriding goal of encouraging tribal self-sufficiency and economic
development") (internal quotation marks omitted); Santa Clara Pueblo
v. Martinez, 436 U.S. 49, 62 (1978). In the Indian Self-Determination and
Education Assistance Act, for example,
Congress declare[d] its commitment to the maintenance of the Federal Government's
unique and continuing relationship with, and responsibility to, individual
Indian tribes and to the Indian people as a whole through the establishment
of a meaningful Indian self-determination policy which will permit an orderly
transition from the Federal domination of programs for, and services to,
Indians to effective and meaningful participation by the Indian people in
the planning, conduct, and administration of those programs and services.
25 U.S.C. 450a(b). Consultation with Tribes regarding the United States'
performance of its trust responsibilities substantially furthers the federal
policy favoring tribal self-government and self-determination, by ensuring
that tribal perspectives are fully considered by federal officials charged
with managing and protecting property held in trust for the Tribes.
6 In County of Madison v. United States Department of Justice, 641 F.2d
1036, 1039-1041 (1981), the First Circuit held that several documents submitted
by an Indian Tribe to the Department of Justice were not "intra-agency"
records within the meaning of Exemption 5. The documents at issue in County
of Madison, however, were submitted in connection with settlement negotiations
concerning the Tribe's lawsuit against the United States. Id. at 1038. The
First Circuit concluded that such documents could not appropriately be analogized
to staff recommendations prepared within the agency, explaining that the
Tribe's members "were past and potential adversaries, not coopted colleagues."
Id. at 1040. The documents at issue in the instant case, by contrast, were
submitted not in a setting marked by conflict between the Tribes and the
United States, but "as part of a cooperative, consultative relationship
mandated by Departmental policy and federal law." App., infra, 27a-28a
(Hawkins, J., dissenting).
APPENDIX A
UNITED STATES COURT OF APPEALS
NINTH CIRCUIT
No. 97-36208
KLAMATH WATER USERS PROTECTIVE ASSOCIATION,
PLAINTIFF-APPELLANT
v.
UNITED STATES DEPARTMENT OF THE INTERIOR;
BUREAU OF INDIAN AFFAIRS, DEFENDANTS-APPELLEES
[Argued and Submitted: March 3, 1999
Decided: Aug. 31, 1999]
Before: KLEINFELD and HAWKINS, Circuit Judges, and SCHWARZER,* Senior District
Judge.
Opinion By Judge SCHWARZER; Dissent By Judge MICHAEL DALY HAWKINS.
SCHWARZER, Senior District Judge:
The question before us is whether documents submitted by Indian Tribes at
the request of the Department of the Interior in the course of consultation
over ongoing administrative and adjudicative proceedings involving water
rights and allocations affecting the Tribes' interests are exempt under
the Freedom of Information Act as "inter-agency or intra-agency memorandums
or letters. . . ." 5 U.S.C. § 552(b)(5) (1994).
FACTUAL BACKGROUND
Klamath Water Users Protective Association (the "Association")
brought this action under the Freedom of Information Act ("FOIA"),
5 U.S.C. § 552, against the Department of the Interior (the "Department")
and its constituent agency, the Bureau of Indian Affairs ("BIA"),
see 25 U.S.C. § 1. The Association is a nonprofit association of water
users in the Klamath River Basin who receive water from the Klamath Project
(the "Project"), a federal reclamation project administered by
the Bureau of Reclamation ("Reclamation"), an agency within the
Department. See 43 U.S.C. § 1457 (1994). Members of the Association,
most of which are public agencies, such as irrigation districts holding
contracts with Reclamation, receive water from the Project, as do the Klamath
Basin Tribes. Those Tribes include the Klamath Tribes, with fisheries located
near Upper Klamath Lake, and the Yurok, Hoopa Valley, and Karuk Tribes,
with fisheries on the Klamath River. The former Tribes have demanded that
the Department maintain high lake levels to protect their fisheries, while
the latter Tribes have demanded increased releases to the Klamath River
to benefit their downstream fisheries. The Tribes' demands, if satisfied,
would lead to reduced water allocations to members of the Association and
have been protested by Association members who fear water shortages and
economic injury in dry years.
In 1995, Reclamation announced its intention to prepare a plan for long-term
operation of the Project, the Klamath Project Operation Plan ("KPOP").
The purpose was to enable the Project to operate in conformity with the
Department's various legal obligations in wet as well as dry years. The
Department hired a consulting firm and held a series of meetings with interested
parties. The meetings disclosed substantial disagreements among irrigation
interests and the Tribes, leading the irrigation interests to fear that
their water allocations would be cut. Although a draft KPOP was to be prepared
for public comment in 1996, none has so far been released.
In connection with the development of the KPOP, the Department entered into
an agreement with the Klamath Basin Tribes to provide consultation and cooperation
to assist it in fulfilling its trust obligations. In a separate matter,
the Department also filed claims on behalf of the Klamath Tribes in a water
rights adjudication process established by the State of Oregon. This adjudication
will quantify water rights, including those of the Klamath Tribes, in the
Klamath River Basin.
The Association made several FOIA requests of the BIA for documents provided
to or received from the Klamath Basin Tribes pertaining to water resources
issues in the Klamath River Basin in order to discern what information was
being exchanged during the preparation of the draft KPOP outside the public
process. The Department released some documents, but withheld others. After
the filing of this action, more were from time to time released and the
Association withdrew its request for others. In the end only seven documents
remained in dispute. They are listed in the Vaughn index submitted by the
Department and are described as memoranda provided by the tribes to the
Department for use in the development of the KPOP, a memorandum from the
Department concerning the government's trust obligations in developing the
KPOP, and memoranda from the tribes to the Department addressing claims
in the water rights adjudication.
The district court granted the Department's motion for summary judgment.
Insofar as relevant to our disposition, the district court held that the
documents "qualif[ied] as inter-agency or intra-agency documents under
the 'functional test,'" citing Formaldehyde Inst. v. Department of
Health and Human Servs., 889 F.2d 1118 (D.C. Cir. 1989). It found that the
documents "played a role in the agency's deliberations with regard
to the current water rights adjudication and/or the anticipated Plan of
Operations. Most of the documents were provided to the agency by the Tribes
at the agency's request." The district court distinguished Madison
County v. Department of Justice, 641 F.2d 1036 (1st Cir. 1981), on the ground
that "the Tribes are not in current litigation with the government,
but instead acted in the role of consultants" and that "[t]he
government used all these documents in fulfilling their trust obligation,
and as part of their decision making process." The Association appeals
from the judgment. We have jurisdiction of this appeal under 28 U.S.C. § 1291 and reverse.
I. STANDARD OF REVIEW
Ordinarily, review of summary judgment is de novo. In FOIA cases, however,
because of their unique nature, we have adopted a two-step standard of review.
We first determine whether the district court had an adequate factual basis
upon which to base its decision. If so, we review the district court's conclusion
of an exemption's applicability de novo. See Minier v. CIA, 88 F.3d 796,
800 (9th Cir. 1996). Some of our cases have applied the clearly erroneous
standard to review of a district court's final determination of whether
a particular document is exempt under the FOIA. See, e.g., Rosenfeld v.
United States Dep't of Justice, 57 F.3d 803, 807 (9th Cir. 1995); Frazee
v. United States Forest Serv., 97 F.3d 367, 370 (9th Cir. 1996); Maricopa
Audubon Soc'y v. United States Forest Serv., 108 F.3d 1082, 1085 (9th Cir.
1997). As we explained in Schiffer v. FBI, 78 F.3d 1405, 1409 (9th Cir.
1996), application of that standard is appropriate in the common FOIA case
where the district court's findings of fact effectively determine the legal
conclusion. We recognized, however, that where the adequacy of the factual
basis is not disputed, the district court's legal conclusion whether the
FOIA exempts a document from disclosure is reviewed de novo. See id. This
appeal raises no factual issues. The question presented, whether the fiduciary
and consultant relationship between the Department and the Tribes qualifies
the disputed documents under the FOIA's threshold inter/intra agency test,
is one of law. Accordingly, our review is de novo.
II. APPLICATION OF THE FOIA
The FOIA "does not apply to matters that are-
. . .
(5) inter-agency or intra-agency memorandums or letters which would not
be available by law to a party other than an agency in litigation with the
agency. . . ."
§ 522(b)(5). We must apply this exemption consistently with our holdings
that the FOIA "'mandates a policy of broad disclosure of government
documents.'" Maricopa, 108 F.3d at 1085 (quoting Church of Scientology
v. Department of the Army, 611 F.2d 738, 741 (9th Cir. 1980)). When a request
is made, an agency may withhold a document only if it falls within one of
the nine statutory exemptions in § 522(b) and these exemptions "'must
be narrowly construed' in light of the FOIA's 'dominant objective' of 'disclosure,
not secrecy.'" Id. (quoting Department of the Air Force v. Rose, 425
U.S. 352, 361, 96 S. Ct. 1592, 48 L.Ed.2d 11 (1976)). "FOIA imposes
on agencies the burden of proving that withheld materials are exempt from
disclosure." Id.
The Department contends that the documents at issue, involving communications
between the Tribes and the Department concerning the development of the
KPOP and the Oregon water rights adjudication, meet the "functional
test" of Exemption 5 for inter-agency/ intra-agency communications.
It rests its contention on the fact that to fulfill its fiduciary responsibility
to protect and manage the natural resources of the Indian Tribes, it entered
into a Memorandum of Agreement with the Tribes acknowledging their consultative
role in these two matters.
The Department places principal reliance on Formaldehyde Inst. v. Department
of Health and Human Servs., 889 F.2d 1118 (D.C. Cir. 1989). That case involved
the application of Exemption 5 to a peer review letter received by the Centers
for Disease Control ("CDC"), an agency within the Department of
Health and Human Services, from a professional journal. The journal had
reviewed a report submitted by an agency employee, determined not to publish
the report, and then forwarded the peer review letter to the agency. The
Formaldehyde Institute requested copies of all records of agency contacts
with the journal relating to publication or rejection of the report. The
agency rejected the request, relying principally on Exemption 5. The court
of appeals reversed judgment for the Institute. Its opinion is largely devoted
to determining that the peer review letter was predecisional and part of
the deliberative process. But it also held that the peer review letter qualified
under the inter-agency/intra-agency test. Quoting from its prior decision
in CNA Fin. Corp. v. Donovan, 830 F.2d 1132, 1161-62 (D.C. Cir. 1987), which,
in turn, relied on Ryan v. Department of Justice, 617 F.2d 781 (D.C. Cir.
1980), it held that "'[w]hether the author is a regular agency employee
or a temporary consultant is irrelevant; the pertinent element is the role,
if any, that the document plays in the process of agency deliberations.'"
See Formaldehyde, 889 F.2d at 1118. In Ryan, the court had said that "[w]hen
an agency record is submitted by outside consultants as part of the deliberative
process, and it was solicited by the agency, we find it entirely reasonable
to deem the resulting document to be an 'intra-agency' memorandum for purposes
of determining the applicability of Exemption 5." Ryan, 617 F.2d at
790. More recently, the court held that communications mandated by statute
between the National Archives and former Presidents relating to access to
their presidential records are within Exemption 5. Public Citizen, Inc.
v. Department of Justice, 111 F.3d 168, 170-71 (D.C. Cir. 1997).
This court has not yet had occasion to address the reach of the inter-agency/intra-agency
test under Exemption 5 and to determine whether the expansive interpretation
adopted by the District of Columbia Circuit is consistent with the policy
of broad disclosure on which the FOIA is anchored. We need not reach the
issue here because this case differs in a material respect from those on
which the Department relies. Here, the Tribes with whom the Department has
a consulting relationship have a direct interest in the subject matter of
the consultations. The development of the KPOP and the Oregon water rights
adjudication will affect water allocations to the Tribes as well as those
to members of the Association. While the Tribes and the Association may
not be engaged in conventional adversary litigation, they assert conflicting
claims in a contentious proceeding involving the Department. The documents
at issue are relevant to those claims. Thus, this case differs from Public
Citizen, Inc. v. Department of Justice, on which the Department relies,
in that it presents not simply "the potential for an adversary relationship"
but a clear and present conflict with respect to the subject matter of the
documents, which is for the Department to resolve. See 111 F.3d at 171 ("At
some point, of course, features of the other relationships (above all, a
possible future adversary one) might come to eclipse the consultative relationship.
. . .").
