8 Judicial Review of Agency Fact-Finding in Formal Adjudication/Rulemaking 8 Judicial Review of Agency Fact-Finding in Formal Adjudication/Rulemaking
8.1 Substantial Evidence on the Whole Record Standard 8.1 Substantial Evidence on the Whole Record Standard
8.1.1 Universal Camera Corp. v. NLRB, 340 U.S. 474 (1951) 8.1.1 Universal Camera Corp. v. NLRB, 340 U.S. 474 (1951)
340 U.S. 474 (1951)
UNIVERSAL CAMERA CORP.
v.
NATIONAL LABOR RELATIONS BOARD.
No. 40.
Supreme Court of United States.
Argued November 6-7, 1950.
Decided February 26, 1951.
CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT.
[475] By special leave of Court, Frederick R. Livingston, pro hac vice, argued the cause for petitioner. With him on the brief was James S. Hays.
[476] Mozart G. Ratner argued the cause for respondent. With him on the brief were Solicitor General Perlman, David P. Findling and Bernard Dunau.
MR. JUSTICE FRANKFURTER delivered the opinion of the Court.
The essential issue raised by this case and its companion, Labor Board v. Pittsburgh Steamship Co., post, p. 498, is the effect of the Administrative Procedure Act and the legislation colloquially known as the Taft-Hartley Act on the duty of Courts of Appeals when called upon to review orders of the National Labor Relations Board.
The Court of Appeals for the Second Circuit granted enforcement of an order directing, in the main, that petitioner reinstate with back pay an employee found to have been discharged because he gave testimony under the Wagner Act and cease and desist from discriminating against any employee who files charges or gives testimony under that Act. The court below, Judge Swan dissenting, decreed full enforcement of the order. 179 F. 2d 749. Because the views of that court regarding the effect of the new legislation on the relation between the Board and the Courts of Appeals in the enforcement of the Board's orders conflicted with those of the Court of Appeals for the Sixth Circuit[1] we brought both cases here. 339 U. S. 951 and 339 U. S. 962. The clash of opinion obviously required settlement by this Court.
[477] I.
Want of certainty in judicial review of Labor Board decisions partly reflects the intractability of any formula to furnish definiteness of content for all the impalpable factors involved in judicial review. But in part doubts as to the nature of the reviewing power and uncertainties in its application derive from history, and to that extent an elucidation of this history may clear them away.
The Wagner Act provided: "The findings of the Board as to the facts, if supported by evidence, shall be conclusive." Act of July 5, 1935, § 10 (e), 49 Stat. 449, 454, 29 U. S. C. § 160 (e). This Court read "evidence" to mean "substantial evidence," Washington, V. & M. Coach Co. v. Labor Board, 301 U. S. 142, and we said that "[s]ubstantial evidence is more than a mere scintilla. It means such relevant evidence as a reasonable mind might accept as adequate to support a conclusion." Consolidated Edison Co. v. Labor Board, 305 U. S. 197, 229. Accordingly, it "must do more than create a suspicion of the existence of the fact to be established. . . . it must be enough to justify, if the trial were to a jury, a refusal to direct a verdict when the conclusion sought to be drawn from it is one of fact for the jury." Labor Board v. Columbian Enameling & Stamping Co., 306 U. S. 292, 300.
The very smoothness of the "substantial evidence" formula as the standard for reviewing the evidentiary validity of the Board's findings established its currency. But the inevitably variant applications of the standard to conflicting evidence soon brought contrariety of views and in due course bred criticism. Even though the whole record may have been canvassed in order to determine whether the evidentiary foundation of a determination by the Board was "substantial," the phrasing of this Court's process of review readily lent itself to the notion [478] that it was enough that the evidence supporting the Board's result was "substantial" when considered by itself. It is fair to say that by imperceptible steps regard for the fact-finding function of the Board led to the assumption that the requirements of the Wagner Act were met when the reviewing court could find in the record evidence which, when viewed in isolation, substantiated the Board's findings. Compare Labor Board v. Waterman Steamship Corp., 309 U. S. 206; Labor Board v. Bradford Dyeing Assn., 310 U. S. 318; and see Labor Board v. Nevada Consolidated Copper Corp., 316 U. S. 105. This is not to say that every member of this Court was consciously guided by this view or that the Court ever explicitly avowed this practice as doctrine. What matters is that the belief justifiably arose that the Court had so construed the obligation to review.[2]
Criticism of so contracted a reviewing power reinforced dissatisfaction felt in various quarters with the Board's administration of the Wagner Act in the years preceding the war. The scheme of the Act was attacked as an inherently unfair fusion of the functions of prosecutor and judge.[3] Accusations of partisan bias were not wanting.[4] The "irresponsible admission and weighing of hearsay, opinion, and emotional speculation in place of factual evidence" was said to be a "serious menace."[5] No doubt [479] some, perhaps even much, of the criticism was baseless and some surely was reckless.[6] What is here relevant, however, is the climate of opinion thereby generated and its effect on Congress. Protests against "shocking injustices"[7] and intimations of judicial "abdication"[8] with which some courts granted enforcement of the Board's orders stimulated pressures for legislative relief from alleged administrative excesses.
The strength of these pressures was reflected in the passage in 1940 of the Walter-Logan Bill. It was vetoed by President Roosevelt, partly because it imposed unduly rigid limitations on the administrative process, and partly because of the investigation into the actual operation of the administrative process then being conducted by an experienced committee appointed by the Attorney General.[9] It is worth noting that despite its aim to tighten control over administrative determinations of fact, the Walter-Logan Bill contented itself with the conventional formula that an agency's decision could be set aside if "the findings of fact are not supported by substantial evidence."[10]
[480] The final report of the Attorney General's Committee was submitted in January, 1941. The majority concluded that "[d]issatisfaction with the existing standards as to the scope of judicial review derives largely from dissatisfaction with the fact-finding procedures now employed by the administrative bodies."[11] Departure from the "substantial evidence" test, it thought, would either create unnecessary uncertainty or transfer to courts the responsibility for ascertaining and assaying matters the significance of which lies outside judicial competence. Accordingly, it recommended against legislation embodying a general scheme of judicial review.[12]
[481] Three members of the Committee registered a dissent. Their view was that the "present system or lack of system of judicial review" led to inconsistency and uncertainty. They reported that under a "prevalent" interpretation of the "substantial evidence" rule "if what is called `substantial evidence' is found anywhere in the record to support conclusions of fact, the courts are said to be obliged to sustain the decision without reference to how heavily the countervailing evidence may preponderate—unless indeed the stage of arbitrary decision is reached. Under this interpretation, the courts need to read only one side of the case and, if they find any evidence there, the administrative action is to be sustained and the record to the contrary is to be ignored."[13] Their view led them to recommend that Congress enact principles of review applicable to all agencies not excepted by unique characteristics. One of these principles was expressed by the formula that judicial review could extend to "findings, inferences, or conclusions of fact unsupported, upon the whole record, by substantial evidence."[14] So far as the [482] history of this movement for enlarged review reveals, the phrase "upon the whole record" makes its first appearance in this recommendation of the minority of the Attorney General's Committee. This evidence of the close relationship between the phrase and the criticism out of which it arose is important, for the substance of this formula for judicial review found its way into the statute books when Congress with unquestioning—we might even say uncritical—unanimity enacted the Administrative Procedure Act.[15]
[483] One is tempted to say "uncritical" because the legislative history of that Act hardly speaks with that clarity of purpose which Congress supposedly furnishes courts in order to enable them to enforce its true will. On the one hand, the sponsors of the legislation indicated that they were reaffirming the prevailing "substantial evidence" test.[16] But with equal clarity they expressed disapproval of the manner in which the courts were applying [484] their own standard. The committee reports of both houses refer to the practice of agencies to rely upon "suspicion, surmise, implications, or plainly incredible evidence," and indicate that courts are to exact higher standards "in the exercise of their independent judgment" and on consideration of "the whole record."[17]
Similar dissatisfaction with too restricted application of the "substantial evidence" test is reflected in the legislative history of the Taft-Hartley Act.[18] The bill as reported to the House provided that the "findings of the Board as to the facts shall be conclusive unless it is made to appear to the satisfaction of the court either (1) that the findings of fact are against the manifest weight of the [485] evidence, or (2) that the findings of fact are not supported by substantial evidence."[19] The bill left the House with this provision. Early committee prints in the Senate provided for review by "weight of the evidence" or "clearly erroneous" standards.[20] But, as the Senate Committee Report relates, "it was finally decided to conform the statute to the corresponding section of the Administrative Procedure Act where the substantial evidence test prevails. In order to clarify any ambiguity in that statute, however, the committee inserted the words `questions of fact, if supported by substantial evidence on the record considered as a whole . . . .' "[21]
This phraseology was adopted by the Senate. The House conferees agreed. They reported to the House: "It is believed that the provisions of the conference agreement [486] relating to the courts' reviewing power will be adequate to preclude such decisions as those in N. L. R. B. v. Nevada Consol. Copper Corp. (316 U. S. 105) and in the Wilson, Columbia Products, Union Pacific Stages, Hearst, Republic Aviation, and Le Tourneau, etc. cases, supra, without unduly burdening the courts."[22] The Senate version became the law.
[487] It is fair to say that in all this Congress expressed a mood. And it expressed its mood not merely by oratory but by legislation. As legislation that mood must be respected, even though it can only serve as a standard for judgment and not as a body of rigid rules assuring sameness of application. Enforcement of such broad standards implies subtlety of mind and solidity of judgment. But it is not for us to question that Congress may assume such qualities in the federal judiciary.
From the legislative story we have summarized, two concrete conclusions do emerge. One is the identity of aim of the Administrative Procedure Act and the Taft-Hartley Act regarding the proof with which the Labor Board must support a decision. The other is that now Congress has left no room for doubt as to the kind of scrutiny which a Court of Appeals must give the record before the Board to satisfy itself that the Board's order rests on adequate proof.
