United States Court of Appeals

FOR THE DISTRICT OF COLUMBIA CIRCUIT

Argued February 20, 1997 Decided June 17, 1997

No. 96-3124

In re: Sealed Case

Appeal from the United States District Court

for the District of Columbia

(No. 95ms00192)

---------

Before: Wald, Ginsburg and Rogers, Circuit Judges.

Opinion for the Court filed by Circuit Judge Wald.

Wald, Circuit Judge: This case involves an effort by the

Office of the Independent Counsel ("OIC") to compel perfor-

mance of a subpoena duces tecum issued by the grand jury

investigating former Secretary of Agriculture Alphonso Mi-

chael (Mike) Espy ("Espy") and served on the Counsel to the

President ("White House Counsel"). The White House pro-

vided several folders of documents to the OIC in response to

the subpoena but withheld 84 documents as privileged. After

ordering that the withheld documents be produced for in

camera review, the district court upheld the White House's

claims of privilege in full. We now vacate the district court's

opinion and remand for the court to conduct a more detailed

review of the documents consistent with the principles set out

in this opinion.

I. Background

A. Factual Background

Allegations that Espy may have improperly accepted gifts

from individuals and organizations with business before the

U.S. Department of Agriculture ("USDA") first surfaced pub-

licly in March of 1994. These allegations led to the appoint-

ment of an Independent Counsel, on September 9, 1994, to

investigate whether Espy had unlawfully accepted gifts and

related matters and to prosecute any related violations of

federal law that the Independent Counsel reasonably believed

had occurred. See In re Alphonso (Mike) Espy, No. 94-2

(D.C. Cir. Spec. Div. 1994); see also In re Espy, 80 F.3d 501

(D.C. Cir. Spec. Div. 1996) (per curiam). This investigation

into Espy's actions is still ongoing.

The same allegations also led the President of the United

States to direct the White House Counsel to investigate

Espy's conduct in order to advise the President on whether

he should take executive action against Espy. On October 3,

1994, Espy announced his resignation, effective December 31,

1994. A little over a week later, on October 11, 1994, the

White House publicly released a report on Espy produced by

the White House Counsel. The report stated that the Presi-

dent had asked the White House Counsel to address two

issues: "(1) whether the President should direct that any

further action be taken with respect to Secretary Espy's

conduct; and (2) what actions should be taken to ensure that

similar incidents are avoided by other Members of the Cabi-

net." After detailing several areas in which questions had

been raised regarding Espy's conduct, the report concluded

that no further executive action need be taken against Espy

since he had announced his resignation, reimbursed the cost

of questionable transactions, recused himself from matters

involving meat and poultry inspection and undertaken screen-

ing measures for his travel. The report also recommended

that efforts be undertaken to ensure that all cabinet members

and other executive branch officers be given ethics training

and be familiarized with applicable ethical standards for

executive branch officers.

On October 14, 1994, the grand jury issued the subpoena

duces tecum at issue in this case. The subpoena seeks all

documents on Espy and other subjects of the OIC's investiga-

tion that were "accumulated for, relating in any way to, or

considered in any fashion, by those persons who were consult-

ed and/or contributed directly or indirectly to all drafts and/or

versions" of the White House Counsel's report. Within this

broad category of documents relating to the White House

Counsel's report, the subpoena specifically requests notes of

any meetings in the White House concerning Espy and of any

conversations between Espy or his counsel and White House

employees. On October 20, 1994, the White House issued a

press statement stating that it had received a subpoena for

documents relating to the White House Counsel's report and

would comply with the subpoena. On November 17, 1994, the

White House produced several folders of documents for the

OIC, which the White House maintained represented all

responsive documents except those withheld on the basis of

privilege. On December 12, 1994, at the OIC's request, the

White House produced a privilege log identifying the date,

author, and recipient of each document withheld as well as a

general statement of the nature of each document and the

basis for the privilege on which the document was withheld.

This privilege log indicated that 84 documents were withheld

on grounds of the deliberative process privilege, with one

document additionally withheld on grounds of attorney-client

privilege. Another document was initially withheld on grounds of attorney

work product privilege, but has since been released. In a later draft of the privilege log, the White

House lists the privilege basis of all 84 documents as being

"executive/deliberative privilege." It is clear from the briefs and oral argument in this case, as well

as the district court's opinion, that by "executive privilege" the

White House is referring to the privilege that attaches to confiden-

tial presidential communications. However, as we discuss below, see

infra Part I.B, "executive privilege" is generally used to refer to a

The OIC negotiated with the White House for access to the

withheld documents for several months, finally filing a motion

to compel production on June 7, 1995. The White House

resisted the motion, arguing that the withheld documents

came within both the privilege for presidential communica-

tions, recognized in United States v. Nixon, 418 U.S. 683

(1974) (Nixon), and the deliberative process privilege that

protects the deliberations and decisionmaking process of ex-

ecutive officials generally. After a hearing on the motion to

compel, the district court ordered the White House to pro-

duce the withheld documents for in camera review and the

White House complied. Each document produced was ac-

companied by an ex parte cover sheet that explained the

purpose of the document. The OIC also made an ex parte

submission justifying the grand jury's need for the docu-

ments. On September 30, 1996, the court denied the motion

to compel. The memorandum opinion accompanying the

denial quoted from Nixon to the effect that the "generalized

assertion of privilege [for presidential communications] must

yield to the demonstrated, specific need for evidence in a

pending criminal trial," 418 U.S. at 713, but then concluded

that the White House had properly asserted the claimed

privileges in this case. In reaching this conclusion, the court

stated that it had carefully reviewed the documents, but did

not discuss the documents in any further detail and provided

no analysis of the grand jury's asserted need for the docu-

ments.

The OIC appeals from the district court's decision. The

OIC argues that, at a minimum, the district court's order

should be vacated and the matter remanded because the

district court failed to provide any account of its reasoning in

denying the OIC's motion to enforce the subpoena. On the

merits, the OIC maintains that the district court erred in

denying the motion to compel because the White House had

____________________

wide variety of evidentiary and substantive privileges that courts

accord the executive branch. Consequently, we refer to the privi-

leges asserted by the White House more specifically as the presi-

dential communications privilege, or presidential privilege, and the

deliberative process privilege.

waived its claims of privilege by releasing the final White

House Counsel report, stating it would comply with the

subpoena, and unduly delaying in invoking privilege. The

OIC further argues that the presidential communications

privilege does not apply to the withheld documents because

none of the documents was sent to or received from the

President; the only document that the President received

regarding the Espy investigation was the White House Coun-

sel's final report, which was publicly released. Alternatively,

the OIC claims that even if the withheld documents do enjoy

the presidential privilege, the district court should have ap-

plied a less restrictive need standard than that articulated in

Nixon, because this case involves a grand jury subpoena

instead of a criminal trial subpoena, and the grand jury's

need for the documents is sufficient to overcome the claims of

executive privilege raised in this case. Although the OIC

does not separately discuss the applicability of the delibera-

tive process privilege in any detail, it maintains in passing

that the need to obtain evidence that may shed light on

governmental misconduct outweighs the deliberative process

privilege.

The White House challenges each of these arguments. It

insists that it has not waived its claims of privilege and that

the withheld documents come under the presidential commu-

nications privilege because they were generated in response

to the President's request for advice on whether to retain a

cabinet officer, one of the President's core functions under

Article II of the Constitution. The White House also notes

that the deliberative privilege would apply to the documents

in their entirety because the factual material in the docu-

ments is inseparable from the documents' deliberative por-

tions. The White House contends that the same standard of

need applies when the presidential privilege is raised in

response to a grand jury subpoena as when a criminal trial

subpoena is involved, and the OIC has failed to demonstrate a

sufficient need to justify release under either the presidential

privilege or the deliberative process privilege. Finally, the

White House maintains that, since the district court reviewed

the documents in camera, it provided sufficient explanation

for its decision to deny the motion to compel even though it

did not discuss the documents individually.

B. Legal Background: On Executive Privilege Generally

and the Deference Due to the District Court

Since the beginnings of our nation, executive officials have

claimed a variety of privileges to resist disclosure of informa-

tion the confidentiality of which they felt was crucial to

fulfillment of the unique role and responsibilities of the

executive branch of our government. Courts ruled early that

the executive had a right to withhold documents that might

reveal military or state secrets. See United States v. Reyn-

olds, 345 U.S. 1, 6-8 (1953); Chicago & S. Airlines, Inc. v.

Waterman Steamship Corp., 333 U.S. 103, 111 (1948); Totten

v. United States, 92 U.S. 105, 106-07 (1875). The courts have

also granted the executive a right to withhold the identity of

government informers in some circumstances, Roviaro v.

United States, 353 U.S. 53, 59-61 (1957), and a qualified right

to withhold information related to pending investigations.

See Friedman v. Bache Halsey Stuart Shields, Inc., 738 F.2d

1336, 1341-43 (D.C. Cir. 1984). Other privileges sanctioned

by the Supreme Court include the grant of absolute immunity

to the President from civil liability for official acts, see Nixon

v. Fitzgerald, 457 U.S. 731, 749 (1982) (Fitzgerald), and from

judicial compulsion to perform a discretionary act. See

Franklin v. Massachusetts, 505 U.S. 788, 802-03 (1992) (plu-

rality opinion); Swan v. Clinton, 100 F.3d 973, 977-78 (D.C.

Cir. 1996). For a listing of the different forms of executive privilege sanc-

tioned by courts, see Gerald Wetlaufer, Justifying Secrecy: An

Objection to the General Deliberative Privilege, 65 Ind. L.J. 845, 845

n.3 (1990); see generally Murl A. Larkin, Federal Testimonial

Privileges 5 to 7 (1996); 3 Weinstein's Federal Evidence

509-10 (Joseph M. McLaughlin, ed., 2d ed. 1997).

The most frequent form of executive privilege raised in the

judicial arena is the deliberative process privilege; it allows

the government to withhold documents and other materials

that would reveal "advisory opinions, recommendations and

deliberations comprising part of a process by which govern-

mental decisions and policies are formulated." Carl Zeiss

Stiftung v. V.E.B. Carl Zeiss, Jena, 40 F.R.D. 318, 324

(D.D.C. 1966), aff'd, 384 F.2d 979 (D.C. Cir. 1967); accord

NLRB v. Sears, Roebuck & Co., 421 U.S. 132, 151-53 (1975);

EPA v. Mink, 410 U.S. 73, 86-93 (1973). Although this

privilege is most commonly encountered in Freedom of Infor-

mation Act ("FOIA") litigation, it originated as a common law

privilege. See Wolfe v. HHS, 839 F.2d 768, 773 (D.C. Cir.

1988) (en banc); Jordan v. Department of Justice, 591 F.2d

753, 772 (D.C. Cir. 1978) (en banc). Some aspects of the privilege, for example the protection ac-

corded the mental processes of agency officials, see United States v.

Morgan, 313 U.S. 409, 421-22 (1941), have roots in the constitution-

al separation of powers. See 3 Weinstein's Federal Evidence

509.21[3] at 509-16. Two requirements are

essential to the deliberative process privilege: the material

must be predecisional and it must be deliberative. See Army

Times Publ'g Co. v. Department of the Air Force, 998 F.2d

1067, 1070 (D.C. Cir. 1993); Wolfe, 839 F.2d at 774. Both

requirements stem from the privilege's "ultimate purpose[,

which] ... is to prevent injury to the quality of agency

decisions" by allowing government officials freedom to debate

alternative approaches in private. Sears, 421 U.S. at 151.

