Date: 20100511
Docket: T-1476-08
Citation: 2010 FC 510
Toronto, Ontario, May 11,
2010
PRESENT: The Honourable Mr. Justice Hughes
BETWEEN:
MERCK & CO., INC. AND
MERCK FROSST CANADA LTD.
Applicants
and
PHARMASCIENCE INC. AND
THE MINISTER OF HEALTH
Respondents
REASONS FOR JUDGMENT AND JUDGMENT
[1]
This
is an application brought under the provisions of the Patented Medicines
(Notice of Compliance) Regulations, SOR/93-133 as amended (NOC
Regulations). The Applicants are the owner (Merck & Co., Inc.) and
Canadian licensee (Merck Frosst Canada Ltd.) of the patent at issue. I will refer
to them collectively as Merck. The Respondent Pharmascience Inc. is a generic
drug company seeking to gain approval from the other Respondent, the Minister
of Health, to market a drug in Canada known as finasteride for the treatment of
male baldness.
[2]
While
the original allegations made by Pharmascience involved several patents and
several claims, only one patent, Canadian Patent No. 2,173,457 (the ’457
Patent) and only one claim of that patent, claim 5, remains for determination.
The only issue before this Court is whether Pharmascience’s allegation that
claim 5 of the ’457 Patent is invalid, on a variety of grounds, is “justified”
within the provisions of section 6(2) of the NOC Regulations. For the Reasons
that follow I find that the allegation is justified and that the application is
dismissed with costs to Pharmascience.
The ’457 Patent and
Claim 5
[3]
The
patent at issue, the ’457 Patent, is entitled “Use of 5-Alpha Reductase
Inhibitors and Compositions for Treating Androgenic Alopecia”. It is
governed by the provisions of the post-October 1, 1989 version of the Patent
Act, R.S.C. 1985, c.P-4, sometimes called the “new” Patent Act, since
the application for that patent was filed in Canada after that date namely, on
October 11, 1994. The patent application was made available to the public on
April 20, 1995, the publication date. The patent was issued and granted to the
Applicant Merck & Co. Inc. on March 23, 1999. The term of the patent
expires twenty (20) years after the Canadian filing date, that is, on October
11, 2014.
[4]
The
only claim of the ’457 Patent at issue is claim 5. It is a “dependant” claim
since it is drafted in such a way so as to incorporate the provisions of other
claims. In this case one must read each of claims 1, 2, 3 and 4 so as to
understand claim 5. I repeat each of those claims:
1. The use of a
5α-reductase 2 inhibitor for the preparation of a medicament adapted for
oral administration useful for the treatment of androgenic alopecia in a person
and wherein the dosage amount is about 0.05 to 3.0 mg.
2. The use of claim
1, wherein the 5α-reductase 2 inhibitor is
17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-1-ene-3-one.
3. The use of claim
2, wherein the dosage is about 0.05 to 1.0 mg.
4. The use of claim
3, wherein the dosage is about 1.0 mg.
5. The use of claim
4, wherein the androgenic alopecia is male pattern baldness.
[5]
To
incorporate all the references to the prior claims into claim 5 it would read:
5. The use of 17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-1-ene-3-one
for the preparation of a medicament adapted for oral administration useful for
the treatment of male pattern baldness in a person and wherein the dosage
amount is about 1.0 mg.
[6]
Fortunately,
the descriptive part of the ’457 Patent at page 2, lines 9-10 uses the word
“finasteride” in place of the long complex chemical description set out above ,
therefore claim 5 can be written as follows:
5. The use of finasteride for the
preparation of a medicament adapted for oral administration useful for the
treatment of male pattern baldness in a person and wherein the dosage is about
1.0 mg.
[7]
This
claim is drafted in a peculiar style that originated in Europe called a
“Swiss” claim. I will address the “Swiss” style of this claim later in these
Reasons.
The ’457 Patent
[8]
The
’457 Patent is to be read from the viewpoint of a person skilled in the art to
which it pertains as of the publication date, April 20, 1995. It must be
remembered that statements made by the patentee, such as what constitutes the
prior art, are to be treated as binding admissions by the patentee (Eli
Lilly Canada Inc. v. Novopharm Limited, 2007 FC 596, 58 C.P.R. (4th)
214 at para. 142 (FC); Whirlpool Corp. v. Camco Inc. (1997), 76 C.P.R.
(3d) 150 at page 186 (F.C.T.D.), affirmed [2000] 2 S.C.R. 1067; Shire
Biochem Inc. v. Canada (Minister of Health), 2008 FC 538, 67 C.P.R.
(4th) 94 at para. 24; Pfizer Canada Inc. v. Novopharm Limited,
2005 FC 1299, 42 C.P.R. (4th) 502 at para. 78).
[9]
The
patent begins at page 1 with a general statement as to the field of the
invention. It is the treatment of a condition called androgenic alopecia
(called “aa” by the English Courts), including male pattern baldness (sometimes
referred to in these proceedings by the acronym MPB) with compounds described
as 5-alpha reductase isozyme 2 inhibitors (sometimes referred to as 5α-reductase:
The present invention is
concerned with the treatment of androgenic alopecia, including male pattern
baldness, with compounds that are 5-alpha reductase Isozyme 2 inhibitors.
[10]
At
pages 1 and 2 the patent describes the background to the invention with
particular discussion as to steroids and hormonal effects. The physical
manifestation described as benign prostatic hyperplasia is often referred to by
the acronym BPH in these proceedings:
BACKGROUND OF THE INVENTION
Certain undesirable physiological
manifestations, such as acne vulgaris, seborrhoea, female hirsutism, androgenic
alopecia which includes female and male pattern baldness, and benign prostatic
hyperplasia, are the result of hyperandrogenic stimulation caused by an
excessive accumulation of testosterone (PT”) or similar androgenic hormones in
the metabolic system. Early attempts to provide a chemotherapeutic agent to
counter the undesirable results of hyperandrogenicity resulted in the discovery
of several steroidal antiandrogens having undesirable hormonal activities of
their own. The estrogens, for example, not only counteract the effect of the
androgens but have a feminizing effect as well. Non-steroidal antiandrogens
have also been developed, for example, 4’-nitro-3’-trifluoromethylisobutyranilide.
See Neri, et al., Endocrinol 1972, 91 (2). However, these products, though
devoid of hormonal effects, compete with all natural androgens for receptor
sites, and hence have a tendency to feminize a male host or the male fetus of a
female host and/or initiate feed-back effects which would cause
hyperstimulation of the testes.
[11]
The
next paragraph in the background description portion of the ’457 Patent identifies
5α-dihydrotestosterone (DHT) as being something formed in target organs
such as the prostate by a 5α-reductase. Inhibition of 5α-reductase in
those organs will have a beneficial effect. It is noted that these are at least
two types of 5α-reductase, called type 1 and type 2. In these
proceedings, there is much discussion as to interaction with type 1 and type 2
5α-reductase and where in the body such types may occur:
The principal mediator or androgenic
activity in some target organs, e.g. the prostate, is a 5α-dihydrotestosterone
(“DHT”), formed locally in the target organ by the action of
testosterone-5α-reductase. Inhibitors of testosterone-5α-reductase
will serve to prevent or lessen symptoms of hyperandrogenic stimulation in
these organs. See especially United States Patent No. 4,377,584 assigned to Merck
& co., Inc., issued March 22, 1983. It is now known that a second 5α-reductase
isozyme exists, which interacts with skin tissues, especially in scalp tissues.
See, e.g., G. Harris, et al., Proc. Natl. Acad. Sci. USA, Vol. 89, pp.
10787-10791 (Nov. 1992). The isozyme that principally interacts in skin tissues
is conventionally designated as 5α-reductase 1 (or 5α-reductase type
1), while the isozyme that principally interacts within the prostatic tissues
in designated as 5α-reductase 2 (or 5α-reductase type 2).
The above passage makes reference to a
Harris paper which was extensively discussed by the experts and in argument.
The patent says that Harris says that type 1 reductase occurs in skin tissues
and type 2 in the prostate.
[12]
The
next paragraph in the background portion of the ’457 patent is an important
acknowledgement by the patentee as to what constitutes the prior art. The
patentee acknowledges that the drug in question, finasteride, is a known drug
and has been commercialized for use as a 5α-reductase inhibitor to treat
prostatic conditions. Utility of that drug in treating androgenic alopecia (aa)
is acknowledged. The paragraph states, however, that dosages exemplified in the
prior art ranged from 5 to 2000 mg. per patient per day:
Finasteride (17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-1-ene-one),
which is marketed by Merck & co., Inc. under the tradename PROSCAR®, is an
inhibitor of 5α-reductase 2 and is known to be useful for the treatment of
hyperandrogenic conditions. See e.g., U.S. Patent No. 4,760,071. Finasteride is
currently marketed in the United States and worldwide for the treatment of
benign prostatic hyperplasia. Finasteride’s utility in the treatment of
androgenic alopecia and prostatic carcinoma is also disclosed in the following
documents: EP 0 285,382, published 5 October 1988; EP 0 285 383,
published 5 October 1988; Canadian Patent
no. 1,302,277; and Canadian patent no. 1,302,276. The specific dosages
exemplified in the above-noted disclosures varied from 5 to 2000 mg. per
patient per day.
[13]
The
last paragraph in the background section of the ’457 Patent serves two
functions. First, it acknowledges the desirability of administering the drug in
the lowest dosage possible. Second, it describes the invention as the “surprisingly
unexpected” discovery that a low daily dosage of a 5α-reductase
inhibitor is particularly useful in treating androgenic alopecia:
In the treatment of androgenic
alopecia, which includes both female and male pattern baldness, and other
hyperandrogenic conditions, it would be desirable to administer the lowest
dosage possible of a pharmaceutical compound to a patient and still maintain
therapeutic efficacy. Applicants have surprisingly unexpectedly discovered that
a low daily dosage of a 5α-reductase 2 inhibitor is particularly useful in
the treatment of androgenic alopecia. Furthermore, a low daily dosage of a
5α-reductase 2 inhibitor may also be particularly useful in the treatment
of the hyperandrogenic conditions of acne vulgaris, seborrhoea, female
hirsutism, and polycystic ovary syndrome.
[14]
A
detailed description of the invention begins at page 35 of the patent. The
first three paragraphs at page 3 describe three different “aspects” of the
invention – the use of a 5α-reductase inhibitor in dosages from about 0.05
to 3.0 mg., a solid composition of such inhibitor in such dosages, and a
pharmaceutical composition of such inhibitor in such dosage. The fourth paragraph
describes a “particular embodiment” that tracks the language of the “Swiss”
claims. The fifth paragraph simply states that a “particular embodiment” is the
use of such inhibitor in such dosages.
The final paragraph on page 3 is a general
statement as to the invention being the treatment of conditions such as
androgenic alopecia in dosages under 5 mg per day:
-3-
DETAILED DESCRIPTION OF THE INVENTION
In accordance with
one aspect of the invention there is provided the use of a 5α-reductase 2
inhibitor for the preparation of a medicament adapted for oral administration
useful for the treatment of androgenic
alopecia in a person and wherein the dosage amount is about 0.05 to 3.0mg.
In accordance with
another aspect of the invention there is
provided a solid composition containing 17β-(N-tert-butylcaramoyl)-4-aza-5α-androst-ene-3-one
useful for the treatment of androgenic alopecia wherein the dosage is about
0.05 to 3.0 mg.
In accordance with
still another aspect of the invention there is provided an anti-androgenic
alopecia pharmaceutical composition comprising a 5α-reductase 2
inhibitor in an amount effective to provide a dosage of about
0.05 to 3.0 mg, in association with a pharmaceutically acceptable carrier.
In a particular embodiment of the invention there is
provided use of 17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-l-ene-3-one
in the manufacture of a medicament providing a dosage of said 5α-androst 1-ene-3-one of 0.05
to 3.0 mg, for the treatment of androgenic alopecia.
In another particular embodiment of the invention there
is provided 17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-l-ene-3-one
for use at a dosage of about 0.05 to 3.0 mg in the treatment of androgenic alopecia.
The instant
invention is concerned with treating and/or
reversing androgenic alopecia and promoting hair growth,
and treating acne vulgaris, seborrhea and female hirsutism. in
particular the treatment comprises administering to a patient in need of such
treatment a 5α-reductase 2 inhibitor in a dosage amount under 5 mgs/day.
[15]
The
first paragraph on page 3a states that the drug can be administered in dosage
amounts ranging from 0.01 to 3.0 mg/day to narrower ranges such as 0.05 to 0.2
mg/day:
In one embodiment of
this invention, the 5α-reductase 2 inhibitor is administered in a dosage
amount of from 0.01 to 3.0 mgs/day. In one class of this embodiment, the 5α -reductase 2
inhibitor is administered in a dosage amount of from 0.05 to 1.0 mg/day, and in
a sub-class of this embodiment, the 5α-reductase 2 inhibitor is
administered in dosage amounts of about 0.05 to 0.2 mg/day. Illustrating this
subclass are dosage amounts of about 0.05, 0.1, 0.15 and 0.2 mg/day.
Exemplifying the subclass are dosages of 0.05 and 0.2 mg/day. Compounds which
are inhibitors of 5α -reductase 2 can be
determined by employing the assay described below in Example 3.
[16]
There
follows from pages 3a to 5 a description as to the chemistry of the drugs and
processes for making them. This description is not relevant to these
proceedings.
[17]
At
page 5, the first full paragraph, there is a repetition of the dosage ranges,
followed by a statement that the drug can be used in combination with other
drugs such as minoxidil. This is important because some prior art, in
particular a patent application by Diani, who was working for a competitor of
Merck (Upjohn), deal with Upjohn’s drug minoxidil and mixtures of that drug
with finasteride. The paragraph ends with a statement that the two drugs can be
administered topically or orally or one by one method and the other one by the other
method:
. . .
Exemplifying
the invention are dosages of 0.05 and 0.2 mg/day. The term "treating
androgenic alopecia" is intended to include the arresting and/or reversing
of androgenic alopecia, and the promotion of hair growth. Also, a 5α-reductase
2 inhibitor, e.g., finasteride, at a dosage under 5 mgs/day can be used in
combination with a potassium channel opener, such as minoxidil or a
pharmaceutically acceptable salt thereof, for the treatment of androgenic
alopecia, including male baldness. The 5α-reductase 2 inhibitor and the
potassium channel opener may both be applied topically, or each agent can be
given via different administration routes; for example, the 5α-reductase 2
inhibitor may be administered orally while potassium channel opener may be
administered topically.