It would be mischievous word-playing to find that the scope of review under the Taft-Hartley Act is any different from that under the Administrative Procedure Act. The Senate Committee which reported the review clause of the Taft-Hartley Act expressly indicated that the two standards were to conform in this regard, and the wording of the two Acts is for purposes of judicial administration identical. And so we hold that the standard of proof specifically required of the Labor Board by the Taft-Hartley Act is the same as that to be exacted by courts reviewing every administrative action subject to the Administrative Procedure Act.
Whether or not it was ever permissible for courts to determine the substantiality of evidence supporting a Labor Board decision merely on the basis of evidence which in and of itself justified it, without taking into account contradictory evidence or evidence from which conflicting inferences could be drawn, the new legislation [488] definitively precludes such a theory of review and bars its practice. The substantiality of evidence must take into account whatever in the record fairly detracts from its weight. This is clearly the significance of the requirement in both statutes that courts consider the whole record. Committee reports and the adoption in the Administrative Procedure Act of the minority views of the Attorney General's Committee demonstrate that to enjoin such a duty on the reviewing court was one of the important purposes of the movement which eventuated in that enactment.
To be sure, the requirement for canvassing "the whole record" in order to ascertain substantiality does not furnish a calculus of value by which a reviewing court can assess the evidence. Nor was it intended to negative the function of the Labor Board as one of those agencies presumably equipped or informed by experience to deal with a specialized field of knowledge, whose findings within that field carry the authority of an expertness which courts do not possess and therefore must respect. Nor does it mean that even as to matters not requiring expertise a court may displace the Board's choice between two fairly conflicting views, even though the court would justifiably have made a different choice had the matter been before it de novo. Congress has merely made it clear that a reviewing court is not barred from setting aside a Board decision when it cannot conscientiously find that the evidence supporting that decision is substantial, when viewed in the light that the record in its entirety furnishes, including the body of evidence opposed to the Board's view.
There remains, then, the question whether enactment of these two statutes has altered the scope of review other than to require that substantiality be determined in the light of all that the record relevantly presents. A formula for judicial review of administrative action may afford grounds for certitude but cannot assure certainty of application. [489] Some scope for judicial discretion in applying the formula can be avoided only by falsifying the actual process of judging or by using the formula as an instrument of futile casuistry. It cannot be too often repeated that judges are not automata. The ultimate reliance for the fair operation of any standard is a judiciary of high competence and character and the constant play of an informed professional critique upon its work.
Since the precise way in which courts interfere with agency findings cannot be imprisoned within any form of words, new formulas attempting to rephrase the old are not likely to be more helpful than the old. There are no talismanic words that can avoid the process of judgment. The difficulty is that we cannot escape, in relation to this problem, the use of undefined defining terms.
Whatever changes were made by the Administrative Procedure and Taft-Hartley Acts are clearly within this area where precise definition is impossible. Retention of the familiar "substantial evidence" terminology indicates that no drastic reversal of attitude was intended.
But a standard leaving an unavoidable margin for individual judgment does not leave the judicial judgment at large even though the phrasing of the standard does not wholly fence it in. The legislative history of these Acts demonstrates a purpose to impose on courts a responsibility which has not always been recognized. Of course it is a statute and not a committee report which we are interpreting. But the fair interpretation of a statute is often "the art of proliferating a purpose," Brooklyn National Corp. v. Commissioner, 157 F. 2d 450, 451, revealed more by the demonstrable forces that produced it than by its precise phrasing. The adoption in these statutes of the judicially-constructed "substantial evidence" test was a response to pressures for stricter and more uniform practice, not a reflection of approval of all existing practices. [490] To find the change so elusive that it cannot be precisely defined does not mean it may be ignored. We should fail in our duty to effectuate the will of Congress if we denied recognition to expressed Congressional disapproval of the finality accorded to Labor Board findings by some decisions of this and lower courts, or even of the atmosphere which may have favored those decisions.
We conclude, therefore, that the Administrative Procedure Act and the Taft-Hartley Act direct that courts must now assume more responsibility for the reasonableness and fairness of Labor Board decisions than some courts have shown in the past. Reviewing courts must be influenced by a feeling that they are not to abdicate the conventional judicial function. Congress has imposed on them responsibility for assuring that the Board keeps within reasonable grounds. That responsibility is not less real because it is limited to enforcing the requirement that evidence appear substantial when viewed, on the record as a whole, by courts invested with the authority and enjoying the prestige of the Courts of Appeals. The Board's findings are entitled to respect; but they must nonetheless be set aside when the record before a Court of Appeals clearly precludes the Board's decision from being justified by a fair estimate of the worth of the testimony of witnesses or its informed judgment on matters within its special competence or both.
From this it follows that enactment of these statutes does not require every Court of Appeals to alter its practice. Some—perhaps a majority—have always applied the attitude reflected in this legislation. To explore whether a particular court should or should not alter its practice would only divert attention from the application of the standard now prescribed to a futile inquiry into the nature of the test formerly used by a particular court.
Our power to review the correctness of application of the present standard ought seldom to be called into action. [491] Whether on the record as a whole there is substantial evidence to support agency findings is a question which Congress has placed in the keeping of the Courts of Appeals. This Court will intervene only in what ought to be the rare instance when the standard appears to have been misapprehended or grossly misapplied.
II.
Our disagreement with the view of the court below that the scope of review of Labor Board decisions is unaltered by recent legislation does not of itself, as we have noted, require reversal of its decision. The court may have applied a standard of review which satisfies the present Congressional requirement.
The decision of the Court of Appeals is assailed on two grounds. It is said (1) that the court erred in holding that it was barred from taking into account the report of the examiner on questions of fact insofar as that report was rejected by the Board, and (2) that the Board's order was not supported by substantial evidence on the record considered as a whole, even apart from the validity of the court's refusal to consider the rejected portions of the examiner's report.
The latter contention is easily met. It is true that two of the earlier decisions of the court below were among those disapproved by Congress.[23] But this disapproval, we have seen, may well have been caused by unintended intimations of judicial phrasing. And in any event, it is clear from the court's opinion in this case that it in fact did consider the "record as a whole," and did not deem itself merely the judicial echo of the Board's conclusion. The testimony of the company's witnesses was inconsistent, and there was clear evidence that the complaining [492] employee had been discharged by an officer who was at one time influenced against him because of his appearance at the Board hearing. On such a record we could not say that it would be error to grant enforcement.
The first contention, however, raises serious questions to which we now turn.
III.
The Court of Appeals deemed itself bound by the Board's rejection of the examiner's findings because the court considered these findings not "as unassailable as a master's."[24] 179 F. 2d at 752. They are not. Section 10 (c) of the Labor Management Relations Act provides that "if upon the preponderance of the testimony taken the Board shall be of the opinion that any person named in the complaint has engaged in or is engaging in any such unfair labor practice, then the Board shall state its findings of fact . . . ." 61 Stat. 147, 29 U. S. C. (Supp. III) § 160 (c). The responsibility for decision thus placed on the Board is wholly inconsistent with the notion that it has power to reverse an examiner's findings only when they are "clearly erroneous." Such a limitation would make so drastic a departure from prior administrative practice that explicitness would be required.
The Court of Appeals concluded from this premise "that, although the Board would be wrong in totally disregarding his findings, it is practically impossible for a [493] court, upon review of those findings which the Board itself substitutes, to consider the Board's reversal as a factor in the court's own decision. This we say, because we cannot find any middle ground between doing that and treating such a reversal as error, whenever it would be such, if done by a judge to a master in equity." 179 F. 2d at 753. Much as we respect the logical acumen of the Chief Judge of the Court of Appeals, we do not find ourselves pinioned between the horns of his dilemma.
We are aware that to give the examiner's findings less finality than a master's and yet entitle them to consideration in striking the account, is to introduce another and an unruly factor into the judgmatical process of review. But we ought not to fashion an exclusionary rule merely to reduce the number of imponderables to be considered by reviewing courts.
The Taft-Hartley Act provides that "The findings of the Board with respect to questions of fact if supported by substantial evidence on the record considered as a whole shall be conclusive." 61 Stat. 148, 29 U. S. C. (Supp. III) § 160 (e). Surely an examiner's report is as much a part of the record as the complaint or the testimony. According to the Administrative Procedure Act, "All decisions (including initial, recommended, or tentative decisions) shall become a part of the record . . . ." § 8 (b), 60 Stat. 242, 5 U. S. C. § 1007 (b). We found that this Act's provision for judicial review has the same meaning as that in the Taft-Hartley Act. The similarity of the two statutes in language and purpose also requires that the definition of "record" found in the Administrative Procedure Act be construed to be applicable as well to the term "record" as used in the Taft-Hartley Act.
It is therefore difficult to escape the conclusion that the plain language of the statutes directs a reviewing court to determine the substantiality of evidence on the record including the examiner's report. The conclusion [494] is confirmed by the indications in the legislative history that enhancement of the status and function of the trial examiner was one of the important purposes of the movement for administrative reform.