The deliberative process privilege does not shield documents

that simply state or explain a decision the government has

already made or protect material that is purely factual, unless

the material is so inextricably intertwined with the delibera-

tive sections of documents that its disclosure would inevitably

reveal the government's deliberations. See id. at 150-54;

Mink, 410 U.S. at 87-91; Wolfe, 839 F.2d at 774; see general-

ly Russell L. Weaver & James T.R. Jones, The Deliberative

Process Privilege, 54 Mo. L. Rev. 279, 290-98 (1989).

The deliberative process privilege is a qualified privilege

and can be overcome by a sufficient showing of need. This characteristic of the deliberative process privilege is not an

issue in FOIA cases because the courts have held that the particu-

lar purpose for which a FOIA plaintiff seeks information is not

relevant in determining whether FOIA requires disclosure. See

Sears, 421 U.S. at 149 n.16; Mink, 410 U.S. at 86; see also

Department of Justice v. Reporters Comm'ee for Freedom of the

This

need determination is to be made flexibly on a case-by-case,

ad hoc basis. "[E]ach time [the deliberative process privi-

lege] is asserted the district court must undertake a fresh

balancing of the competing interests," taking into account

factors such as "the relevance of the evidence," "the availabili-

ty of other evidence," "the seriousness of the litigation," "the

role of the government," and the "possibility of future timidi-

ty by government employees." In re Subpoena Served Upon

the Comptroller of the Currency, 967 F.2d 630, 634 (D.C. Cir.

1992) (internal quotations omitted) (quoting In re Franklin

Nat'l Bank Securities Litig., 478 F. Supp. 577, 583 (E.D.N.Y.

1979)); see also Tuite v. Henry, 98 F.2d 1411, 1417 (D.C. Cir.

1996) (describing need in the context of the law enforcement

investigatory privilege, which involves balancing similar fac-

tors, as "an elastic concept"); Developments in the Law--

Privileged Communications, 98 Harv. L. Rev. 1450, 1621

(1985) ("courts simply engage in an ad hoc balancing of the

evidentiary need against the harm that may result from

disclosure"); Larkin, supra, 5.03 at 5-89 to 5-92 ("need for

[privileged materials] may vary considerably, depending on

the circumstances"). For example, where there is reason to

believe the documents sought may shed light on government

misconduct, "the privilege is routinely denied," on the

grounds that shielding internal government deliberations in

this context does not serve "the public's interest in honest,

effective government." Texaco Puerto Rico, Inc. v. Depart-

ment of Consumer Affairs, 60 F.3d 867, 885 (1st Cir. 1995);

see also In re Comptroller of the Currency, 967 F.2d at 634

("the privilege may be overridden where necessary ... to

'shed light on alleged government malfeasance' ") (quoting

Franklin Nat'l Bank, 478 F. Supp. at 582); Wetlaufer, supra,

at 852 n.25, 855 (listing cases).

Although executive privilege in general is no stranger to

the courtroom, one form of the executive privilege is invoked

________________________

Press, 489 U.S. 749, 771-72 (1989) (determination of whether disclo-

sure of information constitutes an unwarranted invasion of privacy

under FOIA's exemption 7(c) turns on nature of document and what

document reveals about operation of government and not on identi-

ty or purpose of requestor).

only rarely and that is the privilege to preserve the confiden-

tiality of presidential communications. Hints of a presidential

communications privilege made an early appearance in Mar-

bury v. Madison where Chief Justice Marshall suggested that

for a court to intrude "into the secrets of the cabinet" would

give the appearance of "intermeddl[ing] with the prerogatives

of the executive." 5 U.S. (1 Cranch) 170 (1803). Four years

later, in 1807, Marshall again addressed the presidential

privilege during the trial of Aaron Burr on charges of trea-

son. President Jefferson asserted the privilege in an effort to

avoid producing a letter that he had received from General

Wilkinson, one of Burr's main accusers. Marshall, sitting on

circuit, issued a subpoena for the letter, ruling that "[i]f [the

letter] does contain any matter which it would be imprudent

to disclose, which it is not the wish of the executive to

disclose, such matter, if it be not immediately and essentially

applicable to the point, will, of course, be suppressed." Unit-

ed States v. Burr, 25 F. Cas. 30, 37 (CC Va. 1807) (No.

14,692d). Although Burr was acquitted in his treason trial

before there were further proceedings on his subpoena, he

was immediately put on trial again on misdemeanor charges

and as a result sought production of another letter Wilkinson

had sent to Jefferson. See Paul A. Freund, The Supreme

Court, 1973 Term--Foreword: On Presidential Privilege, 88

Harv. L. Rev. 13, 22-31 (1974).

In neither instance, however, was Marshall forced to defini-

tively decide whether such a presidential privilege existed and

if so, in what form. In Marbury, Marshall found that the

question of whether a commission as justice of the peace had

been issued was a matter of legal and public record, not a

confidential cabinet matter, setting the stage for the Court's

pronouncement there that "[i]t is, emphatically, the province

and duty of the judicial department, to say what the law is."

5 U.S. at 177. Marshall's conclusion was presaged by the argument before the

Court, where then-Attorney General and former Secretary of State

Levi Lincoln had resisted testifying about the whereabouts of

Marbury's commission on the grounds that such information was an

In the Burr misdemeanor trial, Jefferson

responded to the subpoena by sending Wilkinson's letter to

George Hay, the U.S. Attorney prosecuting Burr, with in-

structions that the U.S. Attorney should determine what

portions should be withheld. This delegation induced Mar-

shall to order that the letter be provided to Burr in its

entirety, because "[t]he propriety of withholding [the letter]

must be decided by [the President] himself." United States

v. Burr, 25 F. Cas. 187, 192 (CC Va. 1807) (No. 14,694).official secret he had learned in his position as Secretary of State.

The Court had responded that "[t]here was nothing confidential to

be disclosed. If there had been he was not obliged to answer it ...

but that the fact whether such commissions had been in the office

or not, could not be a confidential fact." Marbury, 5 U.S. (1

Cranch) at 144.

Jefferson then proceeded to transmit a copy of the letter

identifying portions he believed should be deleted to Hay. But

since Burr was again acquitted, he did not seek production of the

letter until a third set of proceedings, these on the issue of whether

he should be committed to custody for trial in Ohio on other

charges. Ruling from the bench, Marshall denied Burr's request

for the letter, stating "[a]fter such a certificate from the president

of the United States as has been received, I cannot direct the

production of those parts of the letter, without sufficient evidence of

their being relevant to the present prosecution." Freund, supra, at

29. Marshall instead held that the deleted portions could be

inferred to support Burr. Id. at 30. Although Marshall never

definitively ruled on the President's claims of privilege, his decision

to issue the subpoena against President Jefferson has had lasting

significance in establishing that "the President is subject to judicial

process in appropriate circumstances." Clinton v. Jones, No.

95-1853, 1997 WL 273679 at *12 & n.38.

The presidential communications privilege did not resurface

in court for over a hundred and fifty years. Two cases, Mink and Soucie v. David, 448 F.2d 1067 (D.C. Cir.

1971), involved reports that were prepared pursuant to a presiden-

tial request and reviewed by the President, but in both cases the

courts viewed the privilege claim at issue as being simply an

assertion of the general deliberative process privilege, embodied in

exemption five of the Freedom of Information Act, rather than a

Presidential

claims of a right to preserve the confidentiality of information

and documents figured more prominently in executive-

congressional relations, but these claims too were most often

essentially assertions of the deliberative process privilege.distinct privilege for presidential communications. See Mink, 410

U.S. at 91-93; Soucie, 448 F.2d at 1071-72, 1075-78.

See, e.g., Robert Kramer & Herman Marcuse, Executive Privi-

lege--A Study of the Period 1953-1960: Part I, 29 Geo. Wash. L.

Rev. 623, 682-87, 692-93 (1961) (describing President Eisenhower's

refusal to allow any executive branch officers to reveal to Congress

internal deliberations on official matters). Although scholars dis-

pute how often Presidents have actually refused to provide Con-

gress with information on grounds of executive privilege, debate

over the President's ability to withhold confidential information

from Congress has occurred since the early years of our nation,

when President George Washington discussed with his cabinet in

1792 how to respond to a congressional inquiry into the military

misfortunes that beset General St. Clair's expedition. See Archi-

bald Cox, Executive Privilege, 122 U. Pa. L. Rev. 1383, 1395-1405

(1974); see generally Raoul Berger, Executive Privilege: A Con-

stitutional Myth (1974); Adam C. Breckenridge, The Executive

Privilege: Presidential Control Over Information (1974); Daniel

N. Hoffman, Governmental Secrecy and the Founding Fathers: A

Study in Constitutional Controls (1981); Mark J. Rozell, Execu-

tive Privilege: The Dilemma of Secrecy and Democratic Accounta-

bility (1994). Interestingly, it appears that Congress has at times

accepted executive officers' refusal to testify about conversations

they had with the President, even as it was insisting on access to

other executive branch documents and materials. See, e.g., Rozell,

supra, at 44; Robert Kramer & Herman Marcuse, Executive

Privilege--A Study of the Period 1953-1960: Part II, 29 Geo. Wash.

L. Rev. 827, 872-73 (1961). A very early instance of such a refusal

by an executive officer came in the course of the House's investiga-

tion into why Alexander Hamilton had deposited into the Bank of

the United States certain funds intended to pay off foreign debt.

The House sought to know Hamilton's authority for this act, to

which Hamilton replied that he would not provide any instructions

President Washington had given him, because "[t]hat question

must, then, be a matter purely between the President and the

agent, not examinable by the Legislature." Hoffman, supra, at

Moreover, given the restrictions on congressional standing

and the courts' reluctance to interfere in political battles, few

executive-congressional disputes over access to information

have ended up in the courts.122. However, the House rejected the claim of privilege, and

Hamilton eventually provided the material sought. Id. at 118-24.

It appears that the courts have been drawn into executive-

congressional disputes over access to information on only three

recent occasions. These were: United States v. AT&T, 551 F.2d

384 (D.C. Cir. 1976), appeal after remand, 567 F.2d 121 (D.C. Cir.

1977); Senate Select Comm'ee on Presidential Campaign Activities

v. Nixon (Senate Committee ), 498 F.2d 725 (D.C. Cir. 1974);

United States v. House of Representatives, 556 F. Supp. 150

(D.D.C. 1983). As a result, it was not until

the 1970s and Watergate-related lawsuits seeking access to

President Nixon's tapes as well as other materials that the

existence of the presidential privilege was definitively estab-

lished as a necessary derivation from the President's constitu-

tional status in a separation of powers regime.

In this case, the White House is asserting both the deliber-

ative process privilege and the presidential communications

privilege. See supra note 2. Our review of the withheld documents indicates

that several documents are either wholly factual or contain

segregatable factual sections that would not come under the

deliberative process privilege. Consequently, we must decide

whether the White House properly asserted the presidential

communications privilege over the documents.

As a preliminary matter we must first explain the standard

under which we should review the district court's ruling that

the presidential privilege applied to the withheld documents.

Ordinarily, this court will review a district court's ruling on a

subpoena for the production of documentary evidence only for

arbitrariness or abuse of discretion. See In re Comptroller of

the Currency, 967 F.2d at 633; In re Sealed Case, 877 F.2d

976, 981-82 (D.C. Cir. 1989). No deference is given, however,

if the ruling "rests upon a misapprehension of the relevant

legal standard or is unsupported by the record." In re

Subpoena on Comptroller of Currency, 967 F.2d at 633. In

order to defer we also need to have some articulation of the

district court's reasons for its ruling. See In re Sealed Case

(Government Records), 950 F.2d 736, 738 (D.C. Cir. 1991)

(appeals court cannot apply deferential standard when district

court did not provide reasons for denying subpoena or did not

review documents in camera).