[18]
The
paragraph that begins at the bottom of page 5 and over to page 6 states that
the drug can be administered in a variety of forms, all said to be known to
those of ordinary skill. Tablets can
be scored which, counsel before me agree,
means they can be broken into pieces for administration in smaller doses. This
point is picked up at the beginning of the last paragraph on page 6:
The present invention also has the objective of providing suitable systemic, oral, parenteral and
topical pharmaceutical formulations for use in the treatment of the present invention. The compositions containing
5α-reductase 2 inhibitor compounds as the active ingredient for
use in the treatment of the above-noted hyperandrogenic conditions can be
administered in a wide variety of therapeutic dosage forms in conventional
vehicles for systemic
administration.
For example, the compounds can be administered in such oral dosage forms as solid or liquid compositions,
for example as tablets, capsules (each including timed release and sustained
release formulations), pills, powders, granules, elixirs, tinctures, solutions,
suspensions, syrups and emulsions. Likewise, they may also be administered in intravenous (both bolus
and infusion), intraperitoneal, subcutaneous, topical with or without
occlusion, or intramuscular form, all using forms well known to those of
ordinary skill in the pharmaceutical arts. For oral administration, for
example, the compositions can be provided in the form of scored or unscored
tablets containing 0.01, 0.05,
0.1,
0.2,
1.0, 2.0 and 3.0 milligrams of the active ingredient for the symptomatic
adjustment of the dosage to the patient to be treated.
. . .
Advantageously, compounds of the present invention may
be administered in a single daily dose or the total daily, dosage may be administered in divided doses of two, three or four times daily.
[19]
At
page 7, the patent acknowledges that dosage regimen can be selected by a
physician of ordinary skill having regard to a variety of factors:
The dosage regimen utilizing the compounds of the present
invention is selected in accordance with a variety of factors including type,
species, age, weight, sex and medical condition of the patient; the severity of
the condition to be treated; the route of administration; the renal and hepatic
function of the patient; and the particular compound thereof employed. A
physician or veterinarian of ordinary skill can readily determine and prescribe
the effective amount of the drug required to prevent, counter, arrest or
reverse the progress of the condition. Optimal precision in achieving
concentration of drug within the range that yields efficacy without toxicity
requires a regimen based on the kinetics of the drug's availability to target
sites. This involves a consideration of the distribution, equilibrium, and
elimination of a drug.
[20]
There
follows from pages 7 to 9 a discussion as to formulation of the drug which is
not relevant to these proceedings.
[21]
Commencing
at page 9 to the end of the descriptive portion of the patent, five examples
are presented. Only example 5 is relevant to these proceedings. Example 1 deals
with the preparation of finasteride, as does Example 2. Example 3 deals with
the preparation of human 5α-reductase. Example 4 describes a procedure for
measuring hair loss - essentially by taking photographs over a
period of time. Example 5 is all that is
said in respect of the effect of the administration of finasteride:
EXAMPLE 5
In another test, finasteride was orally administered for
6 weeks to men with male pattern baldness at doses of 0.2 mg/day, 1.0 mg/day
and 5.0 mgs/day. The results of this test showed a significant reduction
in DHT content in scalp tissue of the test participants.
[22]
There
is nothing else to tell the reader why it was concluded that a “significant
reduction” of DHT (5α -dihydrotestosterone)
occurred and at what dosage, whether 0.2 or 1.0 or 5.0mg/day.
[23]
The
claims follow. I repeat claim 5, as I have redrafted it by incorporating claims
1 to 4 and substituting finasteride for the chemical formula:
5. The use of finasteride for the
preparation of a medicament adapted for oral administration useful for the
treatment of male pattern baldness in a person and wherein the dosage is about
1.0 mg.
THE ISSUES
[24]
The
main issue is whether Pharmascience’s allegations as to invalidity of claim 5
of the ’457 Patent are justified within the meaning of section 6(2) of the NOC
Regulations. In determining that issue, I must determine the following
matters, which I will do in the following order:
1. Burden
2. Evidence
3. Person
of Ordinary Skill in the Art
4. Claim
Construction
a) History
of a Claims Requirement in Canada
b) History
of a Claims Requirement in Great Britain
c) Current State of the Law
in Canada
d) Tying it
All Together
e) The U.K. and European
Decisions as to “Swiss” Claims
f) “Swiss”
Claims in Canada
g) Claim
Construction – Notice of Allegation
h)
Construing Claim 5
5. Method
of Medical Treatment
6. Double
Patenting
7. Novelty
and Obviousness
a) General
b) The ’457
Patent
c) The Prior
Art
d) Viewing
the Prior Art Through the Eyes of a Person Skilled in the Art
e)
Conclusions as to the Evidence Respecting Novelty and Obviousness
f) Novelty
g)
Obviousness
8. Sound
Prediction/Overbreadth
[25]
I
am grateful to Counsel for each of the parties for their cooperation and civility
throughout this hearing. I am particularly grateful for the concise and
organized manner in which their arguments were presented, including the
provision of skeleton outlines, compendia and USB electronic storage devices
containing the various arguments and evidence, including hyperlinks in some
cases. Their conduct and preparation was exemplary. No Counsel participated in
these proceedings on behalf of the Minister.
1) Burden
[26]
The
only issue is that of validity of claim 5 of the ’457 Patent. I considered the
issue as to who bears the burden of proof as to validity in the context of
proceedings brought under the NOC Regulations several times, including
in Eli Lilly Canada Inc. v. Apotex Inc. (2008), 63 C.P.R. (4th)
406 at para. 58 (FC), and Pfizer Canada Inc. v. Canada (Minister of
Health), 2008
FC 11, 69 C.P.R. (4th) 191 at paras. 28 to 33. I adopted the
reasoning of Justice Mosley in Pfizer Canada Inc. v. Apotex Inc., 2007
FC 971, 61 C.P.R. (4th) 305. To repeat what I said at paragraph 32
of Pfizer,
2008 FC 11, 69 C.P.R. (4th) 191:
[32]
I do not view the reasoning of the two panels of the
Federal Court of Appeal to be in substantial disagreement. Justice Mosley
of this Court reconciled these decisions in his Reasons in Pfizer Canada Inc. v.
Apotex Inc., 2007 FC 971 at paragraphs 44 to 51. What is required, when
issues of validity of a patent are raised:
1.
The second person, in its Notice of Allegation may raise one or
more grounds for alleging invalidity;
2.
The first person may in its Notice of Application filed with the
Court join issue on any one or more of those grounds;
3.
The second person may lead evidence in the Court proceeding to
support the grounds upon which issue has been joined;
4.
The first person may, at its peril, rely simply upon the
presumption of validity afforded by the Patent Act or, more prudently, adduce
its own evidence as to the grounds of invalidity put in issue.
5.
The Court will weigh the evidence; if the first person relies only
on the presumption, the Court will nonetheless weigh the strength of the
evidence led by the second person. If that evidence is weak or irrelevant
the presumption will prevail. If both parties lead evidence, the Court
will weigh all the evidence and determine the matter on the usual civil
balance.
6.
If the evidence weighed in step 5 is evenly balanced (a rare
event), the Applicant (first person) will have failed to prove that the
allegation of invalidity is not justified and will not be entitled to the Order
of prohibition that it seeks.
[27]
In
the present case, Pharmascience has made extensive allegations and both parties
have led evidence as to the validity of claim 5 of the ’457 patent. Subject to
the arguments raised by Merck as to whether Sound Prediction/Overbreadth was
raised in the Notice of Allegation, I must decide the issue of validity before
me on the weight of the evidence and arguments presented. If that weight is
evenly balanced in respect of any allegation, I must find that particular
allegation made by Pharmascience to be justified.
2) The
Evidence
[28]
Each
of Merck and Pharmascience led evidence. Merck led the evidence of two persons
offered as expert witnesses – Doctor Russell and Doctor Shapiro – with
exhibits. Both were cross-examined. Pharmascience led the evidence of two
persons also offered as expert witnesses – Doctor Steiner and Doctor Taylor –
with exhibits. Again, both were cross-examined. Since these proceedings are
conducted by way of an application, all this evidence was led by way of
affidavits and only transcripts of the cross-examinations were filed. The Court
had no opportunity to observe the witnesses in person; thus there is difficulty
in coming to any proper conclusions as to credibility, or whose evidence is to
be preferred. To comment more particularly as to these witnesses:
1. For
Merck
a)
Dr. David Russell is a distinguished professor of molecular
genetics at the University of Texas Southwestern Medical Centre. He has
been extensively involved in research respecting 5α -reductase
inhibitors, including being a consultant to Merck in the early 1990’s when the
subject matter of the ’457 Patent was being developed. Doctor Russell testified
in the Actavis English action, which I will discuss more fully later.
That proceeding had many close parallels to the present proceeding. In those
proceedings, (Actavis U.K. Limited v. Merck &
co. Inc
[2007] EWHC 1311 (Ch)) The Trial Judge, Justice Warren, had this to say about
Doctor Russell at paragraph 36:
Merck obtained expert evidence from only
one expert, Professor Russell. He was, as Mr. Thorley accepts, clear, lucid and
well informed. He is clearly a leading authority with perhaps an unrivalled
depth of knowledge and experience as a molecular biologist in the field of 5α-reductase. He and
his team at the University of Texas were, as Mr. Thorley points
out, at the cutting edge of the ongoing investigations into the existence and
nature of the 5α-reductase
isozymes and privy to unpublished work of all the leading commercial workers in
the field. I accordingly take on board the note of caution sounded by Mr.
Thorley when he says that care must be taken in attributing the breadth and
depth of Professor Russell’s knowledge to the notional scientist with knowledge
of a 5α
-reductase who would form part of the skilled team which one is required to
assume exists. Professor Russell made no claim to any particular expertise in
hair biology or in the design of clinical trials, although it would be idle to
suggest that he was not generally knowledgeable about both.
Having read
Doctor Russell’s affidavit and cross-examination in these proceedings, I agree
in general with Justice Warren’s assessment, including the note of caution that
Doctor Russell may be “over qualified” when considering his evidence as to a
person of ordinary skill in the art. Doctor Russell acknowledges this at
paragraph 19 of his affidavit in these proceedings where he states “my own
qualifications exceed that of a Skilled Person”, although he goes on to
assert that he can, nevertheless, speak from the vantage point of the Skilled
Person.
Counsel for
Pharmascience drew attention to two places during the cross-examination of
Doctor Russell where he gave evidence on relevant matters which were clearly
contradictory to evidence that he gave in respect of the same matters at the
English trial (cross-examination, pages 125-127 and 148-149). Doctor Russell’s
explanation for those inconsistencies namely: that he was tired during the U.K.
trial – hardly so because the answers were given early in the U.K. trial – and
that his characterization of a prior art scientific paper was coloured by what
he perceived to be the differences between Canadian and U.K. law- are not very
satisfactory.
Overall, I
view Doctor Russell as being a highly qualified scientist dealing in the 5α -reductase
inhibitor area at the relevant time, who has perhaps been overstretched in
giving evidence on behalf of Merck in two related proceedings.
b) Dr.
Jerry Shapiro is a clinical professor at the University of British
Columbia
in the Department of Dermatology and Skin Care. He has been active in the hair
care research and treatment area since 1986. He has written several papers in
that area and consulted for a number of organizations, including Merck. I accept
his evidence as an expert in the area of dermatology, especially relating to
hair.
2.
For
Pharmascience
a)
Dr.
Joseph E. Steiner is the Dean and Professor of the College of Health
Services at the University of Wyoming. His background is in
pharmacy, in which he received a doctorate and practiced in a clinical setting
from 1975 to 1997. It appears that the main focus of Doctor Steiner’s work is,
I addition to the administrative requirements in being a Dean, in the area of
ambulatory care. Doctor Steiner has written a number of review articles in
which the publications in a given scientific area are reviewed and presented to
the reader as reflecting the state of the art at the time. One such review
article in Clinical Pharmacy dealt with the pharmacology, pharmaceutics
and clinical use of the drug finasteride as of 1992. While Doctor Steiner lacks
the in-depth experience of Merck’s witnesses, I accept his evidence, presented
as an expert in reviewing the state of the art respecting drugs, as helpful in
the Court’s understanding as to what was known about finasteride in the
scientific community as of 1992.
b)
Dr.
E. Kent Taylor is a medical doctor located in Burlington, Ontario, who has for
over 23 years been practicing as a clinical dermatologist. It appears that
about ten percent of his practice is directed to hair loss which percentage he
says is normal for a practising dermatologist. He has acted as a consultant to
Upjohn during the launch of their minoxidil product for the treatment of hair
loss, a product that will be more fully discussed later. I accept that Doctor
Taylor can provide useful expert evidence to the Court as to the views of a
person practicing in the field of hair loss at the relevant time.
[29]
Merck’s
Counsel strenuously attacks the evidence of Doctors Steiner and Taylor, citing R
v. Mohan, [1994] 2 S.C.R. 9, at paragraph 27, saying that the expert must
show “special or peculiar” knowledge before the evidence can be
admitted. It was argued that Doctors Steiner and Taylor had no such knowledge.
[30]
Pharmascience’s
Counsel argued, relying on Regina v. Marguard (1993), 108 D.L.R. (4th)
47 (S.C.C.) at page 78, that “The only requirement for the admission of
expert opinion is that the “expert” witness possesses special knowledge and
experience going beyond that of the trier of fact.”
[31]
I
am prepared to admit the evidence of Doctors Steiner and Taylor as expert
evidence. Their evidence is material to the issues and goes beyond the
knowledge that this Court is expected to have. I do not view Mohan, supra,
as requiring superlative or exceptional expertise before such evidence is
admissible. The matter can be left to assessment as a matter of weight.
3) Person of
Ordinary Skill in the Art
[32]
The
Person of Ordinary Skill is the Art (POSITA) or as such person is called in
some countries, Person Having Ordinary Skill in the Art (PHOSITA) is a
fictional person used as a measuring stick or guide in certain aspects of
patent law just as the “reasonable person” or “man in the Clapham omnibus” has
played a role in tort law.
[33]
There
have been many attempts by Canadian Courts and Courts elsewhere to define a
POSITA. The Supreme Court of Canada considered such a person in Whirlpool
Corp. v. Camco Inc., [2000] 2 S.C.R. 1067 at paragraphs 70, 71 and 74 where
Binnie J. for the Court wrote
[70] …Someone with Mr. Pielemeier’s
connection to the respondents, burdened as he is with inside information, is
not a very satisfactory proxy for the “ordinary worker”. He is a skilled
addressee but he is not operating on the basis of common knowledge in the
trade. The patent claims were not addressed by Whirlpool’s research engineers
to their colleagues in Whirlpool’s product development group. The patent claims
were necessarily addressed to the wider world of individuals with ordinary skills
in the technology of clothes washing machines As Aldous L.J. observed in Beloit
Technologies Inc. v. Valmet Paper Machinery Inc., [1997] R.P.C. 489 (Eng. C.A.)
at p. 494:
The notional skilled addressee is the
ordinary man who may not have the advantages that some employees of large
companies may have. The information in a patent specification is addressed to
such a man and must contain sufficient details for him to understand and apply the
invention. It will only lack an inventive step if it is obvious to such a
man. [Emphasis added].