This aim was set forth by the Attorney General's Committee on Administrative Procedure:
"In general, the relationship upon appeal between the hearing commissioner and the agency ought to a considerable extent to be that of trial court to appellate court. Conclusions, interpretations, law, and policy should, of course, be open to full review. On the other hand, on matters which the hearing commissioner, having heard the evidence and seen the witnesses, is best qualified to decide, the agency should be reluctant to disturb his findings unless error is clearly shown."[25]
Apparently it was the Committee's opinion that these recommendations should not be obligatory. For the bill which accompanied the Final Report required only that hearing officers make an initial decision which would become final in the absence of further agency action, and that agencies which differed on the facts from their examiners give reasons and record citations supporting their conclusion.[26] This proposal was further moderated by the Administrative Procedure Act. It permits agencies to use examiners to record testimony but not to evaluate it, and contains the rather obscure provision that an agency which reviews an examiner's report has "all the powers which it would have in making the initial decision."[27]
[495] But this refusal to make mandatory the recommendations of the Attorney General's Committee should not be construed as a repudiation of them. Nothing in the statutes suggests that the Labor Board should not be influenced by the examiner's opportunity to observe the witnesses he hears and sees and the Board does not. Nothing suggests that reviewing courts should not give to the examiner's report such probative force as it intrinsically commands. To the contrary, § 11 of the Administrative Procedure Act contains detailed provisions designed to maintain high standards of independence and competence in examiners. Section 10 (c) of the Labor Management Relations Act requires that examiners "shall issue . . . a proposed report, together with a recommended order." Both statutes thus evince a purpose to increase the importance of the role of examiners in the administrative process. High standards of public administration counsel that we attribute to the Labor Board's examiners both due regard for the responsibility which Congress imposes on them and the competence to discharge it.[28]
[496] The committee reports also make it clear that the sponsors of the legislation thought the statutes gave significance to the findings of examiners. Thus, the Senate Committee responsible for the Administrative Procedure Act explained in its report that examiners' decisions "would be of consequence, for example, to the extent that material facts in any case depend on the determination of credibility of witnesses as shown by their demeanor or conduct at the hearing."[29] The House Report reflects the same attitude;[30] and the Senate Committee Report on the Taft-Hartley Act likewise indicates regard for the responsibility devolving on the examiner.[31]
We do not require that the examiner's findings be given more weight than in reason and in the light of judicial experience they deserve. The "substantial evidence" standard is not modified in any way when the Board and its examiner disagree. We intend only to recognize that evidence supporting a conclusion may be less substantial when an impartial, experienced examiner who has observed the witnesses and lived with the case has drawn conclusions different from the Board's than when he has reached the same conclusion. The findings of the examiner are to be considered along with the consistency and inherent probability of testimony. The significance of his report, of course, depends largely on the importance of credibility in the particular case. To give it this significance does not seem to us materially more difficult [497] than to heed the other factors which in sum determine whether evidence is "substantial."
The direction in which the law moves is often a guide for decision of particular cases, and here it serves to confirm our conclusion. However halting its progress, the trend in litigation is toward a rational inquiry into truth, in which the tribunal considers everything "logically probative of some matter requiring to be proved." Thayer, A Preliminary Treatise on Evidence, 530; Funk v. United States, 290 U. S. 371. This Court has refused to accept assumptions of fact which are demonstrably false, United States v. Provident Trust Co., 291 U. S. 272, even when agreed to by the parties, Swift & Co. v. Hocking Valley R. Co., 243 U. S. 281. Machinery for discovery of evidence has been strengthened; the boundaries of judicial notice have been slowly but perceptibly enlarged. It would reverse this process for courts to deny examiners' findings the probative force they would have in the conduct of affairs outside a courtroom.
We therefore remand the cause to the Court of Appeals. On reconsideration of the record it should accord the findings of the trial examiner the relevance that they reasonably command in answering the comprehensive question whether the evidence supporting the Board's order is substantial. But the court need not limit its reexamination of the case to the effect of that report on its decision. We leave it free to grant or deny enforcement as it thinks the principles expressed in this opinion dictate.
Judgment vacated and cause remanded.
MR. JUSTICE BLACK and MR. JUSTICE DOUGLAS concur with parts I and II of this opinion but as to part III agree with the opinion of the court below, 179 F. 2d 749, 753.
[1] Labor Board v. Pittsburgh Steamship Co., 180 F. 2d 731, affirmed, post, p. 498. The Courts of Appeals of five circuits have agreed with the Court of Appeals for the Second Circuit that no material change was made in the reviewing power. Eastern Coal Corp. v. Labor Board, 176 F. 2d 131, 134-136 (C. A. 4th Cir.); Labor Board v. La Salle Steel Co., 178 F. 2d 829, 833-834 (C. A. 7th Cir.); Labor Board v. Minnesota Mining & Mfg. Co., 179 F. 2d 323, 325-326 (C. A. 8th Cir.); Labor Board v. Continental Oil Co., 179 F. 2d 552, 555 (C. A. 10th Cir.); Labor Board v. Booker, 180 F. 2d 727, 729 (C. A. 5th Cir.); but see Labor Board v. Caroline Mills, Inc., 167 F. 2d 212, 213 (C. A. 5th Cir.).
[2] See the testimony of Dean Stason before the Subcommittee of the Senate Committee on the Judiciary in 1941. Hearings on S. 674, 77th Cong., 1st Sess. 1355-1360.
[3] See, for example, the remarks of Laird Bell, then Chairman of the Committee on Administrative Law of the Chicago Bar Association, writing in 1940 in the American Bar Association Journal. 26 A. B. A. J. 552.
[4] See Gall, The Current Labor Problem: The View of Industry, 27 Iowa L. Rev. 381, 382.
[5] This charge was made by the majority of the Special Committee of the House appointed in 1939 to investigate the National Labor Relations Board. H. R. Rep. No. 1902, 76th Cong., 3d Sess. 76.
[6] Professor Gellhorn and Mr. Linfield reached the conclusion in 1939 after an extended investigation that "the denunciations find no support in fact." Gellhorn and Linfield, Politics and Labor Relations, 39 Col. L. Rev. 339, 394. See also Millis and Brown, From the Wagner Act to Taft-Hartley, 66-75.
[7] Wilson & Co. v. Labor Board, 126 F. 2d 114, 117.
[8] In Labor Board v. Standard Oil Co., 138 F. 2d 885, 887, Judge Learned Hand said, "We understand the law to be that the decision of the Board upon that issue is for all practical purposes not open to us at all; certainly not after we have once decided that there was `substantial' evidence that the `disestablished' union was immediately preceded by a period during which there was a `dominated' union. . . .
"[W]e recognize how momentous may be such an abdication of any power of review . . . ."
[9] 86 Cong. Rec. 13942-13943, reprinted as H. R. Doc. No. 986, 76th Cong., 3d Sess.
[10] S. 915, H. R. 6324, 76th Cong., 1st Sess., § 5 (a).
[11] Final Report, 92.
[12] Referring to proposals to enlarge the scope of review to permit inquiry whether the findings are supported by the weight of the evidence, the majority said:
"Assuming that such a change may be desirable with respect to special administrative determinations, there is serious objection to its adoption for general application.
"In the first place there is the question of how much change, if any, the amendment would produce. The respect that courts have for the judgments of specialized tribunals which have carefully considered the problems and the evidence cannot be legislated away. The line between `substantial evidence' and `weight of evidence' is not easily drawn—particularly when the court is confined to a written record, has a limited amount of time, and has no opportunity further to question witnesses on testimony which seems hazy or leaves some lingering doubts unanswered. `Substantial evidence' may well be equivalent to the `weight of evidence' when a tribunal in which one has confidence and which had greater opportunities for accurate determination has already so decided.
"In the second place the wisdom of a general change to review of the `weight of evidence' is questionable. If the change would require the courts to determine independently which way the evidence preponderates, administrative tribunals would be turned into little more than media for transmission of the evidence to the courts. It would destroy the values of adjudication of fact by experts or specialists in the field involved. It would divide the responsibility for administrative adjudications." Final Report, 91-92.
[13] Id., 210-211.
[14] The minority enumerated four "existing deficiencies" in judicial review. These were (1) "the haphazard, uncertain, and variable results of the present system or lack of system of judicial review," (2) the interpretation permitting substantiality to be determined without taking into account conflicting evidence, (3) the failure of existing formulas "to take account of differences between the various types of fact determinations," and (4) the practice of determining standards of review by "case-to-case procedure of the courts." They recommended that
"Until Congress finds it practicable to examine into the situation of particular agencies, it should provide more definitely by general legislation for both the availability and scope of judicial review in order to reduce uncertainty and variability. As the Committee recognizes in its report, there are several principal subjects of judicial review— including constitutional questions, statutory interpretation, procedure, and the support of findings of fact by adequate evidence. The last of these should, obviously we think, mean support of all findings of fact, including inferences and conclusion of fact, upon the whole record. Such a legislative provision should, however, be qualified by a direction to the courts to respect the experience, technical competence, specialized knowledge, and discretionary authority of each agency. We have framed such a provision in the appendix to this statement." Id., 210-212.
The text of the recommended provision is as follows:
"(e) Scope of review.—As to the findings, conclusions, and decisions in any case, the reviewing court, regardless of the form of the review proceeding, shall consider and decide so far as necessary to its decision and where raised by the parties, all relevant questions of: (1) constitutional right, power, privilege, or immunity; (2) the statutory authority or jurisdiction of the agency; (3) the lawfulness and adequacy of procedure; (4) findings, inferences, or conclusions of fact unsupported, upon the whole record, by substantial evidence; and (5) administrative action otherwise arbitrary or capricious. Provided, however, That upon such review due weight shall be accorded the experience, technical competence, specialized knowledge, and legislative policy of the agency involved as well as the discretionary authority conferred upon it." Id., 246-247.
[15] 60 Stat. 237, 5 U. S. C. § 1001 et seq. The form finally adopted reads as follows:
"SEC. 10. Except so far as (1) statutes preclude judicial review or (2) agency action is by law committed to agency discretion—
.....
"(e) SCOPE OF REVIEW.—So far as necessary to decision and where presented the reviewing court shall decide all relevant questions of law, interpret constitutional and statutory provisions, and determine the meaning or applicability of the terms of any agency action. It shall (A) compel agency action unlawfully withheld or unreasonably delayed; and (B) hold unlawful and set aside agency action, findings, and conclusions found to be (1) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law; (2) contrary to constitutional right, power, privilege, or immunity; (3) in excess of statutory jurisdiction, authority, or limitations, or short of statutory right; (4) without observance of procedure required by law; (5) unsupported by substantial evidence in any case subject to the requirements of sections 7 and 8 or otherwise reviewed on the record of an agency hearing provided by statute; or (6) unwarranted by the facts to the extent that the facts are subject to trial de novo by the reviewing court. In making the foregoing determinations the court shall review the whole record or such portions thereof as may be cited by any party, and due account shall be taken of the rule of prejudicial error." 60 Stat. 243-244, 5 U. S. C. § 1009 (e). (Italics ours.)
