Between 1953 and 1966, the Central Intelligence Agency (CIA)
financed a research project, code-named MKULTRA, that was
established to counter Soviet and Chinese advances in brainwashing
and interrogation techniques. Subprojects were contracted out to
various universities, research foundations, and similar
institutions. In 1977, respondents in No. 83-1075 (hereafter
respondents) filed a request with the CIA under the Freedom of
Information Act (FOIA), seeking,
inter alia, the names of
the institutions and individuals who had performed the research
under MKULTRA. Citing Exemption 3 of the FOIA -- which provides
that an agency need not disclose
"matters that are . . . specifically exempted from disclosure by
statute . . . provided that such statute . . . refers to particular
types of matters to be withheld"
-- the CIA declined to disclose the requested information. The
CIA invoked, as the exempting statute referred to in Exemption 3,
§ 102(d)(3) of the National Security Act of 1947, which states
that
"the Director of Central Intelligence shall be responsible for
protecting intelligence sources and methods from unauthorized
disclosure."
Respondents then filed suit under the FOIA in Federal District
Court. Applying, as directed by the Court of Appeals on an earlier
appeal, a definition of "intelligence sources" as meaning only
those sources to which the CIA had to guarantee confidentiality in
order to obtain the information, the District Court held that the
identities of researchers who had received express guarantees of
confidentiality need not be disclosed, and also exempted from
disclosure other researchers on the ground that their work for the
CIA, apart from MKULTRA, required that their identities remain
secret. The court further held that there was no need to disclose
the institutional affiliations of the individual researchers whose
identities were exempt from disclosure. The Court of Appeals
affirmed this latter holding, but reversed the District Court's
ruling with respect to which individual researchers satisfied "the
need-for-confidentiality" aspect of its formulation
Page 471 U. S. 160
of exempt "intelligence sources." The Court of Appeals held that
it was error automatically to exempt from disclosure those
researchers to whom confidentiality had been promised, and that an
individual qualifies as an "intelligence source" exempt from
disclosure under the FOIA only when the CIA offers sufficient proof
that it needs to protect its efforts in confidentiality in order to
obtain the type of information provided by the researcher.
Held:
1. Section 102(d)(3) qualifies as a withholding statute under
Exemption 3. Section 102(d)(3) clearly refers to "particular types
of matters" within the meaning of Exemption 3. Moreover, the FOIA's
legislative history confirms that Congress intended §
102(d)(3) to be a withholding statute under that Exemption. And the
plain meaning of § 102(d)(3)'s language, as well as the
National Security Act's legislative history, indicates that
Congress vested in the Director of Central Intelligence broad
authority to protect all sources of intelligence information from
disclosure. To narrow this authority by limiting the definition of
"intelligence sources" to sources to which the CIA had to guarantee
confidentiality in order to obtain the information not only
contravenes Congress' express intention but also overlooks the
practical necessities of modern intelligence gathering. Pp.
471 U. S.
166-173.
2. MKULTRA researchers are protected "intelligence sources"
within § 102(d)(3)'s broad meaning, because they provided, or
were engaged to provide, information that the CIA needed to fulfill
its statutory obligations with respect to foreign intelligence. To
force the CIA to disclose a source whenever a court determines,
after the fact, that the CIA could have obtained the kind of
information supplied without promising confidentiality, could have
a devastating impact on the CIA's ability to carry out its
statutory mission. The record establishes that the MKULTRA
researchers did in fact provide the CIA with information related to
its intelligence function, and therefore the Director was
authorized to withhold these researchers' identities from
disclosure under the FOIA. Pp.
471 U. S.
173-177.
3. The FOIA does not require the Director to disclose the
institutional affiliations of the exempt researchers. This
conclusion is supported by the record. The Director reasonably
concluded that an observer who is knowledgeable about a particular
intelligence research project, such as MKULTRA, could, upon
learning that the research was performed at a certain institution,
deduce the identities of the protected individual researchers. Pp.
471 U. S.
177-181.
228 U.S.App.D.C. 269, 709 F.2d 95, affirmed in part and reversed
in part.
Page 471 U. S. 161
BURGER, C.J., delivered the opinion of the Court, in which
WHITE, BLACKMUN, POWELL, REHNQUIST, STEVENS, and O'CONNOR, JJ.,
joined. MARSHALL, J., filed an opinion concurring in the result, in
which BRENNAN, J., joined,
post, p.
471 U. S.
181.
CHIEF JUSTICE BURGER delivered the opinion of the Court.
In No. 83-1075, we granted certiorari to decide whether §
102(d)(3) of the National Security Act of 1947, as incorporated in
Exemption 3 of the Freedom of Information Act, exempts from
disclosure only those sources of intelligence information to which
the Central Intelligence Agency had to guarantee confidentiality in
order to obtain the information. In No. 83-1249, the
cross-petition, we granted certiorari to decide whether the Freedom
of Information Act requires the Agency to disclose the
institutional affiliations of persons whose identities are exempt
from disclosure as "intelligence sources."
I
Between 1953 and 1966, the Central Intelligence Agency financed
a wide-ranging project, code-named MKULTRA, concerned with
"the research and development of chemical, biological, and
radiological materials capable of employment in clandestine
operations to control human behavior. [
Footnote 1]"
The
Page 471 U. S. 162
program consisted of some 149 subprojects which the Agency
contracted out to various universities, research foundations, and
similar institutions. At least 80 institutions and 185 private
researchers participated. Because the Agency funded MKULTRA
indirectly, many of the participating individuals were unaware that
they were dealing with the Agency.
MKULTRA was established to counter perceived Soviet and Chinese
advances in brainwashing and interrogation techniques. Over the
years, the program included various medical and psychological
experiments, some of which led to untoward results. [
Footnote 2] These aspects of MKULTRA surfaced
publicly during the 1970's, and became the subject of executive and
congressional investigations. [
Footnote 3]
On August 22, 1977, John C. Sims, an attorney, and Sidney M.
Wolfe, M.D., the director of the Public Citizen
Page 471 U. S. 163
Health Research Group, [
Footnote
4] filed a request with the Central Intelligence Agency seeking
certain information about MKULTRA. Respondents invoked the Freedom
of Information Act (FOIA), 5 U.S.C. § 552. Specifically,
respondents sought the grant proposals and contracts awarded under
the MKULTRA program and the names of the institutions and
individuals that had performed research. [
Footnote 5]
Pursuant to respondents' request, the Agency made available to
respondents all of the MKULTRA grant proposals and contracts.
Citing Exemption 3 of the FOIA, 5 U.S.C. § 552(b)(3)(B),
[
Footnote 6] however, the
Agency declined to disclose the names of all individual researchers
and 21 institutions. [
Footnote
7] Exemption 3 provides that an agency need not disclose
"matters that are . . . specifically exempted from disclosure by
statute . . . provided that such statute . . . refers to
particular
Page 471 U. S. 164
types of matters to be withheld."
Ibid. The Agency relied on § 102(d)(3) of the
National Security Act of 1947, 61 Stat. 498, 50 U.S.C. §
403(d)(3), which states that
"the Director of Central Intelligence shall be responsible for
protecting intelligence sources and methods from unauthorized
disclosure."
Dissatisfied with the Agency's limited disclosure, respondents
filed suit under the FOIA, 5 U.S.C. § 552(a)(4)(B), in the
United States District Court for the District of Columbia. That
court ordered disclosure of the withheld names, holding that the
MKULTRA researchers and affiliated institutions were not
"intelligence sources" within the meaning of § 102(d)(3).
479 F. Supp.
84 (1979).
On appeal, the United States Court of Appeals concluded, as had
the District Court, that § 102(d)(3) qualifies as a
withholding statute under Exemption 3 of the FOIA. The court held,
however, that the District Court's analysis of that statute under
the FOIA lacked a coherent definition of "intelligence sources."
Accordingly, it remanded the case for reconsideration in light of
the following definition:
"[A]n 'intelligence source' is a person or institution that
provides, has provided, or has been engaged to provide the CIA with
information of a kind the Agency needs to perform its intelligence
function effectively, yet could not reasonably expect to obtain
without guaranteeing the confidentiality of those who provide
it."