Dickson J. placed the same emphasis on
“ordinariness” in Consolboard, supra, at p. 523:
“The persons to whom the specification is
addressed are “ordinary workmen”, ordinarily skilled in the art to which the
invention relates and possessing the ordinary amount of knowledge incidental to
that particular trade. The true interpretation of the patent is to be arrived
at by consideration of what a competent workman reading the specification at
its date would have understood it to have disclosed and claimed.”
[71] “Ordinariness” will, of course,
vary with the subject matter of the patent. Rocket science patents may only be
comprehensible to rocket scientists. The problem with Mr Pielemeier is that he
could not be a good guide to a common knowledge of “ordinary workers” in the
industry because his opinions were predicated on Whirlpool’s in-house
knowledge, and he made no bones about that fact.
. . .
[74] …While the hypothetical
“ordinary worker” is deemed to be uninventive as part of his fictional
personality, he or she is thought to be reasonably diligent in keeping up with
advances in the field to which the patent relates. The “common knowledge” of
skilled workers undergoes continuous evolution and growth.
[34]
The
AIPPI (Association Internationale pour la Protection de la Propriete
Intellectuelle) is a politically neutral, non-profit organization, domiciled in
Switzerland, which currently has almost 9000 members representing more than 100
countries, including a strong representation of leading practitioners from the
Canadian intellectual property bar and agencies. It seeks to develop and
improve laws relating to intellectual property. One of the methods which it
uses is to pose certain questions to its members. The members in each country
will formulate answers which are then submitted for debate and resolution at a
general meeting of that organization.
[35]
A
question put for the meeting to be held in Paris in the fall
of this year relates to the best way to define a POSITA. I have been provided
with a copy of the submissions made by the Canadian Group of AIPPI for that
purpose, in which a number of questions were answered reflecting Canadian law.
A summary was given at the end as to what, under Canadian law, a POSITA is
understood to be. It reads:
Q.213 Summary
In Canada, the “person of ordinary skill in the
art” is the hypothetical person to whom the patent is addressed. This may be a
single individual or a group representing different disciplines, depending on
the nature of the invention. The person of ordinary skill in the art is deemed
to be unimaginative and uninventive, but at the same time is understood to have
an ordinary level of competence and knowledge incidental the field to which the
patent relates (i.e. the common general knowledge) and to be reasonably
diligent in keeping up with advances. The common general knowledge is that
knowledge generally known by persons skilled in the relevant art at the
relevant time. Accordingly, it can include knowledge passed amongst people in
the field, including information that is not in published form. Likewise, not
everything that has been published is within the common general knowledge.
[36]
I
put this summary to Counsel for the parties and they generally agreed with it,
but each had a point to make. Merck’s Counsel agreed that the POSITA must be,
or the group must include, those who were actually in the field. Counsel relied
on a statement by Warren J. in Actavis UK Limited v. Merck & Co. Inc.
[2007] EWHC 1311, a case that I will discuss in detail later, at paragraph 46.
This proposition has been expressly rejected by this Court in Janssen-Ortho
Inc. v. Novopharm Ltd., 57 C.P.R. (4th) 6, 2006 FC 1234, at
paragraph 90 (aff’d 2007 FCA 217), 59 C.P.R. (4TH) 116) where it
was held that a witness giving evidence on the issue need not have been a
person actually involved in the field at the time, so long as they are in a
position to provide appropriate evidence as to what a skilled person at the
time would have known.
[37]
Counsel
for Pharmascience raised what he described as a quaere as to whether,
given the definition of obviousness in section 28.3 of the “new” Patent Act,
which requires a person skilled in the art to have considered “information
available to the public” as of the claim date, whether that definition is
broader than “knowledge generally known by persons skilled in the relevant art
at the relevant time” as stated in the AIPPI summary. I agree that “information
available” may be broader than information “generally known”, and to that
extent, the AIPPI statement of Canadian law could be modified to remove the
word “generally”.
[38]
In
dealing with individual cases, the Court must guard against making too fine a
distinction as to identifying the “ideal” POSITA. Counsel for each party will
argue meanings and shades of meanings most favourable to their case and the
witness(es) they present. Each Counsel will argue that their witness(es) best
fit the description of the ideal POSITA while there are numerous shortcomings
with each of the witness(es) for the opposing party.
[39]
The
Court must generally define the person or group to whom the patent is
addressed. It may be that the patent can be read by different persons, each
having a different interest. Consideration may have to be given to each such
different person. Merck’s Counsel went so far as to suggest that the Court must
consider who has the “loudest voice” when considering a team of persons or
group of different persons. In this case, it obviously suits Merck to put
forward Doctor Russell as the “loudest voice”.
[40]
To
require fine precision and ranking of voices is to place a series of “trip
wires” upon which a Court may be expected to stumble or risk sanctions by a
higher Court. There must be some generalized treatment of the question of
defining a POSITA and a level of generalization applied.
[41]
In
the present case, the Court can look at the opening words of the ’457 Patent and
obtain reasonable guidance as to the person(s) to whom the patent is directed:
“The present invention is concerned with
the treatment of androgenic alopecia, including male pattern baldness, with
compounds that are 5α-reductase
isozyme 2 inhibitors.”
[42]
Thus
a POSITA in considering the ’457 Patent is directed to persons concerned with
the treatment of male pattern baldness and, in particular, a person or group
who were interested in using compounds such as 5α-reductase
inhibitors for that person. It could be a researcher or clinician, or both.
That person is to be reasonably well read as to the state of the art. That
person is to be unimaginative, but that does not mean that the person is
slow-witted or graduated (if at all) at the bottom of the class. Nor is the
person the gold medallist who graduated at the top of the class. That person is
the average person in the group. Just as a “reasonable man” is expected to be
reasonable, the POSITA is expected to possess the ordinary skill in the art.
4) Claim
Construction
a) History
of a Claims Requirement in Canada
[43]
The Canadian Patent
Act, R.S.C.1985, c. P-4, in the “new” version applicable to applications
for a patent filed after October 1, 1989 and patents maturing from such
applications, requires that a patent contain both a specification which
describes the invention and claims which define the monopoly claimed by the
patentee. Sections 27(3) and (4) of that Act provide:
27(3) The specification of an invention must
(a) correctly and fully describe the invention and its operation or
use as contemplated by the inventor;
(b) set out clearly the various steps in a process, or the method of
constructing, making, compounding or using a machine, manufacture or
composition of matter, in such full, clear, concise and exact terms as to
enable any person skilled in the art or science to which it pertains, or with
which it is most closely connected, to make, construct, compound or use it;
(c) in the case of a machine, explain the principle of the machine
and the best mode in which the inventor has contemplated the application of
that principle; and
(d) in the case of a process, explain the necessary sequence, if
any, of the various steps, so as to distinguish the invention from other
inventions.
27(4) The specification
must end with a claim or claims defining distinctly and in explicit terms the
subject-matter of the invention for which an exclusive privilege or property is
claimed.
[44]
The function of the
specification is to describe the invention so that a person skilled in the art
can understand what the invention is and, when the patent expires, put it into
practice. The function of the claims is to define the monopoly that the
patentee is asserting. Dr. Fox, in his textbook The Canadian Law and
Practice Relating to Letters Patent for Inventions 4th
ed., 1969, Carswell, Toronto, expressed the nature of the claims at
pages 193–4 as follows:
II. THE CLAIMS
History: Although not required at common law,
claims gradually came to be recognized as an effective means of defining and
delimiting the ambit of the grant, and are now an essential part of the
statutory consideration for the grant. As Lord Russell of Killowen pointed out
in Electric and Musical Industries Ltd. et al. v. Lissen Ltd. et al.: “…the
patentee is under a statutory obligation to state in the claims clearly and
distinctly what is the invention which he desires to protect.” The function of
the claims was succinctly stated by him in the same case: “A patentee who
describes an invention in the body of a specification obtains no monopoly
unless it is claimed in the claims.”
A claim is a portion of the specification
that fulfils
a
separate and distinct function. The forbidden field
must
be found in the language of the claim and not
elsewhere.
It and it alone defines the monopoly; and the patentee is under a statutory
obligation to state in the claims clearly and distinctly what is the invention
that he desires to protect. The nature of the invention must be ascertained
from the claims. They should be so distinct as to enable the public to
ascertain what is protected by the patent without referring to the body of the
specification, but they should not go beyond the invention.
Claim
is a Limitation: The claim is not, therefore, an added description of the
invention, but a limitation of the description of the invention contained in
the body of the specification.
[45]
The first Canadian Patent
Act, enacted after Confederation in 1867 was the 1869 Act, 32 & 33
Vict., c.11. The 1869 Canadian Patent Act, as Dr. Fox tells us at
pages 5 ff. of his text, supra.,
was
modeled after earlier United
States patent statutes,
including that of April 10, 1790 (1. St. at L. 109), which provided that a claim
for invention be made in the patent although not separately necessarily.
Section 2 said:
SEC. 2. And be it further enacted, That
the grantee or grantees of each patent shall, at the time of granting the same,
deliver to the Secretary of State a specification in writing, containing a
description, accompanied with drafts or models, and explanations and models (if
the nature of the invention or discovery will admit a model) of the thing or
things, by him or them invented or discovered, and described as aforesaid, in
the said patents; which specification shall be so particular, and said models
so exact, as not only to distinguish the invention or discovery from other
things before known and used, but also to enable a workman or other person
skilled in the art or manufacture, whereof it is a branch or wherewith it may
be nearest connected, to make, construct, or use the same, to the end that the
public may have full benefit thereof, after the expiration of the patent term;
[46]
The Supreme Court of
the United States in the well known Markman case (Markman
v. Westview Instruments Inc. 517 U.S. 370 (1996)) provided a useful history
of claims in the law of that country in the opening paragraphs of the unanimous
decision of that Court delivered by Justice Souter:
The
question here is whether the interpretation of a so-called patent claim, the
portion of the patent document that defines the scope of the patentee’s rights,
is a matter of law reserved entirely for he court, or subject to a Seventh
Amendment guarantee that a jury will determine the meaning of any disputed term
of art about which expert testimony if offered. We hold that the construction
of a patent, including terms of art within its claim, is exclusively within the
province of the court.
I
The
Constitution empowers Congress “[t]o promote the Progress of Science and useful
Arts, by securing for limited Times to Authors and Inventors the exclusive
Rights to their respective Writings and Discoveries.” U.S. Const., Art I, 8, cl. 8. Congress first
exercised this authority in 1790, when it provided for the issuance of “letters
patent,” Act of Apr. 10, 1790, ch. 7, l, l Stat. 109, which, like their modern
counterparts, granted inventors “the right to exclude others from making,
using, offering for sale, selling, or importing the patented invention,” in
exchange for full disclosure of an invention, H. Schwartz, Patent law and
Practice 1, 33 (2d ed. 1995). It has long been understood [2] that a patent
must describe the exact scope of an invention and its manufacture to “secure to
[the patentee’] all to which he is entitled, [and] to apprise the public of
what is still open to them.” McClain v. Ortmayer, 141 U.S. 419, 424 (1891). Under the modern
American system, these objectives are served by two distinct elements of a
patent document. First, it contains a specification describing the invention
“in such full, clear, concise, and exact terms as to enable any person skilled
in the art…to make and use the same” 35 U.S.C. 112, see also 3E. Lipscomb,
Walker on Patents 10:1, pp. 183-184 (3d ed. 1985) (Lipscomb)(listing the
requirements for a specification). Second, a patent includes one or more
“claims” which “particularly poin[t] out and distinctly clai[m] the subject
matter which the applicant regards as his invention.” 35 U.S.C. 112. “A claim
covers and secures a process, a machine, a manufacture, a composition of
matter, or a design, but never the function or result of either, nor the
scientific explanation of their operation. “ 6 Lipscomb 21:17, at 315-316. The
claim “define(s) the scope of a patent grant,” 3 id, 11:1, at 280, and
functions to forbid not only exact copies of an invention, but products that go
“to the heart of the invention but avoid the literal language of the claim by
making a noncritical change,” Schwartz, supra, at 82, 1 In this opinion, the
word “claim” is used only in the sense peculiar to patent law.
[47]
Since
the decision of the Supreme Court of the United States in Markman,
it has been usual in patent actions in that country for the parties to
apply for a determination by the judge before a trial is heard, to place a
construction on the claims. The judge may hear evidence in that regard. There
are many reasons given for such a procedure, some say that once a construction
is made, the questions of infringement and validity may be quickly determined
by a jury, or the parties may settle. Others say that patent trials may often
be too complex to be determined by a usually unsophisticated jury, thus putting
the hardest part, claim construction, in the hands of a judge alone takes
considerable burden off a jury. In Canada, the Courts have resisted
making “Markman” rulings before trial. A Canadian trial, in the Federal Court,
and usually in other Courts, is before a judge alone, and hearing evidence,
particularly expert evidence, twice is hardly as efficient as doing it all at
once.
[48]
The 1869 Canadian Patent
Act, supra, did not explicitly require a claim or claims in the sense that
we know it today. Section 13 of that Act required that the “invention
or discovery” be described in “full, clear and exact terms”.
Section 14, which is much like our current section, requires a description that
is given “clearly and distinctly”:
13. The
applicant shall, in his Petition for a Patent, insert the title or name of his
invention or discovery, its object and a short description of the same, and
shall distinctly allege all the facts which are necessary under this Act to
entitle him to a Patent in duplicate, of his invention or discovery, describing
the same in such full, clear and exact terms as to distinguish it from all
contrivances or processes for similar purposes.
14. The
specification shall correctly and fully describe the mode or modes of operating
contemplated by the applicant, and shall state clearly and distinctly the
contrivances and things which he claims as new, and for the use of which he
claims an exclusive property and privilege; - it shall bear the name of the
place where it is made, the date, and be signed by the applicant and two
witnesses; - in the case of a machine the specification shall fully explain the
principle and the several modes in which it is intended to apply and work out
the same; in the case of a machine or in any other case where the invention or discovery
admits of illustration by means of drawings, the applicant shall also, with his
application, send in drawings in duplicate showing clearly all parts of the
invention or discovery; and each drawing shall bear the name of the inventor or
discoverer and shall have written references corresponding with the
specification, and a certificate of the applicant that it is the drawing
referred to in the specification; but the Commissioner may require any greater
number of drawings than those above mentioned, or dispense with any of them, as
he may see fit; once duplicate of the specification and of the drawings, if any
drawings, shall be annexed to the Patent, of which it forms an essential part,
and the other duplicate shall remain deposited in the Patent Office.