In the form in which the bill was originally presented to Congress, clause (B) (5) read, "unsupported by competent, material, and substantial evidence upon the whole agency record as reviewed by the court in any case subject to the requirements of sections 7 and 8." H. R. 1203, 79th Cong., 1st Sess., quoted in S. Doc. No. 248, 79th Cong., 2d Sess. 155, 160. References to competency and materiality of evidence were deleted and the final sentence added by the Senate Committee. S. Rep. No. 752, 79th Cong., 1st Sess. 28; S. Doc. No. 248, supra, 39-40, 214. No reason was given for the deletion.
[16] A statement of the Attorney General appended to the Senate Report explained that the bill "is intended to embody the law as declared, for example, in Consolidated Edison Co. v. National Labor Relations Board (305 U. S. 197)." Section 10 (e) of Appendix B to S. Rep. No. 752, supra, reprinted in S. Doc. No. 248, supra, 230. Mr. McFarland, then Chairman of the American Bar Association Committee on Administrative Law, testified before the House Judiciary Committee to the same effect. Id., 85-86.
[17] The following quotation from the report of the Senate Judiciary Committee indicates the position of the sponsors. "The `substantial evidence' rule set forth in section 10 (e) is exceedingly important. As a matter of language, substantial evidence would seem to be an adequate expression of law. The difficulty comes about in the practice of agencies to rely upon (and of courts to tacitly approve) something less—to rely upon suspicion, surmise, implications, or plainly incredible evidence. It will be the duty of the courts to determine in the final analysis and in the exercise of their independent judgment, whether on the whole record the evidence in a given instance is sufficiently substantial to support a finding, conclusion, or other agency action as a matter of law. In the first instance, however, it will be the function of the agency to determine the sufficiency of the evidence upon which it acts—and the proper performance of its public duties will require it to undertake this inquiry in a careful and dispassionate manner. Should these objectives of the bill as worded fail, supplemental legislation will be required." S. Rep. No. 752, supra, 30-31. The House Committee Report is to substantially the same effect. H. R. Rep. No. 1980, 79th Cong., 2d Sess. 45. The reports are reprinted in S. Doc. No. 248, supra, 216-217, 279.
See also the response of Senator McCarran in debate, to the effect that the bill changed the "rule" that courts were "powerless to interfere" when there "was no probative evidence." Id., 322. And see the comment of Congressman Springer, a member of the House Judiciary Committee, id., 376.
[18] 61 Stat. 136, 29 U. S. C. (Supp. III) § 141 et seq.
[19] H. R. 3020, 80th Cong., 1st Sess., § 10 (e), reprinted in 1 Legislative History of the Labor Management Relations Act, 1947, p. 71.
[20] The history of the evolution of the Senate provision was given by Senator Morse. 93 Cong. Rec. 5108, reprinted in 2 Legislative History 1504-1505. The prints were not approved by the Committee.
[21] S. Rep. No. 105, 80th Cong., 1st Sess. 26-27, reprinted in 1 Legislative History 432-433. The Committee did not explain what the ambiguity might be; and it is to be noted that the phrase it italicized is indistinguishable in content from the requirement of § 10 (e) of the Administrative Procedure Act that "the court shall review the whole record or such portions thereof as may be cited by any party . . . ."
Senator Taft gave this explanation to the Senate of the meaning of the section: "In the first place, the evidence must be substantial; in the second place, it must still look substantial when viewed in the light of the entire record. That does not go so far as saying that a decision can be reversed on the weight of the evidence. It does not go quite so far as the power given to a circuit court of appeals to review a district-court decision, but it goes a great deal further than the present law, and gives the court greater opportunity to reverse an obviously unjust decision on the part of the National Labor Relations Board." 93 Cong. Rec. 3839, reprinted in 2 Legislative History 1014.
[22] H. R. Rep. No. 510, 80th Cong., 1st Sess. 56, reprinted in 1 Legislative History 560. In Labor Board v. Nevada Consolidated Copper Corp., 316 U. S. 105, 107, we reversed a judgment refusing to enforce a Board order because "upon an examination of the record we cannot say that the findings of fact of the Board are without support in the evidence." The sufficiency of evidence to support findings of fact is not involved in the three other decisions of this Court to which reference was made. Labor Board v. Hearst Publications, Inc., 322 U. S. 111; Republic Aviation Corp. v. Labor Board and Labor Board v. Le Tourneau Co., 324 U. S. 793. The language used by the court offers a probable explanation for including two of the decisions of Courts of Appeals. In Wilson & Co. v. Labor Board, 126 F. 2d 114, 117, the Court of Appeals for the Seventh Circuit sustained a finding that the employer dominated a company union after stating that it had "recognized (or tried to) that findings must be sustained, even when they are contrary to the great weight of the evidence, and we have ignored, or at least endeavored to ignore, the shocking injustices which such findings, opposed to the overwhelming weight of the evidence, produce." Labor Board v. Columbia Products Corp., 141 F. 2d 687, 688, is a per curiam decision of the Court of Appeals for the Second Circuit sustaining a finding of discriminatory discharge. The court said of the Board's decision on a question of fact, "Though it may strain our credulity, if it does not quite break it down, we must accept it . . . ." The reason for disapproval of Labor Board v. Union Pacific Stages, 99 F. 2d 153, is not apparent. The Court of Appeals for the Ninth Circuit there enforced the portion of the Board's order directing the company to disavow a policy of discrimination against union members, on the ground that there appeared "to be evidence, although disputed," that some company officials had discouraged employees from joining. 99 F. 2d at 179. The bulk of the lengthy opinion, however, is devoted to a discussion of the facts to support the court's conclusion that the Board's findings of discriminatory discharges should not be sustained.
[23] Labor Board v. Standard Oil Co., 138 F. 2d 885; Labor Board v. Columbia Products Corp., 141 F. 2d 687. See notes 8 and 22, supra.
[24] Rule 53 (e) (2), Fed. Rules Civ. Proc., gives finality to the findings of a master unless they are clearly erroneous.
The court's ruling excluding from consideration disagreement between the Board and the examiner was in apparent conflict with the views of three other circuits. Labor Board v. Ohio Calcium Co., 133 F. 2d 721, 724 (C. A. 6th Cir.); A. E. Staley Mfg. Co. v. Labor Board, 117 F. 2d 868, 878 (C. A. 7th Cir.); Wilson & Co. v. Labor Board, 123 F. 2d 411, 418 (C. A. 8th Cir.); cf. International Assn. of Machinists v. Labor Board, 71 App. D. C. 175, 180, 110 F. 2d 29, 34 (C. A. D. C. Cir.).
[25] Final Report, 51.
[26] §§ 308 (1) and 309 (2) of the proposed bill, quoted in Final Report, 200, 201.
[27] § 8 (a), 60 Stat. 242, 5 U. S. C. § 1007 (a). The quoted provision did not appear in the bill in the form in which it was introduced into the Senate. S. 7, 79th Cong., 1st Sess., § 7. It was added by the Senate Judiciary Committee. The Committee published its reasons for modifying the earlier draft, but gave no explanation for this particular change. See S. Doc. No. 248, supra, 32-33. It is likely that the sentence was intended to embody a clause in the draft prepared by the Attorney General's Committee, which provided that on review of a case decided initially by an examiner an agency should have jurisdiction to remand or to "affirm, reverse, modify, or set aside in whole or in part the decision of the hearing commissioner, or itself to make any finding which in its judgment is proper upon the record." § 309 (2), Final Report, 201. The substance of this recommendation was included in bills introduced into the House. H. R. 184, 79th Cong., 1st Sess., § 309 (2), and H. R. 339, 79th Cong., 1st Sess., § 7 (c), both quoted in S. Doc. No. 248, supra, 138, 143.
[28] Salaries of trial examiners range from $7,600 to $10,750 per year. See Appendix to the Budget of the United States Government for the fiscal year ending June 30, 1952, p. 47.
[29] S. Rep. No. 752, supra, 24, reproduced in S. Doc. No. 248, supra, 210.
[30] H. R. Rep. No. 1980, 79th Cong., 2d Sess. 38-39, reprinted in S. Doc. No. 248, supra, 272-273. The House Report added that "In a broad sense the agencies' reviewing powers are to be compared with that of courts under section 10 (e) of the bill." The language of the statute offers no support for this statement.
[31] S. Rep. No. 105, 80th Cong., 1st Sess. 9, quoted in 1 Legislative History of the Labor Management Relations Act, 1947, p. 415.
8.1.2 Torres v. Mukasey, 551 F.3d 616 (7th Cir. 2008 8.1.2 Torres v. Mukasey, 551 F.3d 616 (7th Cir. 2008
Pedro Flores TORRES, Petitioner, v. Michael B. MUKASEY, Attorney General of the United States, Respondent.
No. 08-1614.
United States Court of Appeals, Seventh Circuit.
Argued Sept. 8, 2008.
Decided Dec. 23, 2008.
*621Barbara M. Szweda, Attorney (argued), Salt Lake City, UT, for Petitioner.
Hillel R. Smith, Kristina R. Sracic (argued), Department of Justice, Civil Division, Immigration Litigation, Washington, DC, for Respondents.
Before POSNER, KANNE, and TINDER, Circuit Judges.