We have held that documents submitted to an agency by persons outside the
government as part of an administrative proceeding are not internal agency
documents exempt from disclosure. See Van Bourg, Allen, Weinberg & Roger
v. NLRB, 751 F.2d 982, 984-85 (9th Cir. 1985) (affidavits describing union
practices, officials and members submitted as part of an NLRB unfair labor
practice investigation not within Exemption 5). The Department distinguishes
the instant case on the ground that it had requested the advice of the Tribes.
But that distinction makes no difference because, as County of Madison v.
United States Dep't of Justice, 641 F.2d 1036, 1040 (1st Cir. 1981), holds
in a similar context, consultation with the tribes is not similar to "'the
advice from staff assistants and exchange of ideas among agency personnel'
that forms the object of exemption five," which exemption is limited
to "interagency or intra-agency memorandums or letters." In County
of Madison, the court held that communications between an Indian tribe and
the Department of Justice in an unsuccessful effort to settle litigation
between them did not qualify as inter-agency/intra-agency documents. It
distinguished cases such as Ryan from the case before it in which, "by
contrast, the Oneidas approached the government with their own interest
in mind. While they came to parley, they were past and potential adversaries,
not coopted colleagues." Id. While it is true that the Department requested
the advice of the Tribes, the matters with respect to which it sought advice
were matters in which the Tribes had their own interest and the communications
presumptively served that interest, even if they incidentally benefited
the Department. Thus, we conclude that even were we to take an expansive
view of the inter-agency/intra-agency test, these documents do not qualify
for exemption.
To hold otherwise would extend Exemption 5 to shield what amount to ex parte
communications in contested proceedings between the Tribes and the Department.
Rejection of such an extension does not conflict with the Department's fiduciary
obligations to the Tribes. See United States v. Cherokee Nation, 480 U.S.
700, 707, 107 S. Ct. 1487, 94 L.Ed.2d 704 (1987). The Department exercises
its regulatory powers in the context of the governing statutes; while it
must act in the interests of the tribes, it may not afford them greater
rights than they would have under the regulatory scheme. See Skokomish Indian
Tribe v. Federal Energy Regulatory Comm'n, 121 F.3d 1303, 1308 (9th Cir.
1997). Indeed, the 1994 Presidential Memorandum directing the heads of all
executive departments and agencies to consult with tribal governments prior
to taking actions that affect them specifically, provides that "[a]ll
such consultations are to be open and candid so that all interested parties
may evaluate for themselves the potential impact of relevant proposals."
3 C.F.R. 1007 (1995). And a corresponding directive issued by the Secretary
of the Interior in 1993 contains the identical mandate. See United States
Dept. of the Interior, Protection of Indian Trust Resource Procedures app.
Order No. 3175 (1993).
Because the documents fail to meet the threshold inter-agency/intra-agency
test, we need not reach the other issues raised by the Association. The
judgment is REVERSED.
REVERSED.
* The Honorable William W. Schwarzer, Senior
United States District Judge for the Northern District of California, sitting
by designation.
MICHAEL DALY HAWKINS, Circuit Judge, dissenting:
The majority, in an effort which marginally advances the cause of open government,
winds up punishing entities the government has a fiduciary duty to protect.
For the reasons that follow, I would affirm the judgment of the district
court that the documents at issue should remain protected from the prying
eyes of outsiders to the trust relationship between Native American Tribes
and the Department of Interior.
We are asked here to review the district court's findings that these particular
documents, in their entirety, are exempted from disclosure under the Freedom
of Information Act ("FOIA") by FOIA's exemption five. Although,
in its own words, the Bureau of Indian Affairs ("Bureau") and
other Interior Department Agencies have provided it with "numerous
documents" pursuant to its FOIA request, the Klamath Water Users Protective
Association ("Association"), a non-profit corporation whose membership
consists mainly of irrigation districts, continues to seek the release of
these seven documents. Six of the seven documents in question were exchanged
between the Bureau and the Klamath Basin Indian Tribes1 ("Klamath Basin
Tribes" or "Tribes") in relation to consultation on the natural
resource rights of the Klamath Basin Tribes in the Klamath River Basin in
northern California and southern Oregon. The remaining document is a communication
between the Department's Office of the Solicitor and a Tribe, in relation
to an Oregon state proceeding in which the Department is mandated to press
natural resources claims on behalf of affected Tribes.
The dispositive factor in this appeal, according to the majority, is that
the Klamath Basin Tribes have a "direct interest" in the subject
of their natural resource rights, and thus communications between the Tribes
and the Interior Department can never fall within any reading of exemption
five. In making the Tribes' "direct interest" the dispositive
factor, however, I believe that the majority misreads and misapplies FOIA
case law.
In deciding that these seven documents fail to meet the threshold "inter-agency/intra-agency"
test for exemption from disclosure under exemption five, the majority never
considers how the documents were employed in decision making. Fundamentally,
the majority fails to recognize that the appropriate inquiry is an inquiry
into the role a document plays in agency decision making, not into the identity
of its producer. If this test were applied, I believe that the district
court's conclusion that these documents are protected would be shown to
be entirely correct.
Where the Bureau and Department are, by law, required to represent the interests
of Indian Tribes, the majority's holding stands as a barrier to that representation.
The majority implies that status as a federally recognized Indian Tribe,
and the U.S. government's trust responsibilities to the Tribes, create not
a cooperative, but an adversarial relationship between the government and
the Tribe, and thus FOIA can be used to destroy any opportunity for "open
and honest" consultation between them. I have great respect for the
majority and its author, but I simply cannot agree with a notion I think
so fundamentally wrong.
FACTS
The Klamath Basin Tribes have natural resources rights tied to the waters
of the Klamath River and Lake. See, e.g., United States v. Adair, 723 F.2d
1394 (9th Cir. 1984) (Klamath Tribes). In the past, the Klamath Basin Tribes
have asserted these water rights to protect two species of fish in the Upper
Klamath Lake, and to benefit tribal fisheries in the California stretches
of the Klamath River.
The United States government and its agencies have a clear trust responsibility
to protect Tribal natural resources. See United States v. Cherokee Nation,
480 U.S. 700, 707, 107 S. Ct. 1487, 94 L.Ed.2d 704 (1987). Pursuant to Presidential
and Departmental directives, all agencies within the Interior Department
are required to "consult with tribes on a government-to-government
basis whenever plans or actions affect tribal trust resources." Department
of the Interior, Departmental Manual: Part 512 American Indian and Alaska
Native Programs, Departmental Responsibilities for Indian Trust Resources
§ 2.2 (1995). In spite of such consultation, the Tribes have not always
agreed with the Bureau of Reclamation, an agency of the Interior Department,
in its decisions allocating Klamath waters and at one point threatened to
sue under the Endangered Species Act to protect fish.
The Bureau of Reclamation administers the Klamath Irrigation Project ("Klamath
Project"), which uses the waters of the Klamath to irrigate over 200,000
acres in Klamath County, Oregon and two northern California counties, mainly
for agricultural purposes. The Association's interest in the Klamath's waters
springs from its membership which is composed in the main of irrigation
districts who have entered into contracts with the Bureau of Reclamation
to deliver water from the Klamath Project.2 While the Bureau of Reclamation
has obligations under the Reclamation Act and contract to these irrigators,
it owes them not the slightest fiduciary duty, or obligation to assert their
claims. See Nevada v. United States, 463 U.S. 110, 103 S. Ct. 2906, 77 L.Ed.2d
509 (1983) (finding obligations under Reclamation Act to project irrigators,
but obligations to Indian Tribes grounded in trust responsibility); Filings
of Claims for Water Rights in General Stream Adjudications, 97 Interior
Dec. 21 (1989) (concluding that while United States is obligated to make
filings in stream adjudications on behalf of project water rights to which
it holds legal title, it is not required to make filings or present evidence
on behalf of individual water users).
1. The Klamath Project Operation Plan
The triggering event for the Association's FOIA request was the 1995 announcement
that the Department would be developing a long-term plan for operation of
the Klamath Project, known as the "KPOP." Multiple agencies within
the Department, including the Bureau of Reclamation, the Bureau of Indian
Affairs, the Biological Resources Division, the National Marine Fisheries
Service, and the Office of the Solicitor have been jointly involved in the
process. Public meetings were held to allow public participation in the
planning process, and were attended by Interior Department personnel, Tribal
representatives, environmental groups, members of the Association, and state
agencies.
Besides the public meeting process, the Department has also separately consulted
with the Klamath Tribes on the operation plan as part of its obligation
to protect the Tribes' trust resources whenever a potential impact on resources
might occur. The Association has no legitimate role in this consultation.
Nor was the fact of it hidden from these parties: it was made visibly apparent
on an information sheet distributed to publicize the planning process. The
Department and Tribes entered into a "Memorandum of Agreement for the
Government-to-Government Relationship in the Development of the Klamath
Project Operations Plan" ("Memorandum of Agreement") which
formalized the consultation commitment, and allowed participation by the
tribal governments in "planning and managing the trust resource base."
The Department has not yet completed the KPOP. A draft plan was produced
in 1996, but never released.
2. The Oregon Water Rights Adjudication
The Bureau also represents some of the Klamath Tribes in Oregon state proceedings
to adjudicate all claims to surface water in the Klamath River Basin in
Oregon. These proceedings were initiated by the Oregon Water Resources Department
pursuant to Oregon law. As well as asserting its own claims, the United
States has an obligation to assert the rights of the Tribes. See United
States v. White Mountain Apache Tribe, 784 F.2d 917, 920 (9th Cir. 1986).
While these proceedings are not covered by the Memorandum of Agreement,
the tribes have been extensively consulted in the process of determining
the scope of the Tribes' water rights claims, and legal theories that could
be advanced on their behalf. Other federal agencies have also filed water
rights claims, as have private parties.
3. The FOIA Request
In 1996, the Association submitted FOIA requests to the Bureau seeking communications
exchanged between the Bureau and the Tribes during the time period the draft
KPOP was being prepared and reviewed. Unhappy with the information released
by the Bureau, the Association filed this action seeking further disclosure
pursuant to FOIA. In the course of the litigation, the Bureau released more
documents, and the Association dropped its requests for others, leaving
only these seven documents at issue.
Based on its findings regarding the role the documents played in agency
deliberations, as well as on the consultative relationship that trust responsibilities
and the Memorandum of Agreement established with the Tribes, the court below
concluded that these seven documents fall within the exemption from disclosure
provided by exemption five.
Document 3, FOIA Appeal 96-168, is a fax from the Klamath Tribes to the
Bureau that contains a position paper on the water rights of the tribes.
An affidavit from a Bureau employee stated that the Department had requested
the position paper for use in departmental deliberations about the adjudication,
and trust responsibilities in developing the KPOP. The court below found
that disclosure would "discourage candid discussions within the Department"
and "undermine the Department's ability to address water rights issues
concerning the tribes."
Document 6, FOIA Appeal 96-168, is the only document from the Bureau to
the Klamath Basin Tribes. It is a draft memo prepared by a Bureau employee
that was circulated to two other Bureau employees and two Tribal attorneys
proposing draft language to explain the Bureau's responsibilities for trust
assets in the KPOP process. The court below found that the document was
used pursuant to consultation with the tribes, relied upon in agency deliberations,
and that disclosure would discourage inter-departmental discussion and harm
the development of the operations plan.
Document 10, FOIA Appeal 96-168, is a fax from a Klamath tribal attorney
to a Bureau employee expressing views on trust resources, especially fish.
An affidavit by the Bureau employee receiving the fax established that he
had requested the document and used it in his work preparing for the development
of the KPOP. The court below again found that the document had been obtained
pursuant to consultation with the tribes, relied upon by agency personnel
in deliberations, and that disclosure would discourage inter-departmental
discussion and harm the development of the operations plan.
Document 16, FOIA Appeal 96-201, is a letter from a Klamath tribal attorney
expressing views on the tribe's water rights claim in the adjudication.
An affidavit from a Department employee established that the Office of the
Solicitor asked for the information and used it to prepare for the water
rights adjudication. The court below again found that the document had been
obtained pursuant to consultation with the tribes, been relied upon by Departmental
personnel in deliberations, and that disclosure would discourage inter-departmental
discussion.
Document 20, FOIA Appeal 96-201, is also a letter from the Klamath Tribes
to the Bureau concerning water rights, used to prepare for the water rights
adjudication. The court below again found that the document had been obtained
pursuant to consultation with the tribes, relied upon by the Bureau in its
deliberations, and that disclosure would discourage inter-departmental discussion
and harm the development of the operations plan.