Here, the district court provided no explanation of its

denial of the motion to compel. The denial took the form of a

blanket ruling, with no individualized discussion of the docu-

ments. Since the district court reviewed the withheld docu-

ments in camera before denying the OIC's motion to compel,

the absence of detailed findings would not, on its own, pre-

clude us from according our usual deference to the district

court's opinion. However, the court also failed to provide any

explanation of its legal reasoning. It did not address the

OIC's claim that the White House had waived its privileges or

analyze whether the presidential communications privilege

applies to documents not seen by the President. Moreover,

while the court quoted Nixon's statement to the effect that

the presidential privilege must yield to a specific demonstra-

tion of need, it never discussed why Nixon applies to grand

jury subpoenas as well as trial subpoenas nor indicated why

the OIC's demonstration of need was deficient. Because the

district court not only failed to make factual findings but also

failed to provide any explanation of its legal reasoning, we

believe that no deference to the district court's denial of the

OIC's motion to compel is appropriate.

II. Waiver

We turn first to the OIC's contention that the White House

has waived its privilege claims; if we find that waiver has

occurred, we need not proceed further. In support of its

waiver argument, the OIC notes that the White House public-

ly released the White House Counsel's report, issued a press

statement indicating it would comply with the OIC's subpoe-

na, and did not formally invoke privilege until after the OIC

filed a motion to compel. Only after the briefs in this appeal

were submitted did the White House inform us that it had

provided Espy's counsel with a document nearly identical to

one of the withheld documents, document 63, the only differ-

ence being that document 63 contained certain handwritten

notations that the released version lacked. The OIC argues

that the release of document 63 is further evidence of a

privilege waiver.

We do not credit the OIC's arguments for waiver. The

White House press statement did not explicitly declare that

the White House would forego any and all claims of privilege

that might apply to the documents. Instead, it described the

documents sought in the subpoena and noted "[t]he subpoena

requires that documents be produced on November 10, 1994.

The White House will comply." The OIC agreed to extend

the return date of the subpoena to November 17, and on that

date the White House did in fact produce several folders of

documents. "Since executive privilege exists to aid the gov-

ernmental decisionmaking process, a waiver should not be

lightly inferred." SCM Corp. v. United States, 473 F. Supp.

791, 796 (Cust. Ct. 1979); see also Nixon v. Sirica (Sirica),

487 F.2d 700, 717 (D.C. Cir. 1973) (explicit statement by

President Nixon that "[e]xecutive privilege will not be in-

voked" considered one factor in assessing need to preserve

confidentiality of subpoenaed materials, but not held to con-

stitute a waiver). The press statement was not an official

response to the subpoena, and it is clear from the record that

the OIC was well aware the White House would be asserting

privileges in regard to certain documents. Shortly after the

statement was issued the White House Counsel informed the

OIC that it believed some of the material was privileged,

provoking lengthy negotiations between the two over the

status of the withheld documents. There is nought to indi-

cate that the press statement misled the OIC.

Nor did the White House have an obligation to formally

invoke its privileges in advance of the motion to compel. In

its response to the subpoena, the White House informed the

OIC that it believed the withheld documents were privileged,

thus satisfying Rule 45(c)(2)(B) and Rule 45(d)(2) of the

Federal Rules of Civil Procedure, which together require that

"a party objecting to a subpoena on the basis of privilege

must both (1) object to the subpoena and (2) state the claim of

privilege within [the stipulated period] of service." Tuite, 98

F.2d at 1416; see also In re Sealed Case, 856 F.2d 268, 272

n.3 (D.C. Cir. 1988) (where government's claim of privilege is

well taken, remedy for any delay is not waiver but fees and

sanctions). The motion to compel was the first event which

could have forced disclosure of the documents. Cf. 3 Wein-

stein's Federal Evidence 503.09[4] at 503-44 (failure to

assert attorney-client privilege at a hearing at which privi-

leged information is sought may result in waiver of the

privilege). Since the OIC was clearly aware in advance of the

motion to compel that the White House likely would be

asserting privilege, it was not prejudiced by any alleged delay

in the White House's formally invoking its privileges.

The White House's release of the White House Counsel's

final report also does not constitute waiver of any privileges

attaching to the documents generated in the course of pro-

ducing the report. It is true that voluntary disclosure of

privileged material subject to the attorney-client privilege to

unnecessary third parties in the attorney-client privilege con-

text "waives the privilege, not only as to the specific commu-

nication disclosed but often as to all other communications

relating to the same subject matter." In re Sealed Case, 676

F.2d 793, 809 (D.C. Cir. 1982); accord In re Sealed Case, 29

F.3d 715, 719-20 (D.C. Cir. 1994); see generally 3 Wein-

stein's Federal Evidence 511. But this all-or-nothing

approach has not been adopted with regard to executive

privileges generally, or to the deliberative process privilege in

particular. Instead, courts have said that release of a docu-

ment only waives these privileges for the document or infor-

mation specifically released, and not for related materials.

See Mobil Oil Corp. v. EPA, 879 F.2d 698, 700-02, 703 (9th

Cir. 1989); Mehl v. EPA, 797 F. Supp. 43, 47-48 (D.D.C.

1992); Larkin, supra, 5.05 at 5-114.7 to 5-114.14; see also

Russell v. Department of the Air Force, 682 F.2d 1045, 1048-

49 (D.C. Cir. 1982) (although not addressing waiver directly,

holding that deliberative process privilege applies to early

drafts of Air Force report on use of herbicides in Vietnam

despite public release of the final report). This limited

approach to waiver in the executive privilege context is

designed to ensure that agencies do not forego voluntarily

disclosing some privileged material out of the fear that by

doing so they are exposing other, more sensitive documents.

See Assembly of the State of California v. Department of

Commerce, 968 F.2d 916, 922 n.5 (9th Cir. 1992); Mobil Oil

Corp., 879 F.2d at 701; Mehl, 797 F. Supp. at 47-48.

On that basis, we find that the White House's release of the

final report does not waive the privilege in regard to the

documents the White House generated in producing the

ultimate version. However, the White House has waived its

claims of privilege in regard to the specific documents that it

voluntarily revealed to third parties outside the White House,

namely the final report itself and the typewritten text of

document 63, which was sent to Espy's Counsel. Our review

reveals that none of the withheld documents is identical to the

final White House Counsel report, that no other withheld

document is identical to document 63 and that document 63

has handwritten notations that the White House claims were

not on the document sent to Espy's counsel. Thus, although

the White House has waived its privileges regarding the

typed text of document 63, the handwritten notations remain

subject to our privilege analysis, and if found privileged can

be redacted from document 63 before it is released to the

grand jury.

In sum, with the exception of document 63 we find that the

White House has not waived its privileges as to the withheld

documents. We therefore proceed to determine the merits of

the White House's claims of privilege.

III. The Presidential Communications Privilege

Judicial discussion of the presidential communications privi-

lege exploded in the early to mid-1970s when the investiga-

tion into the Watergate break-in uncovered the fact that

President Nixon had made, and still had in his possession,

tape recordings of his conversations in the Oval Office and

other locales. This revelation led the Watergate Special

Prosecutor to subpoena the tapes for use in the criminal

investigation of the break-in. President Nixon asserted the

presidential communications privilege in response, and also in

several subsequent lawsuits that sought access to the tapes

and other presidential materials generated by his administra-

tion. These lawsuits, referred to generically as the Nixon

cases, remain a quarter century later the leading--if not the

only--decisions on the scope of the presidential communica-

tions privilege. We begin our analysis of the White House's

assertion of the presidential privilege in this case by examin-

ing in detail the precedent in the Nixon cases. We will then

address two specific issues regarding the scope and operation

of the privilege presented by this case that are not expressly

answered by the earlier decisions: how far down the line of

command from the President does the presidential privilege

extend, and what kind of demonstration of need must be

shown to justify release to a grand jury of materials that

qualify for such a privilege.

A. The Nixon Cases and the General Contours of the Presi-

dential Communications Privilege

We first addressed President Nixon's assertion of the

presidential privilege over the Watergate tapes in Sirica.

Sirica involved a subpoena for nine tapes issued by the grand

jury investigating the Watergate break-in. The district court

had ordered President Nixon to produce the tapes for in

camera review, and on appeal we affirmed that decision,

stating that "application of Executive privilege depends on a

weighing of the public interest protected by the privilege

against the public interests that would be served by disclo-

sure in a particular case." 487 F.2d at 716. We initially

recognized a "great public interest" in preserving "the confi-

dentiality of conversations that take place in the President's

performance of his official duties" because such confidentiality

is needed to protect "the effectiveness of the executive deci-

sion-making process," as a result, we said, presidential con-

versations "are presumptively privileged." Id. at 717. But

we further held that this privilege could be overcome by a

sufficient showing of need by a grand jury, and ruled that

President Nixon's assertion of privilege "must fail in the face

of the uniquely powerful showing made by the Special Prose-

cutor in this case." Id. We ordered that the tapes be turned

over to the court for in camera review, however, rather than

given to the grand jury directly, to ensure that only material

relevant to the Watergate inquiry was released. Id. at 719-

22.

President Nixon did not appeal our decision in Sirica, and

thus it was not until a year later, in Nixon, that the question

of whether an executive privilege of confidentiality for presi-

dential communications existed reached the Supreme Court.

Nixon concerned a subpoena issued by the Watergate Special

Prosecutor for additional tapes, this time for use in the

pending trial of seven individuals indicted by the Watergate

grand jury. In a unanimous opinion, the Court agreed that

there was "a presumptive privilege for Presidential communi-

cations," 418 U.S. at 708, founded on "a President's general-

ized interest in confidentiality." Id. at 711. It found such a

privilege necessary to guarantee the candor of presidential

advisors and to provide "[a] President and those who assist

him ... [with] free[dom] to explore alternatives in the pro-

cess of shaping policies and making decisions and to do so in a

way many would be unwilling to express except privately."

418 U.S. at 708. Although not expressly provided for in the

Constitution, the privilege nonetheless has constitutional ori-

gins; it is "inextricably rooted in the separation of powers

under the Constitution," id., and also "flow[s] from the nature

of enumerated powers" of the President. Id. at 705 & n.16.

But, the Court insisted, "neither the doctrine of separation of

powers, nor the need for confidentiality of high-level commu-

nications, without more, can sustain an absolute, unqualified

Presidential privilege of immunity from judicial process under

all circumstances." Id. at 706. Turning to the precise issue

at hand, the Court held that an assertion of executive privi-

lege "based only on the generalized interest in confidentiality

.... must yield to the demonstrated, specific need for evi-

dence in a pending criminal trial." Id. at 713. The Court implied, however, that particularized claims of privi-

lege for military and state secrets would be close to absolute, and

expressly held only that the presidential communications privilege,

The Court

remanded for the district court to perform an in camera

review in which relevant and admissible evidence in the tapes

would be isolated for release to the Special Prosecutor; the

confidentiality of non-relevant material on the tapes was to be

preserved. On remand, the President was also to be given an

opportunity to raise more particularized claims of privilege.

Id. at 714-15 & n.21.

The Nixon Court explicitly limited its ruling to demands

for presidential materials relevant to a criminal trial, stating

"[w]e are not here concerned with the balance between the

President's generalized interest in confidentiality and the

need for relevant evidence in civil litigation, nor with that

between the confidentiality interest and congressional de-

mands for information." Id. at 712 n.19. It fell to the

remaining Nixon cases to address the scope of the presiden-

tial communications privilege in other contexts.which is based only on a generalized interest in confidentiality, can

be overcome by an adequate showing of need. See Nixon, 418 U.S.

at 710-11, 713.

