Freedom of Information Act; Notice of Lawsuit, 75838-75840 [2016-26412]
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Federal Register / Vol. 81, No. 211 / Tuesday, November 1, 2016 / Notices
estimate time and cost for implementing
recovery measures.
The Act requires the development of
recovery plans for listed species, unless
such a plan would not promote the
conservation of a particular species.
Section 4(f) of the Act requires us to
provide public notice and an
opportunity for public review and
comment during recovery plan
development. We will consider all
information presented during a public
comment period prior to approval of
each new or revised recovery plan. We
and other Federal agencies will take
these comments into account in the
course of implementing approved
recovery plans.
asabaliauskas on DSK3SPTVN1PROD with NOTICES
Recovery Plan Components
The recovery objectives are to work to
reduce threats in order to downlist the
chucky madtom to threatened status.
Defining reasonable delisting criteria is
not possible at this time given the
current low number of individuals,
extreme curtailment of the species’
range, extensive modification and
fragment of habitat with the species’
historical range, lack of information
about the species’ biology, and
magnitude of other existing threats.
Therefore, this recovery plan establishes
only downlisting criteria for this catfish.
Criteria will be reevaluated as new
information becomes available.
Downlisting of chucky madtom will be
considered when:
1. Suitable instream and riparian
habitat, flows, and water quality for
chucky madtom as defined by the best
available science (to be refined by
recovery actions), exist in occupied
streams (addresses Factor A).
2. Population studies show that a
viable chucky madtom population in
Little Chucky Creek and at least 1 other
stream (Dunn Creek, Jackson Branch;
e.g., the only known stream representing
the historical range of the species) are
naturally recruiting (consisting of two
year classes in the fall months) and
sustainable over a period of 20–30 years
(10 generations) (addresses Factors A, C,
and E).
Request for Public Comments
We request written comments on the
draft recovery plan. We will consider all
comments we receive by the date
specified in DATES prior to final
approval of the plan.
Public Availability of Comments
Before including your address, phone
number, email address, or other
personal identifying information in your
comment, you should be aware that
your entire comment—including your
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personal identifying information—may
be made publicly available at any time.
While you can ask us in your comment
to withhold your personal identifying
information from public review, we
cannot guarantee that we will be able to
do so.
Authority
The authority for this action is section
4(f) of the Endangered Species Act, 16
U.S.C. 1533(f).
Dated: September 6, 2016.
Mike Oetker,
Acting Regional Director, Southeast Region.
[FR Doc. 2016–26330 Filed 10–31–16; 8:45 am]
BILLING CODE 4310–55–P
DEPARTMENT OF THE INTERIOR
Fish and Wildlife Service
[FWS–HQ–LE–2016–N156; FF09L00200–FX–
LE18110900000]
Freedom of Information Act; Notice of
Lawsuit
Fish and Wildlife Service,
Interior.
ACTION: Notice; request for comments.
AGENCY:
The U.S. Fish and Wildlife
Service seeks information about
potential objections to the public release
of possibly confidential information
regarding import and export activities
tracked via the Service’s Law
Enforcement Management Information
System. We issue this notice and solicit
this information in response to a lawsuit
under the Freedom of Information Act.
DATES: You must submit comments on
or before November 22, 2016.
ADDRESSES: You may submit comments
by one of the following methods:
• Email: lawenforcement@fws.gov.
• Fax: (703) 358–2271.
• U.S. mail or hand-delivery: U.S.
Fish and Wildlife Service, Office of Law
Enforcement (FOIA), 5275 Leesburg
Pike (MS: OLE), Falls Church, VA
22041.
SUMMARY:
FOR FURTHER INFORMATION CONTACT:
Michael Jenkins, Management Analyst
Specialist, USFWS, Office of Law
Enforcement, 5275 Leesburg Pike, Falls
Church, VA 22041; telephone (703)
358–1949.
SUPPLEMENTARY INFORMATION: This
notice is issued under part 2 of title 43
of the Code of Federal Regulations
(CFR), which sets forth regulations for
administration of the Freedom of
Information Act (FOIA) by the U.S.