Document 25, FOIA Appeal 96-201, is a letter from a Klamath tribal attorney
to the Bureau on water rights that also includes a tribal resolution. Affidavits
by Bureau employees again establish that this document was requested by
the Bureau to assist in preparing for the water rights adjudication. The
court below made the same findings in relation to this document as to the
others, and also found that disclosure would "expose sensitive litigation
positions" of the Department in the adjudication.
Document 27, FOIA Appeal 96-201, is a memo from a Klamath Tribes biologist
to a Bureau employee discussing biological factors that may affect trust
resources such as fish. Affidavits again establish that the Bureau requested
and used this document to develop the KPOP. The court below made the same
findings in relation to this document as to the others, and also found that
disclosure would "expose technical opinions deemed critical to analyzing
the extent of the Department's trust responsibility."
ANALYSIS
The Association argues that withholding these seven documents "unfairly
and unduly disadvantage[s]" the Association and its members in their
ability to participate in the KPOP process. The Department argues that the
district court was correct in finding that the documents fall within FOIA
exemption five as inter-agency or intra-agency communications, because the
Tribes are in effect "consultants" to the Bureau on the issue
of Tribal natural resource rights, and that releasing the documents would
chill the agency's ability to make policy decisions.
The crucial question is the interpretation and applicability of exemption
five to these documents, in these circumstances.3 Exemption five exempts
from public disclosure "inter-agency or intra-agency memorandums or
letters which would not be available by law to a party other than an agency
in litigation with the agency." 5 U.S.C. § 552(b)(5). While, like
all FOIA exemptions, we narrowly construe exemption five, see Van Bourg,
Allen, Weinberg & Roger v. NLRB, 751 F.2d 982 (9th Cir. 1985), we also
recognize that it "incorporates the attorney-client privilege, the
attorney work-product privilege, and the executive 'deliberative process'
privilege that protects candid internal discussion of legal or policy matters."
Maricopa Audubon Soc'y v. United States Forest Serv., 108 F.3d 1082, 1083
n. 1 (9th Cir. 1997).
In considering the applicability of the "deliberative process"
privilege contained within exemption five--the privilege mainly at stake
in this case-this court has usually found itself engaged in a two step process:
(1) determining whether a document is "predecisional," and, if
so; (2) determining whether it is "deliberative." See, e.g., Maricopa
Audubon Soc'y v. United States Forest Serv., 108 F.3d 1089, 1093 (9th Cir.
1997); Assembly v. United States Dep't of Commerce, 968 F.2d 916, 920 (9th
Cir. 1992); National Wildlife Fed'n v. United States Forest Serv., 861 F.2d
1114, 1117 (9th Cir. 1988); Federal Trade Comm'n v. Warner Communications
Inc., 742 F.2d 1156, 1161 (9th Cir. 1984). In this instance, however, the
majority's decision rests on a more basic challenge to the applicability of the exemption-a challenge
to whether the documents in question are "inter-agency or intra-agency."
At first glance, the majority's decision that the documents-which no one
disputes were exchanged between the Klamath Tribes and the Bureau-are not
"inter-agency or intra-agency" documents seems entirely logical.
The Klamath Tribes are not agencies of the federal government, and would
probably strongly resist characterization as such.
Exemption five has not been so narrowly construed, however, by this court
or by others. The purpose behind exemption five is the promotion of quality
governmental decision making by allowing free and independent debate during
the course of decision making, without exposure of intermediate opinions
and recommendations to the "fishbowl" of public scrutiny. See
Environmental Protection Agency v. Mink, 410 U.S. 73, 87, 93 S. Ct. 827,
35 L.Ed.2d 119 (1973). Since an agency will often rely on "opinions
and recommendations of temporary consultants, as well as its own employees,"
Ryan v. Department of Justice, 617 F.2d 781 (D.C. Cir. 1980), in its deliberative
process, communications from these consultants, although not literally inter-agency
or intra-agency can be "an integral part of [the agency's] deliberative
process." Id. at 789-90. Thus, this circuit and others have recognized
that documents created by outside consultants that otherwise qualify as
deliberative, predecisional agency documents may also shelter within exemption
five. See Van Bourg, 751 F.2d at 985 (stating that documents prepared by
outsiders with formal relationships to agencies may fall within exemption
five); see also Public Citizen, Inc. v. Department of Justice, 111 F.3d
168 (D.C. Cir. 1997); Formaldehyde Inst. v. Department of Health and Human
Serv., 889 F.2d 1118 (D.C. Cir. 1989); Brockway v. Department of Air Force,
518 F.2d 1184 (8th Cir. 1975); Wu v. National Endowment for Humanities,
460 F.2d 1030 (5th Cir. 1972).
In determining whether a document, or communication from an outside consultant
is part of the "deliberative process" that exemption five is designed
to protect, "the pertinent element is the role, if any, that the document
plays in the process of agency deliberations." CNA Financial Corp.
v. Donovan, 830 F.2d 1132, 1161 (D.C. Cir. 1987); see also Formaldehyde
Inst., 889 F.2d at 1123. The primary consideration is not the identity of
the creator of the document, but "what harm, if any, the [document's]
release would do to [the agency's] deliberative process." Id. This
"functional test" covers circumstances "where an agency has
'a special need for the opinions and recommendations of temporary consultants,'"
exempting documents with such information from disclosure under FOIA. See
State of Texas v. ICC, 889 F.2d 59, 61 (5th Cir. 1990) (quoting Hoover v.
United States Dep't of the Interior, 611 F.2d 1132 (5th Cir. 1980)).
The majority, however, holds that the seven documents here in issue can
never fall within any reading of exemption five of FOIA, because the Klamath
Basin Tribes have a "direct interest" in the water and natural
resource rights to which the documents pertain. In my view, the majority
errs in resting their decision on this "direct interest" and abandoning
examination of the function of these documents within the Bureau's deliberative
processes.
The majority believes the Tribes' "direct interest" in natural
resource and water rights causes a conflict of interest that makes these
documents function as tools of advocacy rather than consultancy. The majority
is unclear, however, why this "direct interest" automatically
disqualifies the documents for use in agency deliberations-whether the crux
of the problem is conflict between the Tribes and the Association, or conflict
between the Tribes and the Department. While the majority states at one
point that the Tribes and the Association "assert conflicting claims
in a contentious proceeding," they also state that these are "contested
proceedings between the Tribes and the Department." 4
Regardless of where the majority means to fix this "conflict,"
the function of these documents was to aid in departmental policy making,
and the Tribes never exited their role of consultancy to become advocates.
These documents are not advocacy, but the written record of an agency's
consultation of a knowledgeable source, whose rights the agency is obligated
to protect, in the process of making decisions as to how best to protect
those rights.
If the majority believes that the Tribes' direct interest in natural resource
and water rights is problematic because the Tribes and Association "assert
conflicting claims in a contentious proceeding," the cases that the
majority relies upon are inapposite. The existing case law, while relying
on the role of the document in agency deliberations as the determinative
factor, looks not at conflict between competing claimants before an agency,
but at the existence of conflict between outside entities and an agency
in trying to determine that role.
The "potential for an adversary relationship" raised in Public
Citizen, 111 F.3d at 171, was not a potentially adversarial relationship
between Public Citizen and the former President, but a potentially adversarial
relationship between the former Presidents and the Records Agency that the
court found remained consultative. See id. Nor did the County of Madison
decision rest upon the adversarial relationship between the County and the
Oneida, but upon the adversarial relationship-litigation-between the Department
of Justice and the Oneida. See County of Madison v. United States Dep't
of Justice, 641 F.2d 1036, 1040 (1st Cir. 1981).
Moreover, this is not a case like Van Bourg where the agency is formally
adjudicating a claim between two parties, and reviewing documents submitted
by those private adverse parties to represent their positions in litigation,
or a formal agency investigation. See Van Bourg, 751 F.2d at 985. Documents
submitted in such circumstances would indeed have been submitted in response
to "a mere request for information" by the agency to allow it
to make a determination and could be viewed as advocacy, rather than being
"a consultation or solicitation of expert advice . . . sought for the
purpose of formulation of [agency] policy." State of Texas, 889 F.2d
at 61. These documents were, instead, submitted at the request of the Bureau
in order to allow it to formulate a position on the Klamath Basin Tribes'
claims in the KPOP and the Oregon adjudication.
The majority argues that the Tribes' direct interest in their subject matter
makes unimportant that the Bureau requested these documents from the Tribes.
With the analysis properly focused on the function of the documents, however,
rather than on the identity of the consultant, the request shows that the
Bureau and the Tribes were in a consultative, not adversarial relationship.
Sharing proposed strategies, as several of the memos do, is not the action
of parties in conflict.
If the majority means to argue instead that these are "contested proceedings
between the Tribes and the Department," while this position would be
in line with existing analysis of exemption five, the majority's analysis
remains flawed. The Tribes and Bureau are not engaged in an adversarial
relationship.
Rather than being distinguishable, Public Citizen is highly persuasive in
establishing that exemption five does apply. Public Citizen directly rejects
the majority's position that "a distinct and independent interest .
. . makes [an outside entity] an adversary [to the agency] rather than a
consultant." Public Citizen, 111 F.3d at 171. Much as the Klamath Basin
Tribes have natural resource rights which the Bureau and Department have
a duty to reconcile with other parties' claims to water, the ex-President
has "rights and privileges" in records that the Archivist has
to reconcile with duties to the public to make records available. See id.
The mandated consideration that the Bureau and Department have to give to
the Klamath Basin Tribes' claims virtually requires that they consult the
Tribes, much as the Archivist consulted the ex-President, to seek their
peculiar expertise concerning their rights, and how they wish to assert
them in the KPOP and Oregon adjudication.
The affidavits from Department and Bureau employees, accepted by the court
below, confirm that these communications spring from a relationship that
remains consultative rather than adversarial, a relationship in which the
Bureau and Department were seeking the expertise of the Tribes, rather than
opposing them. Like the court in Public Citizen, which relied on a similar
declaration by an Archives employee explaining that the communications with
the ex-President were used to streamline the reconciliation of interests
and ensure rapid resolution, I believe that the "[t]he existence of
independent . . . interests provides no basis for doubting this explanation."
See id. I would find that in these circumstances "the potential for
an adversary relationship is not enough to negate one of consultation."
Id. The communications between the Tribes and the Bureau are, as the affidavits
explain, communications aimed at allowing Bureau employees to understand
the Tribes' natural resource rights and formulate policy accordingly.
County of Madison, a fundamentally different case, does not stand as a barrier
to the application of exemption five even under "an expansive view
of the inter-agency/intra-agency test." There, the Oneida Tribe and
the United States were engaged in adversarial litigation, and the documents
the United States sought to withhold were documents related to litigation
settlement negotiations. See County of Madison, 641 F.2d at 1036, 1041-43.
In such a situation of direct adversity between an agency and an outside
party, documents are outside of exemption five, especially where there is
not a shred of deliberative process and participation. Cf. Van Bourg, 751
F.2d at 985; State of Texas, 889 F.2d at 61. The Bureau and the Klamath
Tribes, in contrast, are not "past and potential adversaries"
at this point-in many ways they have a relationship akin to that of attorney
and client.
The majority ignores that the factor crucial to County of Madison's holding
was not that the Oneida had self-interest in mind in dealing with the Department
of Justice, but that the documents in question were documents related to
litigation in which the two were adversaries, rather than documents that
the Department had requested to formulate policy, or assist in decision
making. While the interests of the parties illuminate the function of the
documents in County of Madison, County of Madison was decided on that function,
not on the "selfishness" of the Oneida's motives.
As the First Circuit noted, "the line between supplicants and consultants
may not always be clear." County of Madison, 641 F.2d at 1042. In this
case, however, the Klamath Basin Tribes and Bureau relationship is consultative
rather than self-seeking supplication. The relationship, as well as the
documents here in question, are entirely different from those in County
of Madison. These documents were not submitted in relation to litigation,
but as part of a cooperative, consultative relationship mandated by Departmental
policy and federal law.
Regardless of where the "conflict" is situated, or how we interpret
prior case law, the crux of the majority's unease is that at some point
the Department will have to balance the rights of the Tribes and those of
the Association's members in allotting water in the KPOP. Thus, the majority
perceives allowing these communications to be kept from disclosure under
exemption five as, in some sense, allowing "ex parte" contact.
