University of Pennsylvania v. Equal Employment Opportunity Commission
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Full Opinion
delivered the opinion of the Court.
In this case we are asked to decide whether a university enjoys a special privilege, grounded in either the common law or the First Amendment, against disclosure of peer review materials that are relevant to charges of racial or sexual discrimination in tenure decisions.
*185 I
The University of Pennsylvania, petitioner here, is a private institution. It currently operates 12 schools, including the Wharton School of Business, which collectively enroll approximately 18,000 full-time students.
In 1985, the University denied tenure to Rosalie Tung, an associate professor on the Wharton faculty. Tung then filed a sworn charge of discrimination with respondent Equal Employment Opportunity Commission (EEOC or Commission). App. 23. As subsequently amended, the charge alleged that Tung was the victim of discrimination on the basis of race, sex, and national origin, in violation of § 703(a) of Title VII of the Civil Rights Act of 1964, 78 Stat. 255, as amended, 42 U. S. C. §2000e-2(a) (1982 ed.), which makes it unlawful âto discriminate against any individual with respect to his compensation, terms, conditions, or privileges of employment, because of such individualâs race, color, religion, sex, or national origin.â
In her charge, Tung stated that the department chairman had sexually harassed her and that, in her belief, after she insisted that their relationship remain professional, he had submitted a negative letter to the Universityâs Personnel Committee which possessed ultimate responsibility for tenure decisions. She also alleged that her qualifications were âequal to or better thanâ those of five named male faculty members who had received more favorable treatment. Tung noted that the majority of the members of her department had recommended her for tenure, and stated that she had been given no reason for the decision against her, but had discovered of her own efforts that the Personnel Committee had attempted to justify its decision âon the ground that the Wharton School is not interested in China-related research.â App. 29. This explanation, Tungâs charge alleged, was a pretext for discrimination: âsimply their way of saying they do not want a Chinese-American, Oriental, woman in their school.â Ibid.
*186 The Commission undertook an investigation into Tungâs charge and requested a variety of relevant information from petitioner. When the University refused to provide certain of that information, the Commissionâs Acting District Director issued a subpoena seeking, among other things, Tungâs tenure-review file and the tenure files of the five male faculty members identified in the charge. Id., at 21. Petitioner refused to produce a number of the tenure-file documents. It applied to the Commission for modification of the subpoena to exclude what it termed âconfidential peer review information,â specifically, (1) confidential letters written by Tungâs evaluators; (2) the department chairmanâs letter of evaluation; (3) documents reflecting the internal deliberations of faculty committees considering applications for tenure, including the Department Evaluation Report summarizing the deliberations relating to Tungâs application for tenure; and (4) comparable portions of the tenure-review files of the five males. The University urged the Commission to âadopt a balancing approach reflecting the constitutional and societal interest inherent in the peer review processâ and to resort to âall feasible methods to minimize the intrusive effects of its investigations.â Exhibit 2 to EEOCâs Memorandum in Support of Application for Order to Show Cause 6.
The Commission denied the Universityâs application. It concluded that the withheld documents were needed in order to determine the merit of Tungâs charges. The Commission found: âThere has not been enough data supplied in order for the Commission to determine whether there is reasonable cause to believe that the allegations of sex, race and national origin discrimination is [sic] true.â App. to Pet. for Cert. A31. The Commission rejected petitionerâs contention that a letter, which set forth the Personnel Committeeâs reasons for denying Tung tenure, was sufficient for disposition of the charge. âThe Commission would fall short of its obligationâ to investigate charges of discrimination, the EEOCâs order *187 stated, âif it stopped its investigation once [the employer] has . . . provided the reasons for its employment decisions, without verifying whether that reason is a pretext for discrimination.â Id., at A32. The Commission also rejected petitionerâs proposed balancing test, explaining that âsuch an approach in the instant case . . . would impair the Commissionâs ability to fully investigate this charge of discrimination.â Id., at A33. The Commission indicated that enforcement proceedings might be necessary if a response was not forthcoming within 20 days. Ibid.