206 U.S.App.D.C. 157, 166, 642 F.2d 562, 571 (1980).
On remand, the District Court applied this definition and
ordered the Agency to disclose the names of 47 researchers and the
institutions with which they had been affiliated. The court
rejected respondents' contention that the MKULTRA research was not
needed to perform the Agency's intelligence function, explaining
that
"[i]n view of the agency's concern that potential foreign
enemies could be engaged in similar research and the
Page 471 U. S. 165
desire to take effective counter-measures, . . . [the Agency]
could reasonably determine that this research was needed for its
intelligence function."
App. to Pet. for Cert. in No. 83-1075, pp. 22a-23a.
The court then turned to the question whether the Agency could
show, as the Court of Appeals' definition requires, that it could
not reasonably have expected to obtain the information supplied by
the MKULTRA sources without guaranteeing confidentiality to them.
The court concluded that the Agency's policy of considering its
relationships with MKULTRA researchers as confidential was not
sufficient to satisfy the Court of Appeals' definition, because
"the chief desire for confidentiality was on the part of the CIA."
Id. at 24a. The court recognized that some of the
researchers had sought, and received, express guarantees of
confidentiality from the Agency, and, as to those, held that their
identities need not be disclosed. The court also exempted other
researchers from disclosure on the ground that their work for the
Agency, apart from MKULTRA, required that their identities remain
secret in order not to compromise the Agency's intelligence
networks in foreign countries.
Id. at 26a-27a, 30a-31a.
Finally, the court held that there was no need to disclose the
institutional affiliations of the individual researchers whose
identities were exempt from disclosure; this withholding was
justified by the need to eliminate the unnecessary risk that such
intelligence sources would be identified indirectly.
Id.
at 27a, 34a.
Both the Agency and respondents appealed. The Court of Appeals
affirmed that part of the District Court's judgment exempting from
disclosure the institutional affiliations of individual researchers
found to be intelligence sources. However, it reversed the District
Court's ruling with respect to which individual researchers
satisfied "the need-for-confidentiality" aspect of its formulation
of exempt "intelligence sources." 228 U.S.App.D.C. 269, 275, 709
F.2d 95, 101 (1983).
Page 471 U. S. 166
At the outset, the court rejected the suggestion that it
reconsider the definition of "intelligence sources."
Id.
at 271, 709 F.2d at 97. The court then criticized the District
Court for focusing its inquiry on whether the Agency had in fact
promised confidentiality to individual researchers. The court held
that the District Court's decision automatically to exempt from
disclosure those researchers to whom confidentiality had been
promised was erroneous; it directed the District Court on remand to
focus its inquiry on whether the Agency offered sufficient proof
that it needed to cloak its efforts in confidentiality in order to
obtain the type of information provided by the researcher. Only
upon such a showing would the individual qualify as an
"intelligence source" exempt from disclosure under the FOIA.
[
Footnote 8]
We granted certiorari, 465 U.S. 1078 (1984) and 467 U.S. 1240
(1984). We now reverse in part and affirm in part.
II
No. 83-1075
A
The mandate of the FOIA calls for broad disclosure of Government
records. [
Footnote 9] Congress
recognized, however, that
Page 471 U. S. 167
public disclosure is not always in the public interest, and thus
provided that agency records may be withheld from disclosure under
any of the nine exemptions defined in 5 U.S.C. § 552(b). Under
Exemption 3, disclosure need not be made as to information
"specifically exempted from disclosure by statute" if the statute
affords the agency no discretion on disclosure, §
552(b)(3)(A), establishes particular criteria for withholding the
information, or refers to the particular types of material to be
withheld, § 552(b)(3)(B).
The question in No. 83-1075 is twofold: first, does §
102(d)(3) of the National Security Act of 1947 constitute a
statutory exemption to disclosure within the meaning of Exemption
3; and second, are the MKULTRA researchers included within §
102(d)(3)'s protection of "intelligence sources."
B
Congress has made the Director of Central Intelligence
"responsible for protecting intelligence sources and methods from
unauthorized disclosure." 50 U.S.C. § 403(d)(3). As part of
its postwar reorganization of the national defense system, Congress
chartered the Agency with the responsibility of coordinating
intelligence activities relating to national security. [
Footnote 10] In order to carry out
its mission, the Agency was expressly entrusted with protecting the
heart of all intelligence operations -- "sources and methods."
Section 102(d)(3) of the National Security Act of 1947, which
calls for the Director of Central Intelligence to protect
"intelligence sources and methods," clearly "refers to particular
types of matters," 5 U.S.C. § 552(b)(3)(B), and thus qualifies
as a withholding statute under Exemption 3. The "plain meaning" of
the relevant statutory provisions is sufficient to resolve the
question,
see, e.g., 469 U. S.
United
Page 471 U. S.
168
States, 469 U. S. 70,
469 U. S. 75
(1984);
United States v. Weber Aircraft Corp.,
465 U. S. 792,
465 U. S. 798
(1984). Moreover, the legislative history of the FOIA confirms that
Congress intended § 102(d)(3) to be a withholding statute
under Exemption 3. [
Footnote
11] Indeed, this is the uniform view among other federal
courts. [
Footnote 12]
Our conclusion that § 102(d)(3) qualifies as a withholding
statute under Exemption 3 is only the first step of the inquiry.
Agency records are protected under § 102(d)(3) only to the
extent they contain "intelligence sources and methods," or if
disclosure would reveal otherwise protected information.
C
Respondents contend that the Court of Appeals' definition of
"intelligence sources," focusing on the need to guarantee
confidentiality in order to obtain the type of information desired,
draws the proper line with respect to intelligence sources
deserving exemption from the FOIA. The plain meaning of the
statutory language, as well as the legislative history of the
National Security Act, however, indicates that Congress vested in
the Director of Central Intelligence very
Page 471 U. S. 169
broad authority to protect all sources of intelligence
information from disclosure. The Court of Appeals' narrowing of
this authority not only contravenes the express intention of
Congress, but also overlooks the practical necessities of modern
intelligence gathering -- the very reason Congress entrusted this
Agency with sweeping power to protect its "intelligence sources and
methods."
We begin with the language of § 102(d)(3).
Baldrige v.
Shapiro, 455 U. S. 345,
455 U. S. 356
(1982);
Steadman v. SEC, 450 U. S. 91,
450 U. S. 97
(1981). Section 102(d)(3) specifically authorizes the Director of
Central Intelligence to protect "intelligence sources and methods"
from disclosure. Plainly the broad sweep of this statutory language
comports with the nature of the Agency's unique responsibilities.
To keep informed of other nations' activities bearing on our
national security the Agency must rely on a host of sources. At the
same time, the Director must have the authority to shield those
Agency activities and sources from any disclosures that would
unnecessarily compromise the Agency's efforts.
The "plain meaning" of § 102(d)(3) may not be squared with
any limiting definition that goes beyond the requirement that the
information fall within the Agency's mandate to conduct foreign
intelligence. Section 102(d)(3) does not state, as the Court of
Appeals' view suggests, that the Director of Central Intelligence
is authorized to protect intelligence sources only if such
protection is needed to obtain information that otherwise could not
be acquired. Nor did Congress state that only confidential or
nonpublic intelligence sources are protected. [
Footnote 13] Section 102(d)(3) contains no such
limiting language. Congress simply and pointedly protected all
sources
Page 471 U. S. 170
of intelligence that provide, or are engaged to provide,
information the Agency needs to perform its statutory duties with
respect to foreign intelligence. The plain statutory language is
not to be ignored.
Weber Aircraft Corp., supra, at
465 U. S.
798.
The legislative history of § 102(d)(3) also makes clear
that Congress intended to give the Director of Central Intelligence
broad power to protect the secrecy and integrity of the
intelligence process. The reasons are too obvious to call for
enlarged discussion; without such protections, the Agency would be
virtually impotent.
Enacted shortly after World War II, § 102(d)(3) of the
National Security Act of 1947 established the Agency and empowered
it, among other things, "to correlate and evaluate intelligence
relating to the national security." 50 U.S.C. § 403(d)(3). The
tragedy of Pearl Harbor and the reported deficiencies in American
intelligence during the course of the war convinced the Congress
that the country's ability to gather and analyze intelligence, in
peacetime as well as in war, must be improved.