In deciding this case on grounds prompted by that concern, however, the
majority fails to recognize the implications of the relationship between
the Department and the Tribes and the implications of its decision for that
relationship.
This does not mean, as the majority argues, allowing the trust relationship
would subvert FOIA and its goals. To the contrary, just as the fiduciary
relationship between the Tribes and the government is not enough alone to
justify blanket application of exemption five, see Morongo Band of Mission
Indians v. FAA, 161 F.3d 569, 574 (9th Cir. 1998) (trust relationship, while
creating fiduciary duties, does not extend to give tribes greater rights
than others under general regulations and statutes); Skokomish Indian Tribe
v. FERC, 121 F.3d 1303, 1308 (9th Cir. 1997), neither should the fiduciary
relationship be a barrier to the application of the exemption-the end result
of the majority's decision-if the exemption's requirements are otherwise
fulfilled. The main thrust of the memos quoted by the majority is to improve
communications between the tribes and the government as a part of strengthening
their unique relationship. The spirit behind that policy is not carried
out when we not only fail to recognize that relationship, but use it to
frustrate the use of this otherwise applicable FOIA exemption. I argue not
for giving extra favoritism to the Tribes under an equally applicable law,
but for the recognition of the consequences of a true distinction between
their position and the positions of others vis-a-vis the Department in this
matter.
The Department and Bureau are mandated to bring claims for, and protect
the interests of the Tribes in a way that they are not required to act for
the Association's members, or other parties interested in the outcome of
the KPOP. The Bureau is not only the agency principally entrusted with relations
with Indian Tribes in general, but in this situation it is mandated to present
claims on behalf of the Tribes in both the adjudication and the KPOP proceedings.
The Tribes' relationship to the Bureau, and Department, is akin to an attorney-client
or fiduciary relationship. Far from being in conflict with the Tribes, the
Bureau in many ways functions as the Tribes' advocate.
Because the Tribes and Association are not similarly situated with regard
to the Department, what is occurring is not "ex parte contact."
Acknowledging this difference in relationships in our analysis of this case
would not mean granting the Tribes extra benefits under FOIA. FOIA does
not require the release of these documents, as it might communications between
the Association's members and the Department, because the Tribes have a
formal consultative relationship and these documents are being used for
predecisional, deliberative purposes. See Van Bourg, 751 F.2d at 985.
The majority's focus on "direct interest" rather than looking
at the use, or function, of the documents is destructive in this context,
where the Tribes and the Bureau are closely linked. This decision undermines
the ability of the Bureau to fully understand and represent the Klamath
Tribes in these two proceedings, without really adding much to the cause
of freedom of information. There is no strong reason to chip away at that
relationship in these circumstances.
It is important to remember that the Bureau, with whom all but one of these
communications were exchanged, is not the final arbiter of water rights
in either the KPOP or the Oregon adjudication. The Bureau is only one agency
of many involved in the formulation of the KPOP and in that process its
role concentrated on safeguarding the interests of the Tribes within the
broader scheme of the KPOP. No position that the Bureau alone takes is likely
to be taken as a given in the KPOP, and accepted without dispute by the
other agencies in the Department.
In the end, the Bureau's and the Department's final policy position will
become public-both in the KPOP proceedings and the adjudication. The Association
and all others interested will find out that decision at an appropriate
time, when there will be a chance to challenge and discuss. The majority's
decision, allowing the Association to leap-frog that process, gains little
in the public exposure of information and loses much in terms of the ability
of the Bureau to carry out its duty to protect the rights of the Tribes.
Because of this, and because I believe that the proper inquiry in this case
should have been an inquiry into the role the documents played in agency
decision making, I dissent.
1 The Klamath Basin Tribes include the Klamath Tribes, the Yurok Tribe,
the Hoopa Valley Tribe, and the Karuk Tribe. Their interests are not always
in accord, as the Tribes located near Upper Klamath Lake would prefer high
levels of water in the Lake, and those located on the Klamath River would
prefer high levels in the River to protect their respective fisheries, but
they are generally adverse to the interests of irrigation districts-some
of whom are members of the Association-who would prefer the waters be devoted
to irrigation.
2 The Association is not itself a contractor with the Klamath Project for
water. Most of its members, however, are irrigation districts and other
public agencies who contract with the Klamath Project for water allocations.
The members then resell the water to private individuals and firms to irrigate
commercial farming in Klamath County, Oregon and Modoc and Siskiyou Counties
in California.
3 As the majority explains, while our standard of review of summary judgments
under FOIA is unsettled, this threshold determination is subject to de novo
review as a question of law.
4 If the majority means to characterize this case as the assertion by the
Tribes and the Association of "conflicting claims in a contentious
proceeding involving the Department" creating a "clear and present
conflict with respect to the subject matter of the documents, which is for
the Department to resolve," as a threshold matter, such a characterization
fails to recognize or address that at least four of the seven documents
were used by the Bureau and the Department to prepare to represent the Tribes'
claims in the Oregon water rights adjudication-not a proceeding which either
the Bureau, or the Interior Department, has the authority to "resolve."
APPENDIX B
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF OREGON
Civil No. 96-3077-CO
KLAMATH WATER USERS PROTECTIVE ASSOCIATION, PLAINTIFF
v.
UNITED STATES DEPARTMENT OF THE INTERIOR;
UNITED STATES BUREAU OF INDIAN AFFAIRS, DEFENDANTS
[Filed: Oct. 16, 1997]
ORDER
Magistrate Judge John P. Cooney filed Findings and Recommendation on June
19, 1997, in the above entitled case. The matter is now before me pursuant
to 28 U.S.C. § 636(b)(1)(B) and Fed. R. Civ. P. 72(b). When either
party objects to any portion of a magistrate judge's Findings and Recommendation,
the district court must make a de novo determination of that portion of
the magistrate judge's report. See 28 U.S.C. § 636(b)(1); McDonnell Douglas Corp. v. Commodore Business Machines,
Inc., 656 F.2d 1309, 1313 (9th Cir. 1981), cert. denied, 455 U.S. 920 (1982).
Plaintiff has timely filed objections. I have, therefore, given de novo
review of Magistrate Judge Cooney's rulings.
I find no error. Accordingly, I ADOPT Magistrate Judge Cooney's Findings
and Recommendation filed June 19, 1997, in its entirety. Defendants' motion
for summary judgment is granted.
IT IS SO ORDERED.
DATED this 16th day of October, 1997.
/S/ MICHAEL R. HOGAN
UNITED STATES DISTRICT JUDGE
APPENDIX C
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF OREGON
Civil No. 96-3077-CO
KLAMATH WATER USERS PROTECTIVE ASSOCIATION,
PLAINTIFF
v.
UNITED STATES DEPARTMENT OF THE INTERIOR;
UNITED STATES BUREAU OF INDIAN AFFAIRS, DEFENDANTS
[Filed: June 19, 1997]
FINDINGS AND RECOMMENDATION
COONEY, Magistrate Judge:
Plaintiff, Klamath Water Users Protective Association (KWUPA), brings this
action pursuant to the Freedom of Information Act (FOIA), 5 U.S.C. §
552 et seq., and the Administrative Procedure Act (APA), 5 U.S.C. §
701 et seq. Plaintiff seeks injunctive relief prohibiting defendants from
withholding the requested documents, an order directing defendants to waive
all fees for copies of requested documents, and reasonable attorney fees
and costs. Defendants move for summary judgment (#22). Defendants filed
the documents in dispute with the court for in camera review.
I. FACTS
In making the following statement of facts, I view the facts in the light
most favorable to the nonmoving party.1
KWUPA is a nonprofit corporation. (Solem declaration at 1). Most of its
members are contractors of the Bureau of Reclamation, who receive water
for irrigation through the Klamath Project facilities. (Id. at 1-2). Plaintiff
does not conduct any commercial activities, and it does not use or distribute
water from the Klamath Project. (Id. at 5). Most of its members are public
agencies; primarily irrigation districts, but some are not contractors within
the Klamath Project. (Id. at 2 and 6).
KWUPA provides information and representation for its members on matters
in which they have a common interest, and to persons in the Klamath Basin
in general. (Id. at 6). It holds annual meetings, at which it presents information
regarding activities and current developments regarding water resource issues
in the Klamath River Basin. (Id.). It maintains a library of materials related
to water resources, agriculture, and other resource issues in or affecting
the Klamath Basin. (Id.). It makes information available to the public by
participation in public or civic functions, such as booths at county fairs.
(Id.).
Members distribute water to nearly 230,000 acres of land for irrigation
in southern Klamath County, Oregon and northern Modoc and Siskiyou Counties
in California. (Id. at 2). Most of the land is irrigated and farmed by private
individuals or firms. (Id.). The major source of water for irrigation in
the Klamath Project area is Upper Klamath Lake. (Id. at 2). Water is stored
in the lake by operation of a dam, and is also diverted from the Lake through
a large canal operated by Klamath Irrigation District. (Id.). Some water
released from the dam is diverted for project irrigation, while other water
flows into the Klamath River. (Id.). In the past few years, the Bureau of
Reclamation and Department of Interior have stated that the water in the
Klamath project must be managed, allocated, or reallocated to protect interests
of various Indian tribes. (Id.).
In February of 1995, the Bureau of Reclamation announced that it planned
to prepare a plan for long-term operation of the Klamath Project. (Id.).
They wanted to develop a plan to operate the Klamath Project according to
the various legal obligations of the Department of Interior. (Id.). In February
of 1995, the Bureau of Reclamation stated that the Klamath Project Operation
Plan (KPOP) would be completed by March of 1996. (Id.).
The Department of the Interior held a series of meetings to discuss KPOP
development. (Id. at 3). At the meetings, the Klamath Tribes advocated decisions
for the management of water that would reallocate water used in the Klamath
Project to instream uses. (Id.). Some tribes advocated high flows in the
mainstream of the Klamath River, while other tribes advocated high lake
elevations in the Upper Klamath Lake. (Id.).
The Department of the Interior hired a consultant, CH2M Hill, to assist
in KPOP development. (Id.). CH2M Hill prepared technical papers which the
public commented on. (Id.). The Bureau of Reclamation also engaged the U.S.
Geological Survey to review technical information and arguments submitted
by various parties, including the Tribes. (Id.).
In February of 1996, Mr. Ryan, an employee of the Bureau of Reclamation,
informed Mr. Solem, the manager of the Klamath Irrigation District, that
he had completed a draft plan for internal review by Department of Interior
personnel. (Id. at 4). Mr. Ryan informed Mr. Solem that irrigators, tribes,
or other persons outside the federal government would not have an opportunity
to review the plan before a draft was publicly released. (Id.). A draft
KPOP was never released to the public. (Id.). Bureau of Reclamation employees
stated that they hoped to prepare a long term plan by sometime in 1999,
although no specific schedule or completion date has been identified. (Id.
at 5).
Steve Palmer of the Regional Solicitor's Office advised plaintiff's attorney
that the Department of the Interior will file claims to water rights in
the Klamath River system, in the Klamath River adjudication, on behalf of
the Klamath Tribe. (Simmons Declaration at paragraph 4-5). Mr. Palmer has
also advised Mr. Simmons that the Department of the Interior will file claims
in the adjudication to assert and protect the irrigation water rights in
the Klamath Project. (Id.). Mr. Palmer expressed the belief that any information
submitted by irrigation interests related to the adjudication would be made
available to the tribes or other parties upon request. (Id.). The Bureau
of Reclamation has received and filled Freedom of Information Act (FOIA)
requests from the tribes for correspondence, information, or materials provided
to the Bureau by irrigation interests or the plaintiff. (Id.).
By letters dated February 27, March 18, March 26, and July 3, 1996, Paul
S. Simmons, on behalf of KWUPA, addressed FOIA requests to several components
of the Bureau of Indian Affairs (BIA), as well as the Office of the Assistant
Secretary - Indian Affairs. (Defendants' Exhibit 9 at 1, 5-27). Mr. Simmons
requested:
"any writing or communication provided to or received from the Klamath
Basin Tribes, or any evidence or record of any communication, written or
verbal, involving the Klamath Basin Tribes
. . . This includes, but is not limited to, any letter, memorandum, facsimile
transmission, meeting notes or notes of telephone conversations or any other
conversation, meeting attendance lists, telephone logs, or any document
of any kind, regardless of authorship, provided to or received from the
Klamath Basin Tribes, or any other document that is evidence of a communication
with the Klamath Basin Tribes."