The operation of the presidential communications privilege was

addressed in a few other criminal cases. In United States v.

Haldeman, 559 F.2d 31 (D.C. Cir. 1976), and United States v.

Ehrlichman, 546 F.2d 910 (D.C. Cir. 1976), John Ehrlichman, an

assistant to President Nixon, challenged his convictions stemming

from the Watergate investigation on the grounds that the district

court had improperly denied requests for information in White

House files. However, in neither case is there any significant

discussion of the privilege, because Ehrlichman had failed "to argue

with specificity the materiality and reasonableness of his discovery

request" and thus would have not been entitled to access to this

evidence under Rule 17(c) of the Federal Rules of Criminal Proce-

dure even if it were not presumptively privileged. Ehrlichman, 546

F.2d at 931-32; see also Haldeman, 559 F.2d at 76-77. In United

States v. Poindexter, 727 F. Supp. 1501 (D.D.C. 1989) and United

States v. North, 713 F. Supp. 1448 (D.D.C. 1989), two prosecutions

arising out of the Iran-Contra investigation, former National Secu-

rity Advisor John Poindexter and Lieutenant Colonel Oliver North

subpoenaed President Reagan to testify about conversations; Poin-

dexter also subpoenaed President Reagan's diaries. Although in

both cases the courts noted that the subpoenas implicated the

presidential communications privilege, they only addressed the

question of whether the subpoenas satisfied Rule 17(c). Poindex-

ter's initial conviction was reversed by this court on other grounds,

United States v. Poindexter, 951 F.2d 369 (D.C. Cir. 1991), and

President Bush subsequently pardoned Poindexter, thus forestalling

further appellate review of the district court's order in his case.

This court held that any error in the district court's refusal to

subpoena President Reagan to testify at North's trial was harmless

because there was no indication he would have provided evidence

that was material or favorable to North. As a result, the issue of

presidential privilege was only addressed by Judge Silberman in

dissent. United States v. North, 910 F.2d 843, 888-92 & n.25 (D.C.

Cir.), vacated in part, 920 F.2d 940 (D.C. Cir. 1990); id. at 932, 950-

54 (Silberman, J., concurring in part and dissenting in part). In Senate

Committee, a decision that pre-dated Nixon, this court re-

fused to enforce a subpoena for tapes issued by the Senate

Committee investigating illegal activities connected to the

1972 election, on the grounds that the Senate Committee had

not demonstrated that the tapes were "demonstrably critical

to the responsible fulfilment of the Committee's functions."

498 F.2d at 731. Subsequently, the Court of Claims held that

the presidential communications privilege could be overcome

by the evidentiary demands of a civil trial, see Sun Oil Co. v.

United States, 514 F.2d 1020, 1024 (Ct. Cl. 1975), and in

Dellums v. Powell this court agreed, holding that an adequate

showing of need in a civil trial would also defeat the privilege

"at least where, as here, the action is tantamount to a charge

of civil conspiracy among high officers of government to deny

a class of citizens their constitutional rights and where there

has been sufficient evidentiary substantiation to avoid the

inference that the demand reflects mere harassment." 561

F.2d 242, 247 (D.C. Cir. 1977); see also Dellums v. Powell,

642 F.2d 1351 (D.C. Cir. 1980) (remanding to give President

Nixon further opportunity to assert more particularized

claims of privilege).

The Supreme Court had its next encounter with the presi-

dential communications privilege in Nixon v. Administrator

of General Services (GSA), which concerned the operation of

the privilege in the context of congressional legislation. The presidential communications privilege also surfaced in the

district court's opinion in Wayte v. United States, which later was

appealed to the Supreme Court. Wayte alleged that the govern-

ment's enforcement policy on military draft registration require-

ments was unconstitutional, and sought discovery of presidential

documents and testimony regarding the policy from the White

House Counsel. The Court, however, decided the case on other

grounds, and the only discussion of the presidential privilege is

found in Justice Marshall's dissent. 470 U.S. 598, 614, 615-23

(1985).

Congress enacted the Presidential Recordings and Materials

Preservation Act ("PRMPA"), which transferred custody of

the Nixon tapes along with a vast number of other presiden-

tial documents from the Nixon administration to the custody

of the General Services Administrator. President Nixon

challenged PRMPA as unconstitutional, in part because it

infringed on the presidential privilege. The Court first held

that a former President could assert the privilege on his own,

but his claim would be given less weight than that of an

incumbent President. 433 U.S. 425, 449 (1977). Moreover, it

said the privilege was "limited to communications 'in perfor-

mance of [a President's] responsibilities,' 'of his office,' and

made 'in the process of shaping policies and making deci-

sions.' " Id. at 449 (quoting Nixon) (citations omitted). The

Court then noted that the only intrusion into the confidentiali-

ty of presidential communications in the case was the screen-

ing of the materials by archivists, since the statute provided

that the Administrator would promulgate regulations which

allowed claims of privilege to be raised before public access

occurred. This screening by government archivists who had

performed the same task for past Presidents without any

apparent interference with presidential confidentiality was

viewed by the Court as "a very limited intrusion," and also as

justified in light of the substantial public interests served by

the Act. Id. at 450-55. This court subsequently upheld the regulations promulgated by

GSA to govern access to the Nixon materials. See Nixon v.

Freeman, 670 F.2d 346 (D.C. Cir. 1982); see also Nixon v. United

The Nixon cases establish the contours of the presidential

communications privilege. The President can invoke the

privilege when asked to produce documents or other materi-

als that reflect presidential decisionmaking and deliberations

and that the President believes should remain confidential.

If the President does so, the documents become presumptive-

ly privileged. States, 978 F.2d 1269 (D.C. Cir. 1992) (holding that PRMPA acted

as a taking of President Nixon's materials so as to require just

compensation).

In Nixon, Sirica and GSA, President Nixon personally assert-

ed the presidential communications privilege, and thus these cases

do not establish whether the privilege must be invoked by the

President as opposed to a member of his staff. In discussing the

military and state secrets privilege in Reynolds the Supreme Court

stated that "[t]here must be a formal claim of privilege, lodged by

the head of the department which has control over the matter," 345

U.S. at 7-8, which might suggest that the President must assert the

presidential communications privilege personally. See Center on

Corp. Responsibility, Inc. v. Shultz, 368 F. Supp. 863, 872-73

(D.D.C. 1973) (White House Counsel's affidavit indicating that he is

authorized to say that the White House was invoking executive

privilege over tapes and documents in White House files is insuffi-

cient to invoke the privilege); see also Burr, 25 F. Cas. at 192

(ruling that President Jefferson had to personally identify the

passages he deemed confidential and could not leave this determina-

tion to the U.S. Attorney). We need not decide whether the

privilege must be invoked by the President personally, since the

record indicates that President Clinton has done so here; in his

affidavit former White House Counsel Abner J. Mikva stated "the

President ... has specifically directed me to invoke formally the

applicable privileges over those documents." Moreover, although

the OIC challenged the adequacy of the White House's invocation of

privilege before the district court, the OIC did not pursue this issue

on appeal. However, the privilege is qualified, not abso-

lute, and can be overcome by an adequate showing of need.

If a court believes that an adequate showing of need has been

demonstrated, it should then proceed to review the docu-

ments in camera to excise non-relevant material. The re-

maining relevant material should be released. Further, the

President should be given an opportunity to raise more

particularized claims of privilege if a court rules that the

presidential communications privilege alone is not a sufficient

basis on which to withhold the document.

While the presidential communications privilege and the

deliberative process privilege are closely affiliated, the two

privileges are distinct and have different scopes. Both are

executive privileges designed to protect executive branch

decisionmaking, but one applies to decisionmaking of execu-

tive officials generally, the other specifically to decisionmak-

ing of the President. The presidential privilege is rooted in

constitutional separation of powers principles and the Presi-

dent's unique constitutional role; the deliberative process

privilege is primarily a common law privilege. See Fitzger-

ald, 457 U.S. at 753 & n.35. Consequently, congressional or

judicial negation of the presidential communications privilege

is subject to greater scrutiny than denial of the deliberative

privilege. See 26A Charles Alan Wright & Kenneth W.

Graham, Jr., Federal Practice and Procedure 5673, at 37;

contra Freund, supra, at 20 (commenting that question of

whether presidential privilege is rooted in the common law or

the Constitution is not "very meaningful," but not discussing

effect different derivation has on congressional power).

In addition, unlike the deliberative process privilege, the

presidential communications privilege applies to documents in

their entirety, and covers final and post-decisional materials

as well as pre-deliberative ones. Even though the presiden-

tial privilege is based on the need to preserve the President's

access to candid advice, none of the cases suggest that it

encompasses only the deliberative or advice portions of docu-

ments. Indeed, Nixon argued that the presidential privilege

must be qualified to ensure full access to facts in judicial

proceedings, thereby assuming that factual material comes

under the privilege. 418 U.S. at 709; but see Larkin, supra,

6.01 at 6-1 (asserting, without explanation, that the presi-

dential privilege does not "protect purely factual material").

There is no indication either that the presidential privilege is

restricted to pre-decisional materials. GSA cautioned that

the privilege only applies to communications made in the

process of arriving at presidential decisions, but by this we

believe the Court meant that the privilege was limited to

materials connected to presidential decisionmaking, as op-

posed to other executive branch decisionmaking, and not that

only pre-decisional materials were covered. 433 U.S. at 449.

Nor would exclusion of final or post-decisional materials make

sense, given the Nixon cases' concern that the President be

given sufficient room to operate effectively. These materials

often will be revelatory of the President's deliberations--as,

for example, when the President decides to pursue a particu-

lar course of action, but asks his advisors to submit follow-up

reports so that he can monitor whether this course of action

is likely to be successful. The release of final and post-

decisional materials would also limit the President's ability to

communicate his decisions privately, thereby interfering with

his ability to exercise control over the executive branch. In some cases, the White House's ex parte contacts with

outside agencies may be subject to disclosure by statute, see, e.g.,

Portland Audubon Soc'y v. Endangered Species Comm'ee, 984 F.2d

1534, 1543-48 (9th Cir. 1993), but this court has refused to require

disclosure of conversations between an agency and the President or

White House staff, at least where the proceeding was not adjudica-

tory and the statute did not specifically require disclosure, because

of the President's need to oversee executive agencies. See Sierra

Club v. Costle, 657 F.2d 298, 404-08 (D.C. Cir. 1981).

Finally, while both the deliberative process privilege and

the presidential privilege are qualified privileges, the Nixon

cases suggest that the presidential communications privilege

is more difficult to surmount. In regard to both, courts must

balance the public interests at stake in determining whether

the privilege should yield in a particular case, and must

specifically consider the need of the party seeking privileged

evidence. But this balancing is more ad hoc in the context of

the deliberative process privilege, and includes consideration

of additional factors such as whether the government is a

party to the litigation. Moreover, the privilege disappears

altogether when there is any reason to believe government

misconduct occurred. On the other hand, a party seeking to

overcome the presidential privilege seemingly must always

provide a focused demonstration of need, even when there are

allegations of misconduct by high-level officials. The elements of this showing of need are discussed in greater

detail infra in Part III.C. In holding

that the Watergate Special Prosecutor had provided a suffi-

cient showing of evidentiary need to obtain tapes of President

Nixon's conversations, the Supreme Court made no mention

of the fact that the tapes were sought for use in a trial of

former presidential assistants charged with engaging in a

criminal conspiracy while in office. Accord Senate Commit-

tee, 498 F.2d at 731 (noting that presidential privilege is not

intended to shield governmental misconduct but arguing that

showing of need turns on extent to which subpoenaed evi-

dence is necessary for government institution to fulfill its

responsibilities, not on type of conduct evidence may reveal);

contra 26A Wright & Graham, supra, 5673, at 53-54 (quot-

ing Senate Committee's not-a-shield language and arguing

that allegations of misconduct qualify the privilege, but not

addressing Senate Committee's comment that need showing

turns on function for which evidence is sought and not on

conduct revealed by evidence).