[49]
Illustrative of the
techniques used in these early days in compliance with these sections 13 and 14
is the first Canadian Patent, Patent No. 1, entitled A Machine for Measuring
Liquids granted August 18, 1869, in which Claim 1 reads as follows:
“l.
The combination and arrangement substantially as described of the balanced
reciprocating piston 1 cc and balance valves cc constructed and operated
substantially in the manner described for the purpose set forth.”
Thus
a reader, and a Court, are driven to the specification in order to construe and
understand what the invention claimed is. Construction was a necessity at that
time.
[50]
The requirements
respecting claims evolved as the Canadian Patent Act was amended.
Dickson J. (as he then was) in Consolboard Inc. v. MacMillan Bloedel (Saskatchewan) Limited, [1981] 1 S.C.R. 504 provided a good
summary of this evolution where he wrote at page 518:
All later patent legislation is based
upon The Patent Act of 1869, 1869 (Can.), c. 11, which in turn followed generally
the United States statute of 1836 (5 Stat. 117). The 1869
Act required (s. 14) the specifications to describe, correctly and fully, the
mode or modes of operating contemplated by the applicant and to state clearly
the contrivances and things which he claimed as new, and for the use of which
he claimed an exclusive property and privilege. The opening words of the
present s. 36(1) and the requirements of s. 36(2) are in much the same
language. A new statute was enacted in 1872, amended from time to time,
consolidated in 1886, and again in 1906, but with little change in what is now
s. 36. In 1923 a new Act was brought into force which adopted the exact words
now found at the commencement of s. 36(1). It required the inventor to set
forth clearly the various steps in a process and to end the specification with
a claim or claims stating distinctly the things or combination of things which
the applicant regarded as new and in which he claimed an exclusive property and
privilege. There was thus established a distinction between the “claims” and
the body of the specification.
[51]
Section 14(1) of the
1923 Canadian Patent Act, 13–14 Geo v. c. 23 as referred to by Dickson
J. provided:
14. (1)
The specifications shall correctly and fully describe the invention and its
operation or use as contemplated by the inventor. It shall set forth clearly
the various steps in a process, or the method of constructing, making or
compounding, a machine, manufacture, or composition of matter. It shall end
with a claim or claims stating distinctly the things or combinations which the
applicant regards as new and in which he claims an exclusive property and
privilege.
This
provision caused a change in the manner in which the Court viewed claims. It
was no longer necessary to turn to the specification in order to understand the
claim. Rinfret J. in Gillette Safety Razor Co. v. Pal Blade Corp., [1933]
S.C.R. 142 wrote at page 147:
.
. .
…we
must be guided primarily by the provisions of the 14th section of
the Patent Act.
That section requires the specifications to be a correct and full statement of
what the invention is. The inventor must describe its operation or use as
contemplated by him. He must set forth clearly the method of constructing or
making the manufacture he has invented. He must end the specification with
claims stating distinctly the things or combinations which he regards as new
and in which he claims an exclusive property and privilege. In any case in
which the invention admits of illustration by means of drawings, the inventor
shall, with his application, send in drawings showing clearly all parts of the
invention and each drawing shall have written references corresponding with the
specification. One duplicate of the specification and of the drawings, if there
are drawings, shall be annexed to the patent, of which it shall form an
essential part.
It follows that the nature of the invention protected by a patent and the
extent of the monopoly thereby granted must be ascertained from the claims. The
claims should be construed with reference to the specification and to the
drawings, but, as pointed out by Lindley, M.R., in The Pneumatic Tyre Company
Limited v. The Tubeless Pneumatic Tyre and Capon Headon Limited (1); whether
the patentee has discovered a new thing or whether he has not, his monopoly is
confined to what he has claimed as his invention.
[52]
The Canadian Patent
Act was further amended to provide for the requirement of claims which must
particularly, distinctly and in explicit terms set out the monopoly. It did so
in section 36(1)(e) and again in section 36(2). These provisions become
sections 34(1)(e) and 34(2) in later versions as follows:
34.
Specification
–(1) An applicant
shall in the specification of his invention
(a)
correctly and fully describe the invention and its
operation or use as contemplated by the
inventor;
(b)
set out
clearly the various steps in a process, or the method of constructing, making,
compounding or using a machine, manufacture or composition of matter in such
full, clear, concise and exact terms as to enable any person skilled in the art
or science to which is appertains, or with which it is most closely connected,
to make, construct, compound or use it;
(c)
in the case of
a machine, explain the principle thereof and the best mode in which he has
contemplated the application of that principle;
(d)
in the case of
a process, explain the necessary sequence, if any, of the various steps, so as
to distinguish the invention from other inventions; and
(e)
particularly
indicate and distinctly claim the part, improvement or combination that he
claims as his invention.
(2)
Claims to be stated distinctly – The specifications referred to in subsection
(1) shall end with a claim or claims stating distinctly and in explicit terms
the things or combinations that the applicant regards as new and in which he
claims an exclusive property or privilege.
[53]
In Consolboard,
supra, Dickson J. described section 36 (now 34) as lying at the heart of
the patent system. He described the wording of that section as not being “happily
phrased” and stated that section 36(2) did not add much to section 36(1)(e) and
was little more than a pleonasm. He wrote at pages 517–519:
Section
36 of the Patent Act lies at the heart of the whole patent system. The
description of the invention therein provided for is the quid pro quo for which
the inventor is given a monopoly for a limited term of years on the invention.
As Fox points out in Canadian patent Law and Practice (4th ed.), p.
163, the grant of a patent is in the nature of a bargain between the inventor
on the one hand and the Crown, representing the public, on the other hand. The
consideration for the grant is twofold: “first, there must be a new and useful
invention, and secondly, the inventor must, in return for the grant of a
patent, give to the public an adequate description of the invention with
sufficiently complete and accurate details as will enable a workman, skilled in
the art to which the invention relates, to construct or use that invention when
the period of the monopoly has expired”. The “description” to which Fox refers
is that required by s. 36 of the Patent Act.
It
cannot be said that s. 36 of the Act is happily phrased. It gives the
impression of a mélange of ideas gathered at random rather than an attempt to
enunciate, clearly and concisely, a governing principle or principles. This is
perhaps understandable in that the section is the product of amendment over a
period of many years. The language simply does not lend itself to a tight,
literal interpretation. It is, and should be treated as, a parliamentary
pronouncement, in general terms, of that which must be set forth by the
applicant to the world before binge qualified to receive the grant of monopoly
under a patent.
. . .
In
1935 another Patent Act was enacted, s. 35 of which is virtually the same as
the present s. 36. Two changes were made, or particular relevance in the
present inquiry: (i) it was required that the explanatory steps be addressed to
a person skilled in the art – this merely gave statutory recognition to what
had always been the common law – and (ii) the concluding words of subs. (1),
central to this appeal, were added, namely “He shall particularly indicate and
distinctly claim the part, improvement or combination which he claims as his
invention”.
It
is not entirely clear what was intended to be achieved by the addition of the
quoted words. They may have been added ex abundante cautela, seeking greater
particularity of description, but they appear to be little more than pleonasm,
when read with s. 36(2) and the definition of “invention”. It is not readily
apparent that anything of substance was added in 1935 to that which had been
required since 1869.
[54]
Thus, in dealing with
the disclosure and claims of a patent, collectively called the specification, Dickson
J., in Consolboard, instructed that the claims are to be read in light
of the disclosure in a fair manner. At pages 520–521 he wrote:
In
essence, what is called for in the specification (which includes both the
“disclosure”, i.e. the descriptive portion of the patent application, and the
“claims”) is a description of the invention and the method of producing or
constructing it, coupled with a claim or claims which state those novel
features in which the applicant wants an exclusive right. The specifications
must define the precise and exact extent of the exclusive property and
privilege claimed.
Section
36(1) seeks an answer to the questions: “What is your invention? How does it
work?” With respect to each question the description must be correct and full
in order that, as Thorson P. said in Minerals Separation North American
Corporation v. Noranda Mines, Limited:
…when
the period of monopoly has expired the
public will be able, having only the specification, to make
the same successful use of the invention as the inventor could at the time of
his application. [at p. 316]
We
must look to the whole of the disclosure and the claims to ascertain the nature
of the invention and methods of its performance, (Noranda Mines Limited v.
Minerals Separation North American Corporation), being neither benevolent nor
harsh, but rather seeking a construction which is reasonable and fair to both
patentee and public. There is no occasion for being too astute or technical in
the matter of objections to either title or specification for, as Duff C.J.C.
said, giving the judgment of the Court in Western Electric Company,
Incorporated, and Northern Electric Company v. Baldwin International Radio of
Canada, at p. 574, “where the language of the specification, upon a reasonable
view of it, can be so read as to afford the inventor protection for that which
he has actually in good faith invented, the court, as a rule, will endeavour to
give effect to that construction”. Sir George Jessel spoke to like effect at a
much earlier date in Hinks & Son v. Safety Lighting Company. He said the
patent should be approached “with a judicial anxiety to support a really useful
invention”.
b) History
of a Claims Requirement in Great
Britain
[55]
Much of the Canadian
jurisprudence respecting patent law, particularly until the latter part of the
last century, has relied upon the jurisprudence coming from Great Britain. In so doing, our Courts have, from
time to time, been distracted when it comes to claims and claim construction
because the laws of Great Britain, as interpreted by the Courts there, have
come rather later to the concept of an independent claim or claims whose
function it is to set out clearly what the monopoly is. These Courts were more
willing to look at the description in order to “construe” the monopoly.
Great Britain did not, until the Acts of 1883 to 1888
(46 & 47 Vict. c.57, 48 & 49 Vict. c.63, 49 & 50 Vict. c.37, 51
& 52 Vict. c.50) expressly require that there be a separate claim set out
in a patent. The patent consisted only of the specification which set out the
details of the invention. The Court was required to look at the specification
and determine what the invention was and whether it was valid or infringed.
Illustrative is the decision of the Court of Appeal in Lister v. Leather (1858),
8 B.l. & El. 1004, 120 E.R. at 384-385 where Williams J. delivered judgment
saying, in part:
A
combination is here expressly stated to be part of the invention; the judgment
of the Court below must therefore, on this point, be affirmed. So the third
point, whether the patent of 1852 was for a combination, seems to us decided by
the description of a combined nipping and combing action in the very beginning
of the specification, as it would stand after the disclaimer. It may be that a
combination is not distinctly and expressly claimed in either of these patents.
But neither a claim nor a disclaimer is essential to a specification; that
which appears to be the invention, or a part of it, will be protected, though
there be no claim; and those matters which manifestly form no part of the
invention need not be disclaimed.
[56]
This practice
encouraged patentees to expand their arguments so as to say that not only what
they described in the specification constituted their monopoly, but also, anything
that
constituted
the “equity” of what was described. This argument was put to rest by the House
of Lords in Dudgeon v. Thomson (1877), 3 App. Cas. 34 where the Lord
Chancellor (Lord Cairns) said at pages 44 and 45:
Now,
my Lords, what I understand by that, is this, if there is a patented invention,
and if you, the Defendant, are found to have taken that invention, it will not
save you from the punishment or from the restraint of the Court that you have
at the same time that you have taken the invention dressed it up colourably,
added something to it, taken, it may be, something away from it, so that the
whole of it may be said, as is said in the injunction, Here is a machine which
is either the Plaintiff’s machine or differs from it only colourably. But
underlying all that, there must be a taking of the invention of the Plaintiff.
There used to be a theory in this country that a person might infringe upon the
equity of a statute, if it could not be shewn that they had infringed the words
of a statute; it was said that they had infringed the equity of the statute,
and I know there is, by some confusion of ideas, a notion sometimes entertained
that there may be something like an infringement of the equity of a patent. My
Lords, I cannot think that there is any sound principle of that kind in our
law; that which is protected is that which is specified, and that which is held
to be an infringement must be an infringement of that which is specified. But I
agree it will not be less an infringement because it has been coloured or
disguised by additions or subtractions, which additions or subtractions may
exist and yet the thing protected by the specification be taken
notwithstanding.
And Lord
Blackburn at page 53:
Now,
my Lords, as to that I agree with what was said by the noble and learned Lord
on the woolsack, that the questions is whether it is an infringement of the
patent, - a taking of a part of the property in the use of that invention which
has been given by the letters patent. The phrase “colourably” is very apt to
mislead in these cases. If part of the property in the invention be really
taken there is an infringement, however much that may be disguised or sought to
be hidden. If that is detected by the patentee, and if what is taken is really
part of his property given to him by the letters patent, he has a right to
proceed against the infringer, however ingeniously the colours may have been
contrived to try to conceal the fact that there has been a taking of part of
the property. But for all that it is not correct to say that doing anything
that answers the same object is necessarily an infringement of the
specification; we must look at what is shewn in the specification. The terms
and condition of the patent are that the patentee shall “particularly describe
and ascertain the nature of the invention and in what manner the same was to be
performed.” Accordingly we look at the specification to see what is the nature
of the invention for which the patent has been taken out as described and
ascertained by the specification.
[57]
Thus the British
Courts would look critically at the specification (description) itself to find
the claimed invention. A patentee would, in the specification, sometimes make a
statement as to what is claimed to be the invention. This is illustrated by the
decision of the English Court of Appeal in Plimpton v. Spiller (1876), 6
Ch. D. 412 where James L.J. said at pages
426-427:
It
is important to bear in mind that there is nothing in the Act or in the patent
law which says anything about claims. A patentee gets a patent for his
invention, and he is obliged to specify that invention in such a way as to show
to the public not only the mode of giving practical effect to that invention,
but what the limits of the invention are for which his patent is taken out; and
the real object of what is called a claim, which is not much more commonly put
in than it used to be formerly, is not to claim anything which is not mentioned
in the specification, but to disclaim something. A man who has invented
something gives in detail the whole of the machine in his specification. In
doing that he is of necessity very frequently obliged to give details of things
which are perfectly known and in common use – he describes new combinations of
old things to produce a new result, or something of that kind. Therefore,
having described his invention, and the mode of carrying that invention into
effect, by way of security, he says: “But take notice I do not claim the whole
of that machine, I do not claim the whole of that modus operandi, but that
which is new, and that which I claim is that which I am now about to state.”
That really is the legitimate object of a claim, and you must always construe a
claim with reference to the whole context of a specification.
Now,
we have to consider what is the effect of this part of the claim. He says, “I
claim first,” and so on – and then he says, “Secondly, the mode of securing the
runners and making them reversible as above described.”