See, e.g.,
H.R.Rep. No. 961, 80th Cong., 1st Sess., 3-4 (1947); S.Rep. No.
239, 80th Cong., 1st Sess., 2 (1947).
Congress knew quite well that the Agency would gather
intelligence from almost an infinite variety of diverse sources.
Indeed, one of the primary reasons for creating the Agency was
Congress' recognition that our Government would have to shepherd
and analyze a "mass of information" in order to safeguard national
security in the postwar world.
See ibid. Witnesses with
broad experience in the intelligence field testified before
Congress concerning the practical realities of intelligence work.
Fleet Admiral Nimitz, for example, explained that
"intelligence is a composite of authenticated and evaluated
information covering not only the armed forces establishment of a
possible enemy, but also his industrial capacity, racial traits,
religious beliefs, and other related aspects."
National Defense Establishment:
Page 471 U. S. 171
Hearings on S. 758 before the Senate Committee on Armed
Services, 80th Cong., 1st Sess., 132 (1947) (Senate Hearings).
General Vandenberg, then the Director of the Central Intelligence
Group, the Agency's immediate predecessor, emphasized that
"foreign intelligence [gathering] consists of securing all
possible data pertaining to foreign governments or the national
defense and security of the United States."
Id. at 497. [
Footnote 14]
Witnesses spoke of the extraordinary diversity of intelligence
sources. Allen Dulles, for example, the Agency's third Director,
shattered the myth of the classic "secret agent" as the typical
intelligence source, and explained that
"American businessmen and American professors and Americans of
all types and descriptions who travel around the world are one of
the greatest repositories of intelligence that we have."
National Security Act of 1947: Hearings on H.R. 2319 before the
House Committee on Expenditures in the Executive Departments, 80th
Cong., 1st Sess., 22 (1947) (Closed House Hearings). [
Footnote 15] In a similar vein,
General Vandenberg spoke of "the great open sources of information
upon which roughly 80 percent of intelligence should be based," and
identified such sources as
"books, magazines, technical and scientific surveys,
photographs, commercial analyses, newspapers, and radio broadcasts,
and general information from
Page 471 U. S. 172
people with knowledge of affairs abroad."
Senate Hearings at 492.
Congress was also well aware of the importance of secrecy in the
intelligence field. Both General Vandenberg and Allen Dulles
testified about the grim consequences facing intelligence sources
whose identities became known.
See Closed House Hearings,
at 10-11, 20. Moreover, Dulles explained that even American
citizens who freely supply intelligence information "close up like
a clam" unless they can hold the Government "responsible to keep
the complete security of the information they turn over."
Id. at 22. [
Footnote
16] Congress was plainly alert to the need for maintaining
confidentiality -- both Houses went into executive session to
consider the legislation creating the Agency -- a rare practice for
congressional sessions.
See n 15,
supra.
Against this background highlighting the requirements of
effective intelligence operations, Congress expressly made the
Director of Central Intelligence responsible for "protecting
intelligence sources and methods from unauthorized disclosure."
This language stemmed from President Truman's Directive of January
22, 1946, 11 Fed.Reg. 1337, in which he established the National
Intelligence Authority and the Central Intelligence Group, the
Agency's predecessors. These institutions were charged with
"assur[ing] the most effective accomplishment of the intelligence
mission related to the national security,"
ibid., and
accordingly made "responsible
Page 471 U. S. 173
for fully protecting intelligence sources and methods,"
id. at 1339. The fact that the mandate of § 102(d)(3)
derives from this Presidential Directive reinforces our reading of
the legislative history that Congress gave the Agency broad power
to control the disclosure of intelligence sources.
III
A
Applying the definition of "intelligence sources" fashioned by
the Congress in § 102(d)(3), we hold that the Director of
Central Intelligence was well within his statutory authority to
withhold the names of the MKULTRA researchers from disclosure under
the FOIA. The District Court specifically ruled that the Agency
"could reasonably determine that this research was needed for its
intelligence function," [
Footnote 17] and the Court of Appeals did not question
this ruling. Indeed, the record shows that the MKULTRA research was
related to the Agency's intelligence-gathering function in part
because it revealed information about the ability of foreign
governments to use drugs and other biological, chemical, or
physical agents in warfare or intelligence operations against
adversaries. During the height of the cold war period, the Agency
was concerned, not without reason, that other countries were
charting new advances in brainwashing and interrogation techniques.
[
Footnote 18]
Consistent with its responsibility to maintain national
security, the Agency reasonably determined that major research
Page 471 U. S. 174
efforts were necessary in order to keep informed of our
potential adversaries' perceived threat. We thus conclude that
MKULTRA researchers are "intelligence sources" within the broad
meaning of § 102(d)(3) because these persons provided, or were
engaged to provide, information the Agency needs to fulfill its
statutory obligations with respect to foreign intelligence.
Respondents' belated effort to question the Agency's authority
to engage scientists and academic researchers as intelligence
sources must fail. The legislative history of § 102(d)(3)
indicates that Congress was well aware that the Agency would call
on a wide range and variety of sources to provide intelligence.
Moreover, the record developed in this case confirms the obvious
importance of scientists and other researchers as American
intelligence sources. Notable examples include those scientists and
researchers who pioneered the use of radar during World War II, as
well as the group which took part in the secret development of
nuclear weapons in the Manhattan Project.
See App. 43;
App. to Pet. for Cert. in No. 83-1075, p. 88a. [
Footnote 19]
B
The Court of Appeals narrowed the Director's authority under
§ 102(d)(3) to withhold only those "intelligence sources" who
supplied the Agency with information unattainable without
guaranteeing confidentiality. That crabbed reading of the statute
contravenes the express language of § 102(d)(3), the statute's
legislative history, and the harsh realities of the present day.
The dangerous consequences of that narrowing of the statute suggest
why Congress chose to vest the
Page 471 U. S. 175
Director of Central Intelligence with the broad discretion to
safeguard the Agency's sources and methods of operation.
The Court of Appeals underestimated the importance of providing
intelligence sources with an assurance of confidentiality that is
as absolute as possible. Under the court's approach, the Agency
would be forced to disclose a source whenever a court determines,
after the fact, that the Agency could have obtained the kind of
information supplied without promising confidentiality. [
Footnote 20] This forced disclosure
of the identities of its intelligence sources could well have a
devastating impact on the Agency's ability to carry out its
mission.
"The Government has a compelling interest in protecting both the
secrecy of information important to our national security and the
appearance of confidentiality so essential to the effective
operation of our foreign intelligence service."
Snepp v. United States, 444 U.
S. 507,
444 U. S. 509,
n. 3 (1980) (per curiam).
See Haig v. Agee, 453 U.
S. 280,
453 U. S. 307
(1981). If potentially valuable intelligence sources come to think
that the Agency will be unable to maintain the confidentiality of
its relationship to them, many could well refuse to supply
information to the Agency in the first place.
Even a small chance that some court will order disclosure of a
source's identity could well impair intelligence gathering and
cause sources to "close up like a clam." To induce some sources to
cooperate, the Government must tender as absolute an assurance of
confidentiality as it possibly can.
"The continued availability of [intelligence] sources depends
upon the CIA's ability to guarantee the security of information
Page 471 U. S. 176
that might compromise them and even endanger [their] personal
safety."
Snepp v. United States, supra, at
444 U. S.
512.
We seriously doubt whether a potential intelligence source will
rest assured knowing that judges, who have little or no background
in the delicate business of intelligence gathering, will order his
identity revealed only after examining the facts of the case to
determine whether the Agency actually needed to promise
confidentiality in order to obtain the information. An intelligence
source will "not be concerned with the underlying rationale for
disclosure of" his cooperation if it was secured "under assurances
of confidentiality."
Baldrige v. Shapiro, 455 U.S. at
455 U. S. 361.
Moreover, a court's decision whether an intelligence source will be
harmed if his identity is revealed will often require complex
political, historical, and psychological judgments.
See, e.g.,
Fitzgibbon v. CIA, 578 F.
Supp. 704 (DC 1983). There is no reason for a potential
intelligence source, whose welfare and safety may be at stake, to
have great confidence in the ability of judges to make those
judgments correctly.
The Court of Appeals also failed to recognize that, when
Congress protected "intelligence sources" from disclosure, it was
not simply protecting sources of secret intelligence information.