These differences between the presidential communications

privilege and the deliberative privilege demonstrate that the

presidential privilege affords greater protection against dis-

closure. Consequently, should we conclude as to any docu-

ment that the presidential privilege applies but that the OIC

has demonstrated a sufficient showing of need, there is no

reason to examine whether the documents also come under

the deliberative process privilege. A fortiori, if release is

required under the presidential privilege, it will certainly be

required under the deliberative process privilege. Hence, we

would need to address application of the deliberative process

privilege as to any document only if we determine that the

withheld document is not subject to the presidential privilege.

B. How Far Down the Line Does the Presidential Commu-

nications Privilege Go?

The withheld documents in this case include materials used

in the investigation and formulation of several earlier drafts

of the White House Counsel's report, notes of meetings

among White House advisors, and draft press briefings. It is

undisputed that none of these documents was actually viewed

by the President. As a result, the key issue in this case is

whether any, and if so which, of these documents come under

the presidential communications privilege. Does the privilege

only extend to direct communications with the President, or

does it extend further to include communications that involve

his chief advisors? And if the privilege does extend past the

President, how far down into his circle of advisors does it

extend?

Most of the Nixon cases involved subpoenas for tapes of

conversations in which President Nixon was a participant, and

did not call upon the courts to determine whether the presi-

dential privilege also covered communications in which the

President did not directly participate. Commentators have noted that the Nixon opinion did not

address this question of who qualifies for the privilege. See Raoul

Berger, The Incarnation of Executive Privilege, 22 UCLA L. Rev.

4, 22-26 (1974) (hereinafter Berger, Incarnation). The language used

to describe the scope of the privilege in the opinions vacillates

between broad and narrow depictions of the privilege. In

Nixon the Court referred to "[a] President's acknowledged

need for confidentiality in the communications of his office,"

418 U.S. at 712-13 (emphasis added) and elaborated that "[a]

president and those who assist him must be free to explore

alternatives in the process of shaping policies and making

decisions," id. at 708 (emphasis added), suggesting that actual

presidential involvement in the communication is not a pre-

requisite to privilege. See also id. at 705 (privilege grounded

in the need to protect "communications between high Govern-

ment officials and those who advise and assist them in the

performance of their manifold duties"). But Nixon also uses

language that appears to tie the privilege to the President;

the opinion repeatedly refers to the privilege as a "privilege

of confidentiality of Presidential communications," id. at 705

(emphasis added), and as rooted in "[t]he expectation of a

President to the confidentiality of his conversations and cor-

respondence." Id. at 708 (emphasis added). Similar varia-

tion can be found in Sirica, which describes the privilege

interchangeably as designed to "protect the effectiveness of

the executive decision-making process" and as intended to

"maintain[ ] the confidentiality of conversations that take

place in the President's performance of his official duties."

487 F.2d at 717 (emphasis added); see also Dellums, 561 F.2d

at 246, 247 (describing the privilege at one point as covering

"confidential communications with the President" and at an-

other as "attach[ing] to the communications, submissions and

deliberations essential to the conduct of the office of the

[P]resident").

The scope of the presidential communications privilege did

arise in GSA and in Sun Oil, but was not decided in either

opinion. Many of the documents which PRMPA gave over to

GSA custody had never been seen by the President. After

remarking that President Nixon could "legitimately assert the

Presidential privilege, of course, only as to those materials

whose contents fall within the scope of the privilege," the

Court noted that "[o]f the estimated 42 million pages of

documents and 880 tape recordings whose custody is at stake,

the District Court concluded that the appellant's claim of

Presidential privilege could apply at most to the 200,000 items

with which the appellant was personally familiar." 433 U.S.

at 449 (emphasis added); see also id. at 454 (only a "small

fraction of the materials ... implicate Presidential confiden-

tiality"). Since, however, the Court found that the public

interests served by PRMPA were sufficient to overcome the

presidential communications privilege, it never had to decide

which materials came under the privilege. The three-

member district court that upheld the statute had explicitly

commented that it need not consider "whether the privilege

that attaches to presidential communications extends to com-

munications never directly received by the President but

rather channelled in a variety of ways to him or his advisors,"

because it believed the statute would be constitutional "even

if a large proportion of the materials falling within the Act

were thought protected." Nixon v. Administrator of General

Servs., 408 F. Supp. 321, 345 n.29 (D.D.C. 1976). The same

situation occurred in Sun Oil, which involved a claim of

presidential communications privilege over memoranda that

circulated between two presidential aides. The Court of

Claims never discussed whether the memoranda actually

came under the privilege, but rather assumed the privilege

applied and held that even so the memoranda should be

released because the plaintiffs had made out a sufficient

showing of need. 514 F.2d at 1022, 1024.

A case that did directly touch on the question of how far

down the line the presidential communications privilege ex-

tends was Association of American Physicians and Surgeons

v. Clinton (AAPS). AAPS involved an effort to enjoin Presi-

dent Clinton's Task Force on National Health Care Reform

and its subgroups from meeting unless they complied with

the Federal Advisory Committee Act (FACA). In holding

that FACA's exemption for advisory groups composed solely

of officers or employees of the government applied to the

Task Force even though it was chaired by the President's

wife, Hillary Rodham Clinton, this court commented that an

interpretation of FACA as covering a Task Force that reports

directly to the President might well represent an unconstitu-

tional intrusion on the presidential communications privilege.

This privilege, we argued, "attaches not only to direct com-

munications with the President, but also to discussions be-

tween his senior advisors[, who] ... must be able to hold

confidential meetings to discuss advice they secretly will

render to the President." 997 F.2d 898, 909 (D.C. Cir. 1993).

But in AAPS this court did not actually rule on the scope of

the privilege, or determine whether the public interests un-

derlying FACA justified interference with the privilege, since

it found that "a strong argument" could be made for exempt-

ing the Task Force based on the statutory text. Id. at 905. In Wolfe v. HHS, 815 F.2d 1527 (D.C.Cir.1987), a panel of this

court held that the privilege did not protect communications of the

Office of Management and Budget that did not involve the Presi-

dent, stating that such an "extension of the presidential privilege

... is unprecedented and unwarranted .... [and] would create an

unnecessary sequestering of massive quantities of information from

the public eye." Id. at 1533. However, the opinion was later

There are acknowledgedly strong arguments in favor of

holding that the presidential communications privilege applies

to only those communications that directly involve the Presi-

dent. This approach comports with the principle that "the

President's unique status under the Constitution distinguishes

him from other executive officials," Fitzgerald, 457 U.S. at

750, particularly in separation of powers analysis. See Wet-

laufer, supra, at 901-02. The Constitution after all vests the

executive power not in the executive branch, but in the

President; it is the President who, as "the chief constitutional

officer of the Executive branch, [is] entrusted with superviso-

ry and policy responsibilities of the utmost discretion and

sensitivity." Fitzgerald, 457 U.S. at 750. Nixon identified

the President's Article II powers and responsibilities as the

constitutional basis of the presidential communications privi-

lege. 418 U.S. 705 & n.16. Since the Constitution assigns

these responsibilities to the President alone, arguably the

privilege of confidentiality that derives from them also should

be the President's alone. The uniqueness of the President

has frequently led courts to recognize that the President

enjoys more extensive privileges than other executive branch

officers. For example, the President is absolutely immune

from damages liability for official acts, but presidential aides

receive only qualified immunity. Compare Fitzgerald, 457

U.S. at 749-54, with Harlow v. Fitzgerald, 457 U.S. 800, 808-

13 (1982); see also Mitchell v. Forsyth, 472 U.S. 511, 520-24

(1985) (holding whether an executive official receive absolute

immunity depends on the function the official was performing

when she engaged in the actions being challenged). In

Franklin the Court emphasized that the separation of powers

concerns that arise when the President is personally subject-

ed to judicial process are not implicated when a court exercis-

es jurisdiction over other executive branch officials. 505 U.S.

at 801-02. And in In re Kessler, this court recently rejected

the claim that because the President is allowed to appeal a

discovery order without being held in contempt the Commis-

_________________________

vacated by the court en banc, and the government abandoned its

presidential privilege claims before the full court. See Wolfe, 839

F.2d at 773 n.5.

sioner of the Food and Drug Administration should be able to

do so as well, noting that "for purposes of separation of

powers, the President stands in an entirely different position

than other members of the executive branch." 100 F.3d 1015,

1017 (D.C. Cir. 1996).

An additional reason to restrict the presidential communi-

cations privilege to direct communications with the President

is the general rule, underscored by the Supreme Court in

Nixon, that privileges should be narrowly construed: "excep-

tions to the demand for every man's evidence are not lightly

created nor expansively construed, for they are in derogation

of the search for truth." 418 U.S. at 710; accord Jaffee v.

Redmond, 116 S. Ct. 1923, 1932, 1933 (1996) (Scalia, J.,

dissenting); Trammel v. United States, 445 U.S. 40, 50

(1980); In Re Grand Jury Subpoena Duces Tecum, 112 F.3d

910, 918 (8th Cir. 1997). The argument for a narrow con-

struction is particularly strong in cases like this one where

the public's ability to know how its government is being

conducted is at stake. In performing his constitutional duties

the President may obtain advice and assistance from a broad

array of executive officials--cabinet officers, employees in the

Executive Office of the President, and agency staff with

special expertise, as well as individuals whose sole function in

the White House is to provide the President with advice and

assistance. See, e.g., Meyer v. Bush, 981 F.2d 1288, 1293-94

(D.C. Cir. 1993) (holding President's Task Force on Regulato-

ry Relief was intended only to advise and assist the President

and was not subject to FOIA, even though the Task Force

included cabinet officers as members). Indeed, it has been

publicly noted that the parts of the executive branch which

"directly report[ ] to the President ha[ve] grown dramatically

in the past few decades," Peter M. Shane, Legal Disagree-

ment and Negotiation in a Government of Laws: The Case of

Executive Privilege Claims Against Congress, 71 Minn. L.

Rev. 461, 463 (1987); see also Thomas E. Cronin, The State of

the Presidency 243-47 (2d ed. 1980) (discussing growth of

White House staff and its effects).

Extending presidential privilege to the communications of

presidential advisors not directly involving the President inev-

itably creates the risk that a broad array of materials in many

areas of the executive branch will become "sequester[ed]"

from public view. Wolfe, 815 F.2d at 1533. President Nix-

on's attempt to invoke presidential privilege to prevent re-

lease of evidence indicating that high level executive officers

engaged in illegal acts is perhaps the starkest example of

potential for abuse of the privilege. And openness in govern-

ment has always been thought crucial to ensuring that the

people remain in control of their government. According to

James Madison,

[a] popular Government, without popular information, or

the means of acquiring it, is but a Prologue to a Farce or

a Tragedy; or perhaps both. Knowledge will forever

govern ignorance: And a people who mean to be their

own Governors, must arm themselves with the power

which knowledge gives.

