
    The NEW YORK TIMES COMPANY, Charlie Savage, and Scott Shane, Plaintiffs, v. UNITED STATES DEPARTMENT OF JUSTICE, Defendant. American Civil Liberties Union and the American Civil Liberties Union Foundation, Plaintiffs, v. U.S. Department of Justice, including its component the Office of Legal Counsel, U.S. Department of Defense, including its Component U.S. Special Operations Command, and Central Intelligence Agency, Defendants.
    Nos. 11 Civ. 9336 (CM), 12 Civ. 794 (CM).
    United States District Court, S.D. New York.
    Jan. 3, 2013.
    
      David Edward McCraw, New York, NY, for Plaintiffs.
    Sarah Sheive Normand, New York, NY, for Defendant.
   CORRECTED OPINION GRANTING THE GOVERNMENT’S MOTION FOR SUMMARY JUDGMENT AND DENYING PLAINTIFFS’ CROSS MOTION FOR SUMMARY JUDGMENT

COLLEEN McMAHON, District Judge.

INTRODUCTION

Plaintiffs in these consolidated actions have filed Freedom of Information Act (“FOIA”) requests with the federal Government in order to obtain disclosure of information relating to a particular tactic that is admittedly being employed in the so-called “War on Terror” — the targeted killing of persons deemed to have ties to terrorism, some of whom may be American citizens.

Most of what is sought in the facially overbroad request filed by the American Civil Liberties Union (“ACLU”) was properly withheld pursuant to one or more properly-invoked exemptions that Congress wrote into the FOIA statute to guard against the disclosure of highly confidential and operational information — if, indeed, the Government has acknowledged that any such documents exist. Thornier issues are raised by two much narrower requests, filed by reporters from The New York Times. Broadly speaking, they seek disclosure of the precise legal justification for the Administration’s conclusion that it is lawful for employees or contractors of the United States Government to target for killing persons, including specifically United States citizens, who are suspected of ties to A-Qaeda or other terrorist groups. Documents responsive to these requests would also be responsive to portions of the ACLU’s request.

The FOIA requests here in issue implicate serious issues about the limits on the power of the Executive Branch under the Constitution and laws of the United States, and about whether we are indeed a nation of laws, not of men. The Administration has engaged in public discussion of the legality of targeted killing, even of citizens, but in cryptic and imprecise ways, generally without citing to any statute or court decision that justifies its conclusions. More fulsome disclosure of the legal reasoning on which the Administration relies to justify the targeted killing of individuals, including United States citizens, far from any recognizable “hot” field of battle, would allow for intelligent discussion and assessment of a tactic that (like torture before it) remains hotly debated. It might also help the public understand the scope of the ill-defined yet vast and seemingly ever-growing exercise in which we have been engaged for well over a decade, at great cost in lives, treasure, and (at least in the minds of some) personal liberty.

However, this Court is constrained by law, and under the law, I can only conclude that the Government has not violated FOIA by refusing to turn over the documents sought in the FOIA requests, and so cannot be compelled by this court of law to explain in detail the reasons why its actions do not violate the Constitution and laws of the United States. The Aice-inWonderland nature of this pronouncement is not lost on me; but after careful and extensive consideration, I find myself stuck in a paradoxical situation in which I cannot solve a problem because of contradictory constraints and rules — a veritable Catch-22. I can find no way around the thicket of laws and precedents that effectively allow the Executive Branch of our Government to proclaim as perfectly lawful certain actions that seem on their face incompatible with our Constitution and laws, while keeping the reasons for its conclusion a secret. But under the law as I understand it to have developed, the Government’s motion for summary judgment must be granted, and the cross-motions by the ACLU and the Times denied, except in one limited respect. Final rulings on that discrete issue must abide further information from the Government.

This opinion will deal only with matters that have been disclosed on the public record. The Government has submitted material to the Court ex parte and for in camera review. It is necessary to discuss certain issues relating to this classified material in order to complete the reasoning that underlies this opinion. That discussion is the subject of a separate, classified Appendix to this opinion, which is being filed under seal and is not available to Plaintiffs’ counsel. In crafting that Appendix, the Court has done its best to anticipate the arguments that Plaintiffs would have made in response to the Government’s classified arguments.

THE FOIA REQUESTS

1. The New York Times’ FOIA Requests

A. The Shane Request

On June 11, 2010, Times reporter Scott Shane (“Shane”) addressed a FOIA request to the Department of Justice’s (“DoJ”) Office of Legal Counsel (“OLC”) seeking the following:

... copies of all Office of Legal Counsel opinions or memoranda since 2001 that address the legal status of targeted killing, assassination, or killing of people suspected of ties to Al-Qaeda or other terrorist groups by employees or contractors of the United States government. This would include legal advice on these topics to the military, the Central Intelligence Agency or other intelligence agencies. It would include the legal status of killing with missiles fired from drone aircraft or any other means.

(Declaration of John E. Bies (“Bies Decl.”), Ex. A.)

As a member of the news media, Shane sought expedited processing of his request. (Id.)

On October 27, 2011, OLC denied Shane’s request. (Id., Ex. B.) Citing FOIA Exemptions 1, 3, and 5, OLC withheld all responsive records pertaining to the Department of Defense (“DoD”). (Id.) Citing the same exemptions, OLC provided Shane with a so-called Glomar response, Military Audit Project v. Casey, 656 F.2d 724 (D.C.Cir.1981); Phillippi v. CIA 546 F.2d 1009 (D.C.Cir.1976); that is, the OLC refused either to confirm or deny the existence of responsive records “because the very fact of the existence or nonexistence of such documents is itself classified, protected from disclosure by statute, and privileged.” (Id.)

On November 4, 2011, the Times appealed OLC’s denial to the Director of DoJ’s Office of Information Policy (“OIP”). (Declaration of Nabiha Syed (“Syed Decl.”), Ex. E.) OIP did not respond within twenty days, as required by Section 552(a)(6)(h) of FOIA. (Id. ¶8.)

B. The Savage Request

On October 7, 2011, Times reporter Charlie Savage (“Savage”) submitted a similar FOIA request to OLC seeking the following:

... a copy of all Office of Legal Counsel memorandums analyzing the circumstances under which it would be lawful for United States armed forces or intelligence community assets to target for killing a United States citizen who is deemed to be a terrorist.

(Bies Deck, Ex. C.)

Savage sought expedited processing of his request in light of his status as a reporter and the “pressing public interest” generated by “the recent death in Yemen of Anwar Al-Awlaki, a United States citizen who has been accused of being an ‘operational’ terrorist with the group Al-Qaeda in the Arabian Peninsula.” (Id.)

On October 27, 2011, citing FOIA Exemptions 1, 3, and 5, OLC denied Savage’s request, providing him with a blanket Glomar response. (Id., Ex. D.) The Times appealed this denial to the Director of OIP on November 7, 2011. (Syed Deck, Ex. E.) Once again OIP did not respond within twenty days, as required by Section 552(a)(6)(ii) of FOIA. (Id., ¶8.)

Shane, Savage, and the Times (together, the “Times Plaintiffs”) filed suit on December 20,2011.

II. The ACLU’s FOIA Request

On October 19, 2011, the ACLU addressed a FOIA request to various components of DoJ and DoD, as well as the Central Intelligence Agency (“CIA”). (Bies Deck, Ex. E.) The request seeks six categories of documents created after September 11, 2001 (see Annex I for the full contents of the ACLU’s request):

1. Records pertaining to the legal basis in domestic, foreign, and international law upon which U.S. citizens can be subjected to targeted killings.
2. Records pertaining to the process by which U.S. citizens can be designated for targeted killings, including who is authorized to make such determinations and what evidence is needed to support them.

3. Records pertaining1 to the legal basis in domestic, foreign, and international law upon which the targeted killing of Anwar Al-Awlaki was authorized and upon which he was killed, including discussions of:

a. The domestic-law prohibitions on murder, assassination, and excessive use of force;
b. The Fifth Amendment Due Process Clause;
c. International-law prohibitions on extrajudicial killing;
d. The Treason Clause;
e. The legal basis authorizing the CIA, JSOC, or other U.S. Government entities to carry out the targeted killing of Anwar Al-Awlaki;
f. The Government’s understanding of “imminence of harm” in the case of Anwar Al-Awlaki; and
g. Any requirement that the U.S. Government first attempt to capture Anwar Al-Awlaki before killing him.

4. Records pertaining to the factual basis for the targeted killing of Anwar al-Awlaki.

5. All records pertaining to the factual basis for the targeted killing of Samir Khan.

6. All records pertaining to the factual basis for the targeted killing of Abdulrahman Al-Awlaki.

(Id. at 5-6.)

The ACLU, like the Times, asked for expedited processing of its request. (Id. at 7-9.)

On November 14, 2011, citing FOIA Exemptions 1, 3, and 5, OLC denied the ACLU’s request, providing it with a blanket Glomar response. (Id., Ex. F.) The ACLU appealed this denial, to no avail. (ACLU Memo, in Support/Opp’n. at 5.)

The ACLU filed suit on February 1, 2012.

III. Subsequent Modification of Initial Responses

Since these cases were filed, senior executive branch officials have publicly addressed “significant legal and policy issues pertaining to U.S. counterterrorism operations and the potential use of lethal force by the U.S. government against senior operational leaders of al-Qa’ida or associate forces who have U.S. citizenship.” (Declaration of John Bennett (“Bennett Deck”), ¶ 17.) Those public statements will be discussed fulsomely below.

For the moment, it is enough to say that, as a result of these statements, the Government decided it was in a position to modify its previous responses to Plaintiffs’ requests. The modification consisted, in essence, of admitting that various agencies had documents pertaining to those speeches and other public comments, including: (1) the text of a March 5, 2012 speech delivered by Attorney General Eric Holder at Northwestern University School of Law (the “Northwestern Speech”) (Declaration of Douglas R. Hibbard (“Hibbard Decl.”), Ex. E(OIP)); (2) the text of a February 22, 2012 “Dean’s Lecture” delivered by DoD General Counsel Jeh Johnson at Yale Law School (the “Yale Dean’s Lecture”) (Declaration of Robert R. Neller (“Neller Decl.”), Ex. I(DoD)); and (3) a set of talking points “prepared for the use of the Attorney General and others in addressing hypothetical questions about An-war al-Aulaqi’s death” (Hibbard Decl. ¶ 8, Ex. C).

At the same time, OLC (Bies Decl., Ex. I), DoD (Neller Decl., Ex. J), and OIP (Hibbard Decl., Ex. F) produced three Vaughn indices, listing unclassified documents that were being withheld by OLC, DoD, and OIP pursuant to the deliberative, attorney-client, and/or presidential communications privileges enshrined in FOIA Exemption 5.

The CIA, which was also a recipient of the ACLU’s FOIA request, acknowledged that it had a “general interest” in (1) “the legal basis ... upon which U.S. citizens can be subjected to targeted killing” and (2) “the process by which U.S. citizens can be designated for targeted killing.” (Bennett Decl. ¶ 27.) The Agency also identified two documents in its records that reflected this “general interest” and were responsive to the ACLU’s request: (1) the text of the Northwestern speech and (2) the text of an April 30, 2012 speech entitled “The Ethics and Efficacy of the President’s Counterterrorism Strategy,” which was delivered by Assistant to the President for Homeland Security and Counter-terrorism John 0. Brennan at the Woodrow Wilson International Center for Scholars (the “Ethics and Efficacy Speech”). (Id.)

None of these disclosures added anything to the public record.

Although it was not the recipient of either the Savage or the Shane requests, the CIA revealed that it was asking OLC, on its behalf, to assert a Glomar response with respect to certain documents that, if they existed in CIA or other agency files, would implicate “CIA equities.” (Bennett Decl. ¶¶ 61-62.) The CIA carved out a limited exception to its Glomar response to the Shane request; it represented that it had in its files no legal opinions responsive to the request that addressed CIA involvement in the operation that resulted in the death of Osama Bin Laden. (Id. at ¶ 64)

However, DoD and OLC admitted the existence of one classified legal opinion that was not listed on either agency’s Vaughn index; this document is “responsive to the Shane and Savage requests.” (Bies Decl. ¶ 30; Neller Decl. ¶ 17.) The OLC represents that its opinion “contains confidential legal advice to the Attorney General, for his use in interagency deliberations, regarding a potential military operation in a foreign country,” (Bies Decl. ¶ 30.), and so excepts to disclosure of the document. DoD also excepts to disclosure of this document (though it was apparently not prepared for or directed to the Defense Department), on the ground that the legal opinion contains “information about military operations, intelligence sources and methods, foreign government information, foreign relations, and foreign activities.” (Neller Decl. ¶ 17.) The document (which I shall refer to as the “OLC-DoD Memo”) was withheld as classified and privileged pursuant to Exemptions 1, 3, and 5. (Bies Decl. ¶¶ 30, 38, 45; Neller Decl. ¶ 17.)

Finally, the Government partially superseded its original Glomar responses (neither confirming nor denying that any responsive documents exist) with so-called “No Number, No List” responses pursuant to Exemptions 1 and 3. These are responses in which the agencies admitted that responsive records existed, but would not provide any information about the number or nature of those records, on the grounds that such identifying information was itself classified. (See Declaration of John F. Hackett (“Hackett Decl.”), ¶¶ 21-28(DoJ); Bies Deck, ¶ 38(OLC); Neller Deck, ¶¶ 25-26(DoD); Bennett Deck, ¶¶ 27-37(CIA); Hibbard Deck, ¶ 8(OIP). The No Number, No List responses apply to both the ACLU and the Times ’ requests. As noted above, the CIA has maintained its Glomar response to the Shane and Savage requests, so its No Number, No List response is necessarily limited. (See Bennett Deck ¶¶ 61-65.)

HISTORY BEHIND THE FOIA REQUESTS AT ISSUE HERE

Following the destruction of the World Trade Center and the targeting of the Pentagon by a group of terrorists affiliated with the organization known as Al-Qaeda on September 11, 2001, Congress passed a resolution entitled “Authorization for the Use of Military Force” (“AUMF”), which empowers the President “to use all necessary and appropriate force against those nations, organizations, or persons he determines planned, authorized, committed, or aided the terrorist attacks that occurred on September 11, 2001, or harbored such organizations or persons, in order to prevent any future acts of international terrorism against the United States by such nations, organizations or persons.” Pub. L. No. 107-40, 115 Stat. 224 (2001). Ever since, the United States has been engaged in an exercise known colloquially as the “War on Terror,” which is dedicated principally to the eradication of Al-Qaeda.