As noted above, Congress was well aware that secret agents as
depicted in novels and the media are not the typical intelligence
source; many important sources provide intelligence information
that members of the public could also obtain. Under the Court of
Appeals' approach, the Agency could not withhold the identity of a
source of intelligence if that information is also publicly
available. This analysis ignores the realities of intelligence
work, which often involves seemingly innocuous sources as well as
unsuspecting individuals who provide valuable intelligence
information.
Disclosure of the subject matter of the Agency's research
efforts and inquiries may compromise the Agency's ability to gather
intelligence as much as disclosure of the identities of
intelligence sources. A foreign government can learn a great deal
about the Agency's activities by knowing the
Page 471 U. S. 177
public sources of information that interest the Agency. The
inquiries pursued by the Agency can often tell our adversaries
something that is of value to them.
See 228 U.S.App.D.C.
at 277, 709 F.2d at 103 (Bork, J., concurring in part and
dissenting in part). For example, disclosure of the fact that the
Agency subscribes to an obscure but publicly available Eastern
European technical journal could thwart the Agency's efforts to
exploit its value as a source of intelligence information.
Similarly, had foreign governments learned the Agency was using
certain public journals and ongoing open research projects in its
MKULTRA research of "brainwashing" and possible countermeasures,
they might have been able to infer both the general nature of the
project and the general scope that the Agency's inquiry was taking.
[
Footnote 21]
C
The "statutory mandate" of § 102(d)(3) is clear: Congress
gave the Director wide-ranging authority to "protec[t] intelligence
sources and methods from unauthorized disclosure."
Snepp v.
United States, supra, at
444 U. S. 509,
n. 3. An intelligence source provides, or is engaged to provide,
information the Agency needs to fulfill its statutory obligations.
The record establishes that the MKULTRA researchers did in fact
provide the Agency with information related to the Agency's
intelligence function. We therefore hold that the Director was
authorized to withhold the identities of these researchers from
disclosure under the FOIA.
IV
No. 83-1249
The cross-petition, No. 83-1249, calls for decision on whether
the District Court and the Court of Appeals correctly
Page 471 U. S. 178
ruled that the Director of Central Intelligence need not
disclose the institutional affiliations of the MKULTRA researchers
previously held to be "intelligence sources." Our conclusion that
the MKULTRA researchers are protected from disclosure under §
102(d)(3) renders unnecessary any extended discussion of this
discrete issue.
In exercising the authority granted by Congress in §
102(d)(3), the Director must, of course, do more than simply
withhold the names of intelligence sources. Such withholding,
standing alone, does not carry out the mandate of Congress. Foreign
intelligence services have an interest in knowing what is being
studied and researched by our agencies dealing with national
security and by whom it is being done. Foreign intelligence
services have both the capacity to gather and analyze any
information that is in the public domain and the substantial
expertise in deducing the identities of intelligence sources from
seemingly unimportant details.
In this context, the very nature of the intelligence apparatus
of any country is to try to find out the concerns of others; bits
and pieces of data "may aid in piecing together bits of other
information even when the individual piece is not of obvious
importance in itself."
Halperin v. CIA, 203 U.S.App.D.C.
110, 116, 629 F.2d 144, 150 (1980). Thus,
"'[w]hat may seem trivial to the uninformed may appear of great
moment to one who has a broad view of the scene, and may put the
questioned item of information in its proper context.'"
Halkin v. Helms, 194 U.S.App.D.C. 82, 90, 598 F.2d 1, 9
(1978), quoting
United States v. Marchetti, 466 F.2d 1309,
1318 (CA4),
cert. denied, 409 U.S. 1063 (1972).
Accordingly, the Director, in exercising his authority under §
102(d)(3), has power to withhold superficially innocuous
information on the ground that it might enable an observer to
discover the identity of an intelligence source.
See,
e.g.,
Page 471 U. S.
179
Gardels v. CIA, 223 U.S.App.D.C. 88, 91-92, 689 F.2d
1100, 1103-1104 (1982);
Halperin v. CIA, supra, at 113,
629 F.2d at 147.
Here the Director concluded that disclosure of the institutional
affiliations of the MKULTRA researchers could lead to identifying
the researchers themselves, and thus the disclosure posed an
unacceptable risk of revealing protected "intelligence sources."
[
Footnote 22] The decisions
of the Director, who must of course be familiar with "the whole
picture," as judges are not, are worthy of great deference, given
the magnitude of the national security interests and potential
risks at stake. It is conceivable that the mere explanation of why
information must be withheld can convey valuable information to a
foreign intelligence agency.
The District Court, in a ruling affirmed by the Court of
Appeals, permitted the Director to withhold the institutional
affiliations of the researchers whose identities were exempt from
disclosure on the ground that disclosure of "the identities of the
institutions . . . might lead to the indirect disclosure of"
individual researchers. App. to Pet. for Cert. in No. 83-1075, p.
27a. This conclusion is supported by the record. [
Footnote 23] The Director reasonably
concluded that an observer
Page 471 U. S. 180
who is knowledgeable about a particular intelligence research
project, like MKULTRA, could, upon learning that research was
performed at a certain institution, often deduce the identities of
the individual researchers who are protected "intelligence
sources." The FOIA does not require disclosure under such
circumstances.
Respondents contend that, because the Agency has already
revealed the names of many of the institutions at which MKULTRA
research was performed, the Agency is somehow estopped from
withholding the names of others. This suggestion overlooks the
political realities of intelligence operations in which, among
other things, our Government may choose to release information
deliberately to "send a message" to allies or adversaries.
[
Footnote 24] Congress did
not mandate the withholding of information that may reveal the
identity of an intelligence source; it made the Director of Central
Intelligence responsible only for protecting against unauthorized
disclosures.
The national interest sometimes makes it advisable, or even
imperative, to disclose information that may lead to the identity
of intelligence sources. And it is the responsibility of the
Director of Central Intelligence, not that of the judiciary, to
weigh the variety of complex and subtle factors in determining
whether disclosure of information may lead to an unacceptable risk
of compromising the Agency's intelligence-gathering process. Here
Admiral Turner, as Director, decided that the benefits of
disclosing the identities of institutions that had no objection to
disclosure outweighed the costs
Page 471 U. S. 181
of doing so. But Congress, in § 102(d)(3), entrusted this
discretionary authority to the Director, and the fact that Admiral
Turner made that determination in 1978 does not bind his successors
to make the same determination, in a different context, with
respect to institutions requesting that their identities not be
disclosed.
See, e.g., Salisbury v. United States, 223
U.S.App.D.C. 243, 248, 690 F.2d 966, 971 (1982).
V
We hold that the Director of Central Intelligence properly
invoked § 102(d)(3) of the National Security Act of 1947 to
withhold disclosure of the identities of the individual MKULTRA
researchers as protected "intelligence sources." We also hold that
the FOIA does not require the Director to disclose the
institutional affiliations of the exempt researchers in light of
the record which supports the Agency's determination that such
disclosure would lead to an unacceptable risk of disclosing the
sources' identities.
Accordingly, we reverse that part of the judgment of the Court
of Appeals regarding the disclosure of the individual researchers
and affirm that part of the judgment pertaining to disclosure of
the researchers' institutional affiliations.
It is so ordered.
* Together with No. 83-1249,
Sims et al. v. Central
Intelligence Agency et al., also on certiorari to the same
court.
[
Footnote 1]
Final Report of the Select Committee to Study Government
Operations with Respect to Intelligence Activities, S.Rep. No.
94-755, Book I, p. 389 (1976) (footnote omitted) (Final Report).
MKULTRA began with a proposal from Richard Helms, then the Agency's
Assistant Deputy Director for Plans. Helms outlined a special
funding mechanism for highly sensitive Agency research and
development projects that would study the use of biological and
chemical materials in altering human behavior. MKULTRA was approved
by Allen Dulles, then the Director of Central Intelligence, on
April 13, 1953.
[
Footnote 2]
Several MKULTRA subprojects involved experiments where
researchers surreptitiously administered dangerous drugs, such as
LSD, to unwitting human subjects. At least two persons died as a
result of MKULTRA experiments, and others may have suffered
impaired health because of the testing.