Letter from James Madison to W.T. Barry (Aug. 4, 1822), in

9 Writings of James Madison 103 (Gaillard Hunt, ed. 1910);

see also Soucie, 448 F.2d at 1080 (In enacting FOIA, "Con-

gress recognized that the public cannot make intelligent

decisions without [adequate] information, and that govern-

mental institutions become unresponsive to public needs if

knowledge of their activities is denied to the people and their

representatives"). The very reason that presidential commu-

nications deserve special protection, namely the President's

unique powers and profound responsibilities, is simultaneous-

ly the very reason why securing as much public knowledge of

presidential actions as is consistent with the needs of govern-

ing is of paramount importance.

But a very powerful case can also be made for extending

the presidential communications privilege beyond those mate-

rials with which the President is "personally familiar," and at

the end of the day we find the arguments for a limited

extension of the privilege beyond the President to his immedi-

ate advisors more convincing. Nixon does not specifically

establish how far down the chain of command the presidential

communication privilege extends, but it does make absolutely

clear that the privilege itself is rooted in the need for

confidentiality to ensure that presidential decisionmaking is of

the highest caliber, informed by honest advice and full knowl-

edge. Confidentiality is what ensures the expression of "can-

did, objective, and even blunt or harsh opinions" and the

comprehensive exploration of all policy alternatives before a

presidential course of action is selected. See Nixon, 418 U.S.

at 708; see also GSA, 433 U.S. at 449. Several commentators

have argued that presidential advisors may not be as likely to

"temper candor with a concern for appearances and for their

own interests to the detriment of the decisionmaking pro-

cess," Nixon, 418 U.S. at 705, as the Supreme Court feared.

See, e.g., Wetlaufer, supra, at 886-90; 26A Wright & Miller,

supra, 5673 at 38-39. But--even if we were free to ignore

Nixon, which we are not--we are not so sanguine that

presidential advisors will never be dissuaded from expressing

unpopular but correct opinions out of a fear of disclosure, or

that able individuals will not shrink from assuming a position

as presidential advisor in the first place if by doing so they

step unprotected into the limelight. And the critical role that

confidentiality plays in ensuring an adequate exploration of

alternatives cannot be gainsaid. If presidential advisors must

assume they will be held to account publicly for all ap-

proaches that were advanced, considered but ultimately re-

jected, they will almost inevitably be inclined to avoid serious

consideration of novel or controversial approaches to presi-

dential problems.

Presidential advisors do not explore alternatives only in

conversations with the President or pull their final advice to

him out of thin air--if they do, their advice is not likely to be

worth much. Rather, the most valuable advisors will investi-

gate the factual context of a problem in detail, obtain input

from all others with significant expertise in the area, and

perform detailed analyses of several different policy options

before coming to closure on a recommendation for the Chief

Executive. The President himself must make decisions rely-

ing substantially, if not entirely, on the information and

analysis supplied by advisors. "Even the most sensitive

issues of national security must be brought to the point of

presidential decision by staff, who assemble data and views,

and then winnow and shape them for the President." Peter

L. Strauss, The Place of Agencies in Government: Separa-

tion of Powers and the Fourth Branch, 84 Colum. L. Rev. 573,

661 (1984). In the vast majority of cases, few if any of the

documents advisors generate in the course of their own

preparation for rendering advice to the President, other than

documents embodying their final recommendations, will ever

enter the Oval Office. Yet these pre-decisional documents

are usually highly revealing as to the evolution of advisors'

positions and as to the different policy options considered

along the way. If these materials are not protected by the

presidential privilege, the President's access to candid and

informed advice could well be significantly circumscribed.

The protection offered by the more general deliberative

process privilege will often be inadequate to ensure that

presidential advisors provide knowledgeable and candid ad-

vice, primarily because the deliberative process privilege does

not extend to purely factual material. As we remarked in

AAPS, preservation of the President's confidentiality requires

that a "[g]roup directly reporting and advising the President

must have confidentiality at each stage in the formulation of

advice to him." 997 F.2d at 910. In many instances, poten-

tial exposure of the information in the possession of an

advisor can be as inhibiting as exposure of the actual advice

she gave to the President. Without protection for her

sources of information, an advisor may be tempted to forego

obtaining comprehensive briefings or initiating deep and in-

tense probing for fear of losing deniability. Exposure of the

factual portions of presidential advisors' communications also

represents a substantial threat to the confidentiality of the

President's own deliberations. Knowledge of factual informa-

tion gathered by presidential advisors can quickly reveal the

nature and substance of the issues before the President, since

"[i]f you know what information people seek, you can usually

determine why they seek it." Id.

The greater ease with which the deliberative process privi-

lege can be overcome is another reason to doubt its efficacy in

ensuring candid presidential advice. In Nixon the Supreme

Court recognized that some possibility of disclosure is unlike-

ly to affect the advice the President receives, stating "we

cannot conclude that advisers will be moved to temper the

candor of their remarks by the infrequent occasions of disclo-

sure [that might occur if their] ... conversations will be

called for in the context of a criminal prosecution." 418 U.S.

at 712. The risk of a chill increases, however, as the possibili-

ty of disclosure rises, especially if there are situations in

which the privilege may virtually disappear, such as when

government misconduct is alleged. Nor does it suffice to

respond that the public interest in honest and accountable

government is stymied if presidential advisors are allowed

even a qualified privilege when government misconduct is

charged. The President's supervisory control over executive

branch officials is an important means of ensuring that abuse

of office is uncovered and swiftly addressed, and the Presi-

dent needs access to candid and informed advice if he is to

exercise this control effectively. In this regard it is worth

emphasizing that the presidential communications privilege is,

at all times, a qualified one, so that an expansion to cover

communications of presidential advisors which do not directly

involve the President does not mean that these communica-

tions will become permanently shielded; they will remain

available upon a sufficient showing of need.

Of course, the risk that release of factual information may

reveal a policymaking official's area of focus is true at all

levels of government. But the President does not represent

simply one level of executive branch, but rather the ultimate

level of decisionmaking in the executive branch, and intrusion

into presidential deliberations is therefore more serious. In

ruling on whether General Wilkinson's letter should be re-

leased Chief Justice Marshall remarked that "[i]n no case of

this kind would a court be required to proceed against the

president as against an ordinary individual." Burr, 25 Fed.

Cas., at 192. Neither should a court be required to proceed

against the President as against any other executive branch

official. See Clinton, 1997 WL 273679 at *12 n.39 (quoting

Burr and noting "[s]pecial caution is appropriate if the mate-

rials or testimony sought by the court relate to a President's

official activities"). Indeed, if the President's immediate ad-

visors were only covered by the deliberative process privilege,

courts might feel compelled to extend the deliberative privi-

lege to cover factual material in order to ensure that the

President had sufficient freedom from public review to oper-

ate effectively. This result might make the deliberative

process privilege better able to meet the particular needs of

presidential decisionmaking, but it would hardly advance the

goal of open government since it would mean that more

factual information was shielded at all levels of the executive

branch.

The ultimate question is whether restricting the presiden-

tial communications privilege to communications that directly

involve the President will "impede the President's ability to

perform his constitutional duty." Morrison v. Olson, 487

U.S. 654, 691 (1988); see also Loving v. United States, 116

S. Ct. 1737, 1743 (1996) ("[e]ven when a branch does not

arrogate power to itself, ... the separation-of-powers doc-

trine requires that a branch not impair another in the perfor-

mance of its constitutional duties"). If it does, the constitu-

tional separation of powers will be violated. In Nixon the

Court recognized that the President's access to honest and

informed advice and his ability to explore possible policy

options privately are critical elements in presidential decision-

making. Given the President's dependence on presidential

advisors and the inability of the deliberative process privilege

to provide advisors with adequate freedom from the public

spotlight, we conclude that limiting the privilege in this

fashion would indeed impede effective functioning of the

presidency.

We believe therefore that the public interest is best served

by holding that communications made by presidential advis-

ors in the course of preparing advice for the President come

under the presidential communications privilege, even when

these communications are not made directly to the President.

Given the need to provide sufficient elbow room for advisors

to obtain information from all knowledgeable sources, the

privilege must apply both to communications which these

advisors solicited and received from others as well as those

they authored themselves. The privilege must also extend to

communications authored or received in response to a solicita-

tion by members of a presidential advisor's staff, since in

many instances advisors must rely on their staff to investi-

gate an issue and formulate the advice to be given to the

President. We are aware that such an extension, unless

carefully circumscribed to accomplish the purposes of the

privilege, could pose a significant risk of expanding to a large

swath of the executive branch a privilege that is bottomed on

a recognition of the unique role of the President. For example, Professor Berger commented on the Nixon deci-

sion: "The real problem is not posed by confidentiality between the

President and his immediate advisors, members of his cabinet and

the like; it arises from the fact that the claim for executive privilege

has sprawled far beyond presidential precincts." Berger, Incarna-

tion, supra, at 23. In order

to limit this risk, the presidential communications privilege

should be construed as narrowly as is consistent with ensur-

ing that the confidentiality of the President's decisionmaking

process is adequately protected. Not every person who plays

a role in the development of presidential advice, no matter

how remote and removed from the President, can qualify for

the privilege. In particular, the privilege should not extend

to staff outside the White House in executive branch agencies.

Instead, the privilege should apply only to communications

authored or solicited and received by those members of an

immediate White House advisor's staff who have broad and

significant responsibility for investigating and formulating the

advice to be given the President on the particular matter to

which the communications relate. Only communications at

that level are close enough to the President to be revelatory

of his deliberations or to pose a risk to the candor of his

advisors. See AAPS, 997 F.2d at 910 (it is "operational

proximity" to the President that matters in determining

whether "[t]he President's confidentiality interest" is impli-

cated) (emphasis omitted).

Of course, the privilege only applies to communications that

these advisors and their staff author or solicit and receive in

the course of performing their function of advising the Presi-

dent on official government matters. This restriction is

particularly important in regard to those officials who exer-

cise substantial independent authority or perform other func-

tions in addition to advising the President, and thus are

subject to FOIA and other open government statutes. See

Armstrong v. Executive Office of the President, 90 F.3d 553,

558 (D.C. Cir. 1996), cert. denied, 65 U.S.L.W. 3572 (U.S. May

27, 1997). The presidential communications privilege should

never serve as a means of shielding information regarding

governmental operations that do not call ultimately for direct

decisionmaking by the President. If the government seeks to

assert the presidential communications privilege in regard to

particular communications of these "dual hat" presidential

advisors, the government bears the burden of proving that

the communications occurred in conjunction with the process

of advising the President.

In this case the documents in question were generated in

the course of advising the President in the exercise of his

appointment and removal power, a quintessential and non-

delegable Presidential power. The Constitution does not explicitly grant the President the

power to remove executive branch officials, but it is well established

that this power, at least in regard to some officials, can be inferred

from the President's other enumerated powers and responsibilities.

See Morrison, 487 U.S. at 689-90; Myers v. United States, 272 U.S.

52, 117, 163-64 (1926). While the President's removal power over

some executive branch officials is limited, the President has unquali-

fied power to appoint and remove cabinet officers. See Myers, 272

U.S. at 134 ("[The President's] cabinet officers must do his will....

The moment he loses confidence in the intelligence, ability, judg-

ment, or loyalty of any one of them, he must have the power to

remove him without delay"). In many instances, presiden-

tial powers and responsibilities, for example the duty to take

care that the laws are faithfully executed, can be exercised or

performed without the President's direct involvement, pursu-

ant to a presidential delegation of power or statutory frame-

work. Cf. Morrison, 487 U.S. at 691-92 (requirement that

Independent Counsels can be removed only for good cause is

not an unconstitutional restriction on the President's powers).