(Id. at 5, 7, 10, 13, 15, 18, 20, 22, 24, and 26). The term "Klamath
Basin Tribes" was defined as "each of the Klamath Tribes, the
Hoopa Tribe, the Karuk Tribes, the Yurok Tribe, and their members, officers,
agents, attorneys, consultants, employees, and any other person communicating
on behalf of the listed Indian tribes." (Id. at 5, 7, 9, 13, 15, 18,
20, 22, 24, and 26). Mr. Simmons also requested a fee waiver based on the
organization's tax-exempt status. (Id. at 6, 8, 11, 14, 16, 19, 21, 23,
25, and 27).
In a letter dated June 25, 1996, the BIA responded to Mr. Simmons's requests
of February 27, March 18, and March 26. (Id. at 29-35). The BIA released
two documents in their entirety and one document in redacted form. (Id.).
The June 25 letter stated that the BIA was withholding 17 responsive documents,
as well as the redacted portions of Cathy Wilson's appointment book, based
on deliberative process privilege and/or the attorney work-product privilege
under FOIA exemption 5. (Id. at 29-31). The BIA denied Mr. Simmons's request
for a fee waiver stating that: "We have determined that the information
requested is primarily in the KWUA's commercial interest, based on the resource
issues currently facing the organization in the Klamath Basin, and thus
does not meet the statutory fee waiver test in section 2.21(a)(1)(ii). The
KWUA's tax-exempt status is not determinative." (Id. at 34).
In a letter dated July 18, 1996, Mr. Simmons appealed this decision. (Defendants'
Exhibit 9 at 2, 40-49). In the appeal, Mr. Simmons stated that there was
no basis for the BIA's finding that the request was for commercial purposes.
(Id. at 48). The letter stated that: the Association was a nonprofit corporation
with no commercial interests; the Association would not profit from the
information; its members included public agencies; it provided information
and resources directly and indirectly to several thousand people interested
in the Klamath River; the information would be maintained in the Association's
library; it would be available to any member of the public; and any member
of the public who wished to review it would be able to learn about and understand
the activities of the Department of the Interior. (Id. at 48-49).
On January 20, 1997, the Department issued a determination on the fee waiver
issue presented in Mr. Simmons's administrative appeal of July 18, 1996.
(Id. at 3). The Department denied the request for a fee waiver. (Id. at
67). The denial stated that it was the Department's opinion that the disclosure
was not likely to contribute to the public's understanding of the operations
or activities of the BIA. (Id. at 68). The Department found that the Association's
focus pertained to the interest of a small segment of interested persons,
as opposed to the general public, and that to qualify for a fee waiver the
release of the requested materials had to contribute to the understanding
of the public at large. (Id.). The Department found that the Association
was seeking the information for its own use to evaluate the proposals of
the BIA and the Klamath Basin Tribes concerning the Klamath Project Operations
Plan. (Id.). The Department also found that the fact that the Association
would maintain the materials in a library did not demonstrate that the Association
was planning to disseminate the material to the general public, and the
Department was not aware of any interest in the material by the general
public. (Id.). The Department also attached an opinion from the Office of
the Solicitor further explaining the legal basis for the denial. (Id.).
In response to the FOIA request dated July 3, 1996, the BIA released eight
documents in their entireties, and one document in redacted form. (Id. at
2, 37-38). Twenty items, as well as redacted portions of Cathy Wilson's
appointment book, were withheld, based on the deliberative process privilege
and/or the attorney work-product privilege. (Id.). One document was withheld
based on the attorney-client privilege and the deliberative process privilege
of FOIA exemption 5. (Id.). By letter dated August 3, 1996, the BIA denied
Mr. Simmons July 3 request for a fee waiver. The August 3 letter stated
that: "We have determined that the information requested is primarily
in the KWUA's commercial interest, based on the resource issues currently
facing the organization in the Klamath Basin. The KWUA's tax-exempt status
is not determinative. Moreover, the request seeks materials informative
primarily to a narrow segment of interested persons rather than the general
public. Thus, we conclude that the request does not meet the statutory fee
waiver test in 43 C.F.R. § 2.21(a)." (Id. at 37).
In an August 5, 1996 letter, Mr. Simmons appealed the denial. (Id. at 2).
Mr. Simmons incorporated by reference his arguments in support of a fee
waiver stated in his appeal dated July 18, 1996. (Id. at 51). On December
19, 1996, the Department denied Mr. Simmons's August 5, 1996 fee waiver
appeal. (Id. at 3, 53).
The denial stated that it was the Department's opinion that the disclosure
was not likely to contribute to the public's understanding of the operations
or activities of the BIA. (Id. at 54). The Department found that the Association's
focus pertained to the interest of a small segment of interested persons,
as opposed to the general public, and that to qualify for a fee waiver the
release of the requested materials had to contribute to the understanding
of the public at large. (Id.). The Department found that the Association
was seeking the information for its own use to evaluate the proposals of
the BIA and the Klamath Basin Tribes concerning the Klamath Project Operations
Plan. (Id. at 55). The Department found that the fact that the Association
would maintain the materials in a library did not demonstrate that the Association
was planning to disseminate the material to the general public, and the
Department was not aware of any interest in the material by the general
public. (Id.). The Department also attached an opinion from the Office of
the Solicitor further explaining the legal basis for the denial. (Id.).
Plaintiff has narrowed the list of documents in dispute to twelve items.
(Plaintiff's memorandum in opposition at 1). Plaintiff concedes that the
Vaughn index and declarations justify withholding 13 documents describe
as notes prepared by BIA personnel. Plaintiff no longer seeks the release
of seven items which the Bureau of Reclamation produced. (Plaintiff's memorandum
at 10). Defendants have released five2 of the twelve items, leaving the
following seven items in dispute:
1) A January 19, 1996, facsimile from Klamath Tribes Department of Natural
Resources(DNR) to Cathy Wilson (BIA)(Identified as Document No. 3, FOIA
Appeal No. 96-168) is a position paper that discusses water law legal theories
concerning the water rights of the federally recognized Indian Tribes of
the Klamath Basin. (Vaughn Index at 10). It involves and contains the Tribes'
analyses as to matters relating to the adjudication and/or development of
a long-term operations plan. (Defendants' Exhibit 1 at 4). The document
was prepared by the Tribes and was provided to the Department at the Department's
request for use by the Department in the performance of its official duties,
including departmental deliberations concerning the adjudication issues
and its trust responsibility in developing a long-term plan of operations.
(Id. at 4-5; Supplemental; Wilson affidavit at 1).
Catherine E. Wilson, water rights specialist with the BIA, requested that
Carl (Bud) Ullman, Klamath tribal counsel, provide her with a copy of this
document. (Supplementary declaration of Catherine Wilson at 1). She used
this document in her work concerning the development of an operations plan
for the Klamath Project. (Id. at 2).
The Solicitor asked Bud Ullman, an attorney for the Klamath Tribes, to develop
the position paper. (Vaughn Index at 11; Supplemental Bergstrom declaration
at 3). Mr. Ullman prepared the document and shared it with the Department
because of the common interest of the Tribes and the Department in protecting
tribal resources in the development of an operation plan for the Klamath
Project, in potential litigation arising from the operations plan development,
and in the pending adjudication in Oregon. (Vaughn Index at 11). The Department
consults with the Klamath Tribes when departmental actions may affect trust
resources. (Id.). The Department relied upon the document in deliberations.
(Id.). The document was created and used to assist the Department in deliberations
and decision-Freedom of Information Act (FOIA) making regarding the ongoing
adjudication and development of a long-term plan for the Klamath Project.
(Defendants' Exhibit 1 at 5).
The document addresses issues related to water rights of the tribes at issue
in both the ongoing development of an operations plan for the Klamath Project
and the pending adjudication. (Vaughn Index at 11). The Department used
the document in its case preparation in connection with the adjudication
and in addressing its trust responsibility in developing a long-term operations
plan for the Klamath Project. (Defendants' Exhibit 1 at 5).
The document predates the filing of water rights claims on behalf of the
Klamath Tribes in the Klamath Basin Adjudication, which were due to be filed
April 30, 1997, as well as the issuance of an operations plan for the Klamath
Project. (Vaughn Index at 11). Disclosure of the document would expose the
Department's decision making process in such a way as to discourage candid
discussions within the Department, and thereby undermine the Department's
ability to address water rights issues concerning the tribes. (Id.);
2) A January 24, 1996, draft memorandum from Cathy Wilson (BIA) to Tom Strekal
and Doug Tedrick (BIA), and Richard Cross, Yurok tribal attorney, and Bud
Ullman, Klamath Tribal attorney, (Identified as Document No. 6, FOIA Appeal
No. 96-168)3 contains views on policy the BIA could provide to other governmental
agencies concerning the obligation to protect Indian trust assets in developing
an operations plan for the Klamath Project. (Id.). The memorandum considers
proposing language as guidance regarding the trust responsibility. (Id.).
The document satisfies exemption five because the Department consults with
the Klamath Tribes when departmental actions may affect trust resources.
(Id.). The department relied upon the document in its deliberations. (Id.).
The memorandum predates the issuance of an operations plan. (Id.). The memorandum
addresses issues related to the development of an operations plan for the
Klamath Project. (Id. at 12). Disclosure of the document would expose the
Department's decision making process in such a way as to discourage candid
discussions within the Department, and thereby undermine the Department's
ability to develop an operations plan. (Id.);
3) A February 8, 1996, facsimile from Bud (Carl) Ullman, Klamath tribal
attorney, to Tom Strekal of the BIA (Identified as Document No. 10, FOIA
Appeal No. 96-168) contains comments on the USFWS proposals for listed species.
(Id.). This paper expresses views concerning trust resources in light of
the USFWS's proposal on listed species and the resulting implication on
lake management. (Id.). The facsimile cover sheet was released. (Id.).
Thomas A. Strekal, a fish and wildlife biologist with the BIA, requested
that Mr. Ullman forward him a copy of this document. (Supplemental Declaration
of Thomas Strekal at 1). He used this document in his work concerning the
development of an operations plan for the Klamath Project. (Id.).
The document satisfies exemption five because the Department consults with
the Klamath Tribes when departmental actions may affect trust resources.
(Vaughn Index at 12). The Department relied upon the document in deliberations.
(Id. at 12-13). The document predates the issuance of a plan of operations,
and it addresses issues related to the development of an operations plan
for the Klamath Project. (Id. at 13). Disclosure of the document would expose
the Department's decision making process in such a way as to discourage
candid discussions within the Department, and thereby undermine the Department's
ability to develop an operations plan. (Id.);
4) A May 23, 1996, letter from Bud (Carl) Ullman, Klamath tribal attorney,
to Lynn Peterson, Regional Solicitor of the Pacific Northwest Region, (Identified
as Document No. 16, FOIA Appeal No. 96-201) discusses the Klamath Basin
Adjudication. (Vaughn Index at 18; Supplemental declaration of Barbara Scott-Brier
at 1). It concerns the water rights claim being prepared on behalf of the
Klamath tribes. (Id.). This document assisted the Department in its case
preparation in connection with the water rights adjudication. (Supplemental
declaration of Barbara Scott-Brier at 3). The letter satisfies exemption
five because the Department consults with the Klamath Tribes when departmental
actions may affect trust resources. (Vaughn Index at 18). The Department
relied upon the document in deliberations. (Id.).
The Office of the Solicitor asked Bud Ullman, an attorney for the Klamath
Tribes, to develop the letter. (Id.; Supplemental declaration of Barbara
Scott-Brier at 1). It was shared with the Department because of the common
interest between the Tribes and the Department in protecting tribal trust
resources in the pending adjudication in Oregon. (Vaughn Index at 18). The
letter was prepared by the Tribe in consultation with and for use by the
Department in the Department's deliberations concerning arguments to advance
in the adjudication. (Defendants' Exhibit 4 at 34). The Department used
the letter in its case preparation in connection with the adjudication,
and it was prepared at the recommendation of a Department employee. (Id.).
The letter addresses issues related to the pending adjudication. (Vaughn
Index at 18). It was provided to the Department prior to the Department
filing its water rights claims on behalf of the Tribes in the adjudication.