Department of the Interior (‘‘the
Department’’).
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We, the U.S. Fish and Wildlife
Service (‘‘the Service’’), hereby
announce that information related to
records for the import and export of all
wildlife specimens to and from the
United States may be disclosed under
FOIA (43 CFR 2.27(b)).
Submitters of this type of information
can contact the Service to review
records subject to possible release. If
you are a submitter of this information,
the Service will presume that you do
not object to the disclosure of your
information if a response to this notice
is not received by the date specified
above in DATES.
I. Background
The Department is soliciting views
from submitters with respect to whether
certain records constitute ‘‘trade secrets
and commercial or financial information
obtained from a person [that are]
privileged or confidential’’ information
under the FOIA, 5 U.S.C. 552(b)(4). The
records at issue concern information in
the Service’s Law Enforcement
Management Information System
(LEMIS) relating to the import and
export of all wildlife specimens to and
from the United States:
a. For the years 2002 through 2010,
2013, and 2014;
b. of any taxonomic class, whether
live, dead, parts, or products; and
c. with the following variables to be
included in the records: Control
Number, Species Code, Class, Genus,
Species, Subspecies, Generic Name,
Specific Name, Wildlife Description,
Quantity, Unit, Value, Country of
Origin, Country Import/Export, Purpose,
Source, Act, Disposition Code,
Disposition Date, Shipment Date,
Import/Export, Port Code, U.S.
Importer/Exporter, and Foreign
Importer/Exporter.
This notice relates to FOIA requests
by Humane Society International (HSI)
of June 2, 2014; August 21, 2014; June
3, 2015; and November 3, 2015. In
response to these FOIA requests, the
Service withheld the ‘‘Declared Value of
Wildlife’’ and ‘‘Foreign Importer/
Exporter’’ columns in their entirety
under FOIA Exemption 4. The Service
withheld additional information under
Exemptions 6 and 7(C). The Service’s
response to these FOIA requests is now
the subject of a lawsuit, Humane Society
Int’l v. U.S. FWS, No. 16–720 (D.D.C.,
filed Apr. 18, 2016). A copy of HSI’s
three FOIA requests, as well as the
complaint filed in the United States
District Court for the District of
Columbia, has been posted on: https://
www.fws.gov/le/
businesses.html#FOIAMatters. Upon
request, the Service will provide
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asabaliauskas on DSK3SPTVN1PROD with NOTICES
submitters the relevant submitter
information that the Service found to be
responsive to HSI’s requests.
II. Issues for Comment
The Department has been asked to
release certain information in LEMIS for
the years 2002 through 2010, 2013, and
2014 relating to the import and export
of all wildlife specimens to and from the
United States. This notice provides you
with the opportunity to object to the
public release of these records if they
are exempt from disclosure under FOIA,
5 U.S.C. 552(b). Please reference
Humane Society Int’l v. U.S. FWS, No.
16–720, in any communications
regarding this matter.
If you wish to object to the disclosure
of these records, the Department’s FOIA
regulations (‘‘regulations’’) require you
to submit a ‘‘detailed written statement’’
setting forth the justification for
withholding any portion of the
information under any exemption of the
FOIA. See 43 CFR 2.30.
Under FOIA’s Exemption 4, 5 U.S.C.
552(b)(4), ‘‘trade secrets and commercial
or financial information obtained from a
person and privileged or confidential’’
are exempt from disclosure under the
FOIA. When the Department has reason
to believe that information that is
responsive to a FOIA request may be
exempt from disclosure under FOIA’s
Exemption 4, the regulations require the
Department to provide notice to the
submitter(s) of the responsive material
and advise the submitter(s) of the
procedures for objecting to the release of
the requested material. This publication
serves as notice.