But the President himself must directly exercise the presi-

dential power of appointment or removal. As a result, in this

case there is assurance that even if the President were not a

party to the communications over which the government is

asserting presidential privilege, these communications none-

theless are intimately connected to his presidential decision-

making. In addition, confidentiality is particularly critical in

the appointment and removal context; without it, accurate

assessments of candidates and information on official miscon-

duct may not be forthcoming. See, e.g., Wash. L. Found. v.

Department of Justice, 691 F. Supp. 483, 495 (D.D.C. 1988),

aff'd sub nom. Public Citizen v. Department of Justice, 491

U.S. 440 (1989) (underscoring the "unique need for confiden-

tiality" in the President's appointment of federal judges).

Finally, we underscore our opinion should not be read

as in any way affecting the scope of the privilege in the

congressional-executive context, the arena where conflict over

the privilege of confidentiality arises most frequently. The

President's ability to withhold information from Congress

implicates different constitutional considerations than the

President's ability to withhold evidence in judicial proceed-

ings. See, e.g., Rozell, supra, at 142-57; Norman Dorsen &

John H.F. Shattuck, Executive Privilege, the Congress and

the Courts, 35 Ohio St. L.J. 1, 16-22, 24-33 (1974). Our

determination of how far down into the executive branch the

presidential communications privilege goes is limited to the

context before us, namely where information generated by

close presidential advisors is sought for use in a judicial

proceeding, and we take no position on how the institutional

needs of Congress and the President should be balanced.

C. Standard of Need

The question of whether the presidential communications

privilege applies to communications that do not involve the

President is only the first issue we must resolve before

turning to an application of the privilege here. We must also

determine what type of showing of need the OIC must make

in defense of the grand jury subpoena in order to overcome

the privilege.

Nixon, GSA, Sirica, and the other Nixon cases all em-

ployed a balancing methodology in analyzing whether, and in

what circumstances, the presidential communications privi-

lege can be overcome. Under this methodology, these opin-

ions balanced the public interests served by protecting the

President's confidentiality in a particular context with those

furthered by requiring disclosure. Since Nixon and Sirica

clearly establish that the presidential communications privi-

lege can be overcome by a sufficient showing that subpoenaed

evidence is needed for a criminal judicial proceeding, our task

is not to weigh anew the public interest in preserving confi-

dentiality against the public interest in assuring fair trials and

enforcing the law. Rather, our task is to determine precisely

what guidance these cases provide on what counts as a

sufficient showing of need in our situation, and more specifi-

cally to clarify whether there is any difference between the

need standard this court established in Sirica in regard to a

grand jury subpoena and the standard articulated by the

Supreme Court one year later in Nixon for a criminal trial

subpoena.

At the end of its discussion of the presidential communica-

tions privilege in Nixon, the Supreme Court stated that the

privilege "must yield to the demonstrated, specific need for

evidence in a pending criminal trial." 418 U.S. at 713. What

the Court meant by a "demonstrated, specific need" is debat-

able. Compare Cox, supra, at 1414-15 ("[t]he critical test

[under Nixon] is probably relevance and admissibility") with

Freund, supra, at 31 (Nixon appears to require "a stronger

showing of need" than just relevancy). After setting forth

this need standard, the Court tersely commented that "[o]n

the basis of our examination of the record we are unable to

conclude that the District Court erred" in finding that the

Watergate Special Prosecutor had made a sufficient showing

of need to overcome the presidential privilege; it never

explained what parts of the record led it to this conclusion.

Id. at 714. The only occasion where the Court discusses in

any detail the showing of need that the Special Prosecutor

actually made comes in its analysis of whether the subpoena

satisfied Federal Rule of Criminal Procedure 17(c), which

governs all subpoenas for documents and materials made in

criminal proceedings. The Court concluded that the subpoe-

na met Rule 17(c)'s tripartite requirement of relevancy, ad-

missibility and specificity; the Special Prosecutor's support-

ing materials, which listed the date, time and participants in

the conversations sought and provided testimony regarding

the content of some conversations, established "a sufficient

likelihood that each of the tapes contains conversations rele-

vant to the offenses charged in the indictment" and that these

conversations would be admissible. Id. at 700. The Nixon

Court's failure to elaborate on the demonstrated, specific

need standard or provide any further analysis of the Special

Prosecutor's showing led one judge to comment that to

overcome presidential privilege "the Court does not appear to

have meant anything more than the showing that satisfied

Rule 17(c)." North, 910 F.2d at 952 (Silberman, J., concur-

ring in part and dissenting in part). Further, the Court

offered varying characterizations of when the presidential

communications privilege would be overcome, at one juncture

suggesting the privileged material must be " 'essential to the

justice of the [pending criminal] case,' " Nixon, 418 U.S. at

713 (quoting Burr, 25 Fed. Cas. at 192), and at others simply

that the material must be "preliminarily shown to have some

bearing on the pending criminal cases." Nixon, 418 U.S. at

713; see also id. at 712 n.19 (referring to the "constitutional

need for relevant evidence) (emphasis added).

It would be strange indeed if Nixon required nothing more

to overcome presidential privilege than the initial showing of

relevancy, admissibility and specificity necessary to satisfy

Rule 17(c) in all cases, even in cases where no claim of

privilege is raised. If this were true, the privilege would have

no practical benefit. That the Nixon Court believed over-

coming the presidential privilege required something more

than the ordinary Rule 17(c) showing is apparent from its

statement, made at the outset of the discussion of presidential

privilege, that "[h]aving determined that the requirements of

Rule 17(c) were satisfied, we turn to the claim that the

subpoena should be quashed because it demands confidential

conversations between a President and his close advisors."

418 U.S. at 703 (internal quotations omitted); see also id. at

713-14 (distinguishing between inquiry into whether a sub-

poena was properly issued and review of claim of privilege

raised on return of a properly issued subpoena). However,

the opinion also cannot be read as demanding that the

information sought must be shown to be critical to an accu-

rate judicial determination; such a view simply is incompati-

ble with the Court's repeated emphasis on the importance of

access to relevant evidence in a criminal proceeding.

We conclude that Nixon's demonstrated, specific need stan-

dard has two components. A party seeking to overcome a

claim of presidential privilege must demonstrate: first, that

each discrete group of the subpoenaed materials likely con-

tains important evidence; and second, that this evidence is

not available with due diligence elsewhere. The first compo-

nent, likelihood of containing important evidence, means that

the evidence sought must be directly relevant to issues that

are expected to be central to the trial. In practice, this

component can be expected to have limited impact, since Rule

17(c) precludes use of a trial subpoena to obtain evidence that

is not relevant to the charges being prosecuted or where the

claim that subpoenaed materials will contain such evidence

represents mere speculation. See, e.g., Nixon, 418 U.S. at

699-700; United States v. Arditti, 955 F.2d 331, 345-46 (5th

Cir. 1992); Ehrlichman, 559 F.2d at 75-76. But to the extent

that Rule 17(c) allows a defendant to subpoena evidence that

would be only tangentially relevant or would relate to side

issues, the first component of the need standard would come

into play. See, e.g., Nixon, 418 U.S. at 701 ("Generally, the

need for evidence to impeach witnesses is insufficient to

require its production in advance of trial."); Bowman Dairy

Co. v. United States, 341 U.S. 214, 219 (1951) (materials can

be reached under Rule 17(c) "as long as they are evidentia-

ry"); In re Martin Marietta Corp., 856 F.2d 619, 622 (4th

Cir. 1988) (upholding subpoena on grounds that materials

were "clearly of evidentiary value"). The second component,

unavailability, reflects Nixon's insistence that privileged pres-

idential communications should not be treated as just another

source of information. See North, 910 F.2d at 952 n.29

(Silberman, J., concurring in part and dissenting in part)

(acknowledging that one possible difference between the

showing necessary to satisfy Rule 17(c) and Nixon's need

standard is that the latter "would also require a showing that

the evidence is unavailable from any source other than the

President"). Efforts should first be made to determine

whether sufficient evidence can be obtained elsewhere, and

the subpoena's proponent should be prepared to detail these

efforts and explain why evidence covered by the presidential

privilege is still needed. Of course, there will be instances

where such privileged evidence will be particularly useful, as

when, unlike the situation here, an immediate White House

advisor is being investigated for criminal behavior. In such

situations, the subpoena proponent will be able easily to

explain why there is no equivalent to evidence likely con-

tained in the subpoenaed materials. Finally, while our view

of the Nixon need standard is derived from the opinion's

language and a common-sense understanding of "need," it is

worth noting that the factors of importance and unavailability

are also used by courts in determining whether a sufficient

showing of need has been demonstrated to overcome other

qualified executive privileges, such as the deliberative process

privilege or the law-enforcement investigatory privilege. See

In re Comptroller of the Currency, 967 F.2d at 634; Fried-

man, 738 F.2d at 1342.

Nixon, however, involved a trial subpoena; what we have

here is a grand jury subpoena. In a post-Nixon decision,

United States v. R. Enterprises, Inc., the Court emphasized

that the unique function of the grand jury fundamentally

differentiates its subpoenas from trial subpoenas. "The func-

tion of the grand jury is to inquire into all information that

might possibly bear on its investigation, ... [and a]s a

necessary consequence of its investigatory function, the grand

jury paints with a broad brush." 498 U.S. 292, 297 (1991);

accord Branzburg v. Hayes, 408 U.S. 665, 688 (1971). Re-

quiring grand jury subpoenas to comply with the same re-

quirements of relevancy, admissibility, and specificity under

Rule 17(c) as applies to trial subpoenas would impose an

impossible burden on the grand jury, create untoward delays,

and threaten the secrecy of grand jury proceedings. R.

Enters., 498 U.S. at 299. As a result, the Court concluded

that a grand jury subpoena is presumed to be reasonable and

the burden is on the subpoena's opponent to disprove this

presumption. Where "a subpoena is challenged on relevancy

grounds, the motion to quash must be denied unless the

district court determines that there is no reasonable possibili-

ty that the category of materials the Government seeks will

produce information relevant to the general subject of the

grand jury's investigation." Id. at 301.

But then again, R. Enterprises concerned a challenge to a

grand jury subpoena only on grounds of relevance; it does

not govern a case, such as this, where the grand jury subpoe-

na is being resisted on grounds of privilege. Instead, the

case most directly on point in this respect is Sirica, where

this court was specifically confronted with a claim of presiden-

tial communications privilege raised against a grand jury

subpoena. The OIC does not appear to dispute that Sirica is

the governing case here; instead, the OIC reads Sirica as

establishing a significantly less demanding need standard

than Nixon, and argues that this differential is justified in

light of R. Enterprises' insistence that a grand jury subpoena

is not held to the same standards as a trial subpoena.

According to the OIC, Sirica merely requires that the grand

jury demonstrate the evidence it seeks is directly relevant to

its investigation in order to overcome the President's claim of

privilege.

The OIC's position represents too selective a reading of

Sirica. To be sure, at times in that opinion we used language

suggesting the required demonstration was only that the

materials sought were "directly relevant" to the grand jury's

inquiry. For example, we commented that "[t]he exception

that we have delineated to the President's confidentiality

privilege depends entirely on the grand jury's showing that

the evidence is directly relevant to its decisions." 487 F.2d at

719 (emphasis added); see also id. at 705-06. But admittedly

we also used language on other occasions indicating that a far

more substantial showing was required. We stated that the

President's claim of privilege "must fail in face of the unique-

ly powerful showing made by the Special Prosecutor ... that

the subpoenaed tapes contain evidence peculiarly necessary

to the carrying out of [the grand jury's] vital function--

evidence for which no effective substitute is available," 487

F.2d at 717 (emphasis added), and at another point character-

ized the Special Prosecutor's showing as being that "the

subpoenaed recordings contain evidence critical to the grand

jury's decisions." Id. at 706 (emphasis added). We echoed

this latter characterization in Senate Committee, where we

described Sirica as requiring a demonstration that "the sub-

poenaed evidence is demonstrably critical to the responsible

fulfillment of the [grand jury's] functions." 498 F.2d at 731

(emphasis added).