The University continued to withhold the tenure-review materials. The Commission then applied to the United States District Court for the Eastern District of Pennsylvania for enforcement of its subpoena. The court entered a brief enforcement order. 1 Id., at A35.
The Court of Appeals for the Third Circuit affirmed the enforcement decision. 850 F. 2d 969 (1988). 2 Relying upon its earlier opinion in EEOC v. Franklin and Marshall Col *188 lege, 775 F. 2d 110 (1985), cert. denied, 476 U. S. 1163 (1986), the court rejected petitionerâs claim that policy considerations and First Amendment principles of academic freedom required the recognition of a qualified privilege or the adoption of a balancing approach that would require the Commission to demonstrate some particularized need, beyond a showing of relevance, to obtain peer review materials. Because of what might be thought of as a conflict in approach with the Seventh Circuitâs decision in EEOC v. University of Notre Dame du Lac, 715 F. 2d 331, 337 (1983), and because of the importance of the issue, we granted certiorari limited to the compelled-disclosure question. 488 U. S. 992 (1988), and amended, 490 U. S. 1015 (1989).
II
As it had done before the Commission, the District Court, and the Court of Appeals, the University raises here essentially two claims. First, it urges us to recognize a qualified common-law privilege against disclosure of confidential peer review materials. Second, it asserts a First Amendment right of âacademic freedomâ against wholesale disclosure of the contested documents. With respect to each of the two claims, the remedy petitioner seeks is the same: a requirement of a judicial finding of particularized necessity of access, beyond a showing of mere relevance, before peer review materials are disclosed to the Commission.
A
Petitionerâs common-law privilege claim is grounded in Federal Rule of Evidence 501. This provides in relevant part:
âExcept as otherwise required by the Constitution ... as provided by Act of Congress or in rules prescribed by the Supreme Court . . . , the privilege of a witness . . . shall be governed by the principles of the common law as they may be interpreted by the courts of the United States in the light of reason and experience.â
*189 The University asks us to invoke this provision to fashion a new privilege that it claims is necessary to protect the integrity of the peer review process, which in turn is central to the proper functioning of many colleges and universities. These institutions are special, observes petitioner, because they function as âcenters of learning, innovation and discovery.â Brief for Petitioner filed June 23, 1989, p. 24 (hereinafter Brief for Petitioner).
We do not create and apply an evidentiary privilege unless it âpromotes sufficiently important interests to outweigh the need for probative evidence . . . .â Trammel v. United States, 445 U. S. 40, 51 (1980). Inasmuch as â[testimonial exclusionary rules and privileges contravene the fundamental principle that âthe public . . . has a right to every manâs evidence,ââ id., at 50, quoting United States v. Bryan, 339 U. S. 323, 331 (1950), any such privilege must âbe strictly construed.â 445 U. S., at 50.
Moreover, although Rule 501 manifests a congressional desire ânot to freeze the law of privilegeâ but rather to provide the courts with flexibility to develop rules of privilege on a case-by-case basis, id., at 47, we are disinclined to exercise this authority expansively. We are especially reluctant to recognize a privilege in an area where it appears that Congress has considered the relevant competing concerns but has not provided the privilege itself. Cf. Branzburg v. Hayes, 408 U. S. 665, 706 (1972). The balancing of conflicting interests of this type is particularly a legislative function.
With all this in mind, we cannot accept the Universityâs invitation to create a new privilege against the disclosure of peer review materials. We begin by noting that Congress, in extending Title VII to educational institutions and in providing for broad EEOC subpoena powers, did not see fit to create a privilege for peer review documents.
When Title VII was enacted originally in 1964, it exempted an âeducational institution with respect to the employment of individuals to perform work connected with the educational *190 activities of such institution.â §702, 78 Stat. 255. Eight years later, Congress eliminated that specific exemption by enacting §3 of the Equal Employment Opportunity Act of 1972, 86 Stat. 103. This extension of Title VII was Congressâ considered response to the widespread and compelling problem of invidious discrimination in educational institutions. The House Report focused specifically on discrimination in higher education, including the lack of access for women and minorities to higher ranking (i. e., tenured) academic positions. See H. R. Rep. No. 92-238, pp. 19-20 (1971). Significantly, opponents of the extension claimed that enforcement of Title VII would weaken institutions of higher education by interfering with decisions to hire and promote faculty members. 3 Petitioner therefore cannot seriously contend that Congress was oblivious to concerns of academic autonomy when it abandoned the exemption for educational institutions.