(Defendants' Exhibit 4 at 3). Disclosure of the letter would expose the
Department's decision making process in such a way as to discourage candid
discussions within the Department, thereby undermining the Department's
ability to address water rights issues concerning the tribes. (Vaughn Index
at 18). Disclosure would expose sensitive litigation positions to be taken
in the adjudication. (Id.);
5) A June 18, 1996 letter from Jeff Mitchell, Klamath Tribes Chairman, to
Stan Speaks, BIA Area Director, with attachment (Identified as Document
No. 20, FOIA Appeal No. 96-201) concerns the Klamath Tribes water rights.
(Id. at 20). Ms. Scott-Brier, attorney-advisor for the Office of the Solicitor,
requested that Mr. Mitchell, Chairman of the Klamath Tribes, send this letter
and the attachment (Document No. 16, FOIA Appeal No. 96-201) to Mr. Speaks
conveying the views of the Klamath Tribes concerning issues involved in
the water rights adjudication. (Supplemental Declaration of Barbara Scott-Brier
at 2). This document assisted the Department in its case preparation in
connection with the water rights adjudication. (Id.). The letter satisfies
exemption five because the Department consults with the Klamath Tribes when
departmental actions may affect trust resources. (Vaughn Index at 20). The
Department relied upon the document in deliberations. (Id.). The document
predates the filing of claims on behalf of the Klamath Tribe in the pending
Oregon adjudication. (Id.). It addresses issues related to the water rights
claims to be filed in the adjudication. (Id.). Disclosure of the document
would expose the Department's decision making process in such a way as to
discourage candid discussions within the Department, thereby undermining
the Department's ability to address water rights issues concerning the tribes.
(Id.). Disclosure would expose sensitive litigation positions to be taken
in the adjudication. (Id.);
6) A June 28, 1996 letter from Bud (Carl) Ullman, Klamath tribal attorney,
to Stan Speaks, BIA Area Director, with attachment (Identified as Document
No. 25, FOIA Appeal No. 96-201) concerns a Klamath Tribal Executive Committee
resolution regarding the Tribes' water rights claims in the Klamath Basin
Adjudication. (Id.). Ms. Scott-Brier requested that Mr. Ullman send this
letter and the attached tribal resolution to Mr. Speaks. (Supplemental Declaration
of Barbara Scott-Brier at 2). This document assisted the Department in its
case preparation in connection with the water rights adjudication. (Id.
at 3). The attachment is the Klamath Tribes' resolution regarding the Tribes'
water rights claims in the Klamath Basin Adjudication. (Vaughn Index at
20). The documents satisfy exemption five because the Department consults
with the Klamath Tribes when departmental actions may affect trust resources.
(Id. at 21). The Department relied upon the documents in deliberations.
(Id.). The documents predate the filing of claims on behalf of the Klamath
Tribe in the pending Oregon adjudication. (Id.). They address issues related
to the water rights claim to be filed in the adjudication. (Id.). Disclosure
of the documents would expose the Department's decision making process in
such a way as to discourage candid discussions within the Department, thereby
undermining the Department's ability to address water rights issues concerning
the tribes. (Id.). Disclosure would expose sensitive litigation positions
to be taken in the adjudication. (Id.); and
7) A July 1, 1996, memorandum from Jacob Kahn (Klamath Tribes) to Cathy
Wilson (BIA)(Identified as Document No. 27, FOIA Appeal No. 96-201) concerns
the biological factors affecting trust resources. (Id. at 22). The Department
released a one page facsimile cover sheet that accompanied the memorandum.
(Defendants' Notice of Filing of Fee Waiver Documents at 8). Catherine Wilson,
water rights specialist with the BIA, requested a copy of this document
from Jacob Kahn, tribal biologist. (Supplemental declaration of Catherine
Wilson at 2). She used this document in connection with her work concerning
the development of an operations plan for Klamath Project. (Id.). The document
satisfies exemption five because the Department consults with the Klamath
Tribes when departmental actions may affect trust resources. (Vaughn Index
at 22). The Department relied upon the document in deliberations. (Id.).
The document predates the issuance of a plan of operations. (Id.). It addresses
issues related to the development of an operations plan. (Id.). Disclosure
of the document would expose the Department's decision making process in
such a way as to discourage candid discussions within the Department, thereby
undermining the Department's ability to develop an operations plan. (Id.).
Disclosure would expose technical opinions deemed critical to analyzing
the extent of the Department's trust responsibility. (Id.).
The remaining documents consist of communications between the Tribes and
the Department. (Supplemental Bergstrom declaration at 2). They address
the nature and extent of the Tribes' trust resources and the concurrent
trust obligation owed by the Department to the Tribes in the development
of an operations plan for the Klamath Project and in the pending adjudication
of the Klamath River Basin. (Id.). Release of the documents would significantly
harm the Department's position in the pending adjudication as well as the
Department's ability to complete its internal decision making regarding
a more long-term Operations Plan for the Klamath Project. (Id.).
The documents contain recommendations, opinions, and frank discussions on
various issues, including analyses of legal issues in the adjudication and/or
operations plan development. (Id.). Release of the documents would reveal
to the public, and to potential adversaries, the preliminary views and litigation
strategy before the Department's policy and legal determinations on the
matters have been finally determined. (Id.). Release would disrupt and chill
the Department's ability to perform its required consultation with the Tribes
as well as the Department's ability to complete its internal deliberations
to determine its position regarding the nature and extent of the Tribes
trust resources and the Department's trust responsibility. (Id. at 2-3).
Scott Bergstrom, attorney-advisor within the Office of the Solicitor, reviewed
the documents at issue to determine if there were portions that were segregable.
(Second Supplemental Bergstrom affidavit at 1-3). All segregable portions
were released. (Id.). The factual information contained in the remaining
documents is inextricably connected to the deliberative material, and disclosure
would expose or cause harm to the BIA's deliberations. (Id. at 3).
The United States and the Department of the Interior have a trust responsibility
to protect the rights and resources of the Indian Tribes. (Defendants' Exhibit
1 at 2). The documents submitted to the Department discuss issues regarding
the Department's trust responsibility toward the Tribes in light of the
development of a long-term operations plan for the Klamath Project and/or
presently ongoing adjudication. (Id.).
It has been the policy and practice of the Department to consult with tribes
when those rights and resources are impacted by federal actions. (Defendants'
Exhibit 1 at 2, 9-10, 12-13, 15-16). Under the Departmental Manual, any
information received from the tribes through the consultation process is
"deemed confidential, unless otherwise provided by applicable law,
regulations, or administrative policy, if disclosure of that information
would negatively impact upon a trust resource or compromise the trustee's
legal position in anticipation of or during administrative proceedings or
litigation on behalf of tribal government (s)." (Id. at 13).
The Bureau of Reclamation, Fish and Wildlife Service, National Marine Fisheries
Service, and the Bureau of Indian Affairs entered into a government-to-government
agreement with the Klamath Basin Tribes regarding the development of the
Klamath Project Operations Plan. (Id. at 18-23). Under the terms of the
agreement, the Klamath Basin Tribes stands in the role of consultants to
the Department on the issue of development of the Klamath Project. (Id.
at 18, 20).
In connection with water rights claims filed by the United States on behalf
of the Tribes and the development of a long-term operations plan for the
Klamath Project, the Department entered into ongoing consultations with
the Tribes to ensure that the Department would be fully informed of the
Tribes' views and would have the Tribes' analysis available for decision
making. (Id. at 3). The consultation involved discussion of legal analyses
and theories regarding the scope of the water rights claims to be filed
in the adjudication and the manner in which the Department's trust responsibility
affects the operations of the Klamath project. (Id. at 3-4).
In a memorandum dated September 26, 1994, James K. Bryant, an employee of
the Bureau of Reclamation, noted that the Klamath Tribes were concerned
that the water level of the Upper Klamath Lake was too low and the fish
in the lake were in a stressful condition. (Simmons Declaration Exhibit
B at 2). The Klamath Tribes wanted the Bureau of Reclamation to provide
them with a water budget. (Id.). The Klamath tribes were "contemplating
a lawsuit with Reclamation over Indian Trust and ESA (Endangered Species
Act) responsibilities." (Id.).
In December of 1994, Marvin Garcia of the Klamath Tribe sent the Secretary
of the Interior a letter requesting the reinitiation of formal consultation
pursuant to section 7 of the Endangered Species Act and giving the Secretary
the required 60-day notice of violation and intent to sue under the Endangered
Species Act. (Simmons Declaration Exhibit C). The letter complained about
the effect of the operation of the Klamath Irrigation Project by the Bureau
of Reclamation on two endangered fish species that inhabited the Upper Klamath
Lake. (Id.).
In September of 1996, Elwood Miller, Jr. of the Klamath Tribe sent the Secretary
of the Interior a 60-day notice of intent to sue for violation of the Endangered
Species Act. (Simmons Declaration Exhibit N). This letter also criticized
the Bureau of Reclamation's management of the Klamath Project and its detrimental
effect on the two endangered fish species inhabiting the lake. (Id.).
II. LEGAL STANDARDS
Pursuant to Rule 56(c) of the Federal Rules of Civil Procedure, a moving
party is entitled to summary judgment as a matter of law "if the pleadings,
depositions, answers to interrogatories, and admissions on file, together
with the affidavits, if any, show that there is no genuine issue as to any
material fact." Fed. R. Civ. P. 56(c); Bhan v. NME Hosps., Inc., 929
F.2d 1404, 1409 (9th Cir.), cert. denied, 502 U.S. 994 (1991). The moving
party bears the initial burden of proof. See Rebel Oil Company, Inc. v.
Atlantic Richfield Company, 51 F.3d 1421, 1435 (9th Cir.), cert. denied,
___ U.S. ___, 116 S. Ct. 515 (1995). The moving party meets this burden
by identifying portions of the record on file which demonstrates the absence
of any genuine issue of material fact. Id.
In assessing whether a party has met their burden, the court must view the
evidence in the light most favorable to the nonmoving party. Allen v. City
of Los Angeles, 66 F.3d 1052 (9th Cir. 1995). All reasonable inferences
are drawn in favor of the nonmovant. Id. If the moving party meets their
burden, the burden shifts to the opposing party to present specific facts
which show there is a genuine issue for trial. Fed. R. Civ. P. 56(e); Auvil
v. CBS "60 Minutes", 67 F.3d 816 (9th Cir. 1995), cert. denied,
___ U.S. ___, 116 S. Ct. 1567 (1996). The nonmoving party cannot carry their
burden by relying solely on the facts alleged in their pleadings. Leonard
v. Clark, 12 F.3d 885, 888 (9th Cir. 1994). Instead, their response, by
affidavits or as otherwise provided in Rule 56, must designate specific
facts showing there is a genuine issue for trial. Id.
III. DISCUSSION
Defendants move for summary judgment arguing that the correspondence between
the tribes and the BIA meets exemption (b)(5) as either deliberative process
material, attorney work product material, and/or attorney client privilege
material. Defendants argue that the BIA properly denied plaintiff's request
for a fee waiver because the requests were unlikely to contribute to the
public's understanding of the BIA's operations and activities. Plaintiff
argues that: the documents withheld are not inter-agency or intra-agency
documents; the deliberative process and/or attorney work-product privileges
do not apply; the Department of Interior's trust obligation does not shield
the documents from disclosure; the United States has failed to prove that
it has disclosed all segregable material; and the United States wrongfully
denied the fee waiver.
FOIA Exemption(5)
The Freedom of Information Act, 5 U.S.C. § 552 requires government
agencies to disclose to the public any requested documents. 5 U.S.C. §
552(a). The government agency must disclose the document unless it falls
within one the nine enumerated exemptions found in 5 U.S.C. § 552(b).
Maricopa Audubon Society v. United States Forest Service, 108 F.3d 1082,
1085 (9th Cir. 1997) (citation omitted). Theses nine exemptions are "explicitly
exclusive" and "narrowly construed." Id. (citations omitted).
"FOIA 'does not authorize withholding of information or limit the availability
of records to the public, except as specifically stated'." Id. at 1087
(citing 5 U.S.C. § 552(d)).
FOIA creates a presumption in favor of disclosure. Bay Area Lawyers Alliance
for Nuclear Arms Control v. Department of State, 818 F. Supp. 1291, 1295
(N.D. California 1992). The government agency has the burden of proving
that the requested document falls within one of FOIA's exemptions. Maricopa
Audubon Society, 108 F.3d at 1085 (citing 5 U.S.C. § 552(a)(4)(B)).
To meet that burden, the agency must present oral testimony or affidavits
that are detailed enough for the court to assess the government's claim
of exemption. Maricopa Audubon Society v. United States Forest Service,
108 F.3d 1089, 1092 (9th Cir. 1997). The agency may also compile a "Vaughn
Index." Maricopa Audubon Society, 108 F.3d at 1092.