The primary field of battle in that war has been Afghanistan, where Al-Qaeda was sheltered and nurtured for many years, and from which the group’s now-dead leader, Osama Bin Laden, ordered and directed the 9/11 mission. The United States military has been engaged in that country since the fall of 2001 and continues its combat mission to this day.

However, as part of that same effort, the United States has pursued members of Al-Qaeda and affiliated groups elsewhere in the world, both in the adjacent country of Pakistan and far from any “hot” battlefield. In recent years, it has targeted a number of such individuals for death and killed them, using both armed forces and unpiloted, remotely controlled precision aircraft known as “drones.” The Obama Administration has publicly admitted that the Government is engaged in such operations:

So let me say it as simply as I can. Yes, in full accordance with the law — and in order to prevent terrorist attacks on the United States and to save American lives — the United States Government conducts targeted strikes against specific al-Qa’ida terrorists, sometimes using remotely piloted aircraft, often referred to publicly as drones.

John 0. Brennan, Ethics and Efficacy Speech (Apr. 30, 2012).

Al-Qaeda operative Anwar Al-Awlaki was killed in late 2011. Speaking on September 30, 2011, the day of Al-Awlaki’s death, at the “Change of Office” Chairman of the Joint Chiefs of Staff Ceremony in Fort Myer, Virginia, President Obama described Al-Awlaki as follows:

Awlaki was the leader of external operations for al Qaeda in the Arabian Peninsula. In that role, he took the lead in planning and directing efforts to murder innocent Americans. He directed the failed attempt to blow up an airplane on Christmas Day in 2009. He directed the failed attempt to blow up U.S. cargo planes in 2010. And he repeatedly called on individuals in the United States and around the globe to kill innocent men, women and children to advance a murderous agenda.

At the time of his death, Al-Awlaki was not in or near the field of battle in Afghanistan, where active military operations were taking place. He was located about 1500 miles from Afghanistan, in Yemen, a country with which the United States is not at war (indeed, which the United States counts as an ally).

Killed with Al-Awlaki was an individual named Samir Khan. Al-Awlaki’s teenaged son, Abdulrahman Al-Awlaki, was killed in a separate strike in Yemen, on October 14, 2011.

Al-Awlaki, his son, and Khan were all United States citizens.

The President and the Secretary of Defense (who was formerly the CIA Director) have publicly acknowledged that the United States in fact had a role in Al-Awlaki’s death. Neither the President nor the Secretary of Defense has identified precisely who (other than the President) was involved in Al-Awlaki’s death, including what agencies or departments may have participated in the operation that killed him or how they were involved; neither have they provided any operational details of the killings. The Court is unaware of any public statements by named, current executive branch officials that discuss or acknowledge responsibility for, or participation in, the killings of Khan or Al-Awlaki’s son.

The various public statements that have been made about the Al-Awlaki killing, and about targeted killings generally, will be discussed in detail later. They reveal (or seem to reveal) that the decision to target.a United States citizen for death is made by the President on the recommendation of senior Government officials — although the identity of the officials who made any such recommendation (if one was made) with respect to Al-Awlaki, Khan, or the child has not been publicly revealed. According to the Attorney General of the United States and other senior Executive Branch officials, these decisions are made pursuant to a process that is constitutionally and statutorily compliant. In particular, Government officials insist that a United States citizen can be targeted by the Executive Branch and still be accorded due process of law.

The Government’s vociferous insistence that its decisions to kill United States citizens are lawful, and most especially its references to due process, may seem odd in the context of war — although there is and long has been robust debate about what to call the anti-Al-Qaeda operation, and whether anti-terrorist operations in countries other than Afghanistan and adjacent territory in Pakistan can fairly or legally be classified as a war. See, e.g., Mark V. Vlasic, Assassination and Targeted Killing—A Historical and PosT-Bin Laden Legal Analysis, 43 Geo. J. Int’l L. 259 (2012); Afsheen John Radsan & Richard Murphy,' The Evolution of Law and Policy for CIA Targeted Killing, 5 J. Nat’l Security L. & Pol’y 439 (2012); Laurie R. Blank, Defining the Battlefield in Contemporary Conflict and Counterterrorism: Understanding the Parameters of the Zone of Conflict, 39 Ga. J. Int’l & Comp. L. 1 (2010). However, even if there were no such debate, it is not surprising that the Government feels somewhat defensive. Some Americans question the power of the Executive to make a unilateral and unreviewable decision to kill an American citizen who is not actively engaged in armed combat operations against this country. Their concern rests on the text of the Constitution and several federal statutes, and is of a piece with concerns harbored by the Framers of - our unique form of Government.

CONSTITUTIONAL AND STATUTORY CONCERNS ABOUT TARGETED KILLINGS

As they gathered to draft a Constitution for their newly liberated country, the Founders — fresh from a war of independence from the rule of a King they styled a tyrant — were fearful of concentrating power in the hands of any single person or institution, and most particularly in the executive. That concern was described by James Madison in Federalist No. 17 (1788):

The accumulation of all powers, legislative, executive, and judiciary, in the same hands, whether of one, a few, or many, and whether hereditary, self-appointed, or elective, may justly be pronounced the very definition of tyranny....
The magistrate in whom the whole executive power resides cannot of himself ... administer justice in person, though he has the appointment of those who do administer it.

Madison’s statements echoed those of the great French philosopher Montesquieu, who wrote, in his seminal work The Spirit of the Laws (1748): “Were [the power of judging] joined to the executive power, the judge might behave with all the violence of an oppressor.”

The Framers took steps to address their fear in the document they drafted. In particular, the Fifth Amendment to the Constitution provides that no person shall be “deprived of life ... without due process of law.” The words “due process of law” are not further defined in the Constitution, or in the Bill of Rights. However, “The first, central, and largely uncontroversial meaning of ‘due process of law,’ the meaning established in Magna Charta and applied vigorously by Coke against the first two Stuart Kings, was that the executive may not ... restrain the liberty of a person within the realm without legal authority arising either from established common law or from statute. In other words, executive decrees are not ‘law.’ ” Nathan S. Chapman & Michael W. McConnell, Due Process as Separation of Powers, 121 Yale L.J. 1672, 1782 (2012). In the early days of the Republic, the United States Supreme Court endorsed this understanding: “The words ‘due process of law,’ were undoubtedly intended to convey the same meaning as the words, ‘by the law of the land,’ in Magna Charta,” Murray’s Lessee v. Hoboken Land & Improvement Co., 59 U.S. 272, 276, 18 How. 272, 15 L.Ed. 372 (1855).

Outside the criminal law context, the phrase has come to mean that no person can be aggrieved by action of the Government without first being given notice of the proposed action and an opportunity to be heard:

An elementary and fundamental requirement of due process in any proceeding which is to be accorded finality is notice reasonably calculated, under all the circumstances, to apprise interested parties of the pendency of action and afford them an opportunity to present their objections.

Mullane v. Central Hanover Bank & Trust Co., 339 U.S. 306, 314, 70 S.Ct. 652, 94 L.Ed. 865 (1950).

When a person is accused of committing a crime, and the Government has the power, upon conviction, to deprive him of life or liberty, the particular rights enumerated in the Fifth and Sixth Amendments (ranging from the right to indictment to the right to counsel) are recognized as setting the minimum guarantee of the Due Process Clause.

To at least one Founder, Alexander Hamilton, “the words ‘due process’ have a precise technical import, and are only applicable to the process and proceedings of the courts of justice.” Alexander Hamilton, Remarks on an Act for Regulating Elections, New York Assembly, 6 Feb. 1787, in 4 Papers of Alexander Hamilton 34, 35 (Harold C. Syrett ed., 1962). As due process in the context of regulatory action extends to actions taken by the Executive Branch, rather than the courts, it would seem that the narrow Hamiltonian view of “due process” has long since been rejected. However, the concept of due process of law has never been understood to apply to combatants on the battlefield actively engaged in armed combat against the United States. Cf. Hamdi v. Rumsfeld, 542 U.S. 507, 531, 124 S.Ct. 2633, 159 L.Ed.2d 578 (2004) (“[T]he law of war and the realities of combat may render [military detention of enemy combatants] both necessary and appropriate, and our due process analysis need not blink at those realities.”) (O’Connor, J.). Indeed, during the American Civil War, hundreds of thousands of persons recognized by the United States Government as American citizens, who were engaged in armed rebellion against the country, were killed in battle without any suggestion that their due process rights were being violated.

The activities in which Al-Awlaki is alleged to have engaged violate United States law. Specifically, they constitute treason as defined in the Constitution (Art. 3, Section 3) and 18 U.S.C. § 2381, which provide:

Whoever, owing allegiance to the United States, levies war against them or adheres to their enemies, giving them aid and comfort with the United States or elsewhere, is guilty of treason and shall suffer death, or shall be imprisoned not less than five years, and fined under this title....

If the War on Terror is indeed a war declared by Congress pursuant to its constitutional power, and if Al-Awlaki was a combatant in that war, then he was a traitor. Even if he was not a combatant levying war against his country, but instead gave aid and comfort to enemies of the United States (such as Al-Qaeda), he was a traitor. Indeed, Al-Awlaki could arguably have committed treason if all he did was encourage others to engage in attacks on the United States; it was settled during and after World War II that activities like broadcasting messages that gave aid and comfort to an enemy of the United States (by, for example, encouraging soldiers to desert, or telling them that their cause was lost) were treasonable. See, e.g., D’Aquino v. United States, 192 F.2d 338 (9th Cir.1951); Gillars v. United States, 182 F.2d 962 (D.C.Cir.1950); Chandler v. United States, 171 F.2d 921 (1st Cir.1948). And if Al-Awlaki was actually planning some sort of attack on the United States or its facilities or citizens, he was a traitor.

The Framers — who were themselves susceptible to being hanged as traitors by the King of England during the Revolutionary War — were as leery of accusations of treason as they were of concentrating power in the hands of a single person or institution. As a result, the Constitution accords special protections to those accused of this most heinous of capital crimes; Article 3, Sec. 3 sets the procedural safeguard that, “No Person shall be convicted of Treason unless on the Testimony of two Witnesses to the same overt Act, or on Confession in open Court.”

Interestingly, the Treason Clause appears in the Article of the Constitution concerning the Judiciary' — -not in Article 2, which defines the powers of the Executive Branch. This suggests that the Founders contemplated that traitors would be dealt with by the courts of law, not by unilateral action of the Executive. As no less' a constitutional authority than Justice Antonin Scalia noted, in his dissenting opinion in Hamdi, 542 U.S. at 554, 124 S.Ct. 2633, ‘Where the Government accuses a citizen of waging war against it, our constitutional tradition has been to prosecute him in federal court for treason or some other crime.” See also Carlton F.W. Larson, The Forgotten Constitutional Law of Treason and the Enemy Combatant Problem, 154 U. Pa. L. Rev. 863 (2006).

Assuming arguendo that in certain circumstances the Executive power extends to killing without trial a citizen who, while not actively engaged in. armed combat against the United States, has engaged or is engaging in treasonous acts, it is still subject to any constraints legislated by Congress. One such constraint might be found in 18 U.S.C. § 1119, which is entitied “Foreign murder of United States nationals.” This law, passed in 1994, makes it a crime for a “national of the United States” to “kill[] or attempt[] to kill a national of the United States while such national is outside the United States but within the jurisdiction of another country.” The statute contains no exemption for the President (who is, obviously, a national of the United States) or anyone acting at his direction. At least one commentator has suggested that the targeted killing of Al-Awlaki (assuming it was perpetrated by the Government) constituted a violation of the foreign murder statute. Philip Dore, Greenlighting American Citizens: Proceed with Caution, 72 La. L. Rev. 255 (2011).

There are even statutory constraints on the President’s ability to authorize covert activity. 50 U.S.C. § 413b, the post-World War II statute that allows the President to authorize covert operations after making certain findings, provides in no uncertain terms that such a finding “may not authorize any action that would violate the Constitution or any statute of the United States.” 50 U.S.C. § 413b(a)(5). Presidential authorization does not and cannot legitimize covert action that violates the constitution and laws of this nation.

So there are indeed legitimate reasons, historical and legal, to question the legality of killings unilaterally authorized by the Executive that take place otherwise than on a “hot” field of battle. Which is not to say that the matter is straightforward. It is not. The literal language of the Fifth Amendment, the Treason Clause, and the cited statutes notwithstanding, the Administration obviously believes that it acted lawfully in connection with the killing of Al-Awlaki (and, presumably, of Khan and the child). It has gone so far as to mount an extensive public relations campaign in order to convince the public that its conclusions are correct.

PUBLIC STATEMENTS BY SENIOR OFFICIALS ABOUT TARGETED KILLINGS

Plaintiffs have brought to the Court’s attention at least two dozen public statements made by senior executive branch officials with respect to the Government’s targeted killing program. Plaintiffs’ vigilance is unsurprising. Because the records that Plaintiffs seek are largely classified, their case consists largely of the argument that, by making these statements, the Administration has waived the right to rely on FOIA exemptions for classified and privileged materials. Accordingly, the Court finds it fitting to discuss at some length the most significant of them.

I. State Department Legal Adviser Harold Koh: American Society of International Law

On March 25, 2010, State Department Legal Adviser Harold Koh addressed the Annual Meeting of the American Society of International Law in Washington, DC.

With respect to the subject of targeted killings, Mr. Koh pledged the Obama Administration’s commitment to carrying out such operations in accordance with “all applicable law, including the laws of war.” He also emphasized that such operations do not constitute unlawful extrajudicial killings or assassinations because “a state that is engaged in an armed conflict or in legitimate self-defense is not required to provide targets with legal process before the state may use lethal force.”

Mr. Koh assured the audience that the Government’s “procedures and practices for identifying lawful targets are extremely robust.” He announced that the principles of distinction and proportionality enshrined in the law of war are not mere window dressing, but are “implemented rigorously throughout the planning and execution of lethal operations to ensure that such operations are conducted in accordance with all applicable law.”

II. President Barack Obama: Google + Hangout

On January 30, 2012, President Obama took part in a so-called “Google + Hangout,” in which he fielded questions from online participants.

In response to a question about the Government’s targeted killing program, President Obama, like Mr. Koh, did not deny that such a program existed. Instead, he emphasized that the Government is “very careful in terms of how it’s been applied” and does not carry out such operations “willy-nilly.” Instead, the program is a “targeted, focused effort at people who are on a list of active terrorists who are trying to go in and harm Americans, hit American facilities, American bases, and so on.”

President Obama urged that the program is “kept on a very tight leash” and is not “a bunch of folks in a room somewhere just making decisions.” Rather, it is “part and parcel of our overall authority when it comes to battling al-Qaeda. It is not something that is being used beyond that.” He insisted that the Government was “judicious” in its use of drones.

