Federal Circuits, 3rd Cir. (March 22, 1977)
Docket number: 76-1611
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U.S. Supreme Court - Ruckelshaus v. Monsanto Co., 467 U.S. 986 (1984)
U.S. Court of Appeals for the 3rd Cir. - United Steelworkers of America, Afl-Cio-Clc, Petitioner, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New York, the State of New Jersey, the State of Connecticut, and National Paint & Coatings Association, Intervenors. United Steelworkers of America, Afl-Cio-Clc, Petitioner, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New Jersey, Chemical Manufacturers Association, American Petroleum Institute & Atlantic Richfield Company, and National Paint & Coatings Association, Intervenors. Public Citizen, Inc., Et Al., Petitioners, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New Jersey, Chemical Manufacturers Association, National Paint & Coatings ..., 763 F.2d 728 (3rd Cir. 1985) Afl-Cio-Clc, Petitioner, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New York, the State of New Jersey, the State of Connecticut, and National Paint & Coatings Association, Intervenors. United Steelworkers of America, Afl-Cio-Clc, Petitioner, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New Jersey, Chemical Manufacturers Association, American Petroleum Institute & Atlantic Richfield Company, and National Paint & Coatings Association, Intervenors. Public Citizen, Inc., Et Al., Petitioners, v. Thorne G. Auchter, Assistant Secretary of Labor, Occupational Safety and Health Administration, United States Department of Labor, Respondent, and the State of New Jersey, Chemical Manufacturers Association, National Paint & Coatings ...
Frank L. Seamans, John H. Morgan, Barton Z. Cowan, Daniel A. Toole, Eckert, Seamans, Cherin & Mellott, Pittsburgh, Pa., for petitioner; Elliot S. Katz, Westinghouse Elec. Corp., Law Dept., Pittsburgh, Pa., of counsel.
Peter L. Strauss, Gen. Counsel, Stephen F. Eilperin, Asst. Gen. Counsel, Stephen S. Ostrach, Atty., U.S. Nuclear Regulatory Com'n, Washington, D.C., Rex. E. Lee, Asst. Atty. Gen., Morton Hollander, Chief, Appellate Section, U.S. Dept. of Justice, Washington, D.C., for respondent.Before GIBBONS and GARTH, Circuit Judges, and COHEN,* District Judge.OPINION OF THE COURTGIBBONS, Circuit Judge.We here consider a petition to review a final order1 of the United States Nuclear Regulatory Commission (NRC), which in a rulemaking proceeding amended its rules of practice relating to public inspection of documents containing proprietary information. 10 CFR § 2.790. We have jurisdiction by virtue of § 189 of the Atomic Energy Act of 1954 as amended, 42 U.S.C. § 2239 (1970), and the Administrative Orders Review Act of 1950, 28 U.S.C. § 2341 et seq. (Supp.1974). The petitioner, Westinghouse Electric Corporation (Westinghouse), contends that NRC lacked authority to promulgate the amended rules. It seeks to have the order set aside because the rules as amended may result in public disclosure of Westinghouse's proprietary information. We deny relief.I. PROCEEDINGS IN THE NRCNRC, the successor to the Atomic Energy Commission, conducts licensing, regulatory, and enforcement functions pursuant to the Atomic Energy Act of 1954 as amended,2 and the Energy Reorganization Act of 1974.3 Under these statutes various licenses are required for the possession, distribution or use of nuclear materials.4 NRC also is authorized to issue construction permits for facilities utilizing nuclear materials.5 Applicants for licenses or construction permits must submit extensive documentation relating to design of the facility and its equipment, to financial qualifications of the applicant, to the effect of the facility on the environment, and, for antitrust considerations to the applicant's competitive position in the industry.6 Much of the information submitted by applicants is not in the public domain and is considered proprietary by both NRC and the applicants. The Atomic Energy Act (the "Act") also authorizes NRC to conduct rulemaking proceedings for the purpose of establishing generic rules appropriate to its licensing and regulatory responsibilities.7 NRC has conducted rulemaking proceedings involving such matters as acceptable design criteria for reactor cooling systems, reactor effluents, and the like. In those proceedings it has received technical, commercial and financial information from private parties such as equipment manufacturers, architects, engineers, and owners of facilities. Much of this information is proprietary. NRC also engages in inspection and enforcement activities in which it becomes privy to similar proprietary information.Westinghouse has as a principal business activity the manufacture and sale of equipment and components for electric power generation and transmission, including nuclear steam generating systems. In connection with various license applications, Westinghouse submits to the NRC extensive proprietary technical information. Westinghouse also participates in NRC rulemaking proceedings, and often submits similar proprietary information in such proceedings. The information which it regards as proprietary, Westinghouse claims, gives it a competitive economic advantage over other manufacturers which would be lost by public disclosure.In order to promote the development, use and control of atomic energy, Section 161(p) of the Act, 42 U.S.C. § 2201(p), provides:In the performance of its functions the Commission is authorized to . . . (p) make, promulgate, issue, rescind, and amend such rules and regulations as may be necessary to carry out the purposes of this chapter.Acting under this broad grant of rulemaking authority, the Atomic Energy Commission, as early as 1956 promulgated a rule, 10 CFR § 2.790,8 dealing with the treatment of proprietary information. The 1956 version of 10 CFR § 2.790 provided that all matters of official record in all proceedings, including licensing and rulemaking, would be available for public inspection. The Commission was authorized, however, to withhold any document from public inspection "if disclosure of its contents is not required in the public interest and would adversely affect the interest of a person concerned."9 In 1972 § 2.790 was amended to read that in deciding whether or not to withhold information from public disclosure ". . . it is the policy of