Pedro Flores Torres, a native and citizen of Honduras, seeks asylum, withholding of removal, and relief under the Convention Against Torture. Torres claims that he was persecuted while a soldier in the Honduran army because of his membership in a social group — namely, his family, which included four older brothers, three of whom were military deserters. Torres asserts that he was tortured and abused as punishment for his brothers’ actions. On May 31, 2006, Immigration Judge Carlos Cuevas declined Torres’s primary requests for asylum, withholding of removal, and protection under the Convention Against Torture, granting instead his alternative prayer for voluntary departure. The IJ found that Torres lacked credibility because of, first, inconsistencies and omissions in Torres’s written application for asylum and his testimony at a series of immigration hearings, and second, Torres’s inability to establish the requisite nexus between Torres’s mistreatment and his family’s unfavorable reputation in the Honduran military. The Board of Immigration Appeals summarily affirmed the IJ’s decision in an order issued February 15, 2008. We find that the IJ’s credibility determination was tainted due to the IJ’s improper conduct during the hearings and that there was not substantial evidence to support the IJ’s conclusions. We vacate the decisions of the BIA and IJ and remand for further proceedings.
I. History
Pedro Flores Torres entered the United States without inspection in October 2003 and submitted a written application for asylum and withholding of removal one year later. In December 2004, the Department of Homeland Security charged Torres with being removable as an unad-mitted alien pursuant to 8 U.S.C. § 1182(a)(6)(A)(i). At a series of immigration hearings held in April and May 2006, Torres admitted he was removable but renewed his requests for asylum and withholding of removal, as well as relief under the Convention Against Torture. Torres’s written application, accompanying affidavits, and testimony by Torres and his brother Juan Carlos provide the following facts.
A. The Flores Torres Family
From 1959 to 1979, Guadalupe Torres gave birth to eight children in Comayagua, a village in Honduras. Five of these children were boys. The oldest son, Mario Noe, was born in 1959. The next three sons — Luis Elias, Gerardo Isaac, and Juan Carlos — were born in 1962, 1969, and 1977, respectively. The youngest child, Pedro Alfredo, is the petitioner in this matter and was born in 1979. The children’s father left the family shortly after Pedro’s birth.
*622Pedro’s four older brothers were conscripted into the Honduran navy, where each spent at least some time at the naval base in Amapala, near the El Salvadoran border. While serving, each of the four older sons endured brutal mistreatment at the hands of his superiors. Three of the four ultimately deserted the navy to escape these abuses. Because Pedro’s claims are based largely on his brothers’ experiences within the Honduran military, those experiences merit some discussion.
Mario is the only Torres son not considered a military deserter. Mario served for approximately one year, during which time his arm was broken and his ear punctured, resulting in permanent hearing damage. He escaped, only to be captured and put back into active service. At one point, Mario, Luis, and Gerardo were all serving in the Honduran military at the same time. This prompted the navy, due in part to heavy lobbying by Gerardo, to release Mario pursuant to a Honduran law that prohibited any one family from having more than two members in the military.
The second son, Luis, suffered two broken arms from a severe beating with a baton and fled the navy soon thereafter. Soldiers found him in a hospital and returned him to duty. After enduring further mistreatment, Luis escaped again, this time with a broken leg. When the military found Luis the second time, it determined that his disabled condition rendered him useless to serve and designated him a deserter.
The actions of the third son, Gerardo, were particularly aggravating to the military. In addition to lobbying for Mario’s discharge, Gerardo refused to commit war crimes, citing his Christian faith to explain his unwillingness to kill his innocent countrymen. Gerardo was imprisoned for fifteen days, deprived of food, and savagely beaten. As further punishment, his commander made Gerardo walk through a field of land mines while the commander lobbed grenades in his direction, one of which tore away one of Gerardo’s legs and ravaged his back with shrapnel. His commander left Gerardo to die in the mine field, but Gerardo’s compatriots helped him escape alive. Faced with what he felt was a certain death if he returned to his unit, Gerardo deserted.
Juan Carlos, only two years Pedro’s senior, was conscripted into the Honduran navy in 1994 at the age of seventeen, one year before he was of legal age to serve. He was singled out for abuse because of Gerardo’s exploits. Once, when Juan Carlos fell during a run, a superior officer slashed his leg with a bayonet, inflicting an injury that required surgery. Following the operation, doctors told Juan Carlos that he needed two months to recover; instead, he was forced back into training after only fifteen days. His unhealed leg made it impossible for him to perform, and the premature exercise reopened his wound. Juan Carlos deserted in 1995.
Today, two of the brothers, Mario and Luis, live secretly in Honduras, afraid of military retribution for their family’s history. Gerardo and Juan Carlos both escaped to the United States. Gerardo was granted asylum in 1994 and died one year later, at the age of twenty-five, from brain cancer. Juan Carlos was granted asylum in 1995 and is now a United States citizen. He resides in Elkhart, Indiana, near two of his sisters, both of whom are legal permanent residents.
As a result of these disturbing circumstances, repeated not once but four times, the tale of the Flores Torres brothers has apparently gained some notoriety within Honduran military circles: the Flores Torres clan is known as a family of deserters. Juan Carlos was the first son punished by the military in retribution for his brothers’ *623exploits. His past persecution on account of his family formed the basis of his successful asylum claim. As we will discuss below, Pedro, the youngest son and the last to serve in the military, also was forced to pay for the perceived offenses of his four brothers.
B. Pedro Flores Torres’s Tenure in the Honduran Army
Born September 26, 1979, Pedro Alfredo Flores Torres attended school in Comay-agua until age eleven. For the next eleven years, he painted automobiles for car repair shops, earning money to help support his mother.
Pedro stated in both his written asylum application and his testimony before the immigration judge that in February 2002, two Honduran soldiers left notice at Guadalupe’s home that Pedro had twenty-four hours to report for military duty. Although military service is no longer compulsory in Honduras, Pedro testified that he felt he “did not have any other option” but to enlist. If he did not, Pedro believed that he would be found and beaten, or worse, would simply “disappear.” The next day, Pedro reported to the Primer Battalon de Artilleria, an inland army base near the town of Zambrano, where he became a member of the artillery corps.
According to Pedro’s testimony, upon reporting for duty he was confronted by his commanding officer, Colonel Luis Martinez. Pedro testified that Martinez said to him, “I was waiting.... You are the last one in the family.”
Pedro claimed that he was subjected almost immediately to physical and mental abuse from his superiors — mistreatment above and beyond anything suffered by other soldiers. Pedro stated that officers and other soldiers called him degrading names and violently beat him. According to his affidavit, Pedro’s fellow soldiers and a superior officer told Pedro that his mistreatment was “because of [his] brothers.”
Pedro mounted two unsuccessful escape attempts during his first six months of service. The first, which came approximately five months into Pedro’s tenure, ended with a savage beating at the hands of military guards who apprehended Pedro in the act of fleeing. The second came only a week later and again ended with a beating from a guard’s baton. Following the second attempt, Pedro was stripped of his clothing and locked in solitary confinement, a place Pedro called “the hole.”
In his affidavit, Pedro said the hole was “what hell must be like.” A darkened room measuring one meter on all sides, the hole provided no space for its captive to lie down. There was little ventilation, and the heat was intense. Because he could not leave, Pedro was forced to use the hole to relieve himself. For forty days, Pedro remained trapped, nude, in his own excrement; the stench was overwhelming. During those forty days, Pedro was given beans and tortillas once a day, as well as two small servings of water. When he finally emerged, Pedro had lost forty pounds, one-third of his body weight.
Pedro discussed the name calling, the beatings, the two failed escape attempts, and the forty days of solitary confinement in both his written asylum application and his testimony. During his testimony before the immigration judge, however, Pedro discussed several additional examples of abuse for the first time.
In the first, Colonel Martinez ordered Pedro stripped nude and placed in a large, water-filled barrel. The water was high enough that only Pedro’s nose remained above the surface. Pedro stated that his first time in the water barrel occurred one month after he enlisted; the last was in July 2003, one month before he successful*624ly escaped. On questioning by the immigration judge, Pedro testified that he was subjected to the water barrel on approximately eighty different occasions, and that he was sometimes held in the barrel for as long as ten hours; other times he was held overnight. He further testified that fifteen times medics had to pump his chest when he was pulled from the water barrel. Martinez told Pedro that the water barrel was “to pay for the escape of [his] brothers.”
The second relevant chain of events that emerged during Pedro’s testimony involved mock killings at the hands of Colonel Martinez. Pedro stated that Martinez would tell him, “I’m going to kill you,” place a pistol to Pedro’s head, and pull the trigger. The gun, unbeknownst to Pedro, was unloaded. Pedro testified that Martinez said this was to make Pedro “pay for [his] brothers’ desertion.” The first of “many times” these mock executions occurred was two to three weeks after Pedro joined the army.
The final example of mistreatment that Pedro discussed for the first time during his immigration hearings was Colonel Martinez forcing him to run nude in front of his unit. According to Pedro, one month into his time with the army, Martinez forced Pedro to run completely naked during a training run, with nothing covering him but a rifle slung across his back and a second rifle that he carried in his arms. He was even denied footwear. Pedro testified that Martinez ordered his soldiers to “[p]ut this man to run until he falls dead.” Pedro also stated, in testimony that was often jumbled because of language difficulties and the IJ’s frequent interruptions, that Martinez told him, “[Y]ou have to pay for what your brothers did for their escape because they violated. They defy the army.” Pedro stated that this occurred on numerous occasions.
Seventeen months after he joined the Honduran army, Pedro succeeded in escaping during a military celebration. After a brief visit with his mother, whom the military had prevented Pedro from seeing during his time in the army, Pedro began his journey north to seek refuge with his family in the United States. He now lives near his brother and two sisters in Elk-hart.
C. Prior Decisions by the Immigration Judge and the Board of Immigration Appeals
Immigration Judge Cuevas held a series of three hearings on April 19, April 25, and May 31, 2006. The IJ played an active role in the hearings, frequently interjecting himself into the testimony. At the conclusion of the proceedings, the IJ issued an oral decision denying Pedro’s requests for asylum, withholding of removal, and protection under the Convention Against Torture. The IJ based his decision on what he found to be Pedro’s lack of credibility. The IJ granted Pedro’s alternative request for voluntary departure. The BIA summarily affirmed the IJ’s decision in a written opinion issued on February 15, 2008.