Finally, President Obama emphasized that the Government’s “ability to respect the sovereignty of other countries and to limit our incursions into somebody else’s territory is enhanced by the fact that we are able to pinpoint strike an al-Qaeda operative in a place where the capacities of that military and that country may not be able to get to them.”

III. DoD General Counsel Jeh Johnson: The Yale Dean’s Lecture

On February 22, 2012, DoD General Counsel Jeh Johnson delivered the Dean’s Lecture at the Yale Law School. The purpose of the speech was to summarize “some of the basic legal principles that form the basis for the U.S. military’s counterterrorism efforts against Al-Qaeda and its associated forces.” The speech identified six such principles.

First, Mr. Johnson noted that “in the conflict against an unconventional enemy such as al Qaeda, we must consistently apply conventional legal principles” — e.g., “the law of armed conflict, including applicable provisions of the Geneva Conventions and customary international law, core principles of distinction and proportionality, historic precedent, and traditional principles of [domestic] statutory construction.”

Second, Mr. Johnson asserted that the “bedrock of the military’s domestic legal authority” in the conflict against al-Qaeda and associated forces remains the AUMF, which was passed by Congress immediately following the attacks of September 11, 2001. Mr. Johnson emphasized that neither the AUMF nor the term “associated forces” is “open-ended.” He insisted that the AUMF “does not authorize military force against anyone the Executive labels a ‘terrorist.’ ” Instead, “it encompasses only those groups or people with a link to the terrorist attacks on 9/11, or associated forces.” He defined an associated force as an (1) “organized, armed group that has entered the fight alongside al Qaeda” who is (2) “a co-belligerent with al Qaeda in hostilities against the United States or its coalition partners.”

Third, Mr. Johnson noted that the AUMF does not restrict the use of force to the “hot” battlefields of Afghanistan. Rather, the “AUMF authorized the use of necessary and appropriate force against the organizations and persons connected to the September 11th attacks — al Qaeda and, the Taliban — without a geographic limitation.” However, “International legal principles, including respect for a state’s sovereignty and the laws of war, impose important limits on our ability to act unilaterally, and on the way in which we can use force in foreign territories.”

Fourth, explicitly echoing Mr. Koh’s comments on targeted killing, Mr. Johnson stated that, under “well-settled legal principles, lethal force against a valid military objective, in an armed conflict, is consistent with the law of war and does not, by definition, constitute an ‘assassination.’ ”

Fifth, citing Ex Parte Quirin, 317 U.S. 1 (1942) and Hamdi, Mr. Johnson posited that “belligerents who also happen to be U.S. citizens do not enjoy immunity where non-citizen belligerents are valid military objectives.”

Sixth, Mr. Johnson argued that “targeting decisions are not appropriate for submission to a court” because “they are core functions of the Executive Branch, and often require real-time decisions based on an evolving intelligence picture that only the Executive Branch may timely possess.”

IV. Attorney General Eric Holder: The Northwestern Speech

The most fulsome discussion to date of the legal basis for the Government’s targeted killing program is Attorney General Holder’s Northwestern Speech' on March 5, 2012. (Hibbard Deck. Ex. E.) The public statements that preceded this speech contain bits and pieces of the presentation that the Attorney General made at Northwestern, so in essence, the Northwestern Speech is Plaintiffs’ case.

The relevant passages of the Northwestern Speech are dedicated to supporting the Government’s conclusion that, under the appropriate conditions, it is lawful for the Government to “us[e] lethal force in a foreign country, targeted against a U.S. citizen who is a senior operational leader of al Qaeda or associated forces, and who is actively engaged in planning to kill Americans.”

The Attorney General noted that “Based on generations-old legal principles and Supreme Court decisions handed down during World War II, as well as during this current conflict, it’s clear that United States citizenship alone does not make such individuals immune from being targeted.” Nevertheless, where United States citizens are concerned, there are certain “constitutional considerations” in play, “the most relevant [of which] is the Fifth Amendment’s Due Process Clause.”

“[T]he Supreme Court has made clear that the Due Process Clause ... mandates procedural safeguards that depend on specific circumstances.” The Attorney General then invoked the Supreme Court’s “balancing approach, [which] weights] the private interest that will be affected against the interest the government is trying to protect, and the burdens the government would face in providing additional process,” also noting that ‘Where national security operations are at stake, due process takes into account the realities of combat.”

Without explicitly tying it to the concept of due process of law, the Attorney General then laid out the three-part test that the Government employs in making the determination that a United States citizen may be targeted for death: First, the individual must pose an imminent threat of violent attack against the United States. Second, capture must not be feasible. Third, the operation to kill the individual must be conducted in a manner consistent with the law of war.

With respect to the imminence requirement, the Government’s analysis “incorporates considerations of the relevant window of opportunity to act, the possible harm that missing the window would cause to civilians, and the likelihood of heading off future disastrous attacks against the United State's.” Because terrorist organizations do not operate like conventional military forces, and tend to strike without warning, “the Constitution does not require the President to delay action until some theoretical end-stage of planning— when the precise time, place, and manner of an attack become clear.”

With respect to the requirement that capturing the plotter be unfeasible, the analysis is “fact-specific,” and often “time-sensitive.” “It may depend on, among other things, whether capture can be accomplished in the window of time available to prevent an attack and without undue risk to civilians or to U.S. personnel.”

With respect to the law of war requirement, the Government ensures that any use of lethal force complies with four governing principles: necessity, distinction, proportionality, and humanity. Under the principle of necessity, the target must have “definite military value.” The principle of distinction dictates that only “lawful targets” (e.g., combatants, civilians directly participating in hostilities, and military objectives) may be “targeted intentionally.” A military operation comports with the principle of proportionality if “the anticipated collateral damage [is] not ... excessive in relation to the anticipated military advantage.” Finally, in accordance with the principle of humanity, the Government may only use weapons that “will not inflict unnecessary suffering.”

The Northwestern Speech also mentions that there are limitations imposed by international law that constrain the Government’s ability to act unilaterally abroad, such as the principle of territorial sovereignty. However, “the use of force in foreign territory would be consistent with ... international legal principles if conducted, for example, with the consent of the nation involved — or after a determination that the nation is unable or unwilling to deal effectively with a threat to the United States.”

The Northwestern Speech also summarizes the Government’s argument for why targeted killings of U.S. citizens do not constitute “assassinations.” The argument boils down to a syllogism: assassinations are unlawful killings; the killings at issue here are not unlawful, therefore they cannot possibly be assassinations. What makes it lawful to engage in the targeted killing of U.S. citizens abroad is apparently a combination of: (1) Congressional authorization “to use all necessary and appropriate force against [Al-Qaeda, the Taliban, and associated forces]” in the wake of the attacks of September 11, 2001 (emphasis added); (2) the right under international law to “take action against enemy belligerents” in times of armed conflict; (3) the President’s power under the Constitution “to protect the nation from any imminent threat of violent attack;” and (4) the inherent right of national self-defense enshrined in international law.

Finally, the Northwestern Speech explains that the “due process” guaranteed by the Fifth Amendment does not equate to “judicial process.” Mr. Holder admitted that, “The Constitution’s guarantee of due process is ironclad, and it is essential — but, as a recent court decision makes clear, it does not require judicial approval before the President may use force abroad against a senior operational leader of a foreign terrorist organization with which the United States is at war — even if that individual happens to be a U.S. citizen.” Holder did not identify which recent court decisions so held. Nor did he explain exactly what process was given to the victims of targeted killings at locations far from “hot” battlefields, other than Executive consideration of the factors discussed above (i.e., the individual is believed to pose an “imminent threat” to the country and cannot feasibly be captured).

Y. Assistant to the President for Homeland Security and Counterterrorism John 0. Brennan: The Ethics and Efficacy Speech

On April 30, 2012, Assistant to the President for Homeland Security and Counter-terrorism John 0. Brennan delivered the Ethics and Efficacy Address at the Woodrow Wilson International Center for Scholars in Washington, DC.

Mr. Brennan began the relevant portion of his remarks by stating plainly that “Yes, in full accordance with the law — and in order to prevent terrorist attacks on the United States and to save American lives — the United States Government conducts targeted strikes against specific alQa’ida terrorists, sometimes using remotely piloted aircraft, often referred to publicly as drones.” Mr. Brennan identified the purpose of his speech as, per President Obama’s instructions, “to be more open with the American people about these efforts.”

Explicitly echoing the Attorney General, Mr. Koh, and Mr. Johnson, Mr. Brennan also asserted the legality of targeted strikes as a matter of both domestic and international law. He argued that Article II of the Constitution and the AUMF empowered the President to engage in targeted drone strikes against “those nations, organizations, and individuals responsible for 9/11.” Under international law, such operations would be consistent with the “inherent right of national self-defense,” including when conducted “outside of an active battlefield, at least when the country involved consents or is unable or unwilling to take action against the threat.”

Mr. Brennan also argued that targeted strikes are ethical under the law of war. Like the Attorney General, Mr. Brennan emphasized that drone strikes comport with the fundamental law of war principles of necessity, distinction, proportionality, and humanity.

SPECIFIC PUBLIC DISCUSSION OF THE KILLING OF ANWAR AL-AWLAKI

The speeches discussed above deal with targeted killings generally in the context of the War on Terror. The ACLU Plaintiffs have also called the Court’s attention to a number of public statements made by President Obama and Secretary of Defense (and former Director of the CIA) Leon Panetta that address the killing of Anwar Al-Awlaki.

Anwar Al-Awlaki was killed on September 30, 2011. Approximately a year and a half earlier, on March 26, 2010, then-CIA Director Panetta was quoted in a Wall Street Journal article, saying that “[Anwar Al-Awlaki is] clearly someone we’re looking for.... There isn’t any question that he’s one of the individuals we’re focusing on.” (Wicker Deck, Ex. 21.)

The day Al-Awlaki was killed, the Armed Forces Press Service, a component of DoD, published an item on the DoD website with the headline “Panetta: Awlaki Airstrike Shows U.S.-Yemeni Cooperation.” (Wicker Deck, Ex. 14.) The article was based on a press conference that had been held earlier in the day, at which Secretary Panetta stated:

Well, this has been a bad year for terrorists. You know, we — we just have seen a major blow — another major blow to al-Qaida, someone who was truly an operational arm of al-Qaida in this node of Yemen. And, you know, we had always had tremendous concern that after getting bin Laden, that someone like Awlaki was a primary target because of his continuing efforts to plan attacks against the United States....
As far as the operational elements here, I’m not going to speak to those except to say that we’ve been working with the Yemenis over a long period of time to be able to target Awlaki, and I want to congratulate them on their efforts, their intelligence assistance, their operational assistance to get this job done.

(Wicker Deck, Ex. 22.)

President Obama also addressed the killing of Al-Awlaki on September 30. Speaking at the “Change of Office” Ceremony for the outgoing and incoming Chairmen of the Joint Chiefs of Staff, President Obama stated that the killing of Al-Awlaki was a “significant milestone” and “a tribute to our intelligence community.” (Normand Deck, Ex. H.) A few weeks later, President Obama appeared on “The Tonight Show with Jay Leno” on October 25 and was asked about Anwar Al-Awlaki. The President replied that Al-Awlaki “was probably the most important al Qaeda threat that was out there after bin Laden was taken out, and it was important that, working with the Yemenis, we were able to remove him from the field.” (Wicker Deck, Ex. 5) (emphasis added.)

In January 2012, Secretary Panetta appeared on the CBS program “60 Minutes,” where he was again asked to discuss Al-Awlaki’s killing and the legal basis for it. (Wicker Deck ¶ 14.) The interviewer, Scott Pelley (“Pelley”), said to Secretary Panetta, “You killed Ai-Awlaki”; Secretary Panetta nodded affirmatively. (Id.) Pelley then engaged in the following exchange with Secretary Panetta about the legal authority to kill U.S. citizens suspected of being terrorists:

Pelley: So it’s the requirement of the administration under the current legal understanding that the President has to make that declaration?
Secretary Panetta: That is correct.
Pelley: Not you?
Secretary Panetta: That’s correct.
Pelley: Only the President can decide?

Secretary Panetta: Well, it’s a recommendation we make, it’s a recommendation the CIA director makes in my prior role, but in the end when it comes to going after someone like that, the President of the United States has to sign off.

(Id.)

DISCUSSION

I. Standard of Review

Summary judgment is the typical means for disposing of cases challenging a Government’s agency’s FOIA response. See Center for Biological Diversity v. U.S. Marine Corps., No. 00 Civ. 2387, 2003 WL 26121134, at *3 (D.D.C. Aug. 21, 2003) (citing Fed.R.Civ.P. 56(c); McGehee v. CIA 697 F.2d 1095, 1101 (D.C.Cir.1983); Founding Church of Scientology v. NSA 610 F.2d 824, 836 (D.C.Cir.1979); Nat'l Cable Television Ass’n, Inc. v. FCC, 479 F.2d 183, 186 (D.C.Cir.1973)). A party is entitled to summary judgment when there is “no genuine issue as to any material fact” and the undisputed facts warrant judgment for the moving party as a matter of law. Fed.R.Civ.P. 56(c); Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 247-48, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986). On a motion for summary judgment, the court must view the record in the light most favorable to the nonmoving party and draw all reasonable inferences in its favor. Matsushita Elec. Indus. Co. Ltd. v. Zenith Radio Corp., 475 U.S. 574, 587, 106 S.Ct. 1348, 89 L.Ed.2d 538 (1986).

A district court reviews the agency’s FOIA determination de novo. Wilner v. NSA 592 F.3d 60, 69 (2d Cir.2009); see also 5 U.S.C. § 552(a)(4)(B). Exemptions are to be narrowly construed. See Halpern v. F.B.I., 181 F.3d 279, 287 (2d Cir.1999). All doubts as to the applicability pf the asserted FOIA exemption are to be resolved in favor of disclosure. Wilner, 592 F.3d at 69.

Summary judgment in the agency’s favor is appropriate where:

the affidavits describe the justifications for nondisclosure with reasonably specific detail, demonstrate that the information withheld logically falls within the claimed exemption, and are not controverted by either contrary evidence in the record nor by evidence of agency bad faith. Ultimately, an agency’s justification for invoking a FOIA exemption is sufficient if it appears logical or plausible.

Wilner, 592 F.3d at 73 (quoting Larson v. Dep’t of State, 565 F.3d 857, 862 (D.C.Cir.2009)).