In this instance, we agree with the White House that the

Sirica need standard which governs grand jury subpoenas is

no more lenient than the need standard enunciated for trial

subpoenas in Nixon. In both situations, to overcome the

presidential privilege it is necessary to demonstrate with

specificity why it is likely that the subpoenaed materials

contain important evidence and why this evidence, or equiva-

lent evidence, is not practically available from another source.

See In re Grand Jury Subpoena, 112 F.3d at 927, 937 (Kopf,

J., dissenting) (arguing that Nixon standard applies to grand

jury subpoenas as well as trial subpoenas). On the one hand,

to the extent that some of this court's comments in Sirica

suggest that a more substantial showing of need must be

made when presidential privilege is raised against a grand

jury subpoena than the Supreme Court required in regard to

a criminal trial subpoena, we do conclude that these com-

ments have been effectively overruled by R. Enterprises.

But R. Enterprises' emphasis on the special leeway given to

grand jury subpoenas as opposed to criminal trial subpoenas

absent a claim of privilege does not preclude us from finding

that the same need standard applies when the presidential

communications privilege is asserted. The necessary breadth

of the grand jury's inquiries in fact supports applying a strict

standard of need to overcome presidential privilege, because

it means that grand jury subpoenas may well represent a

much more frequent threat to presidential confidentiality.

The Supreme Court has recognized that "the longstanding

principle that the public has a right to every man's evidence"

is limited by valid claims of privilege in grand jury proceed-

ings as elsewhere, even as it held that this principle "is

particularly applicable to grand jury proceedings." Branz-

burg, 408 U.S. at 688 (ellipsis omitted); see also United States

v. Calandra, 414 U.S. 338, 344, 346 (1974) (while grand jury is

"accorded wide latitude," "the grand jury's subpoena power is

not unlimited" and "[j]udicial supervision is properly exer-

cised" to protect claims of privilege).

Nor do we believe the Nixon/Sirica need standard imposes

too heavy a burden on grand jury investigation. In practice,

the primary effect of this standard will be to require a grand

jury to delay subpoenaing evidence covered by presidential

privilege until it has assured itself that the evidence sought

from the President or his advisors is both important to its

investigation and practically unavailable elsewhere. As was

true in Sirica, a grand jury will often be able to specify its

need for withheld evidence in reasonable detail based on

information obtained from other sources. And if it has

difficulty in obtaining evidence from other sources, this fact in

and of itself will go far toward satisfying the need require-

ment. Although any showing of need has the potential of

undercutting the secrecy of grand jury proceedings, a district

court can ensure that such secrecy is protected by provisions

for sealed, or when necessary ex parte, filings.

We agree with the OIC in one regard, however. R.

Enterprises makes clear that a grand jury subpoena is not

subject to the same Rule 17(c) requirements of "relevancy,

admissibility and specificity" as a criminal trial subpoena.

Since to meet the need standard the grand jury will have to

make a specific showing of the importance of the evidence it

seeks, its exemption from the relevancy and specificity con-

straints of Rule 17(c) will not be significant. But the same is

not true of the grand jury's freedom from the requirement of

admissibility, and in R. Enterprises the Court underscored

that a grand jury is often allowed to consider evidence that

would be deemed inadmissible in a criminal trial. 498 U.S. at

298. As a result, the fact that evidence covered by the

presidential communications privilege may be inadmissible

should not affect a court's determination of the grand jury's

need for the material.

* * *

Based on our review of the Nixon cases and the purpose of

the presidential communications privilege, we conclude that

this privilege extends to cover communications which do not

themselves directly engage the President, provided the com-

munications are either authored or received in response to a

solicitation by presidential advisors in the course of gathering

information and preparing recommendations on official mat-

ters for presentation to the President. The privilege also

extends to communications authored or solicited and received

by those members of an immediate White House advisor's

staff who have broad and significant responsibility for investi-

gating and formulating the advice to be given to the Presi-

dent on a particular matter. We also hold that in order to

overcome a claim of presidential privilege raised against a

grand jury subpoena, it is necessary to specifically demon-

strate why it is likely that evidence contained in presidential

communications is important to the ongoing grand jury inves-

tigation and why this evidence is not available from another

source.

IV. Examination of the White House's Claims of Privilege

Our final task is to apply the principles we have heretofore

laid out to the documents withheld in this case. We have

concluded that although all of the documents come under the

presidential communications privilege, the OIC has demon-

strated a sufficient showing of need to obtain certain informa-

tion in some of the documents. Because we believe that the

determination of exactly what evidence should be released is

one that the district court should make in the first instance,

we do not identify any specific portions of the documents to

be released. However, we are supplementing our opinion

with a sealed appendix to assist the district court with its in

camera review of each document on remand.

A. The Presidential Privilege Applies

The withheld documents consist primarily of outlines of

issues and questions that needed to be investigated and drafts

of the White House Counsel's report on the Espy investiga-

tion. There are also notes of meetings and phone conversa-

tions, lists of information on Espy, and press briefings on

Espy. Most of the documents were authored by two associ-

ate White House Counsels, a few were authored by top

presidential advisors, specifically the White House Counsel,

Deputy White House Counsel, Chief of Staff and Press

Secretary. A few documents were authored by a legal extern

in the White House Counsel's office, and there are also three

documents for which no author is listed. According to the

White House privilege log, as well as the headings of the

documents themselves, it appears that most of the documents

circulated only within the White House Counsel's office.

Many of the documents were sent to the White House

Counsel or Deputy White House Counsel, or represent notes

taken from meetings at which these top advisors and others

were present. A sizeable number, however, were either

authored by the two associate White House Counsels and not

disseminated or sent only to them by others. All of the

documents relate to the investigation of Espy that the Presi-

dent asked the White House Counsel to undertake.

The documents that were authored by the White House

Counsel, Deputy White House Counsel, Chief of Staff and

Press Secretary were communications connected to an official

matter on which they were directly advising the President,

and thus under the principles laid out in this opinion these

documents are clearly covered by the privilege. The same is

true of notes taken of meetings on the Espy investigation at

which these advisors were present, since these notes reflect

these advisors' communications, and of documents that they

solicited and received. As established above, the presidential

privilege applies to communications made by a member of an

immediate White House advisor's staff when the staff mem-

ber has broad and significant responsibility for investigating

and formulating the advice to be given the President on the

particular matter to which the communications relate. It is

clear from a review of the documents that the two associate

White House Counsels exercised broad and significant re-

sponsibility for gathering information on Espy's actions and

authoring initial drafts of the White House Counsel's report.

Consequently, documents they authored or they solicited and

received from others also come under the privilege.

The only question regarding application of the presidential

communications privilege here concerns the remaining with-

held documents, which consist of those documents authored

by the legal extern in the White House Counsel's office and

three documents for which no author is listed. It is apparent

that the legal extern did not exercise broad and significant

responsibility for the Espy investigation, and therefore the

documents authored by the legal extern do not, on their own,

qualify for the presidential privilege. However, all of the

withheld documents authored by the extern were clearly

created at the request of the two associate White House

Counsels with broad and significant responsibility for the

Espy investigation and were received by them. Therefore,

the privilege also applies to these documents. The status of

the three no-author documents is more difficult to resolve.

Two of these documents were received by the Deputy White

House Counsel, and the other by one of the associate White

House Counsels with broad and significant responsibility for

the Espy investigation. These documents relate to operation-

al details of the Espy investigation. Clearly, if these docu-

ments were solicited by the Deputy White House Counsel and

the associate White House Counsel, they would be also cov-

ered by the privilege. The current description of these

documents provided by the White House, however, does not

specifically indicate whether these documents were in fact

solicited. Ordinarily, the White House would be expected to

demonstrate that they had been, but we do not believe a

remand for that showing is necessary here because our

review of the documents themselves demonstrates that from

the nature of their contents and the persons to whom they

were directed there can be little question that they had been

solicited. As we are setting forth for the first time the

principles by which we will determine whether the privilege

applies to communications of presidential advisors that do not

directly involve the President, we believe it would be unrealis-

tic to expect the White House to have foreseen the need to

specifically demonstrate that the documents had been solic-

ited.

In sum, we conclude that all of the documents withheld by

the White House here are subject to the presidential commu-

nications privilege. As a result, we need not determine

whether the documents would qualify for the deliberative

process privilege. The White House has also claimed attorney-client privilege in

regard to Document 19. We do not need to examine this claim

because it is clear, based on our review of this document, that it

should not be released. The document comes under the presiden-

tial communications privilege as it was authored by the President's

Chief of Staff and was sent to the individual acting as White House

Counsel, and contains no information or evidence that could be

relevant to the grand jury's inquiry.

B. The OIC's Demonstration of Need In order to preserve the secrecy of grand jury proceedings,

selected parts of this opinion that relate to the grounds on which we

conclude the OIC has made out an adequate showing of need are

ordered sealed until the OIC files his final report on his investiga-

tion, at which point they will be published. See Fed. R. Crim. P.

6(e).

A preliminary question that must be addressed before we

turn to an examination of the OIC's demonstration of need is

whether we should be reviewing this demonstration at all.

The procedure envisioned by the Nixon cases, as outlined

earlier, is that upon a sufficient showing of need, the Presi-

dent must turn over privileged materials for in camera

review, whereupon the court reviews the materials and deter-

mines what should be released. This case comes to us in a

significantly different posture than Nixon and Sirica. In

both of those cases, President Nixon was challenging district

court orders that instructed him to submit the subpoenaed

tapes for in camera review. In this case, the White House

has already turned over the subpoenaed materials for in

camera review pursuant to the district court's order, and did

not appeal from that order. Instead, we have before us the

OIC's appeal of the district court's denial of the OIC's motion

to compel. Thus, we are presented with the question of

whether we should forego determining whether or not the

OIC made a sufficient showing of need to obtain in camera

review, and instead simply instruct the district court to

review the withheld documents and determine what evidence

should be released.

How we resolve this question could have a significant

impact on what materials are disclosed to the grand jury,

because the standard applied to determine if the OIC has

made a sufficient showing of need to obtain in camera review

is much more difficult to satisfy than the standard applied

during in camera review to determine exactly what evidence

should be released. As we explained in the preceding section,

the showing required to obtain in camera review is governed

by the Nixon/Sirica need standard and entails demonstrating

with specificity that the subpoenaed materials likely contain

important evidence and that this evidence, or equivalent

evidence, is not practically available from another source.

The purpose of this initial showing is to protect the confiden-

tiality of presidential communications; it operates on the

presumption that these communications are privileged and

requires the subpoena proponent to meet a certain threshold

of need before a court will consider releasing any of the

communications sought.

The district court's in camera review also aims to ensure

that presidential confidentiality is not unnecessarily breached,

but it operates on the presumption that some privileged

materials will probably be released. The court's task during

its in camera review is simply to ensure that privileged

materials that would not be of use to the subpoena proponent

are not released. Nixon, 418 U.S. at 714; Sirica, 487 F.2d at

719-21. Nixon makes clear that the court determined what

evidence could be of use to the subpoena proponent by

isolating all evidence that satisfies the applicable Rule 17(c)

requirements of admissibility and relevance. This evidence is

then released, while the remaining materials are returned to

the Preside