Further, if you object to the public
disclosure of the records (or any
portions of records) at issue in Humane
Society v. U.S. FWS, No. 16–720
(D.D.C., filed Apr. 18, 2016), on the
basis that the information submitted is
protected by FOIA Exemption 4, then
the regulations require the ‘‘detailed
written statement’’ referenced above to
include a ‘‘specific and detailed
discussion’’ of the following:
(i) Whether the Government required
the information to be submitted and, if
so, how substantial competitive or other
business harm would likely result from
release; or
(ii) Whether you provided the
information voluntarily and, if so, how
the information in question fits into a
category of information that you
customarily do not release to the public.
(iii) Certification that the information
is confidential, that you have not
disclosed the information to the public,
and that the information is not routinely
available to the public from other
sources.
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In order for information to qualify for
protection under Exemption 4 as a
‘‘trade secret,’’ the information must be
‘‘a secret, commercially valuable plan,
formula, process, or device that is used
for the making, preparing,
compounding, or processing of trade
commodities and that can be said to be
the end product of either innovation or
substantial effort.’’ See Public Citizen
Health Research Group v. FDA, 704
F.2d 1280, 1288 (D.C. Cir. 1983). This
definition requires there be a direct
relationship between the information at
issue and the productive process. Id.
Should you wish to object to the
disclosure of any of the information in
the documents on the basis that such
information is a trade secret, the specific
and detailed discussion must explain
how each category of information the
objections are related to qualify for
protection under Exemption 4 as a
‘‘trade secret.’’ The explanation must
also identify a direct relationship
between the information and the
productive process.
In order for information to qualify for
protection under the aspect of
Exemption 4 that protects privileged or
confidential commercial or financial
information, the first requirement is that
the information must be either
‘‘commercial or financial.’’ In
determining whether documents are
‘‘commercial or financial,’’ the D.C.
Circuit has firmly held that these terms
should be given their ‘‘ordinary
meanings’’ and that records are
commercial so long as you have
‘‘commercial interest’’ in them. See
Public Citizen, 704 F.2d at 1290 (citing
Washington Post Co. v. HHS, 690 F.2d
252, 266 (D.C. Cir. 1982), and Board of
Trade v. Commodity Futures Trading
Comm’n, 627 F.2d 392, 403 (D.C. Cir.
1980)); see also Nat’l Ass’n of Home
Builders v. Norton, 309 F.3d 26, 38 (D.C.
Cir. 2002) (stating ‘‘information is
‘commercial’ under [Exemption 4] if, ‘in
and of itself,’ it serves a ‘commercial
function’ or is of a ‘commercial
nature.’ ’’).
The specific and detailed discussion
that you provide must explain how the
information relates to your commercial
interest and the commercial function
the information serves or the
commercial nature of the information.
The test to determine if information is
‘‘privileged’’ or ‘‘confidential’’ under
Exemption 4 depends on whether the
submitter was required to provide the
information to the Government or
whether the submitter voluntarily
disclosed the information to the
Government. Bartholdi Cable. Co. v.
FCC, 114 F.3d 274, 281 (D.C. Cir. 1997).
Where you voluntarily provide
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75839
information to the Government, the
information will be considered
confidential for the purposes of
Exemption 4 ‘‘if it is of a kind that
would customarily not be released to
the public by the person from whom it
was obtained.’’ Id. (citing Critical Mass
Energy Project v. Nuclear Regulatory
Commission, 975 F.2d 871, 879 (D.C.
Cir. 1992) (en banc)). Alternatively,
where the Government requires you to
provide information (as is the case for
the information at hand), then
commercial or financial information
generally is ‘‘confidential’’ under
Exemption 4 ‘‘if disclosure . . . is likely
to have either of the following effects:
(1) impair the Government’s ability to
obtain necessary information in the
future; or (2) cause substantial harm to
the competitive position of the person
from whom it was obtained.’’ National
Parks and Conservation Assoc. v.
Morton, 498 F.2d 765, 770 (D.C. Cir.
1974). A showing of substantial
competitive harm is necessary only
where the information in question is
required to be submitted to the
Government.
You must explain whether you
voluntarily provided the information in
question or whether the Government
required the information to be
submitted. Should you assert that you
voluntarily submitted the information,
you must also explain how the
information in question fits into a
category of information that you
customarily do not release to the public.