See id. at
392-403. This type of experimentation is now expressly forbidden by
Executive Order. Exec.Order No. 12333, § 2.10, 3 CFR 213
(1982).
[
Footnote 3]
See generally Final Report, at 385-422, 471-472; Report
to the President by the Commission on CIA Activities Within the
United States 226-228 (June 1975); Project MKULTRA, the CIA's
Program of Research in Behavioral Modification: Joint Hearings
before the Select Committee on Intelligence and the Subcommittee on
Health and Scientific Research of the Senate Committee on Human
Resources, 95th Cong., 1st Sess. (1977); Human Drug Testing by the
CIA, 1977: Hearings on S. 1893 before the Subcommittee on Health
and Scientific Research of the Senate Committee on Human Resources,
95th Cong., 1st Sess. (1977).
An internal Agency report by its Inspector General had
documented the controversial aspects of the MKULTRA project in
1963.
See Report of Inspection of MKULTRA (July 26,
1963).
[
Footnote 4]
Sims and Wolfe are the respondents in No. 83-1075 and the
crosspetitioners in No. 83-1249. In order to avoid confusion, we
refer to Sims and Wolfe as respondents throughout this opinion.
[
Footnote 5]
Twenty years after the conception of the MKULTRA project, all
known files pertaining to MKULTRA were ordered destroyed. Final
Report, at 389-390, 403-405. In 1977, the Agency located some 8,000
pages of previously undisclosed MKULTRA documents. These consisted
mostly of financial records that had inadvertently survived the
1973 records destruction. Upon this discovery, Agency Director
Stansfield Turner notified the Senate Select Committee on
Intelligence and later testified at a joint hearing before the
Select Committee and the Subcommittee on Health and Scientific
Resources of the Senate Committee on Human Resources. Although the
Joint Committee was given a complete list of the MKULTRA
researchers and institutions, the Committee honored the Agency's
request to treat the names as confidential. Respondents sought the
surviving MKULTRA records that would provide this information.
[
Footnote 6]
The Agency also cited Exemption 6, 5 U.S.C. 552(b)(6), which
insulates from disclosure "personnel and medical files and similar
files the disclosure of which would constitute a clearly
unwarranted invasion of personal privacy." This claim, rejected by
the District Court and the Court of Appeals, is no longer at
issue.
[
Footnote 7]
The Agency tried to contact each institution involved in MKULTRA
to ask permission to disclose its identity; it released the names
of the 59 institutions that had consented. Evidently, the Agency
made no parallel effort to contact the 185 individual researchers.
See n 22,
infra.
[
Footnote 8]
Judge Bork wrote a separate opinion, concurring in part and
dissenting in part. He criticized the majority's narrow definition
of "intelligence sources," urging in particular that there is
"no reason to think that section 403(d)(3) was meant to protect
sources of information only if secrecy was needed in order to
obtain the information."
228 U.S.App.D.C. at 277, 709 F.2d at 103. He noted that
"[i]t seems far more in keeping with the broad language and
purpose of [§ 403(d)(3)] to conclude that it authorizes the
nondisclosure of a source of information whenever disclosure might
lead to discovery of what subjects were of interest to the
CIA."
Ibid. He also took issue with the majority's conclusion
that the FOIA sometimes requires the Agency to break a promise of
confidentiality it has given to an intelligence source. This is
"not an honorable way for the government of the United States to
behave," and would produce "pernicious results."
Id. at
276-277, 709 F.2d at 102-103.
[
Footnote 9]
The Court has consistently recognized this principle.
See,
e.g., Baldrige v. Shapiro, 455 U. S. 345,
455 U. S. 352
(1982);
NLRB v. Robbins Tire & Rubber Co.,
437 U. S. 214,
437 U. S. 220
(1978);
EPA v. Mink, 410 U. S. 73,
410 U. S. 80
(1973).
[
Footnote 10]
See, e.g., H.R.Rep. No. 961, 80th Cong., 1st Sess., 3
(1947); S.Rep. No. 239, 80th Cong., 1st Sess., 1 (1947).
[
Footnote 11]
See H.R.Rep. No. 94-880, pt. 2, p. 15, n. 2 (1976).
See also H.R.Conf.Rep. No. 93-1380, p. 12 (1974);
S.Conf.Rep. No. 93-1200, p. 12 (1974); S.Rep. No. 93-854, p. 16
(1974). For a thorough review of the relevant background,
see
DeLaurentiis v. Haig, 686 F.2d 192, 195-197 (CA3 1982) (per
curiam).
Recently, Congress enacted the Central Intelligence Agency
Information Act, Pub.L. 98-477, 98 Stat. 2209, exempting the
Agency's "operational files" from the FOIA. The legislative history
reveals that Congress maintains the position that § 102(d)(3)
is an Exemption 3 statute.
See, e.g., H.R.Rep. No. 98-726,
pt. 1, p. 5 (1984); S.Rep. No. 98-305, p. 7, n. 4 (1983).
[
Footnote 12]
See, e.g., Miller v. Case, 235 U.S.App.D.C. 11, 15, 730
F.2d 773, 777 (1984);
Gardels v. CIA, 223 U.S.App.D.C. 88,
91, 689 F.2d 1100, 1103 (1982);
Halperin v. CIA, 203
U.S.App.D.C. 110, 113, 629 F.2d 144, 147 (1980);
National
Comm'n on Law Enforcement and Social Justice v. CIA, 576 F.2d
1373, 1376 (CA9 1978).
[
Footnote 13]
Congress certainly is capable of drafting legislation that
narrows the category of protected sources of information. In other
provisions of the FOIA and in the Privacy Act, Congress has
protected "confidential source[s]," sources of "confidential
information," and sources that provided information under an
express promise of confidentiality.
See 5 U.S.C.
§§ 552(b)(7)(D), 552a(k)(2) and (5).
[
Footnote 14]
Congressmen certainly appreciated the special nature of the
Agency's intelligence function. For example, Representative
Wadsworth remarked that the
"function of [the Agency] is to constitute itself as a gathering
point for information coming from all over the world through all
kinds of channels."
93 Cong.Rec. 9397 (1947). Representative Boggs, during the
course of the House hearings, commented that the Director of
Central Intelligence "is dealing with all the information and the
evaluation of that information, from wherever we can get it."
National Security Act of 1947: Hearings on H.R. 2319 before the
House Committee on Expenditures in the Executive Departments, 80th
Cong., 1st Sess., 112 (1947).
[
Footnote 15]
These hearings were held in executive session. The transcript
was declassified in 1982. The Senate also held hearings behind
closed doors.
See S.Rep. No. 239, 80th Cong., 1st Sess., 1
(1947).
[
Footnote 16]
Secrecy is inherently a key to successful intelligence
operations. In the course of issuing orders for an intelligence
mission, George Washington wrote to his agent:
"The necessity of procuring good intelligence is apparent, and
need not be further urged. All that remains for me to add is that
you keep the whole matter as secret as possible. For upon secrecy,
success depends in most Enterprises of the kind, and for want of it
they are generally defeated. . . ."
8 Writings of George Washington 478-479 (J. Fitzpatrick ed.1933)
(letter from George Washington to Colonel Elias Dayton, July 26,
1777).
[
Footnote 17]
App. to Pet. for Cert. in No. 83-1075, pp. 22a-23a.
[
Footnote 18]
For example, Director of Intelligence Stansfield Turner
explained in an affidavit that the MKULTRA program was initiated
because the Agency was confronted with
"learning the state of the art of behavioral modification at a
time when the U.S. Government was concerned about inexplicable
behavior of persons behind the 'iron curtain' and American
prisoners of war who had been subjected to so called
'brainwashing.'"
Id. at 89a.
[
Footnote 19]
Indeed, the legislative history of the recently enacted Central
Intelligence Agency Information Act, Pub.L. 98-477, 98 Stat. 2209,
in which Congress exempted the Agency's "operational files" from
disclosure under the FOIA, 50 U.S.C. § 431 (1982 ed., Supp.
III), reveals Congress' continued understanding that scientific
researchers would be valuable intelligence sources.
See
H.R.Rep. No. 98-726, pt. 1, p. 22 (1984).