An agency resisting disclosure of records responsive to a FOIA request bears the burden of demonstrating that the asserted FOIA exemption applies. Wilner v. NSA, 592 F.3d 60, 68-69 (2d Cir.2009). However, “Affidavits or declarations ... giving reasonably detailed explanations why any withheld documents fall within an exemption are sufficient to sustain the agency’s burden.” Carney v. Dep’t of Justice, 19 F.3d 807, 812 (2d Cir.1994). In the national security context, agency declarations are entitled to substantial deference. See CIA v. Sims, 471 U.S. 159, 179, 105 S.Ct. 1881, 85 L.Ed.2d 173 (1985); ACLU v. Dep’t of Justice, 681 F.3d 61, 72 (2d Cir.2012) (the “Waterboarding Case ”).

Deference to the Government’s explanations does not, however, mean acquiescence. ACLU v. Office of the Dir. of Nat’l Intelligence, No. 10 Civ. 4419, 2011 WL 5563520, at *5 (S.D.N.Y. Nov. 15, 2011) (quoting Campbell v. U.S. Dep’t of Justice, 164 F.3d 20, 30 (D.C.Cir.1998)) (“ODNI”). Courts have rejected Government affidavits for being vague and conclusory and reading like “bureaucratic double-talk.” See Halpern, 181 F.3d at 293; see also generally ODNI, 2011 WL 5563520.

Understanding that a district court should endeavor “to create as complete a public record as is possible,” ODNI, 2011 WL 5563520, at *12 (quoting Phillippi, 546 F.2d at 1013), FOIA nonetheless empowers a district court to conduct in camera review of documents withheld pursuant to a FOIA exemption. 5 U.S.C. § 552(a)(4)(B). A district court may also conduct in camera review of classified affidavits when national security is at issue. See ODNI, 2011 WL 5563520, at *12, Courts have found in camera review to be appropriate in cases involving all three of the FOIA exemptions at issue here. See, e.g., The New York Times Co. v. Dep’t of Justice, 872 F.Supp.2d 309 (S.D.N.Y.2012) (the “Patriot Act Case ”) (Exemptions 1 and 3); Brennan Ctr. for Justice v. Dep’t of Justice, No. 09 Civ. 8756, 2011 WL 4001146, at *6 (S.D.N.Y. Aug. 30, 2011) aff'd in part, rev’d in part, and remanded by 697 F.3d 184 (2d Cir.2012) (Exemption 5). However, where the response comes from the CIA, in camera review of documents is discouraged; 50 U.S.C. § 431(f)(2) directs that, “the court shall, to the fullest extent practicable, determine issues of fact based on sworn written submissions of the parties.”

The Court notes that in camera review “is not a substitute for the government’s burden of proof.” Halpern, 181 F.3d at 295 (quoting Church of Scientology v. Dep’t of the Army, 611 F.2d 738, 743 (9th Cir.1980)).

FOIA also provides that “Any reasonably segregable portion of a record shall be provided to any person requesting such record after deletion of the portions which are exempt under this subsection.” 5 U.S.C. § 552(b). Accordingly, the agency must provide “a detailed justification for [its] decision that non-exempt material is not segregable.” Mead Data Central v. Dep’t of the Air Force, 566 F.2d 242, 261 (D.C.Cir.1977); accord Nat’l Immigration Project of the Nat’l Lawyers Guild v. Dep’t of Homeland Sec., 842 F.Supp.2d 720, 725 n. 5 (S.D.N.Y.2012). The agency is entitled to a presumption that it complied with its obligation to disclose reasonably segregable material. Sussman v. U.S. Marshals Service, 494 F.3d 1106, 1117 (D.C.Cir.2007); accord Ferrigno v. Dep’t of Homeland Sec., No. 09 Civ. 5878, 2011 WL 1345168, at *10 (S.D.N.Y. Mar. 29, 2011).

A district court “must make specific findings of segregability regarding the documents to be withheld” before ruling that an asserted FOIA exemption is applicable. Sussman v. U.S. Marshals Serv., 494 F.3d at 1116; accord Ferrigno, 2011 WL 1345168, at *10. Non-exempt portions of a document may only be withheld if they are “inextricably intertwined” with the exempt portions. Inner City Press/Cmty. on the Move v. Bd. of Governors of the Fed. Reserve Sys., 463 F.3d 239, 249 n. 10 (2d Cir.2006); Sussman, 494 F.3d at 1116; Patriot Act Case, 872 F.Supp.2d at 317-18.

It is within the district court’s discretion to conduct in camera of a withheld document to review the Government’s segregability decisions. See, e.g., Ferrigno, 2011 WL 1345168, at *10-11.

II. The Government Conducted An Adequate Search for Responsive Documents

As part of their challenge to the Government’s response to their requests, plaintiffs allege that the Government conducted a less than adequate search for responsive documents. I reject this challenge.

An agency can show that it has conducted an adequate search for records responsive to a FOIA request by demonstrating, through affidavits or declarations, that it has conducted “a search ... reasonably calculated to discover the requested documents.” Grand Cent. P’ship, Inc. v. Cuomo, 166 F.3d 473, 489 (2d Cir.1999); see also Weisberg v. Dep’t of Justice, 705 F.2d 1344, 1351 (D.C.Cir.1983). The agency need not show that it “actually uncovered every document extant.” Grand Cent. P’ship, 166 F.3d at 489. Nor is the agency required to search every record system; it need only search those systems in which it believes responsive records are likely to be located. Amnesty Int’l USA v. CIA 728 F.Supp.2d 479, 497 (S.D.N.Y.2010).

The Second Circuit has noted that:
to establish the adequacy of a search, agency affidavits must be relatively detailed and nonconclusory, and submitted in good faith .... affidavits submitted by an agency are accorded a presumption of good faith. This presumption cannot be rebutted by purely speculative claims about the existence and discover-ability of other documents.... [I]n order to justify discovery once the agency has satisfied its burden, the plaintiff must make a showing of bad faith on the part of the agency sufficient to impugn the agency’s affidavits or declarations.

Grand Cent. P’ship, at 489-90 (internal citation, quotation marks, and editing omitted).

A “reasonably detailed” affidavit should set forth the search terms used, describe the type of search conducted, and indicate that all files likely containing responsive records were searched. Oglesby v. Dep’t of the Army, 920 F.2d 57, 68 (D.C.Cir.1990). “Even if these conditions are met the requester may nonetheless produce countervailing evidence, and if the sufficiency of the agency’s identification or retrieval procedure is genuinely in issue, summary judgment is not in order.” Founding Church of Scientology of Washington, D.C, Inc. v. NSA, 610 F.2d 824, 836 (D.C.Cir.1979).

In this case, the Government’s explanation of its searches can be found in the following declarations:

1. OLC (DoJ): Bies Declaration, ¶¶ 18-28.
2. OIP (DoJ): Hibbard Declaration, ¶¶ 7-34.
3. DoD: Neller Declaration, ¶¶ 9-10.
4. CIA: Classified Bennett Declaration.

The court has reviewed these explanations and concludes that the searches by the responding agencies comported with their statutory obligations.

ÍII. The FOIA Responses Were Legally Compliant

The responding agencies invoke three separate exemptions to excuse their refusal to produce any documents responsive to the FOIA requests other than the speeches and public statements that have been discussed-above.

EXEMPTION 1

Exemption 1 to FOIA exempts from disclosure records that are “(A) specifically authorized under criteria established by an Executive Order to be kept secret in the interest of national defense or foreign policy and (B) are in fact properly classified pursuant to such Executive Order.” 5 U.S.C. § 552(b)(1). Section 1.1(a) of Executive Order (“E.O.”) 13526 (the relevant executive order in this case) establishes the following criteria for the classification of national security information:

Information may be originally classified under the terms of this order only if all of the following conditions are met:
(1) an original classification authority is classifying the information;
(2) the information is owned by, produced by or for, or is under the control of the United States Government;
(3) the information falls within one or more of the categories of information listed in section 1.4 of this order; and
(4) the original classification authority determines that the unauthorized disclosure of the information reasonably could be expected to result in damage to the national security, which includes defense against transnational terrorism, and the original classification authority is able to identify or describe the damage.
Section 1.4 of E.O. 13526 provides that: Information shall not be considered for classification unless its unauthorized disclosure could reasonably be expected to cause identifiable or describable damage to the national security in accordance with section 1.2 of this order, and it pertains to one or more of the following:
(a) military plans, weapons systems, or operations;
(b) foreign government information;
(c) intelligence activities (including covert action), intelligence sources or methods, or cryptology;
(d) foreign relations or foreign activities of the United States, including confidential sources;
(e) scientific, technological, or economic matters relating to the national security;
(f) United States Government programs for safeguarding nuclear materials or facilities;
(g) vulnerabilities or capabilities of systems, installations, infrastructures, projects, plans, or protection services relating to the national security; or
(h)the development, production, or use of weapons of mass destruction.

Section 1.2 of E.O. 13526, which is referenced in Section 1.4, pertains to classification levels:

(a) Information may be classified at one of the following three levels:
(1) “Top Secret” shall be applied to information, the unauthorized disclosure of which reasonably could be expected to cause exceptionally grave damage to the national security that the original classification authority is able to identify or describe.
(2) “Secret” shall be applied to information, the unauthorized disclosure of which reasonably could be expected to cause serious damage to the national security that the original classification authority is able to identify or describe.
(3) “Confidential” shall be applied to information, the unauthorized disclosure of which reasonably could be expected to cause damage to the national security that the original classification authority is able to identify or describe.
(b) Except as otherwise provided by statute, no other terms shall be used to identify United States classified information.
(c) If there is significant doubt about the appropriate level of classification, it shall be classified at the lower level.

It should also be noted that Section 1.7(a) of E.O. 13256 places certain limitations on classification:

(a) In no case shall information be classified, continue to be maintained as classified, or fail to be declassified in order to:
(1) conceal violations of law, inefficiency, or administrative error;
(2) prevent embarrassment to a person, organization, or agency;
(3) restrain competition; or
(4) prevent or delay the release of information that does not require protection ’ in the interest of the national security.

Nearly all of the documents located in response to the FOIA requests here under review áre classified, and appropriate affidavits have been filed by appropriate authorities from each of the responding agencies. There is no evidence suggesting that proper procedures were not followed when these documents were classified. See Nat’l Catholic Reporter Pub. Co. v. FBI, 514 F.Supp. 1149, 1153 (D.D.C.1981); Kanter v. Dep’t of State, 479 F.Supp. 921, 924 (D.D.C.1979). It lies beyond the power of this Court to declassify a document that has been classified in accordance with proper procedures on the ground that the court does not think the information contained therein ought to be kept secret. Cf. Morley v. CIA, 508 F.3d 1108, 1124 (D.C.Cir.2007) (“[T]he text of Exemption 1 itself suggests that little proof or explanation is required beyond a plausible assertion that information is properly classified”). All a court can do with a document that has been classified using proper procedures is determine whether classification protection has been waived. Public Citizen v. Dep’t of State, 11 F.3d 198 (D.C.Cir.1993); Afshar v. Dep’t of State, 702 F.2d 1125 (D.C.Cir.1983). And that is precisely what the ACLU and the Times argue: the Government cannot invoke Exemption 1 with respect to documents relating to targeted killings using drones because, through its relentless public relations campaign of recent months, the Government has waived the right to rely on the documents’ classified status and/or demonstrated that the withheld legal analysis has been adopted as official policy. Plaintiffs argue further that, to the extent the requests seek legal analysis (and that is all the Times requests seek), such analysis is not a proper subject of classification. I will address that issue first.

A. Legal Analysis May Appropriately Be Classified

All Plaintiffs argue that legal analysis is not the proper subject of classification. Indeed, they note that the Government cites not a single case which holds that legal analysis can properly be classified.

The Government counters that E.O. 13256 does not contain a specific carve-out for legal analysis; rather, E.O. 13526 applies to any information that “pertains to” the various items listed in Section 1.4. Therefore, legal analysis that “pertains to” military plans or intelligence activities (including covert action), sources or methods—all of which are classified matters— can indeed be classified.

Several cases support the proposition that legal analysis can be withheld as classified pursuant to Exemption 1. See, e.g., Patriot Act Case, 872 F.Supp.2d at 312-13, 317-18; ODNI, 2011 WL 5563520, at *8; Ctr. for Int’l Environ. Law v. Office of the U.S. Trade Rep., 505 F.Supp.2d 150, 154 (D.D.C.2007) (“CIEL I ”). I see no reason why legal analysis cannot be classified pursuant to E.O. 13526 if it pertains to matters that are themselves classified. -

B. The Government Has Not Waived The Benefit of Classification

“Voluntary disclosures of all or part of a document may waive an otherwise valid FOIA exemption.” Dow Jones & Co., Inc. v. Dep’t of Justice, 880 F.Supp. 145, 150-51 (S.D.N.Y.1995) (citing Mobil Oil Corp. v. E.P.A., 879 F.2d 698, 700 (9th Cir.1989); Afshar v. Dep’t of State, 702 F.2d 1125, 1133 (D.C.Cir.1983); Mehl v. E.P.A., 797 F.Supp. 43, 47 (D.D.C.1992)), vacated in part on other grounds by 907 F.Supp. 79 (S.D.N.Y.1995). The FOIA requester bears “the initial burden of pointing to specific information in the public domain that appears to duplicate that being withheld.” Afshar, 702 F.2d at 1130 (D.C.Cir.1983); accord Hudson River Sloop Clearwater, Inc. v. Dep’t of the Navy, 891 F.2d 414, 421 (2d Cir.1989).

Plaintiffs argue that the many speeches and public pronouncement discussed above constitute a waiver of Exemption l’s shielding of classified documents from disclosure.

The Second Circuit has made clear that it is the rare case where the Government waives Exemption 1 protection:

the application of Exemption 1 is generally unaffected by whether the information has entered the realm of public knowledge. A limited exception is permitted only where the government has officially disclosed the specific information the requester seeks.

Halpern, 181 F.3d at 294 (citing Hudson River Sloop, 891 F.2d at 421 (2d Cir.1989)).

Such official disclosure is governed by a “strict test.” Wilson v. CIA., 586 F.3d 171, 186 (2d Cir.2009).

Classified information that a party seeks to obtain or publish is deemed to have been officially disclosed only if it (1) “[is] as specific as the information previously released,” (2) “match[es] the information previously disclosed,” and (3) was “made public through an official and documented disclosure.”

Id. (quoting Wolf, 473 F.3d at 378). For example, Exemption 1 is not waived if an agency official merely discusses the “general subject matter” of the records sought. Public Citizen v. Dep’t of State, 11 F.3d 198, 201 (D.C.Cir.1993).

In sum, the key to the official disclosure analysis in the Exemption 1 context is the “insistence on exactitude [, which] recognizes the Government’s vital interest in information relating to national security and foreign affairs.” Wolf, 473 F.3d at 378 (emphasis added) (internal quotation marks omitted); accord Amnesty Int’l USA v. CIA 728 F.Supp.2d 479, 512 (S.D.N.Y.2010).