[58]
The British Courts
continued, however, to find the invention within the specification
(description) even though the statute required that the specification end with
a claim or claims. The requirement for claims was seen as mere form, rather
than substance, as illustrated by the decision
of
the House of Lords in Tubes Ltd. v. Perfecta Seamless Steel Tube Company
Ltd. (1902), 20 R.P.C. 77 where Lord Halsbury wrote at pages 99-100:
My Lords, of course no one could deny that the claim, like every other material
part of the Specification (and it is part of the Specification) must be
construed with reference to what the Specification means, and no one would
question if they meant that if, looking at it, it raised the doubt to which
they have given expression, there might be ground for saying that the
Specification was bad, because the statement in the whole of the Specification
taken together, including the claim, was not that which the Patentee was bound
to give. But if they meant that, taking the claim as a distinct and separate
statement, that was an independent ground, because there was no distinct claim
in it, then, my Lords, that is absolutely inconsistent with the judgment of
this House in Vickers v. Siddell. I do not think that it would be accurate to
speak of that judgment as obiter, because it turned upon the question of what
were the facts there, and it is not accurate to say that one ground of the
judgment was rendered unnecessary by what the facts proved were. I will read
what I said myself; “The objection that no distinct claim is made is one of
form only, and I think the legislature did not intend to make the direction
which undoubtedly the Act contains, a condition upon the non-compliance with
which the Patent should be void. There is no trace of any such intention in the
Statute, and there does not seem any good reason why it should be inferred from
the general polity of the Statute. On the contrary, the questions of mere form,
I think, were intended to be dealt with under the new machinery provided.” Then
Lord Herschell, agreeing with me, puts the question more at length: “The last
objection taken to the Patent is that the Complete Specification does not ‘end
with a distinct statement of the invention claimed,’ as required by section 5,
subsection 5, of the Act. The Act does not provide that if the requirement is
not complied with the Patent shall be void, and I think it is impossible to
imply any such condition. There is no more warrant for doing so in this case
than in the case of non-compliance with any other of the provisions of the section.
The provision should ‘commence with the title.’ It could hardly be gravely
contended that if the Comptroller accepted a Specification where the title did
not occupy the first place, the Patent granted ought, on that account, to be
held void. I need not detain your Lordships further upon this point as it was
fully dealt with, and, to my mind, satisfactorily disposed of by the learned
Judges in the Court of Appeal.” Now that judgment in the Court of Appeal,
affirmed by the House, ought, I think, not to be so summarily dismissed by the
simple observation that the statutable requirement has not been complied with.
I wish, therefore, to express my concurrence in the former judgment, which is
binding upon your Lordships. I observe that none of the other noble and learned
Lords, who took part in the discussion, dissented from what was said by Lord
Herschell and myself. Under these circumstances, it appears to me that if that
is put, as it looks to me as if the learned Judges intended that it should be
put, as a distinct ground, it is clearly inconsistent with the judgment of your
Lordships’ House.
[59]
The British Patents
Act of 1949 (12, 13 & 14 Geo 6, Ch 87) set out the requirements for
claims separate in sections 4(1) to 4(4):
Contents
of specification.
4.
(1)
Every specification, whether complete or provisional, shall describe the
invention, and shall begin with a title indicating the subject to which the
invention relates.
(2)
Subject to any rules made by the Board of Trade under this Act, drawings may, and
shall if the comptroller so requires, be supplied for the purposes of any
specification, whether complete or provisional; and any drawings so supplied
shall, unless the comptroller otherwise directs, be deemed to form part of the
specification, and references in this Act to a specification shall be construed
accordingly.
(3)
Every complete specification –
(a)
shall particularly describe the invention and the method by which it is to be
performed;
(b)
shall disclose the best method of performing the invention which is known to
the applicant and for which he is entitled to claim protection; and
(c)
shall end with a claim or claims defining the scope of the invention claimed.
(4)
The claim or claims of a complete specification must relate to a single
invention, must be clear and succinct, and must be fairly based on the matter
disclosed in the specification.
[60]
The matter of claim
construction under the 1949 Act came before the House of Lords in Catnic
Components Limited v. Hill & Smith Limited, [1982] R.P.C. 183. In that
case, Lord Diplock with whom all the other Law Lords concurred, wrote as to
claim construction at pages 242-243:
“My
Lords, a patent specification is a unilateral statement by the patentee, in
words of his own choosing, addressed to those likely to have a practical
interest in the subject matter of his invention (i.e. ‘skilled in the art’), by
which he informs them what he claims to be the essential features of the new
product or process for which the letters patent grant him a monopoly. It is
those novel features only that he claims to be essential that constitute the
so-called ‘pith and marrow’ of the claim. A patent specification should be
given a purposive construction rather than a purely literal one derived fro
applying to it the kind of meticulous verbal analysis in which lawyers are too
often tempted by their training to indulge. The question in each case is:
whether persons with practical knowledge and experience of the kind of work in
which the invention was intended to be used, would understand that strict
compliance with a particular descriptive word or phrase appearing in a claim
was intended by the patentee to be an essential requirement of the invention so
that any variant would fall outside the monopoly claimed, even though it could
have no material effect upon the way the invention worked.”
[61]
Subsequently, Britain joined the European Union, and in 1977 amended its Patents
Act (1977, c.37) to bring it into conformity with the European Patent
Convention. Articles 69 and 84 of the European Patent Convention
provide:
69.
“The extent of
the protection conferred by a European patent or a European patent application
shall be determined by the terms of the claims. Nevertheless, the description
and drawings shall be used to interpret the claims.”
. . .
84.
“The claims
shall define the matter for which protection is sought. They shall be clear and
concise and be supported by the description”.
[62]
Section 125 of the
British Patents Act, as amended in 1977, is intended to be in conformity
with these provisions of the European Patent Convention (see section
130(7) of the British Act) and provides:
125.
–(1) For the purposes of this Act an invention for a patent for which an
application has been made or for which a patent has been granted shall, unless
the context otherwise requires, be taken to be that specified in a claim of the
specification of the application or patent, as the case may be, as interpreted
by the description and any drawings contained in that specification, and the
extent of the protection conferred by a patent or application for a patent
shall be determined accordingly.
(2)
[…]
(3)
The Protocol on the Interpretation of Article 69 of the European Patent
Convention (which Article contains a proviso corresponding to subsection (1) above)
shall, as for the time being in force, apply for the purposes of subsection (1)
above as it applies for the purposes of that Article.”
[63]
These provisions came
under consideration by the House of Lords in Kirin Amgen v. Hoechst Marion
Roussel, [2005] R.P.C. 9 in which Lord Hoffman, with whom the other Law
Lords concurred, confirmed that the Catnic approach referred to above was
still correct. He wrote at paragraph 48:
“The
Catnic principle of construction is therefore in my opinion precisely in
accordance with the Protocol. It is intended to give the patentee the full
extend, but not more than the full extent, of the monopoly which a reasonable
person skilled in the art, reading the claims in context, would think he was
intending to claim.”
[64]
Lord Hoffman made it
very clear that in considering the construction of a claim, the Court is not
interested in determining what the author of the patent meant or intended. The
Court is to determine what the addressee would understand the document to mean.
He wrote at paragraph 32:
“Construction,
whether of a patent or any other document, is of course not directly concerned
with what the author meant to say. There is no window into the mind of the
patentee or the author off any other document. Construction is objective in the
sense that it is concerned with what a reasonable person to whom the utterance
was addressed would have understood the author to be using the words to mean.
Notice, however, that it is not, as is sometimes said, “the meaning of the
words the author used”, but rather what the notional addressee would have
understood the author to mean by using those words. The meaning of words is a
matter of convention, governed by rules, which can be found in dictionaries and
grammars. What the author would have been understood to mean by using those
words is not simply a matter of rules. It is highly sensitive to the context of
and the background to the particular utterance. It depends not only upon the
words the author has chosen but also upon the identity of the audience he is
taken to have been addressing and the knowledge and assumptions which one
attributes to that audience.”
[65]
This remains
essentially a statement of the law in Great
Britain at the highest
level of the Court system today.
c) Current State of the
Law in Canada
[66]
It has become
virtually mandatory in a proceeding respecting patent infringement or validity,
or both, that the Court in arriving at its determination first embark upon
construction of the claim(s) at issue. The principles of the current approach
to claim construction were thoroughly reviewed by the Supreme Court of Canada
in Whirlpool Corp. v. Camco Inc., [2000] 2 S.C.R. 1067. I repeat
portions of what Binnie J., for the Court, wrote at paragraphs 42 to 52:
1. The Principles of Patent Claims
Construction
[42]
The content of a patent specification is regulated by s. 34 of the Patent Act.
The first part is a “disclosure” in which the patentee must describe the
invention “with sufficiently complete and accurate details as will enable a
workman, skilled in the art to which the invention relates, to construct or use
that invention when the period of the monopoly has expired”: Consolboard Inc.
v. MacMillan Bloedel (Saskatchewan) Ltd., [1981] 1 S.C.R. 504, at p. 517, 56
C.P.R. (2d) 145, 122 D.L.R. (3d) 203. The disclosure is the quid provided by
the inventor in exchange for the quo of a 17-year (now 20-year) monopoly on the
exploitation of the invention. The monopoly is enforceable by an array of
statutory and equitable remedies and it is therefore important for the public
to know what is prohibited and where they may safely go while the patent is
still in existence. The public notice function is performed by the claims that
conclude the specification and must state “distinctly and in explicit terms the
things or combinations that the applicant regards as new and in which he claims
an exclusive property or privilege” (s. 34(2)). An inventor is not obliged to
claim a monopoly on everything new, ingenious and useful disclosed in
specification. The usual rule is that what is not claimed is considered
disclaimed.
[43]
The first step in a patent suit is therefore to construe the claims. Claims
construction is antecedent to consideration of both validity and infringement
issues.
. . .
[45]
The key to purposive construction is therefore the identification by the court,
with the assistance of the skilled reader, of the particular words or phrases
in the claims that describe what the inventor considered to be the “essential”
elements of his invention.
. . .
A
patent must therefore be given such interpretation according to s. 12 of the
Interpretation Act “as best ensures the attainment of its objects”. Intention
is manifested in words, whose meaning should be respected, but words themselves
occur in a contest that generally provides clues to their interpretation and a
safeguard against their misinterpretation. P.-A. Cote, in The Interpretation of
Legislation in Canada (3rd ed. 2000), puts the matter succinctly
when he writes, at p. 387, “Meaning flows at least partly from context, of
which the statute’s purpose is an integral element” (emphasis added”. To
the same effect see Rizzo & Rizzo Shoes Ltd. (Re), [1998] 1 S.C.R. 27, 154
D.L.R. (4th) 193, at para. 21. These principles apply to claims
construction by virtue of the Interpretation Act.
. . .
Purposive
construction is capable of expanding or limiting a literal text, as Hayhurst,
supra, points out at p. 194 I words that anticipate the trial judgment in this
case:
Purposive construction may show that something that might
literally be within the scope of the claim was not intended to be covered, so
that there can be no infringement…
Similarly,
two other experienced practitioners, Carol V.E. Hitchman and Donald H. MacOdrum
have concluded that “[a] purposive construction is not necessarily a broader
construction than a purely literal one, although it may be” (Hitchman and
MacOdrum, “Don’t Fence Me In: Infringement in Substance in Patent Actions”
(1990), 7 C.I.P. Rev. 167, at p. 202).
. . .
[52]
I have already given my reasons for concluding that to the extent the
appellants are arguing for a simple “dictionary” approach to construction of
the ‘803 claims, it must be rejected. In Western Electric Co. v. Baldwin
International Radio of Canada, [1934] S.C.R. 570, [1934] 4 D.L.R. 129,
the Court cited earlier authority dealing with the word “conduit” as used in a
patent claim. Duff C.J. at p. 572 accepted the proposition that “[y]ou are not
to look into the dictionary to see what “conduit” means, but you are to look at
the specification in order to see the sense in which the patentees have used
it”. In Consolboard, supra, as mentioned, Dickinson
J. considered that the whole of the specification (including the disclosure and
the claims) should be looked at “to ascertain the nature of the invention”. To
the same effect is the statement of Taschereau J. in Metalliflex Ltd. v. Rodi
& Wienenberger Aktiengesellschaft, [1961] S.C.R. 117, at p. 122, 35 C.P.R.
49:
The
claims, of course, must be construed
with reference to the entire specifications, and the latter
may therefore be considered in order to assist in apprehending and construing a
claim, but the patentee may not be allowed to expand his monopoly specifically
expressed in the claims “by borrowing this or that gloss from other parts of
the specifications”.
More
recently, Hayhurst, supra, at p. 190, cautioned that “[t]erms must be read in
context, and it is therefore unsafe in many instances to conclude that a term
is plain and unambiguous without a careful review of the specification”. In my
view, it was perfectly permissible for the trial judge to look at the rest of
the specification, including the drawing, to understand what was meant by the
word “vane” in the claims, but not to enlarge or contract the scope of the
claim as written and thus understood.
[67]
This approach to
construction of a claim was concisely put by the Federal Court of Appeal in Janssen-Ortho
Inc. v. Novopharm Ltd., 2007 FCA 217, 59 C.P.R. (4th) 116, , per
Sharlow J. for the Court at paragraph 4:
Construction of Claim 4
[4]
In any case in which the validity or infringement of a patent
claim is in issue, it is necessary to construe the claim: Whirlpool Corp. v.
Camco Inc., [2000] 2 S.C.R. 1067 at paragraph 43. The relevant date for the
construction of the 080 patent is the date of its issuance, June 23, 1992. The
patent must be understood as being addressed to a person skilled in the art,
taking into consideration the knowledge that such a person is expected to
possess on that date. The construction of a patent claim is a task for
the Court and must be based on the whole of the disclosure and the
claim, assisted by expert evidence as to the meaning of certain terms and the
knowledge that a person skilled in the art is expected to possess on the
relevant date.
d) Tying It All Together
[68]
Having looked at the
history of patent claims and claim construction in Canada as influenced by Great
Britain, it can be seen
that, originally, it was essential for a Court to construe the patent and its claims
because the “invention” - hence, the monopoly - was to be found in the
specification. As the statutes became clearer in respect of claims, the
specification became divided into two parts. The description served the purpose
of “purchasing” the monopoly by describing the
invention
in sufficient detail so that a person skilled in that art could understand what
the invention was and how to put it into practice. The other part of the
specification was the claims, which served to define and set limits as to the
monopoly that the patent was intended to secure.
[69]
Construction of the
claim no longer meant that the Court had to scour the description so as to
arrive at what the monopoly was; rather, the Court now begins with the claim
and determines what a person skilled in the art would understand it to mean.