[
Footnote 20]
Indeed, the Court of Appeals suggested that the Agency would be
required to betray an explicit promise of confidentiality if a
court determines that the promise was not necessary, or if a court
concludes that the intelligence source to whom the promise was
given was "unreasonably and atypically leery" of cooperating with
the Agency. 228 U.S.App.D.C. at 273, 709 F.2d at 99. However,
"[g]reat nations, like great men, should keep their word."
FPC
v. Tuscarora Indian Nation, 362 U. S. 99,
362 U. S. 142
(1960) (Black, J., dissenting).
[
Footnote 21]
In an affidavit, Director of Central Intelligence Turner stated
that
"[t]hroughout the course of the [MKULTRA] Project, CIA
involvement or association with the research was concealed in order
to avoid stimulating the interest of hostile countries in the same
research areas."
App. to Pet. for Cert. in No. 83-1075, pp. 89a-9Oa.
[
Footnote 22]
During the congressional inquiries into MKULTRA, then Director
of Central Intelligence Turner notified the 80 institutions at
which MKULTRA research had been conducted. Many of these
institutions had not previously been advised of their involvement;
Director Turner notified them as part of "a course of action
[designed to] lead to the identification of unwitting experimental
subjects."
Id. at 92a, n. 1. As a result of inquiries into
the MKULTRA program, many of these institutions disclosed their
involvement to the public. Others advised the Agency that they had
no objection to public disclosure. Director Turner disclosed the
names of these institutions; he did not disclose the names of any
institutions that objected to disclosure.
See n 7,
supra.
[
Footnote 23]
For example, an affidavit filed by an Agency operations officer
familiar with MKULTRA stated that disclosure of the institutions at
which MKULTRA research was performed would pose
"a threat of damage to existing intelligence-related
arrangements with the institutions or exposure of past
relationships with the institutions."
App. 27.
[
Footnote 24]
Admiral Turner provided one well-known example of this
phenomenon:
"[D]uring the Cuban missile crisis, President Kennedy decided to
release a great deal of sensitive intelligence information
concerning Soviet missile installations in Cuba. It was clear, at
that time, that the Soviets had to be told publicly that the United
States Government had precise information on the extent of the
Soviet threat in order to justify the strong countermeasures then
taken by our Government."
App. to Pet. for Cert. in No. 83-1075, p. 90a.
JUSTICE MARSHALL, with whom JUSTICE BRENNAN joins, concurring in
the result.
To give meaning to the term "intelligence source" as it is used
in § 102(d)(3) of the National Security Act of 1947, the Court
today correctly concludes that the very narrow definition offered
by the Court of Appeals is incorrect. [
Footnote 2/1] That the
Page 471 U. S. 182
Court of Appeals erred does not, however, compel the conclusion
that the Agency's sweeping alternative definition is in fact the
correct one. [
Footnote 2/2] The
Court nonetheless simply adopts wholesale the Agency's definition
of "intelligence source." That definition is mandated neither by
the language or legislative history of any congressional Act, nor
by legitimate policy considerations, and it in fact thwarts
congressional efforts to balance the public's interest in
information and the Government's need for secrecy. I therefore
decline to join the opinion of the Court.
I
The Freedom of Information Act (FOIA or Act) established a broad
mandate for disclosure of governmental information by requiring
that all materials be made public "unless explicitly allowed to be
kept secret by one of the exemptions. . . ." S.Rep. No. 813, 89th
Cong., 1st Sess., 10 (1965). The Act requires courts to review
de novo agency claims of exemption, and it places on the
agency the burden of defending its withholding of information. 5
U.S.C. § 552(a)(4)(B). Congress, it is clear, sought to assure
that the Government would not operate behind a veil of secrecy, and
it narrowly tailored the exceptions to the fundamental goal of
disclosure.
Two of these few exceptions are at issue in this case. The
first, on which the Court focuses, is Exemption 3, which exempts
information "specifically exempted from disclosure by statute," if
the statute affords the agency no discretion on disclosure, §
552(b)(3)(A), establishes particular criteria for withholding the
information, § 552(b)(3)(B), or refers to the particular types
of material to be withheld,
ibid. The Court
Page 471 U. S. 183
quite rightly identifies § 102(d)(3) of the National
Security Act as a statutory exemption of the kind to which
Exemption 3 refers; that section places with the Director of
Central Intelligence the responsibility for "protecting
intelligence sources and methods from unauthorized disclosure."
A second exemption, known as Exemption 1, covers matters that
are
"(A) specifically authorized under criteria established by an
Executive order to be kept secret in the interest of national
defense or foreign policy and (B) are in fact properly classified
pursuant to such Executive order."
5 U.S.C. § 552(b)(1). This latter Exemption gives to the
Executive Branch the authority to define material that will not be
disclosed, subject of course to congressional amendment of the
Exemption. Agency decisions to withhold are subject to
de
novo review in the courts, which must ascertain whether
documents are correctly classified, both substantively and
procedurally.
Exemption 1 is the keystone of a congressional scheme that
balances deference to the Executive's interest in maintaining
secrecy with continued judicial and congressional oversight. In the
past, Congress has taken affirmative steps to make clear the
importance of this oversight.
See 471
U.S. 159fn2/5|>n. 5,
infra. Exemption 1 allows the
Government to protect from the scrutiny of this Nation's enemies
classes of information that warrant protection, as long as the
Government proceeds through a publicly issued, congressionally
scrutinized, and judicially enforced executive order.
See
Hearing on Executive Order on Security Classification before the
Subcommittee of the Committee on Government Operations of the House
of Representatives, 97th Cong., 2d Sess. (1982) (Hearing).
Exemption 1 thus plays a crucial role in the protection of
Central Intelligence Agency information. That the Court does not
mention this Exemption even once, in the course of its lengthy
analysis on the policy reasons for broadly interpreting
Page 471 U. S. 184
the "intelligence source" provision, is extraordinary. By
focusing myopically on the single statutory provision on which the
Agency has chosen to rely in asserting its secrecy right, the Court
rewards the Agency's decision not to invoke Exemption 1 in these
cases. [
Footnote 2/3] Of course,
the Agency may fairly assert any possible ground for decision, and
it has no duty to select that which is narrowest. But the Court,
intent to assure that important information is protected, today
plays into the Agency's hands by stretching the "intelligence
source" exception beyond its natural limit; it does so while simply
ignoring the fact that the information sought could properly have
been withheld on other grounds -- on which the Agency chose not to
rely. The cost of acceding to the Agency's litigation strategy,
rather than undertaking a thorough analysis of the entire statutory
scheme, is to mangle, seriously, a carefully crafted statutory
scheme.
II
I turn, then, to consider in light of this statutory framework
the Court's analysis of Exemption 3. After concluding that
Exemption 3 incorporates § 102(d)(3) as a withholding
provision, the Court sets out to define the term "intelligence
source." First, it looks to the "plain meaning" of the phrase and
concludes that an "intelligence source" is self-evidently the same
as an "information source."
Ante at
471 U. S.
169-170. Second, the Court looks to the legislative
history. Pulling
Page 471 U. S. 185
together pieces of testimony from congressional hearings on the
need to establish a centralized agency to gather information, it
concludes that Congress knew that the Agency would collect
information from diverse sources, and that "Congress was plainly
alert to the need for maintaining confidentiality" so as not to
lose covert sources of information.
Ante at
471 U. S. 172;
see also Brief for Petitioners in No. 83-1075, pp. 18-21.
Third, the Court chastises the Court of Appeals for adopting a
"crabbed" reading of the statute, and explains how, as a policy
matter, the
"forced disclosure of the identities of its intelligence sources
could well have a devastating impact on the Agency's ability to
carry out its mission."
Ante at
471 U. S. 175;
see also Brief for Petitioners in No. 83-1075, p. 31. The
Court offers examples of highly sensitive information that, under
the lower court's reading, might be disclosed.
See ante at
471 U. S.
176-177;
see also Brief for Petitioners in No.
831075, pp. 34-37.