The effect of the elimination of this exemption was to expose tenure determinations to the same enforcement procedures applicable to other employment decisions. This Court previously has observed that Title VII âsets forth âan integrated, multistep enforcement procedureâ that enables the Commission to detect and remedy instances of discrimination.â EEOC v. Shell Oil Co., 466 U. S. 54, 62 (1984), quoting Occidental Life Ins. Co. v. EEOC, 432 U. S. 355, 359 (1977). The Commissionâs enforcement responsibilities are triggered by the filing of a specific sworn charge of discrimination. The Act obligates the Commission to investigate a charge of discrimination to determine whether there is âreasonable cause to believe that the charge is true.â 42 U. S. C. §2000e-5(b) (1982 ed.). If it finds no such reasonable cause, the Commission is directed to dismiss the charge. If it does find reasonable cause, the Commission shall âendeavor to eliminate [the] alleged unlawful employ *191 ment practice by informal methods of conference, conciliation, and persuasion.â Ibid. If attempts at voluntary resolution fail, the Commission may bring an action against the employer. §2000e-5(f)(l). 4
To enable the Commission to make informed decisions at each stage of the enforcement process, § 2000e-8(a) confers a broad right of access to relevant evidence:
â[T]he Commission or its designated representative shall at all reasonable times have access to, for the purposes of examination, and the right to copy any evidence of any person being investigated . . . that relates to unlawful employment practices covered by [the Act] and is relevant to the charge under investigation.â
If an employer refuses to provide this information voluntarily, the Act authorizes the Commission to issue a subpoena and to seek an order enforcing it. § 2000e-9 (incorporating 29 U. S. C. § 161).
On their face, §§2000e-8(a) and 2000e-9 do not carve out any special privilege relating to peer review materials, despite the fact that Congress undoubtedly was aware, when it extended Title VIIâs coverage, of the potential burden that access to such material might create. Moreover, we have noted previously that when a court is asked to enforce a Commission subpoena, its responsibility is to âsatisfy itself that the charge is valid and that the material requested is ârelevantâ to the charge . . . and more generally to assess any contentions by the employer that the demand for information is too indefinite or has been made for an illegitimate purpose.â It is not then to determine âwhether the charge of discrimination is âwell foundedâ or âverifiable.ââ EEOC v. Shell Oil Co., 466 U. S., at 72, n. 26.
The University concedes that the information sought by the Commission in this case passes the relevance test set *192 forth in Shell Oil. Tr. of Oral Arg. 6. Petitioner argues, nevertheless, that Title VII affirmatively grants courts the discretion to require more than relevance in order to protect tenure review documents. Although petitioner recognizes that Title VII gives the Commission broad âpower to seek access to all evidence that may be ârelevant to the charge under investigation,ââ Brief for Petitioner 38 (emphasis added), it contends that Title VIIâs subpoena enforcement provisions do not give the Commission an unqualified right to acquire such evidence. Id., at 38-41. This interpretation simply cannot be reconciled with the plain language of the text of § 2000e-8(a), which states that the Commission âshall . . . have accessâ to ârelevantâ evidence (emphasis added). The provision can be read only as giving the Commission a right to obtain that evidence, not a mere license to seek it.
Although the text of the access provisions thus provides no privilege, Congress did address situations in which an employer may have an interest in the confidentiality of its records. The same §2000e-8 which gives the Commission access to any evidence relevant to its investigation also makes it âunlawful for any officer or employee of the Commission to make public in any manner whatever any information obtained by the Commission pursuant to its authority under this section prior to the institution of any proceedingâ under the Act. A violation of this provision subjects the employee to criminal penalties. Ibid. To be sure, the protection of confidentiality that §2000e-8(e) provides is less than complete. 5 But this, if anything, weakens petitionerâs argument. Congress apparently considered the issue of confidentiality, and it provided a modicum of protection. Petitioner urges us to go further than Congress thought necessary to safeguard that value, that is, to strike the balance differently from the one Congress adopted. Petitioner, how *193 ever, does not offer any persuasive justification for that suggestion.