If you assert that the Government
required you to submit the information
in question (as is the case for the
information at hand), then you must
explain how substantial competitive or
other business harm would likely result
from release.
To demonstrate that disclosure is
likely to cause substantial competitive
harm, there must be evidence that: (1)
You face actual competition; and (2)
substantial competitive injury would
likely result from disclosure. See Lions
Raisins v. USDA, 354 F.3d 1072, 1079
(9th Cir. 2004); Inner City Press/
Community on the Move v. Federal
Reserve System, 380 F. Supp. 2d 211,
220 (S.D.N.Y. 2005); People for the
Ethical Treatment of Animals v. USDA,
2005 U.S. Dist. LEXIS 10586, at 15
(D.D.C. May 24, 2005); National Parks &
Conservation Association v. Kleppe, 547
F.2d 673, 679 (D.C. Cir. 1976)
(‘‘National Parks II’’).
In order for the Department to fully
evaluate whether you are likely to suffer
substantial competitive injury from
disclosure of the withheld information,
any objections on this basis must
include a detailed explanation of who
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your competitors are and the nature of
the competition. You must also explain
with specificity how disclosure of each
category of information that you object
to disclosing on this basis would
provide your competitors with valuable
insights into your operation, give
competitors pricing advantages over
you, or unfairly give advantage to
competitors in future business
negotiations, or any other information
that sufficiently explains the substantial
competitive injury that would likely
result from disclosure. National Parks II,
547 F.2d at 684; Center for Public
Integrity v. Dep’t of Energy, 191 F. Supp.
2d 187, 194 (D.D.C. 2002); Judicial
Watch, Inc. v. Export-Import Bank, 108
F. Supp. 2d 19, 29 (D.D.C. 2000).
Additionally, as noted above, you must
also certify that any information you
object to disclosing is confidential, you
have not disclosed the information to
the public, and the information is not
routinely available to the public from
other sources. See 43 CFR 2.30–2.31.
As a final matter, please be aware that
the FOIA requires that ‘‘any reasonably
segregable portion of a record’’ must be
released after appropriate application of
the FOIA’s nine exemptions. See 5
U.S.C. 552(b) (discussion after
exemptions). In addition, please note
that, where a record contains both
exempt and nonexempt material, the
bureau will generally separate and
release the nonexempt information
when responding to a FOIA request. 43
CFR 2.25. You should be mindful of this
segregability requirement in formulating
any objections you may have to the
disclosure of the information sought by
HSI.
III. Submission of Objections
Should you wish to object to
disclosure of any of the requested
records (or portions thereof), the
Department must receive from you all of
the information requested above by no
later than the date specified above in
DATES.
If you do not submit any objections to
the disclosure of the information (or
portions thereof) to HSI on or before the
date specified above in DATES, the
Department will presume that you do
not object to such disclosure and may
release the information without
redaction. Please note that the
Department, not you, is responsible for
deciding whether the information
should be released or withheld. If we
decide to release records over your
objections, we will inform you at least
10 business days in advance of the
intended release.
Please note that any comments you
submit to the Department objecting to
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the disclosure of the documents may be
subject to disclosure under the FOIA if
the Department receives a FOIA request
for them. In the event your comments
contain commercial or financial
information and a requester asks for the
comments under the FOIA, the
Department will notify you and give you
an opportunity to comment on the
disclosure of such information.
Dated: October 27, 2016.
Stephen Guestin,
Acting Director, U.S. Fish and Wildlife
Service.
[FR Doc. 2016–26412 Filed 10–31–16; 8:45 am]
BILLING CODE 4333–15–P
DEPARTMENT OF THE INTERIOR
[FWS–R4–FHC–2016–N176;
FVHC98220410150–XXX–FF04G01000]
Deepwater Horizon Oil Spill; Louisiana
Trustee Implementation Group Draft
Restoration Plan #1: Restoration of
Wetlands, Coastal, and Nearshore
Habitats; Habitat Projects on Federally
Managed Lands; and Birds
Department of the Interior.
Notice of availability; request
for comments.