If the agency relies on affidavits, the affidavits must contain a reasonably
detailed description of the documents and allege facts sufficient to establish
the exemption. Id. In the affidavits or the Vaughn Index, the agency must
describe each document, or portions withheld, discuss the consequences of
disclosing the sought after information, discuss segregability, and discuss
whether the material was relied upon in making a decision. See Bay Area
Lawyers Alliance for Nuclear Arms Control v. Department of State, 818 F.
Supp. 1291, 1296-1297 (N.D. Cal. 1992). "The agency bears the burden
of establishing the character of the decision, the deliberative process
involved, and the role played by the documents in the course of that process."
Id. (citation omitted).
Exemption 5 exempts from disclosure any "inter-agency or intra-agency
memorandums or letters which would not be available by law to a party other
than an agency in litigation with the agency." 5 U.S.C. § 552(b)(5). Exemption 5 "shields documents 'normally privileged
in the civil discovery context'" which "incorporates the attorney-client
privilege, the attorney work-product privilege, and the executive 'deliberative
process' privilege that protects candid internal discussion of legal or
policy matters." Maricopa Audubon Society, 108 F.3d at 1084 fn.5 (citations
omitted). It "does not apply to factual information, unless the release
of the factual information would reflect or reveal the deliberative process,
or to recommendations or opinions ultimately relied upon in subsequent agency
action." Bay Area Lawyers, 818 F. Supp. at 1297 (citation omitted).
Deliberative Process
Defendants argue that the Tribes were acting in the role of consultants
with regard to the documents in question, and therefore, under the "functional
test" articulated in Formaldehyde Institute v. Department of Health
and Human Services, 889 F.2d 1118 (D.C. Cir. 1989) and various other cases,
the documents are protected under the deliberative process privilege. Defendants
distinguish Madison County, New York v. Department of Justice, 641 F.2d
1036 (1st Cir. 1981), arguing that the Tribes in this case were not acting
in an adversarial role and were not in active litigation with the government,
but instead were acting as consultants. Defendants argue that the potential
for an adversarial relationship does not negate the consultative relationship,
citing Public Citizen, Inc. v. Dept. of Justice and National Archives and
Records Administration, 1997 WL 191110 (D.C. Cir.) at *4. Defendants argue
that: the consulting relationship assisted the government in fulfilling
its trust obligations toward the Tribes; consulting was undertaken pursuant
to Executive and Departmental policy, the Tribes participation assisted
them in making decisions concerning the development of the Operations Plan
and preparing of water rights claims in the Oregon stream adjudication;
and the documents originating with the Tribes were provided at the Department's
request. Defendants argue that the court in the County of Madison recognized
that the situation is an entirely different matter when the government approaches
a third party to obtain information for the benefit of the agency.
Plaintiff argues that under County of Madison the documents in question
do not qualify as inter-agency or intra-agency documents. Plaintiff argues
that: the Tribes approached the government with their own interests in mind;
they aggressively advocated the reallocation of water to benefit them; they've
made political overtures to the Office of the Secretary; they've threatened
to file lawsuits; they've prepared technical reports; they've demanded that
irrigation diversions be shut off; and they've combined their advocacy with
environmental groups.
The deliberative process privilege allows agencies to "freely explore
possibilities, engage in internal debates, or play devil's advocate without
fear of public scrutiny." Assembly of the State of California v. United
States Department of Commerce, 968 F.2d 916, 920 (9th Cir. 1992). "In
order to be protected by the deliberative process privilege, such a document
must be both 'predecisional' and 'deliberative'." Id. (citation omitted).
The deliberative process privilege was created "to protect the deliberative
process of government, by ensuring that persons in an advisory role would
be able to express their opinions freely to agency decision-makers without
fear of publicity." Formaldehyde Institute v. Department of Health
and Human Services, 889 F.2d 1118, 1122 (D.C. Cir. 1989) (citation and quotations
omitted).
The privilege encompasses the opinions and recommendations of temporary
consultants, as well as its own employees. Id. "[E]fficient government
operation requires open discussions among all government policy-makers and
advisors, whether those giving advice are officially part of the agency
or are solicited to give advice only for specific projects." Id. (citation
and quotations omitted). Under the deliberative process privilege, the terms
"'inter-agency' and 'intra-agency' are not rigidly exclusive terms,
but rather embrace any agency document that is part of the deliberative
process." Id. at 1123 (citation and quotations omitted).
"Whether the author is a regular agency employee or a temporary consultant
is irrelevant; the pertinent element is the role, if any, that the document
plays in the process of agency deliberations. If information communicated
is deliberative in character, it is privileged from disclosure, notwithstanding
its creation by an outsider." Id. (Citation and quotations omitted).
A document is deliberative "if the disclosure of the materials would
expose an agency's decision-making process in such a way as to discourage
candid discussion within the agency and thereby undermine the agency's ability
to perform its functions." Maricopa Audubon Society, 108 F.3d at 1093.
(Citation and quotations omitted). This test focuses on the effect of releasing
the documents. Id. at 1094. The court must examine what harm, if any, the
release of the document would do to the agency's deliberative process. Formaldehyde
Institute, 889 F.2d at 1122. The court determines whether disclosure would
be "likely in the future to stifle honest and frank communication within
the agency." Maricopa Audubon Society, 108 F.3d at 1094 (citation and
quotations omitted). The court also looks at the context in which the materials
were used or what role they played in the deliberative process. Formaldehyde
Institute, 889 F.2d at 1124.
The court finds that all the documents in question qualify as inter-agency
or intra-agency documents under the "functional test". All the
documents played a role in the agency's deliberations with regard to the
current water rights adjudication and/or the anticipated Plan of Operations.
Most of the documents were provided to the agency by the Tribes at the agency's
request. Disclosure of these documents would expose the agency's decision-making
process and discourage candid discussion within the agency undermining the
agency's ability to function. (Vaughn Index at 11, 12-13, 18, 20-21; Defendants'
Exhibit 1 at 5; Defendants' Exhibit 4 at 3-4; Supplemental Bergstrom affidavit
at 2-3).
The court finds that Madison County is distinguishable from this case. In
our case, the Tribes are not in current litigation with the government,
but instead acted in the role of consultants. Most of the documents were
provided to the government at their requests. The government used all these
documents in fulfilling their trust obligation, and as part of their decision
making process. The court finds that the fact that the Tribes may, in the
future, become potential litigants does not change their current status
as consultants acting in cooperation with the agency. See Public Citizen,
Inc. v. Dept. of Justice and National Archives and Records Administration,
1997 WL 191110 (D.C. Cir.) at *4.
Defendants argue that the documents are predecisional and deliberative.
They predate any decision on the Plan of Operations for the Klamath Project
and the final decision on the position of the United States in the stream
adjudication. Disclosure of the documents would expose the Department's
decision making process with regard to the development of the Plan of Operations,
and it would expose the development of the Department's legal position in
the ongoing adjudication on behalf of the Tribes. Release of the documents
would inhibit the ability of the Department and the Tribes to communicate
freely and openly.
Plaintiff argues that the documents are not predecisional because there
is no definite date for completion of the Plan of Operation, no definite
schedule for completion, and no written work schedule. Plaintiff argues
that the defendants have failed to demonstrate how and why disclosure of
the documents could adversely expose the decision making process.
"A predecisional document is one prepared in order to assist an agency
decision-maker in arriving at his decision, and may include recommendations,
draft documents, proposals, suggestions, and other subjective documents
which reflect the personal opinions of the writer rather than the policy
of the agency." Maricopa Audubon Society, 108 F.3d at 1093 (citation
and quotations omitted). "[T]he agency must identify a specific decision
to which the document is predecisional." Id. at 1094. Material which
predates a decision chronologically, but did not contribute to the decision,
is not predecisional. Assembly of the State of California v. United States
Department of Commerce, 968 F.2d 916, 921 (9th Cir. 1992). Material which
may be used in making a possible decision at some undisclosed time in the
future does not qualify as predecisional material. Id. (citation omitted).
Document No. 3 FOIA Appeal No. 96-168, Document No. 16 FOIA Appeal No. 96-201,
Document No. 20 FOIA Appeal No. 96-201, and Document No. 25 FOIA Appeal
No. 96-201 predate the Department's decision regarding the filing of water
rights claims on behalf of the Tribes in the ongoing adjudication. (Defendants'
Exhibit 1 at 5, Vaughn Exhibit at 18 and 21). These documents were relied
upon in deliberations regarding the Department's decision to file claims
in the adjudication. (Id. at 11, 12-13, 18, 20-21; Defendants' Exhibit 1
at 5). Document No. 6 FOIA Appeal No. 96-168, Document No. 10 FOIA Appeal
No. 96-168, and Document No. 27 FOIA Appeal No. 96-201 predate the Department's
release of a Plan of Operations for the Klamath Project which is scheduled
for completion and release in 1999. (Vaughn Index at 11, 13, 21). These
documents were relied upon in the Department's deliberations. (Id. at 11,
12-13, 21). Based on these facts, the court finds that these documents are
predecisional.
Attorney Work Product
Defendants argue that document No. 3, FOIA Appeal No. 96-168 and document
No. 16, FOIA Appeal No. 96-201 are protected by the attorney work-product
exemption. Defendants argue that these documents were prepared by an attorney
for the use of the Solicitor's Office in his deliberations in contemplation
of litigation in the ongoing stream adjudication and the development of
the Plan of Operations and at the request of Department attorneys. Defendants
argue that the attorney work-product privilege applies to the entire document
because the analysis is inextricably linked to the Department's legal strategy
in the adjudication.
Plaintiff argues that the BIA must prove that the documents in question
were prepared by an attorney in contemplation of litigation and explain
why the privilege applies to all portions of the document. Plaintiff argues
that document No. 3 FOIA Appeal No. 96-168 and document No. 26 FOIA Appeal
No. 96-201 were not prepared by an attorney, and that Bergstrom's assertion
that document No. 26 was prepared by Bud Ullman is not based on personal
knowledge. Plaintiff argues that the description of these documents is inconsistent,
and that to the extent that the documents relate to an ongoing administrative
process and an anticipated administrative decision, they are not prepared
in anticipation of litigation.
Exemption 5 permits the withholding of memorandums and letters which would
not be available by law to a party other than an agency in litigation. Church
of Scientology International v. United States Department of Justice, 30
F.3d 224, 230 (1st Cir. 1994). This exemption includes the attorney work-product
privilege. Maricopa Audubon Society, 108 F.3d at 1084 fn.5 (citations omitted).
The privilege applies to memorandum, prepared by an attorney or under the
direction of an attorney, in contemplation of litigation, which sets forth
the theory of the case or the litigation strategy. Exxon Corp. v. Dept.
of Energy, 585 F. Supp. 690, 700 (D.D.C. 1983); Exxon Corp. v. Federal Trade
Commission, 466 F. Supp. 1088, 1099 (D.D.C. 1978), affirmed, 663 F.2d 120
(D.C. Cir. 1980). "An agency seeking to withhold a document in its
entirety under this exemption must identify the litigation for which the
document was created and explain why the work-product privilege applies
to all portions of the document." Church of Scientology, 30 F.3d at
237. "For a document to have been prepared in contemplation of litigation,
at the very least, some articulable claim, likely to lead to litigation,
must have arisen." Dept. of Energy, 585 F. Supp. at 700 (citation and
quotations omitted). "[A]dministrative litigation certainly can beget
court litigation and may in many circumstances be expected to do so."
Id. A document that was created for the primary motive of assisting in pending
or impending litigation is protected by attorney work-product privilege.
See United States v. Gulf Oil Corp., 760 F.2d 292, 296 (Temporary Emergency
Court of Appeals 1985). The work-product privilege still applies where the
information has been shared with a third party that holds a common interest.
See Durham v. United States Dept. of Justice, 829 F. Supp. 428, 433 (D.D.C.
1993), appeal dismissed, 1994 WL 704043 (D.C. Cir. 1994).