We readily agree with petitioner that universities and colleges play significant roles in American society. Nor need we question, at this point, petitionerâs assertion that confidentiality is important to the proper functioning of the peer review process under which many academic institutions operate. The costs that ensue from disclosure, however, constitute only one side of the balance. As Congress has recognized, the costs associated with racial and sexual discrimination in institutions of higher learning are very substantial. Few would deny that ferreting out this kind of invidious discrimination is a great, if not compelling, governmental interest. Often, as even petitioner seems to admit, see Reply Brief for Petitioner 15, disclosure of peer review materials will be necessary in order for. the Commission to determine whether illegal discrimination has taken place. Indeed, if there is a âsmoking gunâ to be found that demonstrates discrimination in tenure decisions, it is likely to be tucked away in peer review files. The Court of Appeals for the Third Circuit expressed, it this way:
âClearly, an alleged perpetrator of discrimination cannot be allowed to pick and choose the evidence which may be necessary for an agency investigation. There may be evidence of discriminatory intent and of pretext in the confidential notes and memorand[a] which the [college] seeks to protect. Likewise, confidential material pertaining to other candidates for tenure in a similar time frame may demonstrate that persons with lesser qualifications were granted tenure or that some pattern of discrimination appears. . . . [T]he peer review material itself must be investigated to determine whether the evaluations are based in discrimination and whether they are reflected in the tenure decision.â EEOC v. Franklin and, Marshall College, 775 F. 2d, at 116 (emphasis deleted).
*194 Moreover, we agree with the EEOC that the adoption of a requirement that the Commission demonstrate a âspecific reason for disclosure,â see Brief for Petitioner 46, beyond a showing of relevance, would place a substantial litigation-producing obstacle in the way of the Commissionâs efforts to investigate and remedy alleged discrimination. Cf. Branzburg v. Hayes, 408 U. S., at 705-706. A university faced with a disclosure request might well utilize the privilege in a way that frustrates the EEOCâs mission. We are reluctant to âplace a potent weapon in the hands of employers who have no interest in complying voluntarily with the Act, who wish instead to delay as long as possible investigations by the EEOC.â EEOC v. Shell Oil Co., 466 U. S., at 81.
Acceptance of petitionerâs claim would also lead to a wave of similar privilege claims by other employers who play significant roles in furthering speech and learning in society. What of writers, publishers, musicians, lawyers? It surely is not unreasonable to believe, for example, that confidential peer reviews play an important part in partnership determinations at some law firms. We perceive no limiting principle in petitionerâs argument. Accordingly, we stand behind the breakwater Congress has established: unless specifically provided otherwise in the statute, the EEOC may obtain ârelevantâ evidence. Congress has made the choice. If it dislikes the result, it of course may revise the statute.
Finally, we see nothing in our precedents that supports petitionerâs claim. In United States v. Nixon, 418 U. S. 683 (1974), upon which petitioner relies, we recognized a qualified privilege for Presidential communications. It is true that in fashioning this privilege we noted the importance of confidentiality in certain contexts:
âHuman experience teaches that those who expect public dissemination of their remarks may well temper candor with a concern for appearances and for their own interests to the detriment of the decisionmaking process.â Id., at 705.
*195 But the privilege we recognized in Nixon was grounded in the separation of powers between the branches of the Federal Government. â[T]he privilege can be said to derive from the supremacy of each branch within its own assigned area of constitutional duties. Certain powers and privileges flow from the nature of enumerated powers; the protection of the confidentiality of Presidential communications has similar constitutional underpinnings.â Id., at 705-706 (footnote omitted). As we discuss below, petitionerâs claim of privilege lacks similar constitutional foundation.