AGENCY:
ACTION:
In accordance with the Oil
Pollution Act of 1990 (OPA), the
National Environmental Policy Act
(NEPA), the Consent Decree, and the
Final Programmatic Damage Assessment
Restoration Plan and Final
Programmatic Environmental Impact
Statement (Final PDARP/PEIS), the
Federal and State natural resource
trustee agencies for the Louisiana
Trustee Implementation Group
(Trustees) have prepared a Draft
Restoration Plan #1: Restoration of
Wetlands, Coastal, and Nearshore
Habitats; Habitat Projects on Federally
Managed Lands; and Birds (Draft
Restoration Plan 1) describing and
proposing engineering and design
activities for restoration projects
intended to continue the process of
restoring natural resources and services
injured or lost as a result of the
Deepwater Horizon oil spill, which
occurred on or about April 20, 2010, in
the Gulf of Mexico.
DATES: Comments Due Date: We will
consider public comments received on
or before November 28, 2016.
Public Meeting: If requested, the
Trustees will schedule a public meeting
to facilitate public review and comment
process on the draft document.
ADDRESSES: Obtaining Documents: You
may download the Louisiana Trustee
Implementation Group Draft Restoration
SUMMARY:
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Plan 1: Restoration of Wetlands, Coastal,
and Nearshore Habitats, Habitat Projects
on Federally Managed Lands, and Birds
draft restoration plan at any of the
following sites:
• https://www.gulfspillrestoration.
noaa.gov
• https://www.doi.gov/deepwaterhorizon
• https://www.la-dwh.com
Alternatively, you may request a CD
of the Draft Restoration Plan 1 (see FOR
FURTHER INFORMATION CONTACT). You
may also view the document at any of
the public facilities listed at https://
www.gulfspillrestoration.noaa.gov.
Submitting Comments: You may
submit comments on the draft document
by one of following methods:
• Via the Web: https://
www.gulfspillrestoration.noaa.gov/
restoration-areas/louisiana.
• Via U.S. Mail: U.S. Fish and
Wildlife Service, P.O. Box 49567,
Atlanta, GA 30345.
• Louisiana Coastal Protection &
Restoration Authority, ATTN: Liz
Williams, P.O. Box 44027, Baton Rouge,
LA 70804.
FOR FURTHER INFORMATION CONTACT: Liz
Williams at LATIG@la.gov.
SUPPLEMENTARY INFORMATION:
Introduction
On or about April 20, 2010, the
mobile offshore drilling unit Deepwater
Horizon, which was being used to drill
a well for BP Exploration and
Production, Inc. (BP), in the Macondo
prospect (Mississippi Canyon 252–
MC252), experienced a significant
explosion, fire, and subsequent sinking
in the Gulf of Mexico, resulting in an
unprecedented volume of oil and other
discharges from the rig and from the
wellhead on the seabed. The Deepwater
Horizon oil spill is the largest oil spill
in U.S. history, discharging millions of
barrels of oil over a period of 87 days.
In addition, well over 1 million gallons
of dispersants were applied to the
waters of the spill area in an attempt to
disperse the spilled oil. An
undetermined amount of natural gas
was also released into the environment
as a result of the spill.
The Deepwater Horizon State and
Federal natural resource trustees
(Trustees) conducted the natural
resource damage assessment (NRDA) for
the Deepwater Horizon oil spill under
the Oil Pollution Act 1990 (OPA; 33
U.S.C. 2701 et seq.). Pursuant to OPA,
Federal and State agencies act as
trustees on behalf of the public to assess
natural resource injuries and losses and
to determine the actions required to
compensate the public for those injuries
and losses. OPA further instructs the
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Agencies
[Federal Register Volume 81, Number 211 (Tuesday, November 1, 2016)]
[Notices]
[Pages 75838-75840]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-26412]
-----------------------------------------------------------------------
DEPARTMENT OF THE INTERIOR
Fish and Wildlife Service
[FWS-HQ-LE-2016-N156; FF09L00200-FX-LE18110900000]
Freedom of Information Act; Notice of Lawsuit
AGENCY: Fish and Wildlife Service, Interior.