This is done using the description as a context and, if necessary, using expert
evidence to assist in putting the Court in a position of understanding at the
level of a person skilled in the art. The purpose of the exercise is to
understand what the patentee is claiming as its monopoly.
[70]
Thus,
claims construction today in the Canadian Courts is an easier task than in
earlier days, because the function of the claims has been made clearer by
statute. That function is to define distinctly and in explicit terms what the
claimed monopoly is. To the extent that the claim is now to be “construed”,
that is the function of the Court alone. Experts may assist in two ways; first,
they may inform the Court as to the knowledge that a person skilled in the art
would have had at the relevant time, so as to bring that knowledge to bear reading
both the description and the claims; second, an expert may assist in explaining
any technical terms not within the experience expected of a Court. Thus, while
construction is for a Court alone, the Court may have to make certain factual
findings as to the knowledge of a person skilled in the art. The findings of
the Court in this respect may best be considered as findings of mixed fact and
law.
e) The
U.K. and European Decisions as to Swiss
Claims
[71]
There
are four decisions of the U.K. Courts and one of the European patent Office Enlarged
Board of Appeal that require consideration in these proceedings. They are:
·
Bristol-Myers
Squibb Company v. Baker Norton Pharmaceutics Inc., [1998] EWHC Patents 300
(20th, August, 1998) a decision of Jacob J. (as he then was) in the England and Wales High Court (Patents Court) - I will refer to this
as the Bristol-Myers trial decision.
·
Bristol-Myers
Squibb Company v. Baker Norton Pharmaceutics Inc., [2001] R.P.C. 1 (May
23, 2000) a decision of the Court of Appeal upholding the above trial decision
– I will refer to this as the Bristol-Meyers appeal decision.
·
Actavis
UK Limited v. Merck & Co. Inc., [2007] EWHC 1311 (6th June,
2007) a decision of Warren J. of the England and Wales High Court (Patent
Court) – this case deals with a European patent that is based on the same
priority application as the ’457 Patent at issue here and a “Swiss” type claim
that is similar but not identical to claim 5 – I will refer to this as the Actavis
trial decision.
·
Actavis
UK Ltd. v. Merck & Co. Inc., [2008] EWCA Civ 444, [2009] 1 All ER 196 (21st
May 2008) a decision of the Court of Appeal reversing the above trial decision
– Jacob J.A. (the trial judge in Bristol-Myers) wrote the decision for
the Court – I will refer to this as the Actavis appeal decision. As of
the date that I have released these reasons I have not been informed as to
whether leave to appeal has been sought in this case.
·
Kos
Life Sciences, Case
No. G 0002/08 decided by the Enlarged Board of Appeal of the European Patent
Office 19 February, 2010 – this is a final decision and deals with the
patentability of “Swiss” type claims – I will refer to this as the Kos decision.
[72]
The
Bristol-Myers
trial
decision made by Jacob J. was upheld by the Court of Appeal, but had important
things to say about “Swiss” type claims. The trial judge in Actavis followed
the Court of Appeal in Bristol-Myers only to have Jacob J.A. very
painstakingly distinguish the Bristol-Myers Court of Appeal decision and
reverse the trial judge in Actavis. In the meantime, the European
Enlarged Board of Appeals, which has the final say in respect of European
Patents (the U.K. Courts can rule on European Patents which are enforceable in
the U.K., but the European Court has final say as to matters such as validity) had
the Kos case under reserve, and was considering the validity of “Swiss”
type claims. The U.K. Court of Appeal in Actavis was asked, but declined,
to stay rendering a decision until the Enlarged Board of Appeals ruled in Kos.
As it turned out, the European Board held “Swiss” type claims, prospectively,
to be invalid.
[73]
The
reason those cases are important is that Actavis deals with a “Swiss”
type claim in a patent having the same genesis as the ’457 Patent with wording
that is similar to claim 5. The claims in Actavis originally read as
follows as set out in paragraph 9 of the trial decision:
9. The Patent
specification describes a “method of treating androgenic alopecia with 5α-reductase
inhibitors”. The actual Claims are as follows:
1.
The
use of [finasteride] for the preparation of a medicament for oral
administration of androgenic alopecia in a person and wherein the dosage amount
is about 0.05 to 1.0 mg.
2.
The
use as claimed in claim 1 wherein the dosage is 1.0 mg.
3.
The
use as claimed in claim 1 or 2 wherein the treatment is of male pattern
baldness.
[74]
The
U.K. Courts permit claims to be amended during the proceedings before the
Courts and those claims were amended to add the words “per day” to the dosages
stated as set out in paragraph 10 of the trial decision:
10. Merck says that, as a matter of
construction, Claim 1 of the Patent is limited to the stated dosage of
finasteride per day. If the entire Patent is read, there is material in
the description which supports that conclusion. However, that construction is
disputed by Actavis, relying on the definition of the invention which makes no
reference to dosage. However, Actavis does not oppose the amendment so that the
dispute about construction is largely academic. I do not propose to decide the
question of construction but instead allow the amendment for the purpose of
these proceedings.
[75]
In
the case now before me respecting the ’457 Patent, no procedure presently
exists whereby such amendment could be made in this Court. Merck, however,
argues that a proper construction of claim 5 is to consider that the indicated
dosage of 1 mg. is “per day”.
[76]
At
this point, I turn to the decision of Jacob J. as a trial judge in Bristol-Myers
in which he provided the history of “Swiss” type claims. The particular wording
of such a claim is used to get around a problem presented to a person who has
found a new medical use for a compound previously known for other medical uses
where the European law, appears to preclude a claim directed to that situation.
Jacob J. said at paragraphs 43 to 46 of Bristol-Myers trial decision:
43. Before going further I must now say
something about the general structure of the claim. I daresay that an ordinary
skilled man (to whom it is notionally addressed) would find it puzzling, unless
he had been initiated in some of the Byzantine logic of patent law and
jurisprudence. The explanation lies in Art. 54(4) of the EPC and the decided
cases. The material parts of Art. 54 read:
“(1) European patents shall be granted
for any inventions which are susceptible or industrial application, which are
new and which involve an inventive step.
(4) Methods for treatment of the human or
animal body by surgery or therapy and diagnostic methods practised on human or
animal body shall not be regarded as inventions which are susceptible of
industrial application within the meaning of paragraph 1. This provision shall
not apply to products, I particular substances or compositions, for use in any
of these methods.”
44. By taking the form it does, the
claim is trying to steer clear of two obstacles to patentability, namely the
requirement of novelty and the ban on methods of treatment of the human body by
therapy. The claim is, or attempts to be, in so-called “Swiss form”, following
a statement of practice regarding “use claims” issued by the Swiss Federal
Intellectual Property Office. ([1984] OJ EPO 581). The generalized form of such
a claim is “the use of compound X in the manufacture of a medicament for a
specified (and new) therapeutic use”. Such claims are unnecessary when X is
new, for then X can be patented in itself by virtue of the last sentence of
Art. 53(4). But when X is old, the Swiss form of claim is said to confer novelty
and yet not be to a method of treatment. The Enlarged Board so held in Eisai.
(G5/83 [1985] OJ OJEPO 64). It said:
“It is legitimate in principle to allow
claims directed to the use of a substance or composition for the manufacture of
a medicament for a specified new and inventive therapeutic application, even in
a case where the process of manufacture as such does not differ from known
processes using the same active ingredient.”
24. So the manufacture of an old pill for
use in a new treatment was considered by the Enlarged Board to be novel. The
justification for novelty was the new therapeutic use. And since the claim was
to the manufacture of the pill, it was not a claim to a method of treatment.
How that might work so far as infringement was concerned was, so far as the
Enlarged Board was concerned, not a matter to be considered. It said:
“It is particularly important to bear in
mind that Art. 64(3) leaves questions of infringement to be dealt with by
national law”.
25. Actually Art. 64(3) merely provides
that “Any infringement of a European patent shall be dealt with by national
law.” It does not mean that questions of validity (especially novelty) or
extent of protection are matters for national law. On the contrary both are
specifically matters covered by the EPC (novelty in Art. 54(1) and extent of
protection I Art. 69 and its Protocol). In my view it is essential for the
granting authority to consider fully the implications of the claims it grants
in relation to both validity and scope. It is not helpful to take a view on
validity (particularly novelty) which simply leaves intractable problems for an
infringement court – and for the public who need to know what they can and
cannot do.
45. There are obvious difficulties with
Eisai. Take a newly discovered use for aspirin (one was discovered not so long
ago, namely its use to reduce risks of heart attacks). The manufacture of
aspirin pills is old. So why is the manufacture rendered new because there is a
new use? Or why does adding the purpose of the manufacture of aspirin to the
claim make the manufacturing process any newer? The English patents Court,
sitting en banc (Whitford and Falconer JJ) in Wyeth and Scherings Appns.
([1985] R.P.C. 545) had to consider Eisai. The Court formed the view that a
Swiss-type claim was clearly a claim to a method of manufacture and so to an
invention capable of industrial application. As the court said, it was the
requirement of novelty which “provides the real difficulty”. And it plainly
thought that the device of putting a claim into Swiss form did not confer
novelty:
“we think the better view would be that a
claim in the Swiss form to an invention directed to the use of a known
pharmaceutical to manufacture a medicament, not in itself
novel, for a second or subsequent and
novel medical use would not be patentable as lacking the required novelty. (p.
565)
However, in view of the decision in Eisai
and “having regard to the desirability of achieving conformity” the patents
Court decided not to follow what it regarded as the better view. It followed
Eisai. Before me, Mr. Thorley, did not challenge Eisai, though he reserved the
right to do so on appeal. I think he was right. For me, as a judge of the first
instance, to go against Eisai would involve not only refusing to follow a
decision of law of the Enlarged Board of Appeal, but also refusing to follow a
considered judgment of the English Patents Court. Under the present English
rules of precedent I am strictly bound by neither court. But, so far as the
Enlarged Board is concerned the desirability of following its decisions on
points of law has been reinforced since Eisai. Lord Hoffman in Merrell Dow ([1995]
RPC 76 at p.82) said that the UK courts:
“must have regard to the decisions of the
EPO on the construction of the EPC. These decisions are not strictly binding
upon the courts in the UK but they are of great persuasive authority; first
because they are decisions of expert courts (the Boards of Appeal and Enlarged
Board of Appeal of the EPO) involved daily in the administration of the EPC and
secondly because it would be highly undesirable for the provisions of the EPC
to be construed differently in the EPO from the way they are interpreted in the
national courts of a Contracting State.”
26. What Lord Hoffman said has all the
more force in relation to a court of first instance. If all the courts of first
instance of the member states of the EPC felt able readily to differ from the
questions of law decided by the Boards of Appeal (and particularly an Enlarged
Board) the result would be an all too easy fragmentation of the European system
of patent law. It is a matter of the utmost seriousness for any court to depart
from a decision of an Enlarged Board EPO on a point of law, and, if it is to be
done at all by a national court, I think it should only be done by a higher
national court and not one of first instance. For the sake of coherence of the
system as a whole first instance courts should exercise self-restraint, however
erroneous they may think a particular decision of law of an Enlarged Board may
be.
46. I turn back, then to this particular
claim. It is not as simple as a typical claim in Swiss form because it is not simply
to manufacture of a single medicament for a particular therapeutic use. Taxol
and the premedication are both involved. The premedication is, as I have said,
a cocktail of drugs which prevent toxic shock. Mr. Thorley submitted that the
claim had a narrow construction – in substance he said it was to a kit of drugs
(taxol and premed), the kit being a specially made up kit for administration.
On that basis, of course, his clients did not infringe. No-one would make up
special kits (e.g. in special packs with instructions). The normal form of
treatment would involve administering to the patient a number of different
medicines as the premedication (for instance, particularly, by telling the
patient to take several different pills so many hours before the hospital
treatment is due). At the hospital a dose of taxol is be made up for the
particular patient, using a combination of height and weight measurements to
calculate surface area. The taxol is then administered. So the premedication is
separate from the taxol and the taxol is made up to be patient specific. What,
asks Mr. Thorley is the “medicamentation” of this claim, if it covers medicines
administered in this sort of way? Mr. Thorley says this is going further than
has ever been gone by an EPO Board of Appeal. That court has allowed claims to
compositions presented side-by-side to be administered simultaneously or at
intervals, see Asta-Werke (T09/81 OJ EPO 1983 372). But here there is no
side-by-side presentation, just administration of the premedication cocktail
followed by the making up and administration of the patient specific dose of
taxol. So, says Mr. Thorley, if the claim is not limited to the manufacture of
a special kit, then it is in substance merely to a method of treatment and so
unpatentable.
[77]
Jacob
J. held the patent to be invalid for want of novelty and obviousness.
[78]
The
Court of Appeal in Bristol-Myers upheld Jacob J. It reviewed the state
of the law at that time (May 2000) respecting “Swiss” claims. In short, the
Court acknowledged that the Courts must recognize that the structure of the
claim is necessary to get around the prohibition against second medical use
imposed by European/British law, but, in interpreting the claim in considering
novelty and infringement, the Court is to ignore the structure and proceed on
the basis that the claim is simply for a new use for a known medicine. At
paragraphs 35 to 41, Aldous L.J. wrote:
35. A claim of the type considered
to be legitimate by the Enlarged Board has become known as a “Swiss-type”
claim.
36. The conclusion reached in Eisai
was at the time and has since been the subject of considerable discussion
amongst patent lawyers. Its importance was recognized by Whitford J and
Falconer J who sat in banc to decide whether it should be followed in this
country. They held in John Wyeth and Brothers Ltd’s Application and Schering
AG’s Application [1985] RPC 545 that is should be. They concluded that
there could not be any objection to the patenting of inventions in the
Swiss-type form, if the statutory requirement of novelty could be met. They
concluded that, without regard to the position as it had developed in the
courts of Convention States, the better view would be that Swiss-type claims
would not be patentable as they could lack novelty under the patents Act 1977
and by parity of reasoning under the EPC. They went on to remind themselves that
it was necessary to have regard to the decisions of the courts of Member States
of the EPC and also decisions of the EPO, particularly the Enlarged Board.
Having referred in detail to the reasoning of the Enlarged Board in Eisai, they
held at page 567:
“The approach of the Enlarged Board of
Appeal to the question of the novelty requirement in a Swiss type use claim
directed to a second or subsequent medical use may be summarise, it seems, as
follows:
1. Because of the provisions of
article 53(4) (first sentence) (which corresponds to section 4(2) of the 1977
Act), the normal type of use claim, whereby a new use of a known product may be
protected, is not open to pharmaceutical inventions directed to the use of
medicaments in a method of medical treatment.
2. However, no intention to
exclude second (and subsequent) medical indications from patent protection,
other than by a purpose-limited claim (under the provisions of article 54(5),
corresponding to section 2(6) of the 1977 Act) is to be deducted from the terms
of the EPC or the legislative history of the material articles thereof.