In Douglas Oil Co. of Cal. v. Petrol Stops Northwest, 441 U. S. 211 (1979), the Court recognized the privileged nature of grand jury proceedings. We noted there that the rule of secrecy dated back to the 17th century, was imported into our federal common law, and was eventually codified in Federal Rule of Criminal Procedure 6(e) as âan integral part of our criminal justice system.â 441 U. S., at 218, n. 9. Similarly, in Clark v. United States, 289 U. S. 1, 13 (1933), the Court recognized a privilege for the votes and deliberations of a petit jury, noting that references to the privilege âbear with them the implications of an immemorial tradition.â More recently, in NLRB v. Sears, Roebuck & Co., 421 U. S. 132 (1975), we construed an exception to the Freedom of Information Act in which Congress had incorporated a well-established privilege for deliberative intraagency documents. A privilege for peer review materials has no similar historical or statutory basis.
B
As noted above, petitioner characterizes its First Amendment claim as one of âacademic freedom.â Petitioner begins its argument by focusing our attention upon language in prior cases acknowledging the crucial role universities play in the dissemination of ideas in our society and recognizing âacademic freedomâ as a âspecial concern of the First Amendment.â Keyishian v. Board of Regents of University of New York, 385 U. S. 589, 603 (1967). In that case the Court said: *196 âOur Nation is deeply committed to safeguarding academic freedom, which is of transcendent value to all of us and not merely to the teachers concerned.â See also Adler v. Board of Education of City of New York, 342 U. S. 485, 511 (1952) (academic freedom is central to âthe pursuit of truth which the First Amendment was designed to protectâ (Douglas, J., dissenting)). Petitioner places special reliance on Justice Frankfurterâs opinion, concurring in the result, in Sweezy v. New Hampshire, 354 U. S. 234, 263 (1957), where the Justice recognized that one of âfour essential freedomsâ that a university possesses under the First Amendment is the right to âdetermine for itself on academic grounds who may teachâ (emphasis added).
Petitioner contends that it exercises this right of determining âon academic grounds who may teachâ through the process of awarding tenure. A tenure system, asserts petitioner, determines what the university will look like over time. âIn making tenure decisions, therefore, a university is doing nothing less than shaping its own identity.â Brief for Petitioner 19.
Petitioner next maintains that the peer review process is the most important element in the effective operation of a tenure system. A properly functioning tenure system requires the faculty to obtain candid and detailed written evaluations of the candidateâs scholarship, both from the candidateâs peers at the university and from scholars at other institutions. These evaluations, says petitioner, traditionally have been provided with express or implied assurances of confidentiality. It is confidentiality that ensures candor and enables an institution to make its tenure decisions on the basis of valid academic criteria.
Building from these premises, petitioner claims that requiring the disclosure of peer review evaluations on a finding of mere relevance will undermine the existing process of awarding tenure, and therefore will result in a significant infringement of petitionerâs First Amendment right of aca *197 demic freedom. As more and more peer evaluations are disclosed to the EEOC and become public, a âchilling effectâ on candid evaluations and discussions of candidates will result. And as the quality of peer review evaluations declines, tenure committees will no longer be able to rely on them. âThis will work to the detriment of universities, as less qualified persons achieve tenure causing the quality of instruction and scholarship to decline.â Id., at 35. Compelling disclosure of materials âalso will result in divisiveness and tension, placing strain on faculty relations and impairing the free interchange of ideas that is a hallmark of academic freedom.â Ibid. The prospect of these deleterious effects on American colleges and universities, concludes petitioner, compels recognition of a First Amendment privilege.
In our view, petitionerâs reliance on the so-called academic-freedom cases is somewhat misplaced. In those cases government was attempting to control or direct the content of the speech engaged in by the university or those affiliated with it. In Sweezy, for example, the Court invalidated the conviction of a person found in contempt for refusing to answer questions about the content of a lecture he had delivered at a state university. Similarly, in Keyishian, the Court invalidated a network of state laws that required public employees, including teachers at state universities, to make certifications with respect to their membership in the Communist Party. When, in those cases, the Court spoke of âacademic freedomâ and the right to determine on âacademic grounds who may teachâ the Court was speaking in reaction to content-based regulation. See Sweezy v. New Hampshire, 354 U. S., at 250 (plurality opinion discussing problems that result from imposition of a âstrait jacket upon the intellectual leaders in our colleges and universitiesâ); Keyishian v. Board of Regents, 385 U. S., at 603 (discussing dangers that are present when a âpall of orthodoxyâ is cast âover the classroomâ).