the Commission to achieve an effective balance between legitimate concerns for protection of competitive positions and the right of the public to be fully apprised as to the basis for and effects of proposed licensing actions."10 In 1973 the NRC's predecessor agency published a notice in the Federal Register that it was contemplating possible changes in the treatment of proprietary information.11 The notice listed five alternatives under consideration12 and invited comments. After considering the comments received, the NRC issued a proposed amendment and invited further comments.13 After considering the comments received in response to the November 22, 1974 notice the NRC promulgated the present § 2.790, the relevant parts of which are quoted in the margin.14 This petition for review followed.II. STRUCTURE AND OPERATION OF AMENDED § 2.790The amended rule carries forward the basic policy decision of the 1956 and 1972 version, that disclosure of information in NRC files shall be the rule, and nondisclosure the exception; an exception involving "a balancing of interests of the person or agency urging nondisclosure and the public interest in disclosure."15 The procedure by which NRC strikes that balance, however, differs depending on whether the information is submitted in connection with a license application or a rulemaking proceeding.16Initially, regardless of the nature of the proceeding, a person who proposes that a document or a part be withheld from public disclosure on the ground that it contains proprietary information must submit an application for such withholding supported by an affidavit setting forth the basis of the claim that disclosure should be withheld.17 The affidavit must address five considerations which NRC must take into account in ruling on the application.18 On the basis of the affidavit NRC determines whether the information "(i) is a trade secret or confidential or privileged communication; and (ii) if so, should be withheld from public disclosure."19 In deciding whether trade secrets or privileged or confidential commercial or financial information should be withheld from public disclosure the NRC must determine: (i) whether the right of the public to be fully apprised as to the bases for and effects of the proposed action outweighs the demonstrated concern for protection of a competitive position and (ii) whether the information should be withheld from public disclosure pursuant to this paragraph.20If NRC acts favorably on the application for withholding information there are provisions for limited use of the information under a protective agreement or protective order.21 If the application is denied, NRC must notify the applicant with a statement of reasons for the denial, and must specify a time, not less than thirty days after the date of the notice, when the information will be placed in the "Public Document Room."22 Prior to that specified time the applicant may request return of the document, and if he does so ". . . the document will not be placed in the Public Document Room and will be returned to the applicant . . .."23Thus an applicant requesting confidentiality has the absolute right to demand the return of any document claimed to contain proprietary information in all NRC proceedings24 with one exception. As to rulemaking proceedings there is a proviso to the regulation requiring return of the document upon request: (I)nformation submitted in a rulemaking proceeding which subsequently forms the basis for the final rule will not be withheld from public disclosure by the Commission and will not be returned to the applicant after denial of any application for withholding submitted in connection with that information.25The proviso is a significant departure from the prior rule. Heretofore NRC claimed the right to balance competing interests on an ad hoc basis in all proceedings. It has now concluded that in rulemaking the public interest in knowing the basis for a final rule always outweighs private interests and requires disclosure.26III. THE WESTINGHOUSE CHALLENGEWestinghouse makes three statutory and three constitutional arguments in support of its contention that § 2.790 in its present form is invalid. We will consider these arguments seriatim.(1) § 103(b)(3) of the Atomic Energy Act.The first statutory argument is based upon the provisions of the Atomic Energy Act. Acknowledging that § 161(p) of the Act, quoted above, gives the NRC general rulemaking authority, Westinghouse argues that such authority is circumscribed by the general rule of administrative law that the regulation must be reasonably related to the purpose of the legislation.27 Specifically, Westinghouse urges that even though NRC has general rulemaking power the promulgation of a rule providing for public disclosure of proprietary information is not reasonably related to the purposes of the Atomic Energy Act. Such an argument is specious in light of the necessity for the NRC to adopt some regulations for determining whether information obtained in its various proceedings is to become public information. In a closely analogous context the Supreme Court, interpreting § 4(j) of the Communications Act of 1934,28 held valid a Federal Communications Commission procedural rule authorizing disclosure of proprietary information upon a balancing of the public and private interests involved.29 Certainly then, the general subject matter is one appropriate for administrative agency rulemaking in the absence of some express statutory prohibition.Westinghouse, however, urges that NRC's § 161(p) authority is limited by § 103(b)(3) of the Atomic Energy Act.30 (b) The Commission shall issue such licenses on non-exclusive basis to persons applying therefor . . . (3) who agree to make available to the Commission such technical information and data concerning activities under such licenses as the Commission may determine necessary to promote the common defense and security and to protect the health and safety of the public. All such information may be used by the Commission only for the purposes of the common defense and security and to protect the health and safety of the public.Literally § 103(b)(3) applies only to licensing, not to rulemaking. But Westinghouse urges that the section should, in light of its legislative history, be construed as evidencing an across the