ACTION: Notice; request for comments.
-----------------------------------------------------------------------
SUMMARY: The U.S. Fish and Wildlife Service seeks information about
potential objections to the public release of possibly confidential
information regarding import and export activities tracked via the
Service's Law Enforcement Management Information System. We issue this
notice and solicit this information in response to a lawsuit under the
Freedom of Information Act.
DATES: You must submit comments on or before November 22, 2016.
ADDRESSES: You may submit comments by one of the following methods:
Email: lawenforcement@fws.gov.
Fax: (703) 358-2271.
U.S. mail or hand-delivery: U.S. Fish and Wildlife
Service, Office of Law Enforcement (FOIA), 5275 Leesburg Pike (MS:
OLE), Falls Church, VA 22041.
FOR FURTHER INFORMATION CONTACT: Michael Jenkins, Management Analyst
Specialist, USFWS, Office of Law Enforcement, 5275 Leesburg Pike, Falls
Church, VA 22041; telephone (703) 358-1949.
SUPPLEMENTARY INFORMATION: This notice is issued under part 2 of title
43 of the Code of Federal Regulations (CFR), which sets forth
regulations for administration of the Freedom of Information Act (FOIA)
by the U.S. Department of the Interior (``the Department'').
We, the U.S. Fish and Wildlife Service (``the Service''), hereby
announce that information related to records for the import and export
of all wildlife specimens to and from the United States may be
disclosed under FOIA (43 CFR 2.27(b)).
Submitters of this type of information can contact the Service to
review records subject to possible release. If you are a submitter of
this information, the Service will presume that you do not object to
the disclosure of your information if a response to this notice is not
received by the date specified above in DATES.
I. Background
The Department is soliciting views from submitters with respect to
whether certain records constitute ``trade secrets and commercial or
financial information obtained from a person [that are] privileged or
confidential'' information under the FOIA, 5 U.S.C. 552(b)(4). The
records at issue concern information in the Service's Law Enforcement
Management Information System (LEMIS) relating to the import and export
of all wildlife specimens to and from the United States:
a. For the years 2002 through 2010, 2013, and 2014;
b. of any taxonomic class, whether live, dead, parts, or products;
and
c. with the following variables to be included in the records:
Control Number, Species Code, Class, Genus, Species, Subspecies,
Generic Name, Specific Name, Wildlife Description, Quantity, Unit,
Value, Country of Origin, Country Import/Export, Purpose, Source, Act,
Disposition Code, Disposition Date, Shipment Date, Import/Export, Port
Code, U.S. Importer/Exporter, and Foreign Importer/Exporter.
This notice relates to FOIA requests by Humane Society
International (HSI) of June 2, 2014; August 21, 2014; June 3, 2015; and
November 3, 2015. In response to these FOIA requests, the Service
withheld the ``Declared Value of Wildlife'' and ``Foreign Importer/
Exporter'' columns in their entirety under FOIA Exemption 4. The
Service withheld additional information under Exemptions 6 and 7(C).
The Service's response to these FOIA requests is now the subject of a
lawsuit, Humane Society Int'l v. U.S. FWS, No. 16-720 (D.D.C., filed
Apr. 18, 2016). A copy of HSI's three FOIA requests, as well as the
complaint filed in the United States District Court for the District of
Columbia, has been posted on: https://www.fws.gov/le/businesses.html#FOIAMatters. Upon request, the Service will provide
[[Page 75839]]
submitters the relevant submitter information that the Service found to
be responsive to HSI's requests.
II. Issues for Comment
The Department has been asked to release certain information in
LEMIS for the years 2002 through 2010, 2013, and 2014 relating to the
import and export of all wildlife specimens to and from the United
States. This notice provides you with the opportunity to object to the
public release of these records if they are exempt from disclosure
under FOIA, 5 U.S.C. 552(b). Please reference Humane Society Int'l v.
U.S. FWS, No. 16-720, in any communications regarding this matter.