3. In that regard the Swiss-type
of use claim now being considered is not prohibited by article 52(4) and is
capable of industrial application.
4. As to novelty, the Board
consider that in the type of claim specifically provided for in article 54(5),
namely, a purpose-limited product claim to a known substance or composition for
a first (and, therefore, novel) pharmaceutical use, the required novelty for
the claim is to be found in the new pharmaceutical use.
5. Similarly, in the Swiss type
of use claim directed to the use of a known pharmaceutical in the manufacture
of a medicament, not novel in itself, for a novel second (or subsequent)
therapeutic use, the required novelty of the claimed process may be found in
the new second (or subsequent) therapeutic use.
That approach to the novelty
of the Swiss type use of claim directed to a second, or subsequent, therapeutic
use is equally possible under the corresponding provisions of the 1977 Act and,
not withstanding the opinion expressed earlier as to the better view of the
patentability of such a Swiss type claim under the material provisions of the
Act considered without regard to the position, as it has developed under the corresponding
provisions of the EPC, having regard to the desirability of achieving
conformity, the same approach should be adopted to the novelty of Swiss-type of
claim now under consideration under the material provisions of the Act.”
37. The patent judges in the John
Wyeth case correctly summarised the approach of the Enlarged Board and I
believe that they came to the right conclusion in the case before them.
38. Mr. Thorley rightly, in my
view, emphasised that novelty in a Swiss-type claim resided in “the new second
(or subsequent) therapeutic use”. Mr. Waugh submitted that claim 1 did relate
to a second therapeutic use, namely use of taxol for the claimed period and in
amount for the reduction of neutropenia. He submitted that in any case novelty
did not have to reside in a second or subsequent therapeutic use as had been
made clear by the Enlarged Board in the Mobil case.
39. The difficulties that arise
from the decision of the Enlarged Board in the Mobil case on infringement were
referred to by Lord Hoffman in Merrell Dow. For the purposes of this case, it
is necessary to appreciate what was actually decided and there is no need to
become involved in the infringement difficulties. The Enlarged Board summarised
their conclusions in this way in paragraph 10.3 of their decision:
“…with respect to a claim to a new use of
a known compound, such new use may reflect a newly discovered technical effect
described in the patent. The attaining of such a technical effect should then
be considered as a functional technical feature of the claim (e.g. the
achievement in a particular context of that technical effect). If that
technical feature ahs not been previously made available to the public by any
of the means set out in article 54(2) EPC, then the claimed invention is novel,
even though such technical effect may inherently taken place in the course of
carrying out what has previously been made available to the public.”
40. That conclusion depended upon
two strands of reasoning. First, that prior use was not a ground of invalidity.
Thus prior use that did not make the invention available to the public could
not invalidate the invention. Similar reasoning was applied by the House of
Lords in Merrell Dow. Second a purposive construction of the claim according to
the protocol on Interpretation was required. Thus claims should in appropriate
circumstances be interpreted as being limited to the technical effect, namely
the physical activity. It followed that in the case being considered, the claim
to an additive in lubricating oil for reducing friction should be interpreted
as a claim to the product when used for reducing friction. Such a claim would
be novel if the use had not previously been made available to the public.
However it is relevant to note that similar reasoning cannot be applied in
relation to a Swiss-type claim, as such a claim cannot be interpreted as
relating to the product when used because that would constitute a method of
treatment which is prohibited under the EPC.
41. I do not believe that the Mobil
case qualifies or amplifies the conclusion reached in Eisai. The decision in
Eisai was based upon the interplay between Articles 52(4) and 54(5) of the EPC;
whereas Mobil depended upon purposive construction of the claims so as to limit
the claims to the product when used together with an application of Article
52(2).
[79]
Buxton
L. J., with whom Holman J. agreed on this point, also addressed the “Swiss”
claim at paragraphs 76 to 81:
“Swiss-type” claims and the ruling of the
Enlarged Board in Eisai
76. The respondents argued that the
Board in Eisai had misinterpreted the EPC in concluding that the second medical
use claims were, in principle, patentable inventions. The argument envisaged at
least the possibility that even first medical use claims may be excluded from
patentability if the substance used is already comprised in the state of the
art; but that in any event second medical use claims were not permitted by the
EPC. For reasons that I will develop, I do not think that it is open to us to
act on those criticisms, even if they thought to have force; but it will
usefully illuminate the terms and extent of the provisions of the EPC regarding
medical use claims to consider the criticisms made of the Enlarged Board’s
interpretation of them in Eisai.
77. It will be convenient first to
remind ourselves of the reasoning in Eisai. The Enlarged Board recognised (at
para 21) that in the normal industrial field
“a new use for a known product can be
fully protected as such by claims directed to that use. That is in fact the
appropriate form of protection in such cases as the new and non-obvious use of
the known product constitutes the invention.”
78. But that direct approach might
be thought to be precluded by the provisions of Article 52(4) in the case of
products for use in medical treatment. The Board therefore said that
“Article 54(5) EPC provides an exception
to this general rule, however, so far as the first use of medicaments is
concerned, in respect of which the normal type of use claim is prohibited by Article
52(4) EPC. In effect, in this case the required novelty for the medicament
which forms the subject-matter of the claim is derived from the new
pharmaceutical use. It seems justifiable by analogy to derive the novelty for
the process which forms the subject-matter of the type of use claim now being
considered from the new therapeutic use of the medicament and this irrespective
of the fact whether any pharmaceutical use of the medicament was already known
or not.”
79. That reasoning was criticized
on two grounds. First, and somewhat tentatively, the respondents said that the
terms of the EPC did not envisage any sort of use-based claims at all in
connection with pharmaceutical products, and therefore there was no allowable
category of first medical use claims from which the allowability of second
medical use claims could be derived by analogy. The premise of that argument
seems ill-founded. It is difficult to see what the proviso to Article 54(5) of
the EPC is talking about if it does not envisage use-based claims of some sort.
Second, however, a more substantial argument was advanced in relation
specifically to second medical use claims. That was that as a matter of
construction of the proviso the reference to the exclusion of a case where the
use of a product in “any” method of treatment is within the state of the art
meant that once the product was “within the pharmacy” the doctor was free,
without threat of infringement, to prescribe it for whatever treatment seemed
best to him.
80. An argument in similar form
appears to have attracted the Patents Court in Wyeth: see [1985] RPC at p 565, 20.
For my part, however, I did not find it persuasive. It is far from clear that
the wording of Article 54(5) should be read, as the argument requires, as
referring to any method whatsoever. It is at least equally understandable that
the reference to exclusion from the state of the art is simply to the method on
the basis of which novelty is claimed. Indeed, if the aim were to exclude from
further patentability any substance already used in a medical application,
Article 54(5) could have simply said so: provided that its use for any other
method of treatment, etc, is not already comprised in the state of the art. And
once that objection is excluded, the Enlarged Board’s conclusion seems, with
respect, irresistible that, if a product can claim novelty on the basis of the
novelty of its first medical use, then production for a novel second medical
use must equally satisfy the requirements of the EPC. And since by Article
52(4) products for use in methods of medical treatment are not to be regarded,
on that ground alone, as not susceptible of industrial application, it follows,
as the Board said in paragraph 23 of the report in Eisai, that
“it is legitimate in principle to allow
claims directed to the use of a substance or composition for the manufacture of
a medicament for a specified new and inventive therapeutic application, even in
a case in which the process of manufacture as such does not differ from known
processes using the same active ingredient.”
81. This may seem to be merely a
roundabout way of seeking to patent a medical process, and one that only
doubtfully gives proper weight to the first sentence of Article 52(4). It is
not, however, in my view open to us to use such doubts as a ground for not
applying Eisai at all. That is because, although the observations of the House
of Lords in Merrell Dow ‘1996] RPC at p 82,25 as to the undesirability of
departing from decisions of the EPO may strictly speaking not have been part of
the ratio of that case, they are considered reasoned guidance of a unanimous
House, which I do not think we are free to depart from. The same view of the
standing of the decision of the Enlarged Board in Eisai was taken, though
without the benefit of the guidance in Merrell Dow, by the patents Court
sitting in banc in Wyeth.
[80]
Now
we come to Actavis where the Court considered not only a “Swiss” claim,
but one very like the claim at issue in these proceedings. The trial judge,
Warren J., wrote as to this matter in paragraphs 11 to 17 of Actavis:
“Swiss form” and medical use
11. It will be seen that Claim 1 is
in “Swiss form” (for a general description of which see Terrell on the Law of
patents (16th ed) at 6-122ff). I do not embark on an explanation of the
justification for upholding patents in this form. But I should mention the
legislation and a bit of history.
12. Sections 4(2) and 4(3) of the Patents
Act 1977, which are derived from Article 52(4) of the Convention on the Grant
of European Patents (the European Patent Convention) (“EPC”), state:
“(2) An invention of a method of
treatment of the human or animal body by surgery or therapy or of diagnosis
practised on the human or animal body shall not be taken to be capable of
industrial application.
(3) Subsection 2 above shall not prevent
a product consisting of a substance or composition being treated as capable of
industrial application merely because it is invented for use in any such
method.”
13. Section 2(6) of the 1977 Act,
which is derived from Article 54(5) of the EPC, states:
“(6) In the case of an invention
consisting of a substance or composition for use in a method of treatment of
the human or animal body by surgery or therapy or of diagnosis practised on the
human or animal body, the fact that the substance or composition forms part of
the state of the art shall not prevent the invention from being taken to be new
if the use of the substance or composition in any such method does not form
part of the state of the art.”
14. The result is that it is
possible to obtain a patent for the first medical use of a k known substance or
composition, where the substance or composition was not previously known to
have any medical application: see Sopharma SA’s Application [1983] RPC 195.
15. Owing to the prohibition on
method of treatment claims in Article 52(4) of the EPC (which corresponds to
sections 4(2) and 4(3) of the 1977 Act), the Enlarged Board of the European
Patent Office has held that a European patent may not be granted for the use of
a substance or composition for the treatment of the human or animal body by
therapy.
16. However, it has also accepted,
on policy grounds, and following the practice of the Swiss Federal Intellectual
Property Office, that a European patent may be granted with claims directed to
the use of a substance or composition for the manufacture of a
medicament for a specified new and inventive therapeutic application. This gave
rise to the now widely used form of the second medical use, or so-called “Swiss
form” claim: see Eisai/Second Medical Indication (1985) OJEPO, 64 (“Eisai”).
17. Accordingly, a claim in the
form: “Use of [X] for treatment of [Y]” would not be accepted, whereas a claim
“Use of [X] for the manufacture of a medicament for treatment of [Y]” would be
accepted.
[81]
The
Court of Appeal decision in Actavis was written by Jacob L.J. for the Court (he
refers to himself when considering Bristol-Myers in the third person for
instance at paragraph 10). It reversed Warren J. The arguments directed in that
case closely resemble the arguments made in the present case and are
summarized at paragraphs 11 and 12:
[11] This case is about the limits of what can
be done with Swiss form claims. In outline the argument for invalidity runs as
follows: (a) Finasteride as a substance is not novel; (b) Nor is its use as a
medicine (for treating BPH); (c) So its use for the manufacture of a medicament
for use as a medicine lacks novelty; (d) Moreover finasteride had been proposed
for treating aa, but with a daily dosage of 5 mg or more (see below); (e) So
its use for the manufacture of a medicament for treating aa also lacks novelty;
(f) Novelty cannot be saved by specifying a particular dosage regime even if
that dosage was not proposed in the prior art; (g) Even if that is wrong, this
court is bound under the English rules as to precedent by its prior decision in
the BMS case to hold that the patent lacks novelty and/or is in substance one
for a method of treatment of the human and thus, by virtue of art 52(4) is not
to be regarded as susceptible of industrial application.
[12] Merck’s counter argument runs thus:
(i) Points (a) to (e) are accepted; (ii) But (f) is wrong and contrary both to
the EISAI decision and EPO Board of Appeal authority subsequent to the BMS case
and this court should follow that; (iii) There is no ratio decidendi of the BMS
case, or at least not one clear enough, which precludes this court from so
doing; (iv) Even if there is such a ratio, this court should recognise (and
apply) a new exception to the general rules of precedent for this court, rules
adopted long ago and summarised in Young v Bristol Aeroplane Co Ltd [1944] 2
All ER 293, [1944] KB 718.
[82]
The
Court of Appeal dealt with these arguments, commencing at paragraph 11, and
reviewed in detail the “Swiss” form of claims. The Court concluded that the
“Swiss” form is appropriate not only for new uses for an old medicine, but also
for new dosage forms of an old medicine. The discussion is lengthy, so I
reproduce only paragraphs 13 to 18; 33, 44 and 45; and 48 and 49:
[13] We begin by dealing with the
arguments without reference to the impact of the BMS case. There are three stages:
first a detailed consideration of a Swiss form claim; secondly, why such a
claim is treated as novel and not for a method of treatment, a close
examination of the EISAI decision; and thirdly, subsequent EPO and other cases.
SWISS FORM CLAIMS IN MORE DETAIL
[14] One possible view of novelty in
patent law (we speak generally rather than by reference to any particular legislation)
is this: that a thing is either old or is it is not. If it is old, then a claim
to the thing itself cannot be made novel by qualifying it with words specifying
an intended use however inventive that use may have been. This was the rule in
this country prior to the new, European, patent system brought in by the EPC
and the implementing Patents Act 1977.
[15] The rule was exemplified by
Adhesive Dry Mounting Co Ltd v Trapp & co (1910) 27 RPC 341. The claim was
‘for carrying into practice’ a process of mounting photographs on cardboard
using a tissue coated with heat activatable gum on both sides. Such a tissue
(called “a pellicle’) was in itself old. Parker J held that adding an intended
purpose did not confer novelty on an old product: So you could patent an
inventive new process using the new material, but not the material ‘for
carrying out the process’.
[16] This rule had the virtue of
certainty when it came to infringement—a man who sold an old product could not
infringe. The rule had disadvantages from the patentee’s point of view. A
method claim was not as effective in practice as a ‘produce for’ claim. The
person he really wanted to sue was the seller of the product which was going to
be used for his patented process. There were difficulties about this, however.
Such a seller, though not guilty of infringement as such might, otherwise be
liable pursuant to some doctrine of contributory infringement or inducement to
infringe. The law was not clear about this (cf Innes v Short (1898) 15 RPC 449,
(1898) 14 TLR 492, the criticism of this case in the Adhesive Dry mounting case
and the general discussion of the problem in §3-20 of Patents for Inventions (4th
edn, 1974) by TA Blanco White QC).