Before this Court, the Agency argued against the lower court's
definition of "intelligence source," substituted its own sweeping
offering, and then recounted a litany of national security
nightmares that would surely befall this Nation under any lesser
standard; today the Court simply buys this analysis. But the Court
thereby ignores several important facts. First, the holding today
is not compelled by the language of the statute, nor by the
legislative history on which the Court relies. Second, the Court of
Appeals' definition is not the sole alternative to the one adopted
by the Court today. Third, as noted
supra, other broad
exemptions to FOIA exist, and a holding that this Exemption 3
exception does not apply here would in no way pose the risk of
broad disclosure the Agency suggests. The Court's reliance on the
Nation's national security interests is simply misplaced, given
that the "intelligence source" exemption in the National Security
Act is far from the Agency's exclusive, or most potent, resource
for keeping probing eyes from secret documents. In its haste to
adopt the Agency's sweeping definition,
Page 471 U. S. 186
the Court completely bypasses a considerably more rational
definition that comports at least as well with the statutory
language and legislative history, and that maintains the
congressionally imposed limits on the Agency's exercise of
discretion in this area.
To my mind, the phrase "intelligence source" refers only to
sources who provide information either on an express or implied
promise of confidentiality, and the exemption protects such
information and material that would lead to disclosure of such
information. This reading is amply supported by the language of the
statute and its history.
First, I find reliance on "plain meaning" wholly inappropriate.
The heart of the issue is whether the term "intelligence source"
connotes that which is confidential or clandestine, and the answer
is far from obvious. The term is readily susceptible of many
interpretations, and in the past the Government itself has defined
the term far less broadly than it now does before this Court. In
testimony before the House Subcommittee on Government Operations on
President Reagan's Exemption 1 Executive Order, Steven Garfinkel,
Director of the Information Security Oversight Office, explained
that the term "intelligence source" is narrow, and does not
encompass even all confidential sources of information:
"[C]ertain of these sources are not 'intelligence sources.' They
are not involved in intelligence agencies or in intelligence work.
They happen to be sources of information received by these agencies
in confidence."
Hearing, at 204. The current administration's definition of the
term "intelligence source" as used in its Executive Order does not,
of course, control our interpretation of a longstanding statute.
But the fact that the same administration has read the phrase in
different ways for different purposes certainly undercuts the
Court's argument that the phrase has any single and readily
apparent definition.
Page 471 U. S. 187
"[P]lain meaning, like beauty, is sometimes in the eye of the
beholder,"
Florida Power & Light Co. v. Lorion,
470 U. S. 729,
470 U. S. 737
(1985), and in an instance such as this one, in which the term at
issue carries with it more than one plausible meaning, it is simply
inappropriate to select a single reading and label it the "plain
meaning." The Court, like the Government, argues that the statute
does not say "confidential source," as it might were its scope
limited to sources who have received an implied or express promise
of confidentiality.
See ante at
471 U. S. 169,
and n. 13; Brief for Petitioners in No. 83-1075, p. 16. However,
the statute also does not say "information source" as it might were
it meant to define the class of material that the Court identifies.
I therefore reject the Court's basic premise that the language at
issue necessarily has but a single, obvious interpretation.
Nor does the legislative history suggest anything other than a
congressional desire to protect those individuals who might either
be harmed or silenced should their identities or assistance become
known. The congressional hearings quoted by the Court, and by the
Government in its brief, focus on Congress' concern about the
"deadly peril" faced by intelligence sources if their identities
were revealed, and about the possibility that those sources would
"
close up like a clam'" without protection. See ante
at 471 U. S. 172;
Brief for Petitioners in No. 83-1075, p. 20. These concerns are
fully addressed by preventing disclosure of the identities of
sources who might face peril, or cease providing information if
their identities were known, and of other information that might
lead an observer to identify such sources. That, to my mind, is the
start and finish of the exemption for an "intelligence source" --
one who contributes information on an implicit understanding or
explicit assurance of confidentiality, as well as information that
could lead to such a source. [Footnote
2/4]
Page 471 U. S. 188
This reading of the "intelligence source" language also fits
comfortably within the statutory scheme as a whole, as the Court's
reading does not. I focus, at the outset, on the recent history of
FOIA Exemption 1, and particularly on the way in which recent
events reflect Congress' ongoing effort to constrain agency
discretion of the kind endorsed today. The scope of Exemption 1 is
defined by the Executive, and its breadth therefore quite naturally
fluctuates over time. For example, at the time this FOIA action was
begun, Executive Order 12065, promulgated by President Carter, was
in effect. That Order established three levels of secrecy -- top
secret, secret, and confidential -- the lowest of which,
"confidential," was
"applied to information, the unauthorized disclosure of which
reasonably could be expected to cause identifiable damage to the
national security."
3 CFR 191 (1979).
The Order also listed categories of information that could be
considered for classification, including "military plans, weapons,
or operations," "foreign government information," and "intelligence
activities [and] sources."
Id. at 193. As it is now,
nondisclosure premised on Exemption 1 was subject to judicial
review. A court reviewing an Agency claim to withholding under
Exemption 1 was required to determine
de novo whether the
document was properly classified and whether it substantively met
the criteria in the Executive Order. If the claim was that the
document or information in it contained military plans, for
example, a court was required to determine whether the document was
classified, whether it in fact contained such information
and whether disclosure of the document reasonably could be
expected to cause at least identifiable damage to national
security. The burden was on the Agency to make this showing. At one
time, this
Page 471 U. S. 189
Court believed that the Judiciary was not qualified to undertake
this task.
See EPA v. Mink, 410 U. S.
73 (1973), discussed in
471
U.S. 159fn2/5|>n. 5,
infra. Congress, however,
disagreed, overruling both a decision of this Court and a
Presidential veto to make clear that precisely this sort of
judicial role is essential if the balance that Congress believed
ought to be struck between disclosure and national security is to
be struck in practice. [
Footnote
2/5]
Today's decision enables the Agency to avoid making the showing
required under the carefully crafted balance embodied in Exemption
1, and thereby thwarts Congress' effort to limit the Agency's
discretion. The Court identifies two categories of information --
the identity of individuals or entities, whether or not
confidential, that contribute material related
Page 471 U. S. 190
to Agency information gathering, and material that might enable
an observer to discover the identity of such a "source" -- and
rules that all such information is
per se subject to
withholding as long as it is related to the Agency's "intelligence
function." The Agency need not even assert that disclosure will
conceivably affect national security, much less that it reasonably
could be expected to cause at least identifiable damage. It need
not classify the information, much less demonstrate that it has
properly been classified. Similarly, no court may review whether
the source had, or would have had, any interest in confidentiality,
or whether disclosure of the information would have any effect on
national security. No court may consider whether the information is
properly classified, or whether it fits the categories of the
Executive Order. By choosing to litigate under Exemption 3, and by
receiving this Court's blessing, the Agency has cleverly evaded all
these carefully imposed congressional requirements. [
Footnote 2/6]
If the class thus freed from judicial review were carefully
defined, this result conceivably could make sense. It could
Page 471 U. S. 191
mean that Congress had decided to slice out from all the
Agency's possible documents a class of material that may always be
protected, no matter what the scope of the existing executive
order. But the class that the Court defines is boundless. It is
difficult to conceive of anything the Central Intelligence Agency
might have within its many files that might not disclose or enable
an observer to discover something about where the Agency gathers
information. Indeed, even newspapers and public libraries, road
maps and telephone books appear to fall within the definition
adopted by the Court today. The result is to cast an irrebuttable
presumption of secrecy over an expansive array of information in
Agency files, whether or not disclosure would be detrimental to
national security, and to rid the Agency of the burden of making
individualized showings of compliance with an executive order.
Perhaps the Court believes all Agency documents should be
susceptible to withholding in this way. But Congress, it must be
recalled, expressed strong disagreement by passing, and then
amending, Exemption 1. In light of the Court's ruling, the Agency
may nonetheless circumvent the procedure Congress has developed,
and thereby undermine this explicit effort to keep from the Agency
broad and unreviewable discretion over an expansive class of
information.
III
The Court today reads its own concerns into the single phrase,
"intelligence source." To justify its expansive reading of these
two words in the National Security Act, the Court explains that the
Agency must be wary, protect itself, and not allow observers to
learn either of its information resources or
of the topics of
its interest.