If you wish to object to the disclosure of these records, the
Department's FOIA regulations (``regulations'') require you to submit a
``detailed written statement'' setting forth the justification for
withholding any portion of the information under any exemption of the
FOIA. See 43 CFR 2.30.
Under FOIA's Exemption 4, 5 U.S.C. 552(b)(4), ``trade secrets and
commercial or financial information obtained from a person and
privileged or confidential'' are exempt from disclosure under the FOIA.
When the Department has reason to believe that information that is
responsive to a FOIA request may be exempt from disclosure under FOIA's
Exemption 4, the regulations require the Department to provide notice
to the submitter(s) of the responsive material and advise the
submitter(s) of the procedures for objecting to the release of the
requested material. This publication serves as notice.
Further, if you object to the public disclosure of the records (or
any portions of records) at issue in Humane Society v. U.S. FWS, No.
16-720 (D.D.C., filed Apr. 18, 2016), on the basis that the information
submitted is protected by FOIA Exemption 4, then the regulations
require the ``detailed written statement'' referenced above to include
a ``specific and detailed discussion'' of the following:
(i) Whether the Government required the information to be submitted
and, if so, how substantial competitive or other business harm would
likely result from release; or
(ii) Whether you provided the information voluntarily and, if so,
how the information in question fits into a category of information
that you customarily do not release to the public.
(iii) Certification that the information is confidential, that you
have not disclosed the information to the public, and that the
information is not routinely available to the public from other
sources.
In order for information to qualify for protection under Exemption
4 as a ``trade secret,'' the information must be ``a secret,
commercially valuable plan, formula, process, or device that is used
for the making, preparing, compounding, or processing of trade
commodities and that can be said to be the end product of either
innovation or substantial effort.'' See Public Citizen Health Research
Group v. FDA, 704 F.2d 1280, 1288 (D.C. Cir. 1983). This definition
requires there be a direct relationship between the information at
issue and the productive process. Id. Should you wish to object to the
disclosure of any of the information in the documents on the basis that
such information is a trade secret, the specific and detailed
discussion must explain how each category of information the objections
are related to qualify for protection under Exemption 4 as a ``trade
secret.'' The explanation must also identify a direct relationship
between the information and the productive process.
In order for information to qualify for protection under the aspect
of Exemption 4 that protects privileged or confidential commercial or
financial information, the first requirement is that the information
must be either ``commercial or financial.'' In determining whether
documents are ``commercial or financial,'' the D.C. Circuit has firmly
held that these terms should be given their ``ordinary meanings'' and
that records are commercial so long as you have ``commercial interest''
in them. See Public Citizen, 704 F.2d at 1290 (citing Washington Post
Co. v. HHS, 690 F.2d 252, 266 (D.C. Cir. 1982), and Board of Trade v.
Commodity Futures Trading Comm'n, 627 F.2d 392, 403 (D.C. Cir. 1980));
see also Nat'l Ass'n of Home Builders v. Norton, 309 F.3d 26, 38 (D.C.
Cir. 2002) (stating ``information is `commercial' under [Exemption 4]
if, `in and of itself,' it serves a `commercial function' or is of a
`commercial nature.' '').
The specific and detailed discussion that you provide must explain
how the information relates to your commercial interest and the
commercial function the information serves or the commercial nature of
the information.
The test to determine if information is ``privileged'' or
``confidential'' under Exemption 4 depends on whether the submitter was
required to provide the information to the Government or whether the
submitter voluntarily disclosed the information to the Government.
Bartholdi Cable. Co. v. FCC, 114 F.3d 274, 281 (D.C. Cir. 1997). Where
you voluntarily provide information to the Government, the information
will be considered confidential for the purposes of Exemption 4 ``if it
is of a kind that would customarily not be released to the public by
the person from whom it was obtained.'' Id. (citing Critical Mass
Energy Project v. Nuclear Regulatory Commission, 975 F.2d 871, 879
(D.C. Cir. 1992) (en banc)). Alternatively, where the Government
requires you to provide information (as is the case for the information
at hand), then commercial or financial information generally is
``confidential'' under Exemption 4 ``if disclosure . . . is likely to
have either of the following effects: (1) impair the Government's
ability to obtain necessary information in the future; or (2) cause
substantial harm to the competitive position of the person from whom it
was obtained.'' National Parks and Conservation Assoc. v. Morton, 498
F.2d 765, 770 (D.C. Cir. 1974). A showing of substantial competitive
harm is necessary only where the information in question is required to
be submitted to the Government.