Document No. 3 FOIA Appeal No. 96-168 was prepared by Bud Ullman, an attorney
for the Klamath Tribes, at the request of the Solicitor, an attorney for
the government. (Vaughn Index at 11). The memorandum discusses legal theories
concerning the water rights of the Tribes that are being asserted in the
current state administrative adjudication of water rights to the Klamath
River. (Id.). Release of this document would significantly harm the government's
position in the ongoing adjudication, and would reveal to potential adversaries
the preliminary views and litigation strategy. (Supplemental Bergstrom declaration
at 2). The document was prepared in anticipation of potential litigation
that may arise out of the administrative adjudication or over the forthcoming
Plan of Operations for the Klamath Project. (Vaughn Index at 11). Plaintiff
has admitted that the issue of water rights has been and continues to be
very contentious. (Plaintiff's memorandum at 3-6). It appears that the current
administrative adjudication and the upcoming Plan of Operations are expected
to spawn court litigation. Based on the above facts, the court finds that
this document in its entirety is protected by the attorney work-product
privilege.
Document No. 16 FOIA Appeal No. 96-201 is a letter composed by Bud Ullman
a Klamath Tribe attorney. (Vaugh Index at 18). It concerns the Plan of Operations
and the current water rights adjudication. (Id.). The Office of the Solicitor
requested that Mr. Ullman prepare the letter. (Id.). It discusses arguments
that were going to be advanced in the current water rights adjudication.
(Defendants' Exhibit 4 at 3). Release of this document would significantly
harm the government's position in the ongoing adjudication, and would reveal
to potential adversaries the preliminary views and litigation strategy.
(Supplemental Bergstrom declaration at 2). It was prepared in anticipation
of potential litigation that may arise out of the administrative adjudication.
(Defendants' Exhibit 4 at 3-4). Plaintiff has admitted that the issue of
water rights has been and continues to be very contentious. (Plaintiff's memorandum at 3-6).
It appears that the current administrative adjudication and the upcoming
Plan of Operations are expected to spawn court litigation. Based on the
above facts, the court finds that this document in its entirety is protected
by the attorney work-product privilege.
Segregability
Plaintiff argues that defendants have failed to prove that they disclosed
all segregable material. Defendants argue that the Department has reviewed
all the documents at issue to determine whether there are any reasonably
segregable portions and that the cover sheets and other portions of the
documents which could be disclosed without revealing the agency's deliberations
or legal strategies were released.
Even if part of a document is exempt, the agency must disclose any segregable
portions, and it must address, in the Vaughn Index or affidavits, why the
remaining information is not segregable. Bay Area Lawyers, 818 F. Supp.
at 1296. The court must make a specific finding on the issue of segregability,
and the court cannot approve the withholding of the entire document without
making a finding on segregability. Id. (citation omitted).
Scott Bergstorm, attorney-advisor within the Office of the Solicitor, reviewed
the documents at issue to determine if there were portions that were segregable.
(Second Supplemental Bergstorm affidavit at 1-3). All segregable portions
were released. (Id.). The factual information contained in the remaining
documents is inextricably connected to the deliberative material, and disclosure
would expose or cause harm to the BIA's deliberations. (Id. at 3). Based
on this evidence, defendants' motion for summary judgment with regard to
the issue of segregability should be granted.
Fee Waivers5
5 U.S.C. § 552 (a) (4) (iii) provides that documents are to be furnished
without charge or at a reduced rate if the disclosure is likely to contribute
significantly to the public's understanding of government operations or
activities, and the disclosure is not primarily in the commercial interest
of the requester. McClellan Ecological Seepage Situation (MESS) v. Carlucci,
835 F.2d 1282, 1284 (9th Cir. 1987). The fee waiver statute "is to
be liberally construed in favor of waivers for noncommercial requesters".
Id. (citation omitted). The main purpose of this provision "was 'to
remove the roadblocks and technicalities which have been used by various
federal agencies to deny waivers or reductions of fees under FIOA'".
Id. (citation omitted)
Defendants argue that plaintiff is seeking the information for its own use.
Plaintiff has failed to demonstrate that disclosure of the information is
in the public interest and that it will contribute to public's understanding
of the operation or activity. Defendants argue that the plaintiff's pledge
to maintain the information in its library is insufficient to demonstrate
that the information will be communicated to the public. Defendants argue
that plaintiff has failed to provide specific information establishing that
it is entitled to a fee waiver.
Plaintiff argues that the defendants wrongfully denied its request for a
fee waiver because the withheld documents are likely to contribute to the
public's understanding of the Department's operation the Klamath Project
and related activities. Plaintiff argues that it made the required prima
facie showing to be entitled to a fee waiver. Plaintiff argues that disclosure
of the information is in the public interest and is not primarily in its
commercial interest.
The requester of a fee waiver has the initial burden of identifying the
public interest to be served by disclosure of the documents. Id. at 1285
(citation omitted). "[A]n agency may infer lack of substantial public
interest 'when a public interest is asserted but not identified with reasonable
specificity, and circumstances do not clarify the point of the requests'".
Id. (citation omitted). Requesters must explain with reasonable specificity
how disclosure will contribute to public understanding. Id. Conclusory statements
of public interest will not suffice. Id.
In MESS, the request for a fee waiver provided the following information:
the requesters sought to benefit the general public, especially in Sacramento;
the information might be used in litigation to ensure agency compliance
with federal laws; and the information would be donated to a public institution.
Id. The court found that the "requesters do not explain with reasonable
specificity how disclosure will contribute to public understanding."
Id.
In evaluating the request, the court found that: although the information
sought was not new, it could support oversight of agency operations; disclosure
of the information would result in only limited public understanding; the
requesters gave no indication of their ability to understand and process
the information; the record did not reveal whether the requesters had a
history of disseminating such information, either through public lawsuits
or other means; the requesters gave no details about their intention to
disseminate the information; the requesters did not state on what basis
they would ensure agency compliance with particular federal laws or regulations;
and the requesters failed to name a public institution to which they might
donate the information. Id. The court found that an organization's identity
and history, ability to absorb and disseminate information, and specific
plans to use the information are all relevant to the assessment of whether
disclosure is likely to contribute significantly to the public's understanding.
Id. at 1287.
In ONRC v. BLM, 92-6425-TC (D. Oregon 1994 - Order dated April 22, 1994),
the original request for a fee wavier stated: "ONRC is a nonprofit,
tax-exempt Oregon corporation and has been determined to be operating in
the public interest by the US Departments of Agriculture, Interior, Treasury,
and Postal Service." ONRC, slip opinion at 2. The administrative appeal
stated:
"All of the information requested will be shared with ONRC's members
or other members of the public that may express an interest to us in reviewing
this information.
ONRC, a 501(c) (3), nonprofit, tax-exempt corporation, is the coordinating
structure for conversation, sportsmen, education, outdoor recreation, and
commercial organizations concerned about Oregon's lands, waters, and natural
resources. Organized in 1972 and incorporated in 1974, ONRC is a statewide
association of 90 member organizations and more than 3000 individual members.
ONRC educates the public about natural resource values and works to provide
for effective public involvement concerning natural resource related issues
and concerns.
ONRC clearly meets these criteria and has been determined to be operating
in the public interest by the U.S. Departments of Agriculture (Forest Service),
Interior (Bureau of Land Management and National Park Service), Treasury
(Internal Revenue Service), and the U.S. Postal Service.
ONRC requests this information as being necessary to assist us in the evaluation
of road construction practices and forest planning in these districts. The
disclosure of this information will therefore 'likely contribute to an understanding
of government operations or activities' and contribute 'to an understanding
of the subject by the general public.'
The subject of this request clearly concerns government activities. Disclosure
of the requested information will (in particular) contribute significantly
to the public understanding of the possible impact of road construction
in and around these Districts, as well as the possibility of gaining information
about the forest management practices of the Bureau of Land Management.
Id. at 3.
Judge Hogan found that the request "does not sufficiently specify why
plaintiff is requesting the documents or how the purpose of the request
is in the public interest. The general purposes identified in plaintiff's
appeal do not significantly expand on what the BLM is already directly providing
to the public." Id. at 4. Judge Hogan stated that "plaintiff should
more specifically identify a public interest not already sufficiently served
or capable of accomplishment under the status quo", and "plaintiff
should demonstrate specifically how obtaining the specific documents will
contribute to the public understanding of the operations of the government."
Id. He also required plaintiff to identify the area, scope, aspect, or practice
in a narrow rather than expansive way. Id.
Under the standards set forth in MESS and ONRC v. BLM, plaintiff has provided
insufficient information to meet its prima facie burden of showing eligibility
for a fee waiver. Plaintiff gave no indication of its ability to understand
and process the requested information. There is no indication that the plaintiff
has a history of disseminating information. The only detail given with regard
to dissemination was that the information would be kept in a library where
the public would have access. The plaintiff gave no details on how it planned
to use the information or how the request was in the public interest. Since
plaintiff has failed to make a prima facie showing of eligibility, defendants
are entitled to summary judgment on the fee waiver claim. See Friends of
the Coast Fork v. United States Department of the Interior, ___ F.3d ___,
1997 WL 149255 (9th Cir.) At *2.
IV. RECOMMENDATION
Based on the foregoing, it is recommended that defendants' motion for summary
judgment be granted.
This recommendation is not an order that is immediately appealable to the
Ninth Circuit Court of Appeals. Any notice of appeal pursuant to Rule 4(a)(1),
Federal Rules of Appellate Procedure, should not be filed until entry of
the district court's judgment or appealable order. The parties shall have
ten days from the date of service of a copy of this recommendation within
which to file specific written objections with the Court. Thereafter, the
parties have ten days within which to file a response to the objections.
Failure to timely file objections to any factual determinations of the Magistrate
Judge will be considered a waiver of a party's right to de novo consideration
of the factual issues and will constitute a waiver of a party's right to
appellate review of the findings of fact in an order or judgment entered
pursuant to the Magistrate Judge's recommendation.
Dated this 19 day of June, 1997.
/s/ JOHN P. COONEY
UNITED STATES MAGISTRATE JUDGE
1 Plaintiff objects to defendants' evidence and related statements in defendants'
reply memorandum. Plaintiff objects to page 5, first full paragraph; the
court finds that this objection is well taken, and is reflected in the statement
of facts. Plaintiff objects to page 14, the first full paragraph. The court
finds that this statement is irrelevant, and denies this objection as moot.
Plaintiff objects to page 17, the second full paragraph, arguing that the
Scott-Brier declaration is insufficient to establish that this document
was prepared by a tribal attorney. This objection is well taken; however,
the defendants' Vaughn Index also states that this document was prepared
by a tribal attorney, and plaintiff failed to object to this statement.
Plaintiff objects to page 21, the first full sentence. This objection is
well taken. Plaintiff objects to page 24, the second full paragraph. This
objection is well taken.
2 Plaintiff requests that the court take judicial notice that these five
documents were released. Plaintiff's request for judicial notice is granted.
3 Plaintiff points out that this is the only document from the United States
to the Klamath Tribes. All the other disputed documents are from the Tribes
to the United States.
4 Plaintiff objects to Ms. Scott-Brier's assertion that this letter was
prepared by a tribal attorney. This fact only affects defendants' claim
regarding attorney work-product doctrine. Even if the court were to strike
this statement, it would still find that the materials were protected under
the deliberative process exemption. In addition, defendants' Vaughn Index
also states that this document was prepared by a tribal attorney.
5 In an action by a requester regarding a fee waiver under 5 U.S.C. §
552, the standard of review is de novo, and the court's review is limited
to the record before the agency. 5 U.S.C. § 552 (a) (4) (vii).
UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
No. 97-36208
D.C. NO. CV-96-03077-CO
KLAMATH WATER USERS PROTECTIVE ASSOCIATION,
PLAINTIFF-APPELLANT
v.
UNITED STATES DEPARTMENT OF THE INTERIOR;
BUREAU OF INDIAN AFFAIRS, DEFENDANTS-APPELLEES
[Filed: Dec. 22, 1999]
ORDER
Before: KLEINFELD, HAWKINS, Circuit Judges, and SCHWARZER,1 District Judge.
Judges Kleinfeld and Schwarzer have voted to deny appellee's petition for
rehearing. Judge Hawkins voted to grant the petition for rehearing. Judge
Kleinfeld has voted to deny the petition for rehearing en banc and Judge
Schwarzer so recommends. Judge Hawkins voted to grant the petition for rehearing
en banc.
The full court has been advised of the petition for rehearing en banc, and
no judge of the court has requested a vote on the petition for rehearing
en banc. Fed. R. App. P. 35(b).
The petition for rehearing and petition for rehearing en banc is DENIED.
1 The Honorable William W. Schwarzer, Senior United States District Judge
for the Northern District of California, sitting by designation.