*198 Fortunately, we need not define today the precise contours of any academic-freedom right against governmental attempts to influence the content of academic speech through the selection of faculty or by other means, 6 because petitioner does not allege that the Commissionâs subpoenas are intended to or will in fact direct the content of university discourse toward or away from particular subjects or points of view. Instead, as noted above, petitioner claims that the âquality of instruction and scholarship [will] declineâ as a result of the burden EEOC subpoenas place on the peer review process.
Also, the cases upon which petitioner places emphasis involved direct infringements on the asserted right to âdetermine for itself on academic grounds who may teach.â In Keyishian, for example, government was attempting to substitute its teaching employment criteria for those already in place at the academic institutions, directly and completely usurping the discretion of each institution. In contrast, the EEOC subpoena at issue here effects no such usurpation. The Commission is not providing criteria that petitioner must use in selecting teachers. Nor is it preventing the University from using any criteria it may wish to use, except those â including race, sex, and national origin â that are proscribed under Title VII. 7 In keeping with Title VIPs *199 preservation of employersâ remaining freedom of choice, see Price Waterhouse v. Hopkins, 490 U. S. 228 (1989) (plurality opinion), courts have stressed the importance of avoiding second-guessing of legitimate academic judgments. This Court itself has cautioned that âjudges . . . a§ked to review the substance of a genuinely academic decision . . . should show great respect for the facultyâs professional judgment.â Regents of University of Michigan v. Ewing, 474 U. S. 214, 225 (1985). Nothing we say today should be understood as a retreat from this principle of respect for legitimate academic decisionmaking.
That the burden of which the University complains is neither content based nor direct does not necessarily mean that petitioner has no valid First Amendment claim. Rather, it means only that petitionerâs claim does not fit neatly within any right of academic freedom that could be derived from the cases on which petitioner relies. In essence, petitioner asks us to recognize an expanded right of academic freedom to protect confidential peer review materials from disclosure. Although we are sensitive to the effects that content-neutral government action may have on speech, see, e. g., Heffron v. International Society for Krishna Consciousness, Inc., 452 U. S. 640, 647-648 (1981), and believe that burdens that are less than direct may sometimes pose First Amendment concerns, see, e. g., NAACP v. Alabama ex rel. Patterson, 357 U. S. 449 (1958), we think the First Amendment cannot be extended to embrace petitionerâs claim.
First, by comparison with the cases in which we have found a cognizable First Amendment claim, the infringement the University complains of is extremely attenuated. To repeat, it argues that the First Amendment is infringed by disclosure of peer review materials because disclosure undermines the confidentiality which is Central to the peer review process, and this in turn is central to the tenure process, which in turn is the means by which petitioner seeks to exer *200 cise its asserted academic-freedom right of choosing who will teach. To verbalize the claim is to recognize how distant the burden is from the asserted right.
Indeed, if the Universityâs attenuated claim were accepted, many other generally applicable laws might also be said to infringe the First Amendment. In effect, petitioner says no more than that disclosure of peer review materials makes it more difficult to acquire information regarding the âacademic groundsâ on which petitioner wishes to base its tenure decisions. But many laws make the exercise of First Amendment rights more difficult. For example, a university cannot claim a First Amendment violation simply because it may be subject to taxation or other government regulation, even though such regulation might deprive the university of revenue it needs to bid for professors who are contemplating working for other academic institutions or in industry. We doubt that the peer review process is any more essential in effectuating the right to determine âwho may teachâ than is the availability of money. Cf. Buckley v. Valeo, 424 U. S. 1, 19 (1976) (discussing how money is sometimes necessary to effectuate First Amendment rights).