board absolute protection of proprietary information except where it is used "for the purposes of the common defense and security and to protect the health and safety of the public." It points out (1) that the test of § 2.790(a), "a balancing of the interests of the person or agency urging nondisclosure and the public interest in disclosure" appears to be broader than is authorized by § 103(b)(3) in licensing matters and (2) that the mandatory disclosure of any information which forms the basis of a final rule appears to be in contradiction of § 103(b)(3) assuming its applicability to rulemaking proceedings.The Atomic Energy Act of 1954 is the successor to the Atomic Energy Act of 1946.31 Under § 7(c) of the 1946 Act32 the Atomic Energy Commission was authorized to issue licenses to parties who:agree to make available to the Commission such technical information and data concerning their activities pursuant to such licenses as the Commission may determine necessary to encourage similar activities by as many licensees as possible.Reference in the quoted provision to "as many licenses as possible" takes on added significance from § 11(c) of the 1946 Act,33 which contains a compulsory licensing provision with respect to patents utilizing fissionable material or atomic energy. Under § 11(c) the Commission could grant its licensees the right to use inventions disclosed in any such patents, subject to a reasonable royalty rate. The Senate Committee Report on the 1946 Act says of § 7(c):The Committee is desirous also that the provision of the bill relating to licensing of atomic energy devices shall not interfere with the development of free competition in the use of atomic energy. Thus the bill provides that licenses on an atomic energy device, once issued, must be made available to all applicants who can meet the safety and security standards of the Commission. Royalties to be paid the patent owners of such devices are provided for in section 11.34The same report says of § 11:In order to make the peacetime benefits of atomic energy widely available, the bill provides that the grant of a license under section 7 carries with it the right to use any patented invention or discovery which the Commission has declared to be affected with the public interest. Any such use is subject to the payment of reasonable royalty fees to be determined by the Patent Compensation Board.35Thus the policy of the 1946 Act appears to have been one of maximum disclosure and maximum access by competitors to the disclosed information.Westinghouse contends that the maximum disclosure policy of the 1946 Act was eliminated in the Atomic Energy Act of 1954 in favor of a policy protecting the proprietary information of private enterprises, except in limited instances involving use of such information for purposes of defense and to protect the health and safety of the public. In the 1954 Act the Commission's § 7(c) licensing jurisdiction became § 103, and the § 11 compulsory licensing provisions, in expanded form, became § 153.36 The compulsory licensing principle was continued in § 153 but with the qualification that the applicant must first seek from and be refused a patent license by the patentee, and the further qualification that the Commission must afford the patentee a hearing and make specified findings before ordering compulsory licensing. The disclosure policy of § 7(c) was also substantially modified. The 1954 Act originated in the House of Representatives as H.R. 8862, and in the Senate as S. 3323.37 In these versions the § 7(c) language "to encourage similar activities by as many licensees as possible" was deleted and language in the present form of the first sentence of § 103(b)(3) substituted. At hearings before the Joint Committee on Atomic Energy, industry representatives, who opposed the prior policy which favored disclosure of proprietary in formation, urged the while the change in the language of the 1946 Act, by deleting the words "to encourage similar activities by as many licensees as possible" was a step in the right direction, it was not a big enough step.38 Following the Joint Committee hearing sessions the bills were redrafted.39 That redraft added the following sentence to § 103(b)(3): (A)ll such information may be used by the Commission only for the purposes of common defense and security and to protect the health and safety of the public and for no other purpose. (Emphasis added).There is evidence in the legislative history which indicates that this language was added to express a strong congressional policy against disclosure of proprietary information. During hearings on the redrafted bills, Congressman W. Sterling Cole, Chairman of the Joint Committee on Atomic Energy, explained the purpose for the new language as follows:It permits the Commission to use that data, that information, for purposes of the common defense and security but imposes on the Commission an obligation that they shall not pass that information on to outsiders in order to protect the property right, the commercial right, which a licensee as a developer of a new procedure, new idea, should properly have.39aAlthough the phrase "and for no other purpose" was subsequently deleted, that deletion does not appear to have been intended to alter the congressional policy against nondisclosure of such information.39b An additional industry proposal, that the section also provide that licensees be compensated where technical information developed by them is used in a manner prejudicial to their competitive position, was not adopted.40Certainly Westinghouse is correct in contending that the change from § 7(c) of the 1946 Act to § 103(b)(3) of the 1954 Act indicates an intention on the part of Congress to place new restrictions on the Commission's use of information supplied by license applicants. There was clearly a fundamental change in the policy of using licensee information to encourage the entry of new applicants. We are not convinced, however, that § 103(b)(3) was intended to preclude the disclosure of proprietary information in all circumstances.As we pointed out in Part I above, the Commission adopted a disclosure of information rule as early as February 4, 1956.41 Although this regulation, the precursor of §Try vLex for FREE for 3 days
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