II. Analysis
An IJ’s decision to deny a petition for asylum and withholding of removal is a finding of fact that we review for substantial evidence. Capric v. Ashcroft, 355 F.3d 1075, 1086 (7th Cir.2004). We must affirm the immigration court’s decision if it is supported by “reasonable, substantial, and probative evidence on the record considered as a whole.” INS v. Elias-Zacarias, 502 U.S. 478, 481, 112 S.Ct. 812, 117 L.Ed.2d 38 (1992) (internal quotation marks omitted). We will reverse only if the evidence “ ‘compels [a] contrary conclusion.’ ” Ciorba v. Ashcroft, 323 F.3d 539, *625544 (7th Cir.2003) (quoting Bradvica v. INS, 128 F.3d 1009, 1012 (7th Cir.1997)). When, as here, the BIA adopts the reasoning of the IJ, we review the IJ’s decision under this deferential standard. Ursachi v. INS, 296 F.3d 592, 594 (7th Cir.2002).
In this case, Torres pursued three alternative paths to avoid removal from the United States: asylum, withholding of removal, and protection under the Convention Against Torture. Below, we first discuss the standards for these claims. The IJ’s decision in all three of these areas hinged on his determination that Pedro’s evidence lacked credibility, a finding that we review in depth in the final portion of our discussion.
A. Standards for Asylum, Withholding of Removal, and Relief Under the Convention Against Torture
The IJ first rejected Torres’s petition for asylum. A petitioner for asylum bears the burden of proving that he is a “refugee” within the meaning of 8 U.S.C. § 1101(a)(42). See also 8 C.F.R. § 1208.13(a). Specifically, Torres must demonstrate that, because of his race, religion, nationality, membership in a particular social group, or political opinion, he either was the victim of past persecution or maintains a well-founded fear of future persecution. Oryakhil v. Mukasey, 528 F.3d 993, 998 (7th Cir.2008); see also 8 U.S.C. § 1101(a)(42); 8 C.F.R. § 1208.13(b). Even if an individual satisfies these requirements, he is not guaranteed asylum. Final asylum decisions rest in the discretion of the Attorney General or the Secretary of Homeland Security. Jun Ying Wang v. Gonzales, 445 F.3d 993, 997 (7th Cir.2006); see also 8 U.S.C. § 1158(b)(1)(A).
The IJ also declined Torres’s second request, which was for withholding of removal pursuant to 8 U.S.C. § 1231(b)(3). To succeed in this claim, Torres must establish a clear probability of persecution if returned to Honduras. See Prela v. Ashcroft, 394 F.3d 515, 519 (7th Cir.2005). In other words, Torres must show that it is more likely than not that he would be persecuted upon return to his native country. See id. As with claims for asylum, the persecution here must be on account of one of the five statutorily defined grounds. Id.; see also 8 U.S.C. § 1231(b)(3). The “clear probability of persecution” standard is a higher threshold than that for asylum. Bevc v. INS, 47 F.3d 907, 910 (7th Cir.1995). Thus, because Torre’s attempt at asylum failed, his claim for withholding of removal had to fail as well. See Toptchev v. INS, 295 F.3d 714, 720 (7th Cir.2002).
Successful applicants for either asylum or withholding of removal must show that they have been, or will be, the victim of persecution. We have described “persecution” as “punishment or the infliction of harm for political, religious, or other reasons that this country does not recognize as legitimate.” De Souza v. INS, 999 F.2d 1156, 1158 (7th Cir.1993). Acts of persecution must rise above “mere harassment,” Roman v. INS, 233 F.3d 1027, 1034 (7th Cir.2000), and include threats to life or freedom, as well as non-life threatening violence or physical abuse, Ciorba, 323 F.3d at 545. As examples of persecution, we have cited “detention, arrest, interrogation, prosecution, imprisonment, illegal searches, confiscation of property, surveillance, beatings, or torture.” Mitev v. INS, 67 F.3d 1325, 1330 (7th Cir.1995).
As a third and final avenue to avoiding removal, Torres also requested protection under the Convention Against Torture. See 8 C.F.R. § 208.16(C). To succeed, Torres must prove that it is more *626likely than not that he will be tortured within the meaning of the Convention if he returns to Honduras. See Prela, 394 F.3d at 519; see also 8 C.F.R. § 208.16(c)(4). “Torture” is “any act by which severe pain or suffering, whether physical or mental, is intentionally inflicted on a person ... by or at the instigation of or with the consent or acquiescence of a public official or other person acting in an official capacity.” 8 C.F.R. § 208.18(a)(1). The IJ in this case declined Torres’s request for relief under the Convention Against Torture.
B. The IJ’s Adverse Credibility Determination
The IJ rejected all three of Torres’s claims — for asylum, withholding of removal, and protection under the Convention Against Torture — solely because the IJ found that Torres’s evidence lacked credibility.
One of an immigration judge’s primary functions is to assess the credibility of an applicant’s evidence. Capric, 355 F.3d at 1085. When making a credibility determination, an IJ evaluates the applicant’s claims “only for internal consistency, detail, and plausibility.” Id. The IJ’s credibility finding is often paramount “[b]e-cause direct authentication or verification of an alien’s testimony and/or evidence is typically very difficult and often impossible.” Id. In lieu of direct evidence, an alien’s credible testimony, by itself, is generally sufficient to sustain the alien’s burden of proof. Lin v. Ashcroft, 385 F.3d 748, 756 (7th Cir.2004); Uwase v. Ashcroft, 349 F.3d 1039, 1041 (7th Cir.2003); see also 8 C.F.R. § 208.13(a). If the IJ finds an alien’s testimony to be incredible, however, then the alien must provide either a convincing explanation for the noted discrepancies in his evidence or credible evidence that corroborates his claims. Capric, 355 F.3d at 1086.
If the IJ’s credibility determination is supported by “specific, cogent reasons that bear a legitimate nexus to the finding,” then this court will be highly deferential in its review of that conclusion. Capric, 355 F.3d at 1086 (internal quotation marks omitted); see also Hysi v. Gonzales, 411 F.3d 847, 852 (7th Cir.2005) (“We give great deference to an IJ’s credibility determinations so long as they are supported by cogent reasons that bear a legitimate nexus to the finding.” (emphasis added)); Ahmad v. INS, 163 F.3d 457, 461 (7th Cir.1999). We will not, however, “defer to credibility determinations drawn from insufficient or incomplete evidence, nor shall we uphold adverse credibility determinations based on speculation or conjecture, rather than on evidence in the record.” Korniejew v. Ashcroft, 371 F.3d 377, 383 (7th Cir.2004) (international quotation marks and citations omitted).
In addition, we have recognized that an IJ’s improper behavior while conducting an immigration hearing can render his credibility determinations unreliable. See, e.g., Huang v. Gonzales, 403 F.3d 945, 950-51 (7th Cir.2005). The record reveals that the IJ’s conduct had that effect here. Thus, before beginning our substantive review of the specific reasons the IJ gave in support of his adverse credibility determination, we find it necessary to discuss our disapproval of the IJ’s conduct during Torres’s hearings.
1. The Immigration Judge’s Conduct During the Hearings
For purposes of developing the record, an immigration judge may question an applicant for asylum during a hearing. Hasanaj v. Ashcroft, 385 F.3d 780, 783 (7th Cir.2004). In so doing, the IJ may not “demonstrate impatience, hostility, or a predisposition against the applicant’s *627claim.” Huang, 403 F.3d at 948. We have overturned an IJ’s credibility findings when the IJ does more than “ask ... a few questions,” but instead “actively interject[s] himself into the proceedings, far exceed[s] his role of developing the record, and at times assume[s] an inquisitorial role.” Id. That is exactly what the IJ did here.
The transcripts of Torres’s immigration hearings are littered with lengthy discourses by the IJ. In fact, it appears from the transcripts that direct questioning by the IJ occupied more than half of the hearings. The IJ’s impatience with Torres was glaring, even through the emotionless pages of the hearing transcript. The IJ grew frustrated with the language barrier, a problem the IJ exacerbated by his unwillingness to give Torres the time he needed to compose his thoughts into meaningful sentences. Instead, the IJ assumed the role of inquisitor, incessantly interrupting Torres while he tried to assimilate his responses. The IJ’s questioning was so pervasive that it was often difficult to determine who was representing the federal government with more fervor — the IJ or the government’s attorney.
At times the IJ’s comments crossed the line. During one particularly troubling exchange concerning the occasions on which Martinez forced Torres to run nude in front of his unit, the IJ, noting the heat in Honduras, said, “I guess my point is that if it was hot outside, you’d rather run with less clothes, not naked. But you’d rather run with less clothes because it’s more comfortable.” (R. at 224.) The IJ seemed to be implying that Colonel Martinez, by forcing Torres to run nude in extreme heat, was actually doing him a favor.
At other times during the hearings, the IJ drew wholly unsubstantiated comparisons between service in the Honduran and American militaries. In the course of his questioning, the IJ referred to “boot camp” and “drill sergeants,” common American military concepts that were clearly unfamiliar to Torres. At one point, the IJ referenced a “signal man” in a question to Torres. When Torres’s counsel asked the IJ to clarify the term, the IJ replied simply, “He would know.”
We find the IJ’s conduct in this case analogous to the IJ’s conduct in Huang, 403 F.3d 945. There, the petitioner, a Chinese citizen, sought asylum based on her fear of persecution for her membership in an illegal Catholic church. Id. at 946. During the petitioner’s immigration hearing, the IJ aggressively questioned her, interrupted her, mischaracterized her testimony, and relied upon his personal knowledge of the Catholic faith in reaching his decision. Id. at 946, 947, 949-51. We concluded that the IJ’s excessive role in the questioning of the petitioner, his improper conduct during the hearing, and his reliance on personal beliefs rather than information contained in the record served to “taint” the IJ’s credibility finding. Id. at 950-51. As such, we found the tainted credibility finding “unsupported by specific, cogent reasons that bear a legitimate nexus to the finding” and remanded the case for further proceedings. Id. at 951 (internal quotation marks omitted).