As to documents containing operational details of targeted killing missions (including but not limited to the operation that took out Al-Awlaki), there has been no official disclosure of sufficient exactitude to waive the Government’s right to assert their classification as a justification for not providing them to the ACLU. Indeed, there has been no disclosure of operational details at all, except of the military operation that resulted in the killing of Osama Bin Laden. The most that can be said of the various public statements made by President Obama and Secretary Panetta with respect to the drone strike that claimed the life of Anwar Al-Awlaki is that the Government claims to have had some role in it. The President of the United States went on late night television and admitted that “we” (i.e., the United States Government) had a role in the operation that ended Al-Awlaki’s life; Secretary Panetta confirmed that disclosure with a nod of his head. But neither official offered any information about who was involved in the decisionmaking process or in the execution of the mission. No operational details were disclosed, other than the fact that the operation was carried out with cooperation from Yemeni security forces. To the extent that the ACLU contends that these extremely limited statements constitute official disclosure sufficient to waive Exemption 1 protection of the factual basis for the targeted killing of Anwar Al-Awlaki, I cannot agree.

As Plaintiffs have not identified a single statement by a current, named executive branch official that mentions the killings of Samir Khan and Abdulrahman Al-Awlaki, there has obviously been no waiver of Exemption 1 protection of any documents the responding agencies may possess concerning the factual basis for “targeting” them (if indeed that occurred).

We turn, then, to documents responsive to Plaintiffs’ requests to the extent that they seek the analysis used to justify the legality of targeted killings, whether of United States citizens or otherwise.

The Northwestern .Speech discussed the legal considerations that the Executive Branch takes into account before targeting a suspected terrorist for killing. Indeed, the speech constitutes a sort of road map of the decision-making process that the Government goes through before deciding to “terminate” someone “with extreme prejudice.” It is a far cry from a “general discussion” of the subject matter.

But the Holder speech is also a far cry from a legal research memorandum. The speech mentions relevant doctrines but does not explain the actual reasoning that led the Government to conclude that the targeted killing of a suspected terrorist complies with the law of war, or accords a' suspect due process of law, or does not constitute assassination. In fact, in the approximately 15 minutes (out of an approximately 40 minute speech) that Attorney General Holder devoted to the subject of the Government’s targeted killing program, he did not cite to a single specific constitutional provision (other than the Due Process Clause), domestic statute (other than the AUMF), treaty obligation, or legal precedent. Nor did he address many key matters that are covered by the FOIA requests: for example, Mr. Holder did not address why the Treason Clause was not violated by killing a United States citizen who was engaged in apparently treasonous activities — or, in the alternative, why the Treason Clause simply did not apply.

The lack of authority and the vague and imprecise discussion of the legal issues that must have been considered by the Administration does not necessarily render the Attorney General’s remarks “general” within the meaning of Public Citizen. But no lawyer worth his salt would equate Mr. Holder’s statements with the sort of robust analysis that one finds in a properly constructed legal.opinion addressed to a client by a lawyer.

Nor can it be said that Mr. Holder revealed the exact legal reasoning behind the Government’s conclusion that its actions comply with domestic and international law. In fact, when you really dissect the speech, all it does is recite general principles of law and the Government’s legal conclusions.

My learned colleague Judge Scheindlin has held that repeated disclosure of legal analysis can support a finding of waiver. See Nat’l Day Laborer Org. Network v. Immigration and Customs Enforcement, 827 F.Supp.2d 242, 256-57 (S.D.N.Y.2011). The core legal conclusions of the Northwestern Speech have been repeated publicly on many occasions by other senior executive branch officials (see above). If their words do not qualify as official and documented disclosure, then that phrase has no recognizable meaning. As a result, the ACLU and the Times argue that this case is the same case as Natl Day Laborer. But it is not, because none of those public pronouncements reveals the necessarily detailed legal analysis that supports the Administration’s conclusion that targeted killing, whether or citizens or otherwise, is lawful.

The only question, then, is whether the court needs to review the only classified document that has been publicly identified as containing legal advice responsive to the Times’ FOIA requests — the OLC-DoD Memo — in order to insure that the Holder speech is less specific than the Memo, and see whether the rubric it disclosed matches the advice that was given him by OLC.

In camera review of withheld documents may be appropriate to determine whether Exemption 1 has been waived. See Public Citizen v. Dep’t of State, No. 91 Civ. 746, 1991 WL 179116, at *3 (D.D.C. Aug. 27, 1991). But such review is not necessary here. As the Second Circuit has noted, “A court should only consider information ex parte and in camera that the agency is unable to make public if questions remain after the relevant issues have been identified by the agency’s public affidavits and have been tested by plaintiffs.” Wilner, 592 F.3d at 75-76. It is plain that the Attorney General’s discussion of the legal underpinnings of the Government’s targeted killing program in the Northwestern Speech, which cites almost no specific authority, could not possibly be the exact legal analysis purportedly contained in the OLC-DoD Memo (unless standards at OLC have slipped dramatically). I do not need to review the OLC-DoD Memo in camera to know that its legal analysis would be far more detailed and robust.

Furthermore, even if the Attorney General’s speech could be said to include “self-serving partial disclosures of classified information,” this complaint is more “properly addressed to Congress, not to this court.” Public Citizen, 11 F.3d at 204. This Court, like the DC Circuit, is “unwilling to fashion a rule that would require an agency to release all related materials any time it elected to give the public [some] information about a classified matter. To do so would give the Government a strong disincentive ever to provide its citizenry with briefings of any kind on sensitive topics.” Id. at 203.

Finally, Exemption 5 plainly applies (see below), so in camera review to resolve whether Exemption 1 also applies would not be appropriate.

EXEMPTION 3

Under Exemption 3, records and information “specifically exempted from disclosure by statute” need not be disclosed. 5 U.S.C. § 552(b)(3). In analyzing an Exemption 3 assertion, a court must first determine whether the statute invoked is an exemption statute under FOIA, and then determine whether the withheld records meet the exemption statute’s criteria for nondisclosure. Sims, 471 U.S. at 167, 105 S.Ct. 1881; Wilner, 592 F.3d at 72.

The Second Circuit has noted that “Exemption 3 differs from other FOIA exemptions in that its applicability depends less on the detailed factual contents of specific documents; the sole issue for decision is the existence of a relevant statute and the inclusion of withheld material within the statute’s coverage.” Wilner, 592 F.3d at 72 (quoting Ass’n of Retired R.R. Workers v. U.S. R.R. Retirement Bd., 830 F.2d 331, 336 (D.C.Cir.1987)). Accordingly, in the Exemption 3 context, a court should “not closely scrutinize the contents of a withheld document.” Krikorian v. Dep’t of State, 984 F.2d 461, 465 (D.C.Cir.1993); accord Patriot Act Case, 872 F.Supp.2d at 316-17.

A. The National Security Act

Section 102A(i)(l) of the National Security Act (“NSA”), as amended, 50 U.S.C. § 403 — l(i)(l), provides that “the Director of National Intelligence shall protect intelligence sources and methods from unauthorized disclosure.” It is well settled that Section 102A(i)(l) of the NSA is an exempting statute within the meaning of Exemption 3. See Sims, 471 U.S. at 167, 105 S.Ct. 1881 (discussing prior version of NSA); Waterboarding Case, 681 F.3d at 72-73 (citing Larson, 565 F.3d at 865 (D.C.Cir.2009)) (discussing current version of NSA).

The Government contends that its public declarations amply demonstrate that disclosure of records, or even the number and nature of records that may exist, that are specific to the individuals named in the ACLU’s FOIA request would disclose information pertaining to intelligence sources and methods in violation of the NSA. (See Bennett Decl. ¶¶ 24, 39-54, 60; Hackett Decl. ¶¶ 20-23.)

The ACLU’s principal argument against Exemption 3 is that the targeted killing of United States citizens does not constitute an “intelligence source or method” within the meaning of the NSA. In support of this argument, the ACLU cites excerpts from the Supreme Court’s discussion of intelligence sources and methods in Sims:

Congress simply and pointedly protected all sources of intelligence that provide, or are engaged to provide, information the Agency needs to perform its statutory duties with respect to foreign intelligence....
General Vandenberg, then the Director of the Central Intelligence Group, the Agency’s immediate predecessor, emphasized that “foreign intelligence [gathering] consists of securing all possible data pertaining to foreign governments or the national defense and security of the United States.”

471 U.S. at 169-71, 105 S.Ct. 1881 (quoting General Vandenberg’s testimony at a 1947 Senate hearing).

According to the ACLU, General Vandenberg’s definition of intelligence gathering does not encompass “Placing individuals on kill lists and then killing them,” and thus information pertaining to the Government’s targeted killing program should be disclosed. (ACLU Memo, in Support/Opp’n at 41.)

The Government counters that Sims stands for the proposition that “Congress intended to give the Director of Central Intelligence broad power to protect the secrecy and integrity of the intelligence process.” 471 U.S. at 170, 105 S.Ct. 1881 (emphasis added); accord Waterboarding Case, 681 F.3d at 73-74. The Government also points out that Judge Collyer of the District Court for the District of Columbia rejected the ACLU’s argument just last year:

At first blush, there is force to Plaintiffs’ argument that a “targeted-killing program is not an intelligence program” in the most strict and traditional sense, the argument bolstered by the principle that FOIA exemptions are to be narrowly construed. See Public Citizen, Inc. v. Rubber Mfrs. Ass’n, 533 F.3d 810, 813 (D.C.Cir.2008). Nonetheless, Plaintiffs seek too narrow a reading of the authority conferred by the NSA to protect “intelligence sources and methods.” The “Supreme Court has recognized the broad sweep of ‘intelligence sources’ warranting protection in the interest of national security.” Wolf v. CIA, 473 F.3d 370, 375 (D.C.Cir.2007); see also Fitzgibbon v. CIA 911 F.2d 755, 760-63 (D.C.Cir.1990)....
The Court has no reason to second-guess the CIA as to which programs that may or may not be of interest implicate the gathering of intelligence.... Plaintiffs’ argument that a program of drone strikes cannot form the basis of, or involve, intelligence sources or methods also ignores the scope of the CIA’s specific authority to engage in activities beyond “traditional” intelligence gathering (however defined), such as intelligence activities and operations, covert operations, and foreign relations activities.

ACLU v. Dep’t of Justice, 808 F.Supp.2d 280, 290-92 (D.D.C.2011) (the “Drone Strike Case ”).

I agree with my distinguished colleague Judge Collyer that the ACLU’s argument is without merit.

All Plaintiffs argue that legal analysis, which is what they really seek, cannot be considered an “intelligence source or method” within the meaning of the NSA, and challenge the Government to show that the legal opinions whose disclosure is sought “logically fall[ ] within the claimed exemptions.” Wilner, 592 F.3d at 69.

In reply, the Government notes, “It is entirely logical and plausible that the legal opinion contains information pertaining to military plans, intelligence activities, sources and methods, foreign government information, and foreign relations.” (Gov’t Memo, in Opp’n/Reply 6.) But that begs the question. In fact, legal analysis is not an “intelligence source or method.” As my colleague, The Hon. Alvin K. Heller-stein, put it in ACLU v. Dep’t of Defense, 389 F.Supp.2d 547, 565 (S.D.N.Y.2005) (the “Torture Memo Case ”), “A memorandum from DoJ to CIA interpreting the Convention Against Torture, does not, by its terms, implicate intelligence sources or methods.” (internal quotation marks and editing omitted)

That, of course, does not render the legal analysis disclosable. First, FOIA exemptions other than Exemption 3 may bar disclosure — especially here, where the legal analysis is classified. Second, it may well be that legal analysis in a particular document is inextricably intertwined with information that is statutorily exempt from disclosure, including information about intelligence sources and methods that is statutorily exempt form disclosure. Indeed, that is “entirely logical and plausible,” as the Government notes.

But it is also entirely logical and plausible that such information could be redacted from the legal analysis. There is probably no way, short of in camera inspection, to determine whether the legal analysis that is not statutorily protected by the NSA is inextricably intertwined with material that is protected from disclosure by statute.

Again, however, in camera inspection would be pointless here, because Exemption 5 plainly applies.

B. The CIA Act

Section 6 of the CIA Act protects information concerning the “functions” of the CIA, including: intelligence sources and methods, and names, official titles, salaries, or numbers of personnel employed by the Agency. 50 U.S.C. § 403g. Section 6 is also an exempting statute within the meaning of Exemption 3. Baker v. CIA 580 F.2d 664, 667 (D.C.Cir.1978).

The D.C. Circuit has held that Section 6 does not grant the CIA the authority “to refuse to provide any information at all about anything it does.” Phillippi 546 F.2d at 1015 n. 14 (D.C.Cir.1976). Rather, the aim of Section 6 is to shield the CIA from having to “divulge information about its internal structure.” Id. Section 6 “offers a limited sanctuary from the CIA’s FOIA obligations because ‘[o]nly the specific information on the CIA’s personnel and internal structure that is listed in the statute will obtain protection from disclosure.’ ” Drone Strike Case, 808 F.Supp.2d at 287-88 (quoting Baker, 580 F.2d at 670).

In the Drone Strike Case, a case involving an ACLU FOIA request quite similar to the one here, Judge Collyer said the following with regard to Section 6:

The fact of the existence or nonexistence of responsive information falls within the ambit of [Section 6] because whether the CIA cooperates with, is interested in, or actually directs drone strikes pertains to (possible) functions of CIA personnel. See Riquelme v. CIA, 453 F.Supp.2d 103, 111 (D.D.C.2006) (accepting CIA’s argument that FOIA request seeking information relating to CIA agents’ “activities, assistance, participation, involvement, and contacts” speaks to the “functions” of CIA agents, protected from disclosure under [Section 6]). Plaintiffs’ FOIA request—sent to multiple agencies—is clearly designed, at least in part, to determine which agencies, and its personnel, are involved in drone strikes and in what capacities....
In the end, the CIA is justifiably concerned that revealing the existence or nonexistence of records sought on the various topics sought by Plaintiffs could alone reveal information on the CIA’s internal structure and its capabilities and potential interests and involvement in/operation of the drone program. Although the matter is not entirely free from doubt, the Court is satisfied that the CIA has properly invoked [Section 6] of the CIA Act to withhold this fact under Exemption 3.

Id. at 288-89.