You must explain whether you voluntarily provided the information
in question or whether the Government required the information to be
submitted. Should you assert that you voluntarily submitted the
information, you must also explain how the information in question fits
into a category of information that you customarily do not release to
the public. If you assert that the Government required you to submit
the information in question (as is the case for the information at
hand), then you must explain how substantial competitive or other
business harm would likely result from release.
To demonstrate that disclosure is likely to cause substantial
competitive harm, there must be evidence that: (1) You face actual
competition; and (2) substantial competitive injury would likely result
from disclosure. See Lions Raisins v. USDA, 354 F.3d 1072, 1079 (9th
Cir. 2004); Inner City Press/Community on the Move v. Federal Reserve
System, 380 F. Supp. 2d 211, 220 (S.D.N.Y. 2005); People for the
Ethical Treatment of Animals v. USDA, 2005 U.S. Dist. LEXIS 10586, at
15 (D.D.C. May 24, 2005); National Parks & Conservation Association v.
Kleppe, 547 F.2d 673, 679 (D.C. Cir. 1976) (``National Parks II'').
In order for the Department to fully evaluate whether you are
likely to suffer substantial competitive injury from disclosure of the
withheld information, any objections on this basis must include a
detailed explanation of who
[[Page 75840]]
your competitors are and the nature of the competition. You must also
explain with specificity how disclosure of each category of information
that you object to disclosing on this basis would provide your
competitors with valuable insights into your operation, give
competitors pricing advantages over you, or unfairly give advantage to
competitors in future business negotiations, or any other information
that sufficiently explains the substantial competitive injury that
would likely result from disclosure. National Parks II, 547 F.2d at
684; Center for Public Integrity v. Dep't of Energy, 191 F. Supp. 2d
187, 194 (D.D.C. 2002); Judicial Watch, Inc. v. Export-Import Bank, 108
F. Supp. 2d 19, 29 (D.D.C. 2000). Additionally, as noted above, you
must also certify that any information you object to disclosing is
confidential, you have not disclosed the information to the public, and
the information is not routinely available to the public from other
sources. See 43 CFR 2.30-2.31.
As a final matter, please be aware that the FOIA requires that
``any reasonably segregable portion of a record'' must be released
after appropriate application of the FOIA's nine exemptions. See 5
U.S.C. 552(b) (discussion after exemptions). In addition, please note
that, where a record contains both exempt and nonexempt material, the
bureau will generally separate and release the nonexempt information
when responding to a FOIA request. 43 CFR 2.25. You should be mindful
of this segregability requirement in formulating any objections you may
have to the disclosure of the information sought by HSI.
III. Submission of Objections
Should you wish to object to disclosure of any of the requested
records (or portions thereof), the Department must receive from you all
of the information requested above by no later than the date specified
above in DATES.
If you do not submit any objections to the disclosure of the
information (or portions thereof) to HSI on or before the date
specified above in DATES, the Department will presume that you do not
object to such disclosure and may release the information without
redaction. Please note that the Department, not you, is responsible for
deciding whether the information should be released or withheld. If we
decide to release records over your objections, we will inform you at
least 10 business days in advance of the intended release.
Please note that any comments you submit to the Department
objecting to the disclosure of the documents may be subject to
disclosure under the FOIA if the Department receives a FOIA request for
them. In the event your comments contain commercial or financial
information and a requester asks for the comments under the FOIA, the
Department will notify you and give you an opportunity to comment on
the disclosure of such information.
Dated: October 27, 2016.
Stephen Guestin,
Acting Director, U.S. Fish and Wildlife Service.
[FR Doc. 2016-26412 Filed 10-31-16; 8:45 am]
BILLING CODE 4333-15-P