Although we do not believe, as Torres argues, that the IJ’s conduct was so egregious as to violate Torres’s due process rights, we do find that the IJ’s overactive role during the hearings, his demonstrated impatience, his improper lines of questioning, and his reliance on personal knowledge beyond the facts in the record tainted his credibility findings. This conclusion, by itself, is sufficient to remand the case. See id. Because the IJ made additional errors in his analysis, however, we turn briefly to his substantive findings.
*628The IJ based his adverse credibility determination on three basic grounds: first, alleged inconsistencies surrounding the circumstances attending Torres’s enlistment in the Honduran army; second, Torres’s purported inability “to provide the nexus for the mistreatment”; and third, a series of three events that Torres omitted from his written asylum application and discussed for the first time during his testimony before the IJ. We consider each of these grounds in turn.
2. The Circumstances Attending Torres’s Enlistment in the Honduran Army
In his opinion, the IJ focused at length on the circumstances surrounding Torres’s decision to join the Honduran army. The IJ found particularly concerning (1) Torres’s alleged confusion about whether military service in Honduras was voluntary or compulsory, (2) apparent inconsistencies in Torres’s testimony regarding his level of pre-enlistment knowledge of the mistreatment endured by his brothers during their military service, and (3) Torres’s inability to explain why the military, if it was so intent on punishing the Flores Torres family, waited until Torres was twenty-two years old — four years older than the legal age of service-before forcing his enlistment. For the following reasons, we conclude, first, that Torres’s motivations for enlisting in the Honduran army are irrelevant to his claims of past persecution; and second, that the IJ erred in looking for evidence of Torres’s subjective fear of past persecution.
First, we find that Torres’s motivations behind his decision to join the Honduran army are irrelevant to his asylum application, and, as such, cannot form the basis for an adverse credibility determination. We have frequently overturned an IJ’s credibility determination if it is based on immaterial or inconsequential facts. See, e.g., Dong v. Gonzales, 421 F.3d 573, 577 (7th Cir.2005); Georgis v. Ashcroft, 328 F.3d 962, 968 (7th Cir.2003); Uwase, 349 F.3d at 1043; see also Korniejew, 371 F.3d at 383-84 (recognizing that a “minor inconsistency” alone was not enough to support an adverse credibility determination before finding additional facts to support upholding the IJ’s finding). What matters to Torres’s claim is whether he was persecuted on account of his familial ties once he became a soldier, not why he joined the Honduran army in the first place. The IJ’s reliance on these facts was misplaced. There is no logical connection between Torres’s reasons for enlisting and his claims of mistreatment while he served. Given the controlling questions of this case, such facts do not constitute “a valid, cogent reason for a negative credibility finding.” Uwase, 349 F.3d at 1042; see also Korniejew, 371 F.3d at 387 (“[W]e remind those evaluating administrative records that adverse credibility determinations should not be grounded in trivial details or easily explained discrepancies; as recounted above, an adverse credibility determination must be supported by ‘specific, cogent reasons’ that ‘bear a legitimate nexus to the finding.’ ” (quoting Ahmad, 163 F.3d at 461)).
Second, to the extent that the IJ considered whether the circumstances surrounding Torres’s enlistment in the Honduran military provided a basis for his subjective fear of persecution in the past, that analysis was in error. To establish a successful claim for asylum, an applicant must show either that he was the victim of past persecution or that he has a well-founded fear of future persecution. Oryakhil, 528 F.3d at 998; see also 8 U.S.C. § 1101(a)(42); 8 C.F.R. § 1208.13(b). A fear of future persecution must be both objectively and subjectively reasonable to *629be “well-founded.” Kllokoqi v. Gonzales, 439 F.3d 336, 345 (7th Cir.2005); see also 8 C.F.R. § 1208.13(b)(2). A victim of past persecution need not show any objective or subjective fear — only that he was in fact persecuted. See Bolante v. Mukasey, 539 F.3d 790, 794 (7th Cir.2008) (“Unless a petitioner establishes past persecution^] ... a petitioner must show that the fear of future persecution is subjectively genuine and objectively reasonable.”). In this case, Torres seeks to prove that the Honduran military persecuted him in the past; nonetheless, the IJ attempted to determine whether Torres “subjectively feared any persecution by surrendering himself to the military.” (R. at 78.) If, as the IJ’s opinion seems to indicate, the IJ was looking to these facts to establish Torres’s subjective fear of persecution in the past, that analysis was incorrect.
3. The Nexus for Torres’s Mistreatment as a Precondition to Credibility
As another basis for his adverse credibility determination, the IJ stated that “[t]he difficulty with crediting the respondent’s testimony is his inability to provide the nexus for the mistreatment.” (R. at 79.) As we discuss below, this analysis erected an insurmountable burden in Torres’s quest for asylum and, as such, was in error.
An applicant for asylum must demonstrate a nexus between his alleged persecution and one of five protected grounds. Wang, 445 F.3d at 998; Tamas-Mercea v. Reno, 222 F.3d 417, 425-26 (7th Cir.2000). A successful asylee must show that he was persecuted because of his race, religion, nationality, membership in a particular social group, or political opinion. Tamas-Mercea, 222 F.3d at 425. Our pri- or opinions make it clear that we consider family to be a cognizable social group within the meaning of the immigration law. Iliev v. INS, 127 F.3d 638, 642 & n. 4 (7th Cir.1997) (discussing this court’s history on this issue). Our sister circuits share this view. See, e.g., Lopez-Soto v. Ashcroft, 383 F.3d 228, 235 (4th Cir.2004); Jie Lin v. Ashcroft, 377 F.3d 1014, 1028 (9th Cir. 2004); Gebremichael v. INS, 10 F.3d 28, 36 (1st Cir.1993); see also In re Acosta, 19 I. & N. Dec. 211, 233 (BIA 1985) (holding that a social group consists of persons sharing “a common, immutable characteristic ... such as sex, color, or kinship ties ... ”), overruled on other grounds by In re Mogharrabi, 19 I. & N. Dec. 439, 439 (BIA 1987).
Although an individual seeking asylum must prove the requisite nexus to his claims of past or future persecution before his claim for asylum will be successful, he need not — in fact, he generally cannot — -prove this nexus as a precondition to credibility. One must be careful not to confuse the ultimate question- — whether the petitioner qualifies as a “refugee”— with the credibility analysis, which looks only at consistency, detail, and plausibility. Capric, 355 F.3d at 1085 (“A credibility analysis should not be confused with a burden of proof analysis.... ”).
In stating that “[t]he difficulty with crediting the respondent’s testimony is his inability to provide the nexus for the mistreatment,” the IJ conflated the nexus and credibility questions.1 This placed Tor*630res in a no-win situation. Torres attempted to prove the nexus for his mistreatment through his testimony, which the IJ found incredible; yet before the IJ would credit Torres’s testimony, he required a nexus for Torres’s mistreatment. Requiring a nexus for the mistreatment as a precursor for credibility was legal error.
Even assuming, arguendo, that the IJ did not err by requiring a nexus for Torres’s mistreatment as a prerequisite to finding him credible, a proper analysis of the record shows that Torres clearly did establish such a nexus. The IJ’s conclusions to the contrary — which we reiterate are tainted by the IJ’s improper conduct— are without support in the record, are irrelevant, or are based on the IJ’s speculation and, as such, do not provide a proper basis for an adverse credibility determination. See Georgis, 328 F.3d at 968; Korniejew, 371 F.3d at 383.
Torres’s testimony is rife with examples that provide his family’s history as the nexus for his mistreatment. Throughout the hearing, Torres noted the numerous occasions on which Colonel Martinez, his primary persecutor, referenced Torres’s family while inflicting harm on Torres. In at least one instance when Martinez placed an unloaded pistol to Torres’s head and pulled the trigger, Torres testified that Martinez said, “You are going to pay for your brothers’ desertion. You are going to pay for his escape because you are the last one that you we [sic] have.” (R. at 132.) According to Torres’s testimony, Martinez told Torres that he placed Torres in the water barrel because “I had to pay for the escape of my brothers.” (R. at 200.) Torres testified that when Martinez forced Torres to run nude in front of his unit, Martinez ordered, “Put this man to run until he falls dead.... Because you have to pay for what your brothers did for their escape because they violated. They defy the army.” (R. at 199.) Torres also stated, “I was so afraid that I was going to stay in [the army] and I was afraid to die in there. Because ... Colonel Luis Martinez told me that I was never going to leave that place.... Because I was going to pay for my brothers’ escape because I was the last one that remained.” (R. at 136-37.)
The IJ disregarded these statements and numerous others like them scattered throughout Torres’s testimony. Instead, the IJ focused on purported inconsistencies regarding Martinez’s involvement in, and motivation for, the mistreatment of Torres. In particular, the IJ questioned (1) why Martinez, if he played such a pivotal role in Torres’s mistreatment, was not named in Torres’s written asylum application; (2) why Martinez would say he knew Torres’s mother, while Guadalupe had no recollection of Martinez; (3) the plausibility of Torres’s story about his family’s military reputation in light of the different branches of military involved, the distance between the implicated military bases, and the length of time between the service of Torres’s brothers and his own; and (4) whether Torres’s mistreatment was punishment for his poor performance and his improper acts, not for his family’s affronts to the Honduran military. None of these provides a sound basis for the IJ’s adverse credibility finding.