In addition to being remote and attenuated, the injury to academic freedom claimed by petitioner is also speculative. As the EEOC points out, confidentiality is not the norm in all peer review systems. See, e. g., G. Bednash, The Relationship Between Access and Selectivity in Tenure Review Outcomes (1989) (unpublished Ph.D. dissertation, University of Maryland). Moreover, some disclosure of peer evaluations would take place even if petitionerâs âspecial necessityâ test were adopted. Thus, the âchilling effectâ petitioner fears is at most only incrementally worsened by the absence of a privilege. Finally, we are not so ready as petitioner seems to be to assume the worst about those in the academic community. Although it is possible that some evaluators may become less candid as the possibility of disclosure increases, others may simply ground their evaluations in specific exam- *201 pies and illustrations in order to deflect potential claims of bias or unfairness. Not all academics will hesitate to stand up and be counted when they evaluate their peers.
The case we decide today in many respects is similar to Bmnzburg v. Hayes, 408 U. S. 665 (1972). In Bmnzburg, the Court rejected the notion that under the First Amendment a reporter could not be required to appear or to testify as to information obtained in confidence without a special showing that the reporterâs testimony was necessary. Petitioners there, like petitioner here, claimed that requiring disclosure of information collected in confidence would inhibit the free flow of information in contravention of First Amendment principles. In the course of rejecting the First Amendment argument, this Court noted that âthe First Amendment does not invalidate every incidental burdening of the press that may result from the enforcement of civil or criminal statutes of general applicability.â Id., at 682. We also indicated a reluctance to recognize a constitutional privilege where it was âunclear how often and to what extent informers are actually deterred from furnishing information when newsmen are forced to testify before a grand jury.â Id., at 693. See also Herbert v. Lando, 441 U. S. 153, 174 (1979). We were unwilling then, as we are today, âto embark the judiciary on a long and difficult journey to ... an uncertain destination.â 408 U. S., at 703. 8
Because we conclude that the EEOC subpoena process does not infringe any First Amendment right enjoyed by petitioner, the EEOC need not demonstrate any special justification to sustain the constitutionality of Title VII as applied to tenure peer review materials in general or to the subpoena involved in this case. Accordingly, we need not address the *202 Commissionâs alternative argument that any infringement of petitionerâs First Amendment rights is permissible because of the substantial relation between the Commissionâs request and the overriding and compelling state interest in eradicating invidious discrimination. 9
The judgment of the Court of Appeals is affirmed.
It is so ordered.
Three days before the stated 20-day period expired, petitioner brought suit against the EEOC in the United States District Court for the District of Columbia seeking declaratory and injunctive relief and an order quashing the subpoena. App. 4. The Pennsylvania District Court declined to follow its controlling courtâs announced âfirst-filedâ rule, which counsels the stay or dismissal of an action that is duplicative of a previously filed suit in another federal court. See Crosley Corp. v. Hazeltine Corp., 122 F. 2d 925, 929 (CA3 1941), cert. denied, 315 U. S. 813 (1942); Compagnie des Bauxites de Guinea v. Insurance Co. of North America, 651 F. 2d 877, 887, n. 10 (CA3 1981), cert. denied sub nom. Compagnie des Bauxites de Guinea v. Insurance Corp. of Ireland, Ltd., 457 U. S. 1105 (1982). This declination, however, was upheld by the Third Circuit. See 850 F. 2d 969, 972 (1988). Since the applicability of the âfirst-filedâ rule to the facts of this case is not a question on which we granted certiorari, we do not address it.
The Court of Appeals did not rule on the question whether the Commissionâs subpoena permits petitioner to engage in any redaction of the disputed records before producing them, because the District Court had not fully considered that issue. The Third Circuit therefore ordered that the case be remanded for further consideration of possible redaction. See id., at 982.
See, e. g., 118 Cong. Rec. 311 (1972) (remarks of Sen. Ervin); id., at 946 (remarks of Sen. Allen); id., at 4919 (remarks of Sen. Ervin).
Similarly, the charging party