Once again I must agree with Judge Collyer. To the extent that the ACLU seeks information regarding the CIA’s participation, if any, in the Government’s targeted killing program, that information is properly withheld under Exemption 3 and the CIA Act. And, as with the NSA, the CIA Act’s prohibition on the disclosure of intelligence sources or methods would apply to- the targeted killing program itself, but not to the withheld legal analysis:

EXEMPTION 5

Exemption 5 to FOIA exempts from disclosure “inter-agency or intraagency memorandums or letters which would not be available by law to a party other than an agency in litigation with the agency.” 5 U.S.C. § 552(b)(5). Exemption 5 covers documents withheld under the deliberative process privilege (a.k.a., the executive privilege) and the attorney-client privilege, both of which the Government has invoked with respect to the OLC-DoD Memo. Tigue v. Dep’t of Justice, 312 F.3d 70, 76 (2d Cir.2002).

The Second Circuit has summarized the Exemption 5 analysis as follows:

the appropriate analysis requires us to determine whether the documents sought more closely resemble the type of internal deliberative and predecisional documents that Exemption 5 allows to be withheld, or the types of documents that section 552(a)(2) requires be disclosed.

Brennan Ctr. for Justice v. Dep’t of Justice, 697 F.3d 184, 202 (2d Cir.2012). FOIA Section 552(a)(2) provides that an agency must make available for public inspection, among other things: “(A) final opinions, including concurring and dissenting opinions, as well as orders, made in the adjudication of cases [and] (B) those statements of policy and interpretations which have been adopted by the agency and are not published in the Federal Register.”

A. The Attorney-Client and Deliberative Process Privileges

The attorney-client privilege protects confidential communications between client and counsel made for the purpose of obtaining or providing legal assistance.” In re Cnty. of Erie, 473 F.3d 413, 418 (2d Cir.2007). The privilege is construed narrowly and the party invoking it has the burden of proof. Id. “In civil suits between private litigants and government agencies, the attorney-client privilege protects most confidential communications between government counsel and their clients that are made for the purpose of obtaining or providing legal assistance.” Id. “A party invoking the attorney-client privilege must show (1) a communication between client and counsel that (2) was intended to be and was in fact kept confidential, and (3) was made for the purpose of obtaining or providing legal advice.” Id. at 419.

To qualify for the deliberative process privilege, an agency record must be “predecisional” and “deliberative.” Grand Cent. P’ship, 166 F.3d at 482 (citing Renegotiation Bd. v. Grumman Aircraft Eng’g Corp., 421 U.S. 168, 184, 95 S.Ct. 1491, 44 L.Ed.2d 57 (1975)).

A document is “predecisional” when it is “prepared in order to assist an agency decisionmaker in arriving at his decision.” Renegotiation Bd., 421 U.S. at 184, 95 S.Ct. 1491. Predecisional documents “reflect the personal opinions of the writer rather than the policy of the agency.” Grand Cent. P’ship, 166 F.3d at 482 (internal quotation marks omitted). The agency need not identify a specific decision that the document preceded; the document need only have been “prepared to assist [agency] decisionmaking on a specific issue.” Tigue, 312 F.3d at 80; see also N.L.R.B. v. Sears, Roebuck & Co., 421 U.S. 132, 151 n. 18, 95 S.Ct. 1504, 44 L.Ed.2d 29 (1975) “Finally, ‘the privilege does not protect a document which is merely peripheral to actual policy formation; the record must bear on the formulation or exercise of policy-oriented judgment.’ ” Grand Cent. P’ship, 166 F.3d at 482 (quoting Ethyl Corp. v. E.P.A., 25 F.3d 1241, 1248 (4th Cir.1994)). As the Supreme Court has noted:

Agencies are, and properly should be, engaged in a continuing process of examining their policies; this process will generate memoranda containing recommendations which do not ripen into agency decisions; and the lower courts should be wary of interfering with this process.

Sears, 421 U.S. at 151 n. 18, 95 S.Ct. 1504.

“A document is ‘deliberative’ when it is actually ... related to the process by which policies are formulated.” Grand Cent. P’ship, 166 F.3d at 482 (internal quotation marks omitted) (alteration in original). In determining whether a document is deliberative, the Second Circuit has emphasized the following factors: (1) whether the document “formed an important, if not essential, link in [the agency’s] consultative process”; (2) whether the document reflects the opinion of its author rather than agency policy; and (3) whether the document might “reflect inaccurately upon or prematurely disclose the views of [the agency].” Id. at 483.

“[T]o carry its burden, the agency must describe [in its Vaughn indices] not only the contents of the document but also enough about its context, [i.e.,] the agency’s decisionmaking process, to establish that it is a pre-decisional part thereof.” SafeCard Serv., Inc. v. SEC, 926 F.2d 1197, 1204 (D.C.Cir.1991). “Since the applicability of the deliberative process privilege depends on the content of each document and the role it plays in the decisionmaking process, an agency’s affidavit must correlate facts in or about each withheld document with the elements of the privilege.” Judicial Watch, Inc. v. U.S. Postal Serv., 297 F.Supp.2d 252, 259-60 (D.D.C.2004) (citing Senate of Puerto Rico on Behalf of the Judiciary Committee v. Dep’t of Justice, 823 F.2d 574, 585 (D.C.Cir.1987); Coastal States Gas Corp. v. Dep’t of Energy, 617 F.2d 854, 866 (D.C.Cir.1980); Mead Data Cent., Inc. v. Dep’t of Air Force, 566 F.2d 242, 251 (D.C.Cir.1977)).

As part of its campaign of increased transparency about the legality of targeted killings, the Government produced to Plaintiffs Vaughn indices from OLC (Bies Deck, Ex. I), DoD (Neller Deck, Ex. J), and OIP (Hibbard Deck, Ex. F). These affidavits describe (in limited terms akin to a traditional privilege log) 74 non-classified documents responsive to Plaintiffs’ FOIA requests that the Government has withheld under Exemption 5. The vast majority of the documents were withheld under the deliberative process privilege. Slightly fewer were withheld under both the deliberative privilege and the attorney-client privilege. A few were withheld pursuant to the attorney-client privilege alone. Just one, from the OIP Vaughn index (Document 1), was withheld under the “presidential communications privilege”; it was also withheld under the deliberative process privilege.

OLC: In its Vaughn index, OLC identifies 60 non-classified, responsive documents that it has withheld pursuant to the deliberative process privilege. (Bies Deck, Ex. I.) All of these documents are described as email chains reflecting internal and/or interagency deliberations among Government attorneys and officials. (Id.) The subject matter of these email chains is uniformly the legal basis “for the use of lethal force in a foreign country against U.S. citizens in certain circumstances.” (Id.) All 60 of the documents withheld by OLC were withheld under both the attorney-client privilege and the deliberative process privilege — which is hardly surprising, given OLC’s role in the Executive Branch. (Id.)

The OLC-DoD Memo was identified by OLC but does not appear on its Vaughn index. The Government contends that the OLC-DoD Memo was properly withheld under the deliberative process privilege because:

it is confidential, pre-decisional, and deliberative. The document is pre-decisional because it was prepared in advance of Executive Branch decisions regarding a potential military operation in a foreign country, and it is deliberative because it contains legal advice by OLC attorneys to other Executive Branch officials in connection with potential decisions regarding such an operation.... Compelled disclosure of the document would undermine the deliberative processes of the Government and chill the candid and frank communications necessary for effective governmental decision-making.

(Bies Deck ¶ 81.) The Government also argues that the OLC-DoD Memo was also properly withheld under attorney-client privilege because:

The document reflects confidential communications between OLC and Executive Branch clients made for the purpose of providing legal advice. In providing legal advice contained in the opinion, OLC was serving an advisory role as legal counsel to the Executive Branch. Having been requested to provide counsel of the law, OLC stood in a special relationship of trust with the Attorney General, as well as other participants in the interagency deliberations in connection with which the advice was prepared. Just as disclosure of client confidences in the course of seeking legal advice would seriously disrupt the relationship of trust so critical when attorneys formulate legal advice to their clients, disclosure of the advice itself would be equally disruptive to that trust.

(Bies Deck ¶ 32; see also Neller Deck ¶ 24.)

The Times’ sole apparent goal at this point is to get a hold of the OLC-DoD Memo, which, it assumes, contains the final legal analysis and justification it seeks. (See NYT Memo, in Support/Opp’n at 6-7, 11, 14-15, 25.; NYT Reply Memo, at 3, 9-10.) Indeed, the only publicly-identified document that the Times Plaintiffs ask this Court to declare “public” and order disclosed is the OLC-DoD Memo. (NYT Memo, in Support/Opp’n at 25; NYT Reply Memo, at 10.) As I read the briefs, the Times does not seek disclosure of anything that appears on OLC’s Vaughn Index.

The Times does not disagree that the OLC-DoD Memo might at one time have been properly withheld under the deliberative process and/or attorney-client privileges. (See NYT Memo, in Support/Opp’n at 14.) It argues instead that the privilege has been overcome because of one or more of the following: waiver, adoption, and/or the working law doctrine.

The ACLU, for its part, piggybacks on the Times’ Exemption 5 arguments, and explicitly states that it is not seeking the 60 email chains listed on OLC’s Vaughn index. (ACLU Memo, in Support/Opp’n at 48 n. 44.) I thus need not discuss those emails further.

OIP: In its Vaughn index, OIP describes four documents withheld pursuant to the deliberative process privilege. (Hibbard Deck Ex. F.) Document 1 is a set of draft talking points prepared for the Attorney General in preparation for a briefing with the President; it was apparently attached to a non-responsive, internal email at DoJ. (Id.) Document 2 is briefing material prepared for the Attorney General ahead of upcoming testimony; this too was apparently attached to a non-responsive, internal email at DoJ. (Id.) Document 3 is an email chain from State Department officials to various’ officials at DoJ regarding the Northwestern. Speech; portions of these emails were excised as non-responsive. (Id.) Document 4 is an internal DoJ email chain concerning language in Document 1; portions of these emails were also excised as non-responsive. (Id.)

The Times Plaintiffs appear to have little interest in these documents and do not press their claim to them; the ACLU specifically disclaims any interest in having them disclosed. I need not discuss them, either.

DoD: The Defense Department identifies in its Vaughn index nine documents withheld pursuant to the deliberative process privilege alone. (Neller Decl., Ex. J.)

Documents 1-7 are email chains among Government attorneys discussing changes to the Northwestern Speech and Dean’s Lecture. (Id.) The ACLU (the only party to direct a FOIA request to DoD) has disclaimed interest in having these communications disclosed. (ACLU Memo, in Support/Opp’n at 48 n. 44).

The tenth document on DoD’s Vaughn index, Document 8, was withheld solely under the attorney-client privilege. (Neller Decl., Ex. J.) It is described as a “CAPSTONE presentation presented by the General Counsel on February 1, 2012, to officers who recently obtained the rank of 0-7 regarding international legal principles.” (Neller Decl. ¶ 15.) It is plainly a communication from attorney .to client and so is not disclosable unless the privilege has been waived. The ACLU does not contend otherwise.

However, Documents 9 and 10 are of great interest to the ACLU. Both are described on the Vaughn index as: “Memorandum from Legal Counsel to Chairman of the Joint Chiefs of Staff to the National Security Legal Advisor with legal analysis regarding the effect of U.S. citizenship on targeting enemy belligerents.” (Id.) Document 10 was apparently “subsequent to and references document number 6.” (Id.) This appears to be a typographical error, since Document 6 is one of the email chains discussing the Northwestern Speech. The logical reference would be to-Document 9, which is likely an earlier iteration of Document 10. Both documents were withheld pursuant' to Exemption 5’s deliberative process privilege.

The ACLU argues that the Times’ analysis about why the OLC-DoD Memo ought to be made public applies with equal force to the two non-classified legal memoranda identified on DoD’s Vaughn index (see below). (ACLU Memo, in Support/Opp’n at 48-49.) In response, Lieutenant General Robert R. Neller represents that Documents 9 and 10 (the “Unclassified Memos”) are exempt under the deliberative process privilege because, “They are predecisional and deliberative, as they contain opinions, advice, and recommendations as part of the consultative process. Disclosure of this information could chill full, frank and open discussions on matters between legal counsel.” (Neller Decl. ¶ 16.)

I cannot take the good General’s wholly conclusory word for that. Unlike the other responders, he does nothing more than parrot the relevant statutory language. That is never enough to avoid disclosure under FOIA. Larson, 565 F.3d at 864 (“conclusory affidavits that merely recite statutory standards, or are overly vague or sweeping will not carry the government’s burden”); accord ODNI, 2011 WL 5563520, at *5; see also Defenders of Wildlife v. U.S. Border Patrol, 623 F.Supp.2d 83, 90 (D.D.C.2009) (“Where the agency’s affidavits or declarations merely parrot-the language of the statute and are drawn in conclusory terms, as they are here, the Court’s ability to conduct its own review of the agency’s determinations is severely frustrated.”) (internal quotation marks omitted). As I have no other information about these documents, I will need a more fulsome response from the Defense Department before I can reach any conclusion, one way or the other, about the applicability of the deliberative process privilege to these two documents. See Elec. Frontier Found. v. Dep’t of Justice, 826 F.Supp.2d 157, 166-73 (D.D.C.2011).

B. Defenses to the Assertion of Exemption 5

Plaintiffs assert that three different doctrines — waiver, adoption, and working or “secret” law — defeat the Government’s assertion of Exemption 5 to shield the OLCDoD Memo and the two DoD Unclassified Memos from disclosure. Because waiver and adoption merge, at least in the context of the deliberative process, I will discuss them together. And because they bar disclosure of the OLC-DoD Memo, there is no need to discuss the concept of secret or working law, and only a limited basis on which to mention attorney-client privilege,

i. Waiver/Adoption in the Context of the Deliberative Privilege

As they did with Exemption 1, Plaintiffs argue that the speeches and other public pronouncements on which they rely indicate that the Government has chosen to make public the legal basis underlying its ability to target civilians, including especially United States citizens, for killing without trial, thereby waiving the protection of Exemption 5.

The case law suggests that the bar for waiver might be slightly lower in the Exemption 5 context than for Exemption 1: “Specificity is the touchstone in the waiver- inquiry, and thus, neither general discussions of topics nor partial disclosures of information constitute waiver of an otherwise valid FOIA exemption.” Dow Jones, 880 F.Supp. at 151. Any semantic differences -between “exactitude” , and “specificity” need not detain us, however: Second Circuit precedent indicates that waiver of the deliberative process privilege only occurs when a pre-decisional document has been adopted as final policy. See Tigue, 312 F.3d at 80-81. At least two of my colleagues have so held explicitly. See Elec. Privacy Info. Ctr. v. Dep’t of Justice, 584 F.Supp.2d 65, 78 (D.D.C.2008) (“The deliberative process privilege is waived only if there is an ‘express’ adoption of OLC memoranda.”) (citing Sears, 421 U.S. at 152, 95 S.Ct. 1504); Strini v. Edwards Lifesciences Corp., No. 05 Civ. 440, 2007 WL 1017280, at *4 (N.D.N.Y. Mar. 30, 2007) (citing Tigue for the proposition that the “deliberative process privilege may be waived by publication or public adoption of [an] otherwise privileged document”).