This court has stated that “we will not automatically yield to the IJ’s conclusions when they are drawn from insufficient or incomplete evidence.” Georgis, 328 F.3d at 968. Similarly, we will not uphold credibility determinations “ ‘based on speculation or conjecture, rather than on evidence in the record.’ ” Korniejew, 371 F.3d at 383 *631(quoting Gao v. Ashcroft, 299 F.3d 266, 272 (3d Cir.2002)).
Keeping these things in mind, we turn first to Martinez’s purported absence from Torres’s affidavit. Other circuits have recognized that the “failure to file an application form that was as complete as might be desired cannot, without more, properly serve as the basis for a finding of a lack of credibility.” Aguilera-Cota v. INS, 914 F.2d 1375, 1382 (9th Cir.1990). A reading of the affidavit in this case reveals that although it does not mention Martinez by name, it does reference the role of Torres’s “supervisors” and “officers” in his mistreatment. In the affidavit, Torres noted that he was singled out for mistreatment by his “supervisors.” (R. at 396.) He also stated that “an officer who was training me told me directly that I received mistreatment because my last name was Flores Torres.” (R. at 396-97.) We find this to be more than ample specificity for the affidavit and in no way contradictory with Torres’s subsequent testimony. There is no basis here for an adverse credibility determination.
Next, we find it irrelevant to Torres’s claim whether Martinez knew Guadalupe Torres. Again, what matters is whether Martinez knew of Torres’s brothers and their history in the Honduran military. Martinez’s relationship, or lack thereof, with Guadalupe has little or no bearing on this. Further, we find the two statements — that Martinez knew Guadalupe but that Guadalupe had no memory of Martinez — not inconsistent. It is not clear from the testimony whether Martinez merely knew of Guadalupe (perhaps because of her status as the mother of the Flores Torres boys), or whether he claimed to know her personally. In addition, it is perfectly plausible that one party to an encounter has memory of the meeting while the other does not.
Third, the IJ speculated that Martinez did not know the history of the Flores Torres family. Without this information, Martinez would have no reason to persecute Torres on account of his membership in that family. In reaching this conclusion, the IJ found persuasive that Torres served in a different branch of the military (the Honduran army) than did his four brothers (all of whom served in the Honduran navy). He also noted the long distance between the naval base located in Amapala, where Torres’s brothers served, and the army base near Zambrano, which is where Torres was stationed. Finally, the IJ discussed the length of time between when Mario, Torres’s oldest brother, served, and when Torres served. The problem, however, is that the conclusion that Martinez was unaware of the Flores Torres family’s reputation within Honduran military circles is wholly without support in the record. The only evidence is unequivocal on this point. It shows that Martinez was well-versed in the exploits of the Flores Torres boys. The IJ’s attempts to cobble together a different story are based on nothing but speculation and conjecture.
Finally, Torres does not dispute, and the IJ correctly noted, that the punishment Torres received following both of his unsuccessful escape attempts came at the hands of unknowing soldiers and, hence, was not persecution on account of his family. What the IJ ignores, however, is the many other incidents — the water barrel, the mock executions, the running in the nude — that were done separate and apart from Torres’s escape attempts. As discussed above, it is these events, based on Martinez’s own words, that form the nexus for Torres’s persecution.
The IJ attempts to wrap these abuses in a blanket justification: punishment for *632Torres’s inability “to perform his exercises and responsibilities as a recruit to the satisfaction of his superiors.” (R. at 80.) Again, however, there is no information in the record to support this conclusion. The IJ improperly relied on his own assumptions about the Honduran military and Torres’s performance as a soldier to reach his decision.
Jp. Omissions from Torres’s Supporting Affidavit
By far the most troubling aspect of Torres’s application for asylum is that he omitted three separate series of significant events from his written application for asylum. Torres described these events in detail during his hearings before the IJ, but he failed to mention them at all in his written application. The first are the incidents in which Martinez submerged Torres up to his chin in a barrel of water for up to ten hours at a time. On examination by the IJ, Torres revealed that this happened to him approximately eighty times. (R. at 234.) The seven-page affidavit that Torres filed in support of his written application for asylum, however, is silent about these occurrences. The second notable omission from Torres’s written application is the series of mock executions performed at the hands of Colonel Martinez, in which Martinez would put an unloaded pistol to Torres’s head and pull the trigger. The third omission is the occasions on which Martinez forced Torres to run nude in front of his comrades. Again, the written application and accompanying affidavit make no mention of these events.
For Torres’s petition to succeed, these omitted events must be accepted as the basis of his claims. Torres’s written application generalizes about his mistreatment and focuses almost exclusively on his time in “the hole.” As we acknowledged above, however, it appears from both Torres’s affidavit and his testimony that Torres’s time in the hole, while deplorable, was punishment for Torres’s second escape attempt in the span of one week, not for being a member of the Flores Torres family. As such, this mistreatment lacks the requisite nexus to one of the five protected grounds and cannot form the basis of a successful asylum claim. See Tamas-Mercea, 222 F.3d at 425-26. Thus, if Torres is to succeed in his attempt for asylum, the three instances that were linked to his status as a Flores Torres brother and that were omitted from his written application' — the water barrel torture, the mock executions, and the nude running — must serve as the foundation of his claims.
According to Torres’s own testimony, these omitted incidents were examples of severe mistreatment. Fifteen times, Torres stated, medics had to revive him after pulling him from the water barrel. On multiple occasions Torres thought he was staring death in the face, only to hear the click of an empty chamber when Martinez pulled the trigger on the gun placed against Torres’s temple. And one can only imagine the humiliation that must come from being forced to run, without clothes, alongside one’s friends and comrades-in-arms. These events happened not once, not twice, but numerous times. Torres testified, for example, that Martinez subjected him to the water barrel torture on approximately eighty different occasions.
Our prior decisions have addressed the significance of omissions. In Korniejew, 371 F.3d 377, an immigration judge made an adverse credibility determination after a woman seeking asylum discussed certain instances of persecution in her affidavit but failed to mention them during her hearing. Id. at 381. We concluded that these were material omissions and upheld the Id’s decision. Id. at 384-85. We found several facts decisive in reaching *633that conclusion: (1) the omitted incident was the petitioner’s most recent personal encounter with her persecutors; (2) the omitted incident involved physical injury to the petitioner; (3) the petitioner was held overnight during the omitted incident; (4) the omitted incident was important in petitioner’s decision to flee her country; and (5) the petitioner did not offer a reasonable explanation for her failure to discuss the omitted incident during her hearing. Id.
We relied on our analysis in Komiejew as support for our later decision in Shmyhelskyy v. Gonzales, 477 F.3d 474 (7th Cir.2007), which had facts even more analogous to those presented in this case. In Shmyhelskyy, as here, the petitioner provided an additional claim during his hearing that he did not discuss in his written application, an omission the immigration judge found critical in concluding that the petitioner’s testimony was incredible. Id. at 479. In affirming the IJ’s adverse credibility finding, we discussed the factors from Komiejew and focused most of our attention in two areas: first, the severity of the omitted beating, and second, the petitioner’s inability to provide any explanation for his failure to allege the beating in his written application. Id. at 481.
In light of our analyses in Korniejew and Shmyhelskyy, we conclude that the three omissions in this case were significant. These were meaningful events during Torres’s time in the Honduran military — incidents that strike at the very heart of Torres’s claims. The mistreatment was severe. The occurrences were repetitive. These were the events, among others, that prompted Torres to flee. It only follows that these events should have been prevalent throughout not only Torres’s testimony, but his written application as well. The IJ, notwithstanding his improper conduct throughout the hearing and his flawed analysis on several other points, was correct in using these omissions as one basis for his adverse credibility determination. Where the IJ once again failed, however, was in the next stage of the analysis.
When, as here, a petitioner for asylum is faced with an adverse credibility finding based on material inconsistencies or omissions, the petitioner may counter with “a convincing explanation of the discrepancies or extrinsic — and credible — corroborating evidence.” Capric, 355 F.3d at 1086. At many junctures during his testimony, Torres provided explanations for the omissions from his application. Torres stated that he remained afraid of Martinez and that the omitted events had been humiliating. He was hesitant to discuss such humiliations with his attorney, who was nothing more than a stranger at the time she helped him construct his initial application and accompanying affidavit. As Torres explained during the hearings, only after he became more familiar with his attorney and began to trust her did he come forward with the additional information.
The IJ chose to disregard these explanations. The IJ, without additional justification, said only that “the respondent could not offer any persuasive reason as to why he had not detailed [these events] in his affidavit.” (R. at 82.) In reviewing this conclusion, we return to our earlier finding that the IJ’s conduct during the hearing tainted his analysis. Applying that finding to this situation, we conclude that the IJ’s opinion that these explanations were unpersuasive is incurably tainted by his improper conduct during the hearing and prejudiced by his continued reliance on facts either immaterial to Torres’s claims or derived from the ether of the IJ’s imagination. See Huang, 403 F.3d at 950-51. Although we will generally defer to the weight an IJ gives to a proffered explanation, see Georgis, 328 F.3d at 970, we will not do so when the *634IJ’s own conduct and flawed analysis serve to make the finding itself wholly unreliable.
III. Conclusion
We conclude that the IJ’s credibility determination was not based on “specific, cogent reasons that bear a legitimate nexus to the findings,” Huang, 403 F.3d at 948 (internal quotation marks omitted), and was therefore in error. Accordingly, the decision to deny Torres’s petition for asylum, withholding of removal, and protection under the Convention Against Torture was not supported by substantial evidence. We Vacate the BIA’s order for voluntary departure and Remand for further proceedings in accordance with this opinion. As we have done on prior occasions, see, e.g., Huang, 403 F.3d at 951; Lin, 385 F.3d at 757-58; Georgis, 328 F.3d at 970; Kerciku v. INS, 314 F.3d 913, 919 (7th Cir.2003), we encourage the BIA to assign a different judge to this case on remand, cf. Circuit Rule 36 of the United States Court of Appeals for the Seventh Circuit.