"Disclosure of the subject matter of the Agency's research
efforts and inquiries may compromise the Agency's ability to gather
intelligence as much as disclosure of the identities of
intelligence sources,"
ante at
471 U. S. 176,
the Court observes, and the "intelligence source"
Page 471 U. S. 192
exemption must bear the weight of that concern as well. That the
Court points to no legislator or witness before Congress who
expressed a concern for protecting such information through this
provision is irrelevant to the Court. That each of the examples the
Court offers of material that might disclose a topic of interest,
and that should not be disclosed, could be protected through other
existing statutory provisions, is of no moment. [
Footnote 2/7] That the public already knows all
about the MKULTRA project at issue in this case, except for the
names of the researchers, and therefore that the Court's concern
about disclosure of the Agency's "topics of interest" argument is
not appropriate to this case, is of no consequence. And finally,
that the Agency now has virtually unlimited discretion to label
certain information "secret," in contravention of Congress'
explicit efforts to confine the Agency's discretion both
substantively and procedurally, is of no importance. Instead,
simply because the Court can think of information that it believes
should not be disclosed, and that might otherwise not fall within
this exemption, the Court undertakes the task of interpreting the
exemption to cover that information. I cannot imagine the canon of
statutory construction upon which this reasoning is based.
Page 471 U. S. 193
Congress gave to the Agency considerable discretion to decide
for itself whether the topics of its interest should remain secret,
and through Exemption 1, it provided the Executive with the means
to protect such information. If the Agency decides to classify the
identities of nonconfidential contributors of information so as not
to reveal the subject matter or kinds of interests it is pursuing,
it may seek an Exemption 1 right to withhold. Under Congress'
scheme, that is properly a decision for the Executive. It is not a
decision for this Court. Congress has elsewhere identified
particular types of information that it believes may be withheld
regardless of the existence of an executive order, such as the
identities of Agency employees, or, recently, the contents of
Agency operational files.
See 50 U.S.C. § 403g
(exempting from disclosure requirements the organization,
functions, names, official titles, salaries, or numbers of
personnel employed by the Agency); Central Intelligence Agency
Information Act, Pub.L. 98-477, § 701(a), 98 Stat. 2209, 50
U.S.C. § 431 (1982 ed., Supp. III) (exempting the Agency's
operational files from disclosure under FOIA). Each of these
categorical exemptions reflects a congressional judgment that, as
to certain information, the public interest will always tip in
favor of nondisclosure. In these cases, we have absolutely no
indication that Congress has ever determined that the broad range
of information that will hereinafter be enshrouded in secrecy
should be inherently and necessarily confidential. Nevertheless,
today the Court reaches out to substitute its own policy judgments
for those of Congress.
IV
To my mind, the language and legislative history of §
102(d)(3), along with the policy concerns expressed by the Agency,
support only an exemption for sources who provide information based
on an implicit or explicit promise of confidentiality and
information leading to disclosure of such sources. That reading of
the "intelligence source" exemption poses no threat that sources
will "clam up" for fear of
Page 471 U. S. 194
exposure, while at the same time it avoids an injection into the
statutory scheme of the additional concerns of the Members of this
Court. The Court of Appeals, however, ordered the release of even
more material than I believe should be disclosed. Accordingly, I
would reverse and remand this case for reconsideration in light of
what I deem to be the proper definition of the term "intelligence
source."
[
Footnote 2/1]
The Court of Appeals defined an "intelligence source" as
"a person or institution that provides, has provided, or has
been engaged to provide the CIA with information of a kind the
Agency needs to perform its intelligence function effectively, yet
could not reasonably expect to obtain without guaranteeing the
confidentiality of those who provide it."
206 U.S.App.D.C. 157, 166, 642 F.2d 562, 571 (1980) (
Sims
I).
[
Footnote 2/2]
The Court today defines an "intelligence source" as one that
"provides, or is engaged to provide, information . . . related to
the Agency's intelligence function,"
ante at
471 U. S. 177,
and holds also that the Director may withhold, under this
definition, information that might enable an observer to discover
the identity of such a source.
Ante at
471 U. S.
178.
[
Footnote 2/3]
Indeed, these cases present a curious example of the
Government's litigation strategy. Despite the repeated urging of
the District Court, the Agency steadfastly refused to invoke
Exemption 1 to withhold the information at issue. The lists of
names of MKULTRA researchers were in fact once classified under an
Executive Order, and were therefore within the potential scope of
Exemption 1, but the Agency elected to declassify them.
See 479 F. Supp.
84, 88 (DC 1979). The District Court went so far as to postpone
the effective date of its disclosure order, so the Agency could
"act on the possibility of classifying the names of institutions
and researchers which would otherwise be disclosable,"
ibid., and thereby withhold the information under
Exemption 1. The Agency refused to do so, however.
[
Footnote 2/4]
The fact that Congress established an Agency to collect
information from anywhere it could does not mean that it sought
through the phrase "intelligence source" to keep secret everything
the Agency did in this regard. Far from it, as the Court and the
Agency both acknowledge, the early congressional expressions of
concern about secrecy all focused on the need to maintain the
anonymity of persons who would provide information only on an
assurance of confidentiality.
[
Footnote 2/5]
In
EPA v. Mink, 410 U. S. 73
(1973), the Court held that, when an agency relied on Exemption 1,
which at the time covered matters "specifically required by
Executive order to be kept secret in the interest of the national
defense or foreign policy," 5 U.S.C. § 552(b)(1) (1970 ed.), a
reviewing court could affirm the decision not to disclose on the
basis of an agency affidavit stating that the document had been
duly classified pursuant to executive order. The Court held that
in camera inspection of the documents was neither
authorized nor permitted, because "Congress chose to follow the
Executive's determination in these matters." 410 U.S. at
410 U. S.
81.
Shortly thereafter, Congress overrode a Presidential veto and
amended the Act with the express purpose of overruling the
Mink decision. Exemption 1 was modified to exempt only
matters that are
"(A) specifically authorized under criteria established by an
Executive order to be kept secret in the interest of national
defense or foreign policy and (B) in fact properly classified
pursuant to such Executive order."
5 U.S.C. § 552(b)(1). In addition, Congress amended the
judicial review language to provide that
"the court shall determine the matter
de novo, and may
examine the contents of such agency records
in camera to
determine whether such records or any part thereof shall be
withheld under any of the exemptions set forth in subsection (b) of
this section, and the burden is on the agency to sustain its
action."
5 U.S.C. § 552(a)(4)(B). The legislative history
unequivocally establishes that
in camera review would
often be necessary and appropriate.
See S.Rep. No.
93-1200, p. 9 (1974).
[
Footnote 2/6]
The current Executive Order moves Exemption 1 a step closer to
Exemption 3, given the manner in which the Court interprets the
National Security Act exemption. Like its predecessor, the Order
establishes three classification levels, but unlike the prior
Order, the "confidential" classification no longer requires a
reasonable possibility of identifiable damage. Instead, the label
"confidential" now shall be applied to "information the
unauthorized disclosure of which reasonably could be expected to
cause damage to the national security." Exec.Order No. 12356, 3 CFR
166 (1983). In addition, the new Order not only lists "intelligence
sources" as a category subject to classification, but it also
creates a presumption that such information is confidential. This
presumption shifts from the Agency the burden of proving the
possible consequence to national security of disclosure. As a
result, if the Agency defines "intelligence source" under the
Executive Order as broadly as the Court defines the term in §
102(d)(3), the Agency need make but a limited showing to a court to
invoke Exemption 1 for that material. In light of this new Order,
the Court's avid concern for the national security consequences of
a narrower definition of the term is quite puzzling.
[
Footnote 2/7]
For example, the Court suggests that disclosure of the fact that
the Agency subscribes to an obscure but publicly available Eastern
European technical journal "could thwart the Agency's efforts to
exploit its value as a source of intelligence information."
Ante at
471 U. S. 177;
see Brief for Petitioners in No. 83-1075, p. 36. Assuming
this method of obtaining information is not protected by Exemption
1, through an executive order, it would surely be protected through
Exemption 3's incorporation of § 102(d)(3) of the National
Security Act. That provision, in addition to protecting
"intelligence sources," also protects "intelligence methods," and
surely encompasses covert means of obtaining information, the
disclosure of which might close access to certain kinds of
information. Similarly, the fact that some unsuspecting individuals
provide valuable intelligence information must be protected,
see ante at
471 U. S. 176;
Brief for Petitioners in No. 83-1075, p. 39, n. 15, but again,
because it is a covert means of obtaining information, not because
the "source" of that information needs or expects
confidentiality.