This stands to reason; a pre-decisional document should be stripped of its privilege when it becomes, in effect, the decision of the agency. While “Agencies are, and properly should be, engaged in a continuing process of examining their policies,” once a memo “ripen[s] into [an] agency decision!],” it is fair game for FOIA disclosure. Sears, 421 U.S. at 151 n. 18, 95 S.Ct. 1504. Thus, the doctrines of waiver and adoption are interlinked where the deliberative process privilege is concerned.

Plaintiffs argue that the various public statements by Executive Branch officials on which they rely purport to disclose information about final policies that have been adopted by the Executive to target individuals and to decide whether or not they can lawfully be killed by Executive fiat.

“An agency may be required to disclose a document otherwise entitled to protection under the deliberative process privilege if the agency has chosen ‘expressly to adopt or incorporate by reference [a] ... memorandum previously covered by Exemption 5 in what would otherwise be a final opinion.’ ” Nat’l Council of La Raza v. Dep’t of Justice, 411 F.3d 350, 356 (2d Cir.2005) (quoting Sears, 421 U.S. at 161, 95 S.Ct. 1504) (emphasis added). Adoption can defeat both the deliberative and the attorney-client privilege. Id. at 360.

The first thing to note about adoption is that it refers to the adoption of a “memorandum” — i.e., adoption of a particular document. See Bronx Defenderx v. Dep’t of Homeland Sec., No. 04 Civ. 8576, 2005 WL 3462725, at *4 (S.D.N.Y. Dec. 15, 2005) (discussing “adoption or incorporation of a particular document into agency policy”) (citing La Raza, 411 F.3d at 358) (emphasis added). “[T]here must be evidence that an agency has actually adopted or incorporated by reference the document at issue; mere speculation will not suffice.” La Raza, 411 F.3d at 360 (emphasis in original). Casual or minor references to a document do not constitute adoption. Id.

Furthermore, the agency must also have adopted the reasoning of the document, not just its conclusions. Id. at 358-59; accord Wood v. F.B.I., 432 F.3d 78, 84 (2d Cir.2005). In other words, “where an agency, having reviewed a subordinate’s non-binding recommendation, makes a ‘yes or no’ determination without providing any reasoning at all, a court may not infer that the agency is relying on the reasoning contained in the subordinate’s report.” La Raza, 411 F.3d at 359.

The adoption inquiry is necessarily fact-specific. A district court “must examine all the relevant facts and circumstances in determining whether express adoption or incorporation by reference has occurred.” Id. at 357 n. 5 (emphasis in original). Indeed, the Second Circuit has rejected “a bright-line test ... whereby a document may be deemed expressly adopted or incorporated only in the event that an agency, in essence, uses specific, explicit language of adoption or incorporation.” Id.

The parties contest how express the agency’s adoption of the withheld document must be. Citing Bronx Defenders, Plaintiffs argue that “adoption can be premised on only implicit reliance on a document’s legal analysis” and that “an express or explicit statement of incorporation is not required.” (NYT Memo, in Support/Opp’n at 17.)

The Government, noting that the doctrine extends only to express adoption, argues that express means express (Gov’t Opp’n/Reply at 28-29) — the perfect example of its position being La Raza, where then-Attorney General John Ashcroft (among other DoJ officials) made frequent and explicit public reference to both the reasoning and conclusions of a particular OLC memo setting forth a change in DoJ policy to permit state and local law enforcement agencies to enforce the civil provisions of federal immigration law. 411 F.3d at 358-59. For example, in a March 11, 2003 letter to one of the plaintiffs, the Attorney General stated that:

Let me first state clearly the policy of the Department on this issue. The Department’s Office of Legal Counsel (OLC) previously opined that state and local law enforcement officials have inherent authority to make arrests for criminal immigration law violations generally. It has now additionally opined that they possess inherent authority to arrest individuals whose names have been entered into the [NCIC database] because they have both (1) violated civil provisions of the federal immigration laws that render them deportable and (2) been determined by federal authorities to pose special risks, either because they present national security concerns or because they are' absconders who have not complied with a final order of removal or deportation. Thus, when state and local law enforcement officers encounter an alien who poses special risks and has been listed in the NCIC database for violating the [Immigration and Nationality Act], they may arrest that individual and transfer him to the custody of the Immigration and Naturalization Service (INS). The policy and the authority are no broader than this, and the narrow, limited mission that we are asking state and local police to undertake is a voluntary one.

Id. at 353-54 (emphasis in original).

The various public statements on which Plaintiffs rely in this case are obviously grounded in legal analysis that was performed by someone for someone. But there is no suggestion, in any of those speeches or interviews, that the legal reasoning being discussed is the reasoning set out in the OLC-DoD Memo, a document which the Government acknowledges exists. This document, unlike the OLC opinions on local enforcement of immigration laws, has never been mentioned in any public statement. For that matter, OLC has never been mentioned in any public statement; none of the speeches attribute any legal principles announced to OLC or to any opinion it has issued. This contrasts with Bronx Defenders, where there were numerous and express public references to an OLC memorandum that the plaintiffs sought, as well as to conclusions that were attributed to OLC. See 2005 WL 3462725, at *4.

Of course, the Government undoubtedly goes too far when it suggests (as it does) that “explicit” adoption of a memorandum requires the use of “magic words.” Courts have consistently rejected that formalistic position in favor of a more holistic approach. See La Raza, 411 F.3d at 357 n. 5; Nat’l Day Laborer, 827 F.Supp.2d at 258; Bronx Defenders, 2005 WL 3462725, at *6. For example, in Nat’l Day Laborer, the plaintiffs presented significant evidence, both direct and circumstantial, that a particular memorandum drafted by the Office of the Principal Legal Advisor of the Immigration and Customs Enforcement Agency had been adopted by the agency as its policy. See 827 F.Supp.2d at 254-56, 258-59. Indeed, this was “an instance where the agency ... continually relied upon and repeated in public the arguments made in the Memorandum,” id. at 259— even though there does not appear to have been a public reference to the memorandum by an Executive Branch official as explicit as those in La Raza. Instead, pieces of the memorandum, while not explicitly acknowledged as such, popped up repeatedly in various expressions of Government policy, including public statements by Government officials, documents issued by the Government, and internal Government communications. Id. at 254-56, 258-59. My colleague Judge Seheindlin noted, “[U]nless the defendants have unlawfully withheld other legal memoranda from plaintiffs and this Court, it was the only document comprehensively laying out the legal authority for making Secure Communities mandatory. Thus, the analysis in the Memorandum seems to be the only rationale that the agency could have relied upon and adopted as the legal basis for the policy.” Id. at 259.

In this case, however, there is no evidence that the Government “continually relied upon and repeated in public the arguments made” specifically in the OLCDoD Memo. Nat’l Day Laborer, 827 F.Supp.2d at 259. All Plaintiffs say is that, in the ordinary course, “OLC opinions are not mere advice, but rather establish the binding parameters within which officials may operate without fear of prosecution in areas that are not ordinarily subject to judicial review — such as the realm of national security.” (NYT Reply Memo, at 7-8.) That may be so, but it is sheer speculation that this particular OLC memorandum — addressed to the Attorney General (Bies Decl. ¶30), “pertaining to the Department of Defense” (id.), and “regarding a potential military operation in a foreign country” (id.) — contains the legal analysis that justifies the Executive Branch’s conclusion that it is legal in certain circumstances to target suspected terrorists, including United States citizens, for killing away from a “hot” field of battle. “Mere speculation will not suffice” to support a conclusion that a particular document has been adopted as official agency policy, La Raza, 411 F.3d at 360, and aside from speculation, there is no indication that the OLC-DoD Memo is the “the only document comprehensively laying out the [Government’s] legal authority” with respect to targeted killing operations. Nat’l Day Laborer, 827 F.Supp.2d at 259.

Plaintiffs so argue because this Memorandum is the only document containing legal analysis and opinions whose existence has been disclosed to them. But as chronicled at the beginning of this opinion, various agencies have filed No Number, No List Responses to both FOIA requests; and the CIA has asserted a Glomar response to the requests from the two Times reporters (which seek only legal opinions). As a result, it is impossible even to know whether any other legal opinions aside from the OLC-DoD Memo exist, let alone whether senior Administration officials were actually relying, in whole or in part, on some other opinion or opinions that might (or might not) exist when they made their public statements.

While in camera review of a withheld document can be an appropriate way to determine whether a document’s reasoning and conclusion have been adopted by an agency, cf. Brennan Ctr. for Justice, 2011 WL 4001146, at *6-7, it is not appropriate here. In camera review is pointless where there has been no public reference to a particular document. Review of the OLCDoD Memo would not answer the question of whether the Attorney General and other Executive Branch officials, in making their public statements, relied on this document specifically. Even if the OLC-DoD Memo contains language identical to that uttered by the Attorney General and others in the various public statements on which Plaintiffs rely, that would still not necessarily constitute proof that the Government had adopted this document in particular as its policy.

In sum, the Court finds that the Government has neither expressly adopted nor incorporated by reference the OLC-DoD Memo. Accordingly, the deliberative process privilege still adheres to this document, see Tigue, 312 F.3d at 80-81, and Exemption 5 remains a valid basis for its being withheld.

ii. Waiver in the Context of the Attorney-Client Privilege

The only publicly-disclosed document that is withheld under the attorney-client privilege alone is the CAPSTONE presentation by the General Counsel of DoD, which none of the Plaintiffs apparently seeks (see above).

The attorney-client privilege is waived when a party “mak[es] ‘a deliberate decision to disclose privileged materials in a forum where disclosure was voluntary and calculated to benefit the disclosing party.’ ” Nat’l Immigration Project, 842 F.Supp.2d at 728 (quoting In re Grand Jury Proceedings, 219 F.3d 175, 184 (2d Cir.2000)). There is not the slightest evidence that Mr. Johnson’s presentation to senior officers was ever deliberately disclosed in any forum, let alone in circumstances where disclosure was voluntary and calculated to benefit the disclosing party. Therefore, there has been no waiver of the privilege with respect to the CAPSTONE presentation.

Plaintiffs contend that the Government, through the various public statements discussed herein, has waived the attorney-client privilege with respect to the OLCDoD Memo. The- Court need not rule on this issue, however, as the deliberative process plainly applies to this document, so it was properly withheld under Exemption 5.

Glomar and No Number, No List Responses

As noted above, OLC initially responded to Plaintiffs’ FOIA requests with so-called Glomar responses (except that it acknowledged that DoD had records it would not identify that were responsive to Shane’s request). {See Bies Deck, Exs. B, D, F.) Since the filing of these cases, those Glomar responses have been superseded by so-called No Number, No List responses with respect to DoJ (Hackett Deck ¶¶ 21-28), OLC (Bies Deck ¶38), DoD (Neller Deck ¶¶ 25-26), and OIP (Hibbard Deck ¶ 8).

The CIA has persisted in its initial Glomar response with respect to the Shane and Savage requests (even though they were not addressed to the CIA), superseding it only to the limited extent of disclosing that it has no legal opinions in its files concerning its participation in the operation that killed Osama Bin Laden. (See Bennett Deck ¶¶ 61-65.) By contrast, the CIA decided that it “can confirm the existence of records responsive to ACLU’s request without harming national security” (Bennett Deck ¶ 27), although it refuses to confirm or deny the existence of any records that would also be responsive to the Shane and Savage requests — that is to say, legal opinions. (Bennett Deck ¶ 65 n. 7.) However, that is as far as it went; the Agency, like OLC and DoD, asserts a No Number, No List response, insisting that it “cannot further describe or even enumerate on the public record the number, types, dates, or other descriptive information about these responsive records because to do so would reveal classified information about the nature and extent of the CIA’s interest in [the] broad topics [addressed by the ACLU’s FOIA request].” {Id. ¶¶ 27-28.)

A Glomar response is appropriate when “to confirm or deny the existence of records ... would cause harm cognizable under a FOIA exception.” Gardels v. CIA, 689 F.2d 1100, 1103 (D.C.Cir.1982); see also Roth v. Dep’t of Justice, 642 F.3d 1161, 1178 (D.C.Cir.2011). A No Number, No List response is employed where the “details that would appear in a Vaughn index” are protected by a FOIA exemption. Bassiouni v. CIA 392 F.3d 244, 246 (7th Cir.2004). Although the Seventh Circuit suggested in Bassiouni that the two types of response are really one and the same, I beg to differ; when it gives a No Number, No List response, an agency admits that it has documents responsive to a FOIA request, but refuses to disclose the number or nature of those documents; when it gives a Glomar response, the agency neither confirms nor denies that responsive documents exist at all. That said, there is considerably less law addressing No Number, No List responses than there is on Glomar, but such law as exists suggests that Glomar law should be used to evaluate the propriety of a No Number, No List response.

The standard of review for Glomar and No Number, No List responses is identical to that of an assertion of a FOIA exemption, as these responses are themselves invocations of one or more FOIA exemptions. See Wilner, 592 F.3d at 68; Wolf, 473 F.3d at 378. Here, the Government invoked Exemptions 1 (classification) and 3 (specifically exempted by statute) as the basis for its No Number, No List responses. (See Hackett Decl. ¶¶ 21-28; Bies Decl. ¶ 38; Neller Decl. ¶¶ 25-26, Bennett Decl. ¶¶ 27-37; Hibbard Decl. ¶ 8.)

When the Government issues a Glomar or No Number, No List response, “there are no relevant documents for the court to examine other than the affidavits which explain the Agency’s refusal.” Wolf, 473 F.3d at 374 n. 4 (internal quotation marks omitted); see also Jarvik v. CIA 741 F.Supp.2d 106, 123 (D.D.C.2010). Moreover, courts play a rather limited role when such responses are filed: “When ... a court finds that the government’s public affidavits sufficiently allege the necessity of a Glomar [or No Number, No List] response, ex parte and in camera review of additional, confidential material is unnecessary and beyond the role assigned to the judiciary by applicable law.” Wilner, 592 F.3d at 76.1 have already noted that Government declarations in the national security context are entitled to substantial deference. See Sims, 471 U.S. at 179, 105 S.Ct. 1881; Waterboarding Case, 681 F.3d at 72; Wilner, 592 F.3d at 76.

Nevertheless, in supporting a Glomar or No Number, No List response, the Government must provide “specific, nonconclusory justifications for withholding ... [the requested] information.” Roth, 642 F.3d at 1178; see also Jarvik, 741 F.Supp.2d at 123.

In the Drone Strike Case, 808 F.Supp.2d 280 (D.D.C.2011) — where the ACLU submitted a FOIA request to the CIA seeking similarly detailed information on the CIA’s involvement in targeted killings via drone strikes — the ACLU argued that the CIA has waived its right to rely on a Glomar response on the basis of public statements made by former CIA Director Leon Panetta. These statements included remarks during a question and answer session following a speech at the Pacific Council on International Policy, a Washington Post interview, a Wall Street Journal article quoting Director Panetta, and an ABC News interview. Id. at 293-97. Not surprisingly, many of the statements on which the ACLU here relies are the same as those relied on in the Drone Strike Case.

Judge Collyer ruled against the ACLU on two grounds. With respect to whether Panetta had disclosed CIA involvement in drone strikes, she held that:

Even if Director Panetta were speaking squarely on the issue of drone strikes, he never acknowledged the CIA’s involvement in such program. That Director Panetta acknowledged that such a program exists and he had some knowledge of it, or that he was able to assess its success, is simply not tantamount to a specific acknowledgment of the CIA’s involvement in such program, nor does it waive the CIA’s ability to properly invoke Glomar ....

Id. at 294.

Second, Judge Collyer held that in none of Panetta’s public statements did he make reference to any specific records related to the ACLU’s FOIA request. Id. at 297. “[0]nly by inference ... might one con-elude that the CIA might have some kind(s) of documentation somewhere.” Id.

The ACLU makes essentially the same arguments to me that it made to Judge Collyer. The Government does not argue former adjudication, so I will not address it here; but it relies heavily on Judge Collyer’s opinion to rebut the ACLU’s contention that the CIA’s right to assert a Glomar response to its requests has been waived.

There is tension at the very least, if not ground for waiver, between the CIA’s assertion, on the one hand, of a “general interest in” the “legal basis upon which U.S. citizens can be subjected to targeted killing” and “the process by which U.S. citizens can be designated for targeted killing” (Bennett Decl. ¶ 27) and, on the other hand, its Glomar and No Number, No List responses to the FOIA requests in this suit. But while only the most naive among us would ever assume that the CIA was entirely uninterested in “OLC opinions .... concerning targeted lethal operations conducted by the CIA against terrorists, including those who are U.S. citizens (Bennett Deck ¶¶ 61-62), it is a far cry from the extremely general statements made by President Obama and Secretary (and former CIA Director) Panetta about the involvement of the “intelligence community” in such operations to a conclusion that the Agency had waived its right to assert a Glomar response if disclosing the existence of such documents in its files would expose classified material containing intelligence sources and methods.

Moreover, as the DC Circuit has noted, in the Glomar waiver context, “the specific information at issue [in a Glomar response] is the existence vel non of records.” Wolf, 473 F.3d at 379 (emphasis in original) (internal citation and quotation marks omitted). Therefore, what waives Glomar is an acknowledgement that records do in fact exist. In no statement made by either the President or Secretary Panetta is there a reference to the existence of any particular records that pertain to targeted killing operations — whether by drone strikes or otherwise, and whether involving American citizens or otherwise. See Drone Strike Case, 808 F.Supp.2d at 297.

With respect to the No Number, No List responses issued by DoJ (Hackett Deck ¶¶ 21-28), OLC (Bies Deck ¶38), DoD (Neller Deck ¶¶ 25-26), OIP (Hibbard Deck ¶ 8), and CIA (Bennett Deck ¶¶ 27-37), none of the parties has directed the Court to case law addressing under what circumstances a No Number, No List response is waived, nor could the Court find any. Neither Bassiouni nor Jarvik, the two cases upon which the Government principally relies, touches on waiver in the No Number, No List context. I assume the standards for assessing waiver in this context are identical to the standards for assessing waiver in the national security context generally — i.e., “Classified information that a party seeks to obtain or publish is deemed to have been officially disclosed only if it (1) ‘[is] as specific as the information previously released,’ (2) ‘match[es] the information previously disclosed,’ and (3) was ‘made public through an official and documented disclosure.’ ” Wilson, 586 F.3d at 186 (quoting Wolf, 473 F.3d at 378). As in Wolf, 473 F.3d at 379, the specific information at issue in the No Number, No List context would be the number and nature of records withheld under Exemptions 1 and 3 — in other words, the information that traditionally appears in a Vaughn index.

Plaintiffs have provided the Court with every public pronouncement by a senior Executive Branch official that touches on the intelligence community’s involvement in the Government’s targeted killing program. In none of these statements is there a reference to any particular records pertaining to the program, let alone the number or nature of those records.

Accordingly, the waiver argument with respect to the Government’s Glomar and No Number, No List responses is without merit.

CONCLUSION

The Government’s motion for summary judgment is granted except to the extent of permitting the DoD to submit a supplemental and more detailed justification for why the deliberative process privilege applies to the two Unclassified Memos on its Vaughn Index. Plaintiffs’ cross motions for summary judgment are denied except as to the open issue described above.

This constitutes the decision and order of the Court. The Clerk of the Court is directed to remove the motions at Docket 11 Civ. 9336 # 10 and 19 and Docket 12 Civ. 794 # 24 and 34 from the Court’s list of open motions. 
      
      . This final version of the opinion corrects several typographical, grammatical and syntactical errors and expands briefly the discussion of the court's ability (or lack of same) to declassify classified documents. It is substantively identical to the original opinion issued on January 2, 2012. It should be substituted for the original opinion for publication and appellate purposes. , ■
     
      
      . The final draft of this unclassified opinion was provided to the FBI several days ago, in order to give the Government an opportunity to object to the disclosure of any classified information that may have inadvertently found its way into this document.
     
      
      . Available at http://www.cfr.org/terrorism- and-the-law/holders-speech-targeted-killing-march-2 012/p27562.
     
      
      . Available at http://www.cfr.org/nationalsecurity-and-defense/jeh-johnsons-speechnationalsecurity-law-lawyers-lawyeringobama-administration/p27448.
     
      
      
        .Available at http://www.cfr.org/counter terrorism/brennans-speech-counter terrorism-april-2012/p28100.
     
      
      . Available at http://www.whitehouse.gov/thepress-office/2011/09/30/remarks-president-change-office-chairman-joint-chiefs-staff-ceremony.
     
      
      . Al-Awlaki and his son were born in the United States and held dual United States and Yemeni citizenship. Khan was of Pakistani origin and a naturalized United States citizen.
     
      
      . He may also have been acting in violation of any number of other laws, including, inter alia, conspiracy to commit'-racketeering acts in violation of 18 U.S.C. § 1962(d); conspiracy to use weapons of mass destruction in violation of 18 U.S.C. § 2332a(a); conspiracy to commit acts of terrorism transcending national boundaries in violation of 18 U.S.C. § 2332b(a)(2); and/or conspiracy to provide material support to terrorists and/or foreign terrorist organizations in violation of 18 U.S.C. §§ 2339A(a), 2339B(a). The anti-terrorism statutes are of particular importance; entirely too few Americans know that it violates domestic U.S. law to commit or conspire to commit acts of terrorism like those assigned to Al Awlaki in public comments made about him and his activities. Those activities are, by Act of Congress, crimes.
     
      
      . Other public statements submitted by Plaintiffs include: John Brennan’s September 16, 2011 remarks at Harvard Law School, available at http://www.cfr.org/counterterrorisrn/ brennans-remarks-counterterrorisrnseptember-201 l/p27572; CIA General Counsel Stephen Preston’s April 10, 2012 remarks at Harvard Law School, available at http:// www.cfr.org/rule-of-law/cia-generalcounsel-stephenprestons-remarks-rule-lawapril-2012/p27912; and CNN correspondent Jessica Yellin’s September 5, 2012 interview of President Obama, available at http:// security .blogs.cnn.com/2012/09/05/obamareflects-on-drone-warfare/.
     
      
      . Available at http://www.cfr.org/ international-law/legal-adviser-kohs-speechobamaadministration-international-lawmarch-2010/p22300.
     
      
      . Available at http://www.whitehouse.gov/ photos-and-video/video/2 012/01/3 O/presidentobama-s-google-hangout.
     
      
      . Mr. Johnson recently reemphasized this point, in a speech given at the Oxford Union on November 30, 2012, when he said that “Our enemy does not include anyone solely in the category of activist, journalist, or propagandist. Nor does our enemy in this armed conflict include a lone wolf’ who, inspired by al Qaeda’s ideology, self-radicalizes in the basement of his own home, without ever actually becoming part of al Qaeda. Such persons are dangerous, but are a matter for civilian law enforcement, not the military, because they are not part of the enemy force.” Available at http://www.lawfareblog. com/2012/ll/jeh-johnson-speech-at-theoxford-union/# _ftn9.
     
      
      . Both Quirin and Hamdi involved individuals who were in United States custody. Quirin remains the lone case upholding the right to try a United States citizen before a military commission; it said nothing at all about killing a United States citizen without any sort of trial. Hamdi addressed the right of a United States citizen detained in the United States as an enemy combatant to challenge his confinement via habeas corpus. Again, there was no suggestion that Mr. Hamdi was to be executed without some kind of trial.
     
      
      .Obviously the courts are in no position to decide who should or should not be targeted for any sort of action, military or judicial. In this country, courts are not investigative bodies and do not decide whom to prosecute; that is the prerogative of the Executive. Courts exist to afford due process of law to those who are accused by the Executive of violating the law.
     
      
      . This is most likely a reference to Quinn and Hamdi, the two cases referenced by Mr. Johnson in the Yale Dean’s Lecture.
     
      
      . The Attorney General mentions no other relevant constitutional provisions, notably the Treason Clause, which by definition can apply only to United States Citizens.
     
      
      . These references to the tailored nature of due process protections and the Supreme Court’s balancing test are most likely referenees to Mathews v. Eldridge, 424 U.S. 319, 96 S.Ct. 893, 47 L.Ed.2d 18 (1976) and its progeny.
     
      
      . Another likely reference to Hamdi.
      
     
      
      . This appears to be an effort to distinguish the Executive’s power to take action against a potential terrorist threat by al Qaeda'or associated forces from, say, an effort to prosecute garden variety conspiracies, most of which'— according to the standard jury instruction— must go past the "talking” stage and encompass the performance of some sort of overt act in order to become criminal. See United States v. Wallace, 85 F.3d 1063, 1068 (2d Cir.1996).
     
      
      . Apparently, a reference to a so-called "failed state,” like, for example, Somalia.
     
      
      . Actually, the President’s oath of office— which appears in the text of the Constitution itself, at Art. 2, Sec. 1, Cl. 8 — requires him to promise that he will faithfully execute his office and "preserve, protect and defend the Constitution of the United States” — not the territory of the United States, and not the people of the United States. It seems that the Founders subscribed to the notion that, as long as the President looked out for the Constitution, the country would be safe.
     
      
      . Although Mr. Holder did not identify any such decisions, one likely candidate is Al-Aulaqi v. Obama, 727 F.Supp.2d 1 (D.D.C.2010), which is, ironically, the case in which Al-Awlaki’s father sued in federal court in the District of Columbia to get Al-Awlaki taken off the Government’s kill list. His case was dismissed for lack of standing. The passage upon which the Attorney General most likely relied is the following: “Here, plaintiff asks this Court to do exactly what the D.C. Circuit forbid in El-Shifa — assess the merits of the President's (alleged) decision to launch an attack on a foreign target. Although the 'foreign target’ happens to be a U.S. citizen, the same reasons that counseled against judicial resolution of the plaintiffs' claims in El-Shifa apply with equal force here.” Id. at 47 (citing El-Shifa Pharm. Indus. Co. v. United States, 607 F.3d 836 (D.C.Cir.2010)).
     
      
      . Keith Johnson, U.S. Seelcs Cleric Backing Jihad, W.S.J., Mar. 26, 2010, available at http://online.wsi.com/article/SB1000142405 2748704094104575144122756537604.html.
      
     
      
      . Available at http:llwww.defense.gov/newsl newsarticle. aspx?id=65512.
      
     
      
      . Available at http://www.defense.gov/ transcripts/transcript.aspx?transcriptid=4890.
      
     
      
      . Available at http://www.whitehouse.gov/thepress-office/2011/09/30/remarlcs-presidentchange-office-chairman-joint-chiefs-staff-ceremony.
      
     
      
      . Available at http://news.yahoo.com/ transcnpt-president-obamas-interviewtonightshow-jav-leno-003505288.html.
      
     
      
      . Available at http://www.cbsnews.com/video/ watch/?id=7396830n.
      
     
      
      . Some of the preceding pages include an effort by one person (me), who has some rudimentary knowledge of the law in this area, to anticipate arguments that might be made in support of the Administration's position, and even to respond to them, as a way of framing discussion. This sort of "reverse engineering” of the Administration's legal reasoning has been going on for as long as targeted killings and drone strikes have been in the public consciousness. But informed guesses by outsiders are no substitute for disclosure of the precise reasoning that underlies the Government's decision to proceed with targeted killings and drone strikes, and so have no bearing on the waiver analysis.
     
      
      . Contrast these speeches with the so-called “Torture Memo” that was prepared by DoJ officials to set out a purportedly principled justification for the legality of “enhanced interrogation techniques.” The Memo has been roundly criticized for the quality of its legal analysis, but it was at least recognizable as a legal opinion.
     
      
      . The Times Plaintiffs do not appear to join in this argument.
     
      
      . The Drone Strike Case is currently up on appeal in the D.C. Circuit (No. 11-5320). Oral argument was held on September 20. 2012.
     
      
      . The presidential communications privilege applies "to communications in performance of a President's responsibilities, ... and made in the process of shaping policies and making decisions.” Nixon v. Adm’r of Gen. Servs., 433 U.S. 425, 449, 97 S.Ct. 2777, 53 L.Ed.2d 867 (1977) (internal quotation marks, citation, and formatting omitted). None of the parties addresses this privilege in any detail and it has no bearing on the outcome of this case, so the Court will not dwell on it.
     
      
      . OIP did not invoke attorney-client privilege and DoD invoked it only as to the CAPSTONE presentation described above. (See Neller Deck, Ex. J.)
     
      
      . As I am unable to determine whether the deliberative process privilege applies to the Unclassified Memos — leaving open the possibility that the privilege may not apply, which would likely require that they be disclosed— the analysis that follows on defenses to the assertion of Exemption 5 will focus exclusively on the OLC-DoD Memo.
     