[17] The rule had a more significant
disadvantage in the field of medicines. For you could not get a method
claim—methods of treatment were then, as they are now, precluded from patent
protection. This meant that there was no patent incentive to investigate
whether old substances had a medical use—not even a first medical use for an
old substance would be worth researching, a fortiori a second medical use.
[18] Things are different under EPO
case law as was first established in the EISAI decision in 1984. Before we
examine the IISAI decision in more detail it is important to note a parallel,
closely related, development which occurred a little later but outside the
context of medical use. In MOBIL OIL ‘III/Friction reducing additive Decision G
0002/88 [1990] OJ EPO 93, [1990] EPOR the ‘use of X as a friction reducing
additive in a lubricant composition’ was held by an Enlarged Board new
notwithstanding the fact that the use of X in such a composition for the
purpose of rust inhibition was known. Novelty of purpose for use can confer
novelty even if the substance is old and unpatentable as such. Lord Hoffman in
Merrell Dow Pharmaceuticals Inc v HN Norton & Co Ltd, Merrell Dow
Pharmaceuticals Inc v. Penn Pharmaceuticals Ltd (1995) 33 BMLR 201, [1996] RPC
76 noted the difficulties which this sort of claim may cause in respect of
infringement but clearly deliberately refrained from holding a MOBIL-type use
claim is invalid.
…
[33] The EPO takes the same view about
the effect of the EISAI decision as us. For there is now clear Board of Appeal
authority holding, as we do, that it follows from the EISAI decision that a
novel dosage regime can confer novelty to a Swiss form claim. In
GENENTECH/Method of administration of IFG-I Decision T 1020/03 [2006] EPOR 9 a
Legal Board of Appeal specifically so held in an unusually detailed and
carefully crafted reasoned opinion. It said:
’72…the Board interprets
decision G 5/83 [EISAI] allowing Swiss form claims directed to the use of a
composition for manufacture of a medicament for a specified new and inventive
therapeutic application, where the novelty of the application might lie only in
the dose to be used or the manner of application. This Board allowed such a
claim, where only the manner of application was new, already eleven years ago
in T 0051/93 of 8 June 1994. The discussion in decision G 0005/83 concerning
further medical indications did indeed refer to use for treating a new illness.
But the Board regards this significant only of the fact that most further
medical use claims will refer to a new illness, as in that case novelty and
inventive step are more likely to exist than in the case of a minor
modification of the treatment known for an existing illness. The logic of
decision G 0005/83 allowing claims to further medical uses of known
compositions, seems equally applicable to any use of such known composition for
a new and inventive treatment which cannot be claimed as such because of
Article 54(4) EPC first sentence.’
. . .
[44] We pause to summarise. In the
EPO, Germany, and even in New Zealand, Swiss form claims whose novelty depends
on a new treatment by a different dosage regime or method of administration are
treated as novel and not as claims to a method of administration. This position
is settled.
[45] Our courts would normally follow
such settled jurisprudence. That would be in accordance with what Lord Hoffman
said in Merrell Dow Pharmaceuticals Inc v HN Norton & co Ltd, Merrell Dow
Pharmaceuticals Inc v. Penn Pharmaceuticals Ltd [1996] RPC 76 at 82:
‘…the United Kingdom Courts…must have regard to
the decisions of the European Patent Office (“EPO”) on the construction of the
EPC. These decisions are not strictly binding upon courts in the United Kingdom
but they are of great persuasive authority; first, because they are decisions
of expert courts (the Boards of Appeal and Enlarged Board of Appeal of the EPO)
involved daily in the administration of the EPC and secondly, because it would
be highly undesirable for the provision of the EPC to be construed differently
in the EPO from the way they are interpreted in the national courts of a
Contracting State.’
. . .
[48] In saying our courts would and
should normally follow the settled jurisprudence of the EPO it should be
understood, of course, that they are not bound do so. In the unlikely event
that we are convinced that the commodore is steering the convoy towards the
rocks we can steer our ship away. Technically we are not in the same position
as we are in the case of decisions of the Court of Justice of the European
Communities (see further below). And of course if there is no clear message
from the commodore or he gives mixed messages we must decide our own course
anyway.
[49] Here, for the reasons we have
given and subject to the binding effect, if any, of the BMS case, we would
follow he EPO and hold that a new dosage regime is enough to confer novelty on
a Swiss form claim.
[83]
The
Court of Appeal in Actavis then turned to the earlier decision of a
different panel of that Court in Bristol-Myers. The argument made by Actavis
is set out at paragraph 50:
[50] Actavis contends that we cannot
follow the EPO, however, because this court’s decision in the BMS case stands
in the way. Many have interpreted the BMS case as deciding (1) that a novel and
non-obvious dosage regime specified in a Swiss form claim cannot make it novel
and (2) that such a claim is to a method of treatment. Included in that number
are the Opposition Division in relation to the parallel designations of the BMS
patent itself (reasons dated 22 May 2002 holding the patent lacked novelty but
expressly disagreeing with the Court of Appeal about method of treatment), the
Board of Appeal in the GENETECH decision itself (it was strongly critical of
the Court of Appeal decision in the BMS case), Jacob J in Merck & Co Inc’s
Patents [2003] FSR 498 at [74] (he was also unhappy with the BMS case), the
UKIPO (see above), and Warren J in this case.
[84]
Again,
the discussion is lengthy; however, the Court of Appeal in Actavis goes
to great lengths to distinguish the decision of that Court in Bristol-Myers
as set out at paragraph 52 to paragraph 108. The result, as stated in
paragraphs 107 and 108, is that the U.K. Courts can depart from an earlier view
if it is satisfied that the European Boards of Appeal have formed a settled
view
of European patent law. For the purposes of
the present case, I repeat paragraphs 69 to 73, as they bear most directly on
the matters at issue in this patent case:
[69] What is revealed particularly
sharply here is that if that conclusion is right, there are two kinds of
novelty attacks possible against Swiss form claims. First there is what may be
called the ‘conventional’ novelty attach—the well-known General Tire and Rubber
Co v Firestone Tyre and Rubber Co Ltd [1972] RPC 457 at 485-486 clear and
unmistakable direction test’. But also available would be a different test—one
asks is the novelty of the claim only due to a novel dosage regime? If that is
so then it doe not matter that no one has ever proposed that regime—the claim
lacks novelty.
[70] We think that cannot be so—there
is only one novelty test and it is the General Tire test. We do not think one
can conclude that the court in the BMS case was holding that there are two
tests and certainly it was not clearly doing so.
[71] Accordingly we are not satisfied
that the BMS case contains a clear ration that a Swiss form claim lacks novelty
if the only difference between it and the prior art is a new dosage regime for
a known medical condition.
[72] As to method of treatment,
Buxton LJ reasoned the same way as Aldous LJ:
In relation to the patent in
suit, however, the manufacture claimed is not the use of the active ingredient,
paclitaxel, in the manufacture of toxol; but the mixing in the hospital
pharmacy of taxol and other ingredients to produce the medium that is injected into
the patient. It is the latter process that is said to be susceptible of
industrial application, under art 52(1) of the EPC. I am afraid that I found
that assertion to be, at best, artificial, and one that I do not think would
have been made were it not for the need to demonstrate that the invention is
not of a method of treatment. We were told that the mixing process could be,
and in some cases was, subcontracted outside the hospital; but that does to
prevent it from being a long way away from anything that in normal parlance
would be considered an industrial application; or, for that matter, as under
the old English law, “manufacture”. As my Lord has described, the mixing of
amounts and types of premedication, and of amounts of taxol, all determined by
the doctor in relation to the specific patient. It is in reality not a
self-standing operation, but subordinate and incidental to the doctor’s
treatment of the patient. True it is that, in treating the patient, the doctor
will, or at least may, administer the drugs according to the guidance contained
in the patent. But that merely underlines that what the patent teaches is not
how to manufacture a drug for use in the treatment of the patient, which would
be in form at least a Swiss-type claim, but how to treat the patient which is
the teaching that the Swiss-type claim is designed to avoid.
[73] There is a ratio here—that the
claim concerned was essentially to a method of medical treatment. It is the
same ratio as that of Aldous LJ. Holman J agreed. However it seems clear that
the EPO would not accept it as correct. For it accepts that any Swiss form
claim by its nature stops short at claiming a method of medical treatment—it
does not monopolise the actual treatment of a patient.
[85]
Thus,
it can be seen that the Court of Appeal in Actavis maintained the
position that while a “Swiss” type claim was necessary for the purpose of
avoiding the prohibition against a second medical use, that structure is to be
ignored when dealing with issues such as novelty. In so doing, the Court of
Appeal relied heavily on what it perceived as the state of the law as
pronounced by the European patent courts. However, if one looks at the
postscript to the Court of Appeal decision commencing at paragraph 120, that
Court was asked – but declined – to reserve until the European Board of Appeals
ruling in Kos, which was
expected shortly, came out.
[86]
With
this lengthy background, we must turn to the decision of the European Enlarged
Board of Appeals in Kos. That case dealt with a “Swiss” type claim
directed to a known medicine for a known use where the difference was in the
stated dosage as being “once per day prior to sleep”. The Board of Appeals held
that, because the European law had changed, the “Swiss” type claims should no
longer be read. It recognized that there were many existing patents with such
claims, thus the ruling was prospective only. I repeat paragraphs 7 (7.1 to
7.1.4) of that ruling. It is important to note paragraph 7.1.3, where the Board
recognizes that “Swiss” claims could be objectionable in that they do not
really address the features in which novelty and inventiveness are asserted to
reside. In other words, a claim saying use this particular drug to make a
tablet of a certain dosage that will eventually be used to treat a certain
disease will lack novelty and inventiveness if all that is being considered is
the making of the tablet:
7. Answer to the third question
7.1
Consequence
of the new law in respect of so called Swiss-type claims
7.1.1 Claim 1 is submitted to the referring
Board of Appeal for consideration is drafted in the so-called Swiss-type
format. It has been established practice under the EPC 1973 that a patent
related to a further medical application of a known medicament could only be
granted for a claim directed to the use of a substance or composition for the
manufacture of a medicament for a specified therapeutic application (cf. G
5/83, point 2 of the Order).
Since the medicament per se was not new
the subject-matter of such a claim was rendered novel by its new therapeutic
application (cf. G 5/83, points 20 and 21 of the Reasons). This praetorian
approach was a “special approach to the derivation of novelty” (cf. point 21 or
G 5/83) and therefore constituted a narrow exception to the principles governing
the novelty requirements which was not intended to be applied in other fields
of technology.
That praetorian ruling found its cause in
the fact that a claim directed to the use of the substance or composition for
the treatment of the human body by therapy had to be regarded as a step of
treatment (see point 18, in fine of G 5/83). A claim of that kind was
forbidden. On the other hand only the first medical indication of a known
composition in the form of a medicament was by virtue of Article 54(5) EPC 1973
(Article 54(4) EPC 2000) entitled to be drafted in the form of a
purpose-related product claim. And since the intention of the legislator was
clearly not to exclude second therapeutic indications of a known medicament
from the field of patentability the so-called Swiss-type claim constituted the
adequate but exceptional solution.
7.1.2 Article 54(5) EPC now permits
purpose-related product protection for any further specific use of a known
medicament in a method of therapy. Therefore, as mentioned in the preparatory
document (MR/24/00, point 139) the loophole existing in the provisions of the
EPC 1973 was closed.
In other words “cessante ratione legis,
cessat et ipsa lex”, when the reason of the law ceases, the law itself ceases.
The cause of the praetorian approach
ceasing, the effect must cease. As stated in decision T 406/06 of 16 January
2008, point 5 of the Reasons:
“The question arises whether the
exception to the general novelty requirement, which was accepted in decision G
5/83 under the EPC 1973, is still justified under the new legal framework which
enables the applicant to frame its claims in accordance with the provision of
Article 54(5) EPC 2000 in order to obtain patent protection for a new
therapeutic application of a known medicament.”
7.1.3 Moreover, Swiss-type claims
could be (and have been) considered objectionable as regards the question as to
whether they fulfill the patentability requirements, due to the absence of any
functional relationship of the features (belonging to therapy) conferring
novelty and inventiveness, if any, and the claimed manufacturing process.
Therefore, where the subject matter of a claim is rendered novel only by a new
therapeutic use of a medicament, such claims may no longer have the format of a
so called Swiss-type claim as instituted by decision G 5/83.
7.1.4 The Enlarged Board of Appeal is
aware of the fact that patents have been granted and many applications are
still pending seeking patent protection for claims of this type. In order to
ensure legal certainty and to protect legitimate interests of applicants, the
abolition of this possibility by the interpretation of the new law give by the
Enlarged Board in this decision shall therefore have no retroactive effect, and
an appropriate time limit of three months after publication of the present
decision in the Official Journal of the EPO is set in order for future
applications to comply with this new situation. In this respect the relevant
date for future applications is their date of filing or, if priority has been
claimed, their priority date.
f) “Swiss”
Claims in Canada
[87]
Turning
to the use of “Swiss” type claims in Canada, I discussed the origin
and nature of such a claim at paragraphs 18 to 24 in Eli Lilly Canada Inc.
v. Apotex Inc., 2008 FC 142, 63 C.P.R. (4th) 406:
18 All 17 claims of
the ’356 patent, not only claims 1, 3, 15 and 17, are drafted in the
"Swiss" style that is to say in a style which says:
The use of [an old compound] in the manufacture of a
medicament for the treatment of [a new disorder].
19 Claims in a
patent directed in one way or another to medicines, to make them and how to use
them have at various times and in various jurisdictions, been the subject of
certain restrictions and limitations. At one time for instance, Canada as well as some other countries did not
permit claims for a medicine per se. As a result claims became structured in
certain ways so that, indirectly, some monopoly protection could be claimed. A
good brief analysis of the history of such claims in Canada was given by the
late Jerome A.C.J. in Deprenyl Research Ltd. v. Apotex Inc. (1994), 55 C.P.R. (3d) 171 (aff'd
(1995), 60 C.P.R. (3d) 501 (F.C.A.)) at page 175:
Until very recently, a
medicine itself could not be patented, except when prepared by a particularly
described process. Even then, however, it was essential that the medicine so
produced be new or novel. If the medicine was not new, but the process
producing it was, only the process could be patented. Though medicines
themselves can now be patented as products, clearly a large number of patents
still exist in relation to medicines when prepared by a particular process.
Accordingly, there are three types of claims which can be made in a medicine
patent. There may be a claim for the medicine itself, known as a
"product" claim; a claim for the medicine when prepared by a
particular process, known as a "process-dependent" product claim;
and, a claim for the particular process that produces a medicine, known as a
"process" claim.
20 In
Europe, claims that were "susceptible of industrial application" were
quite permissible but "methods of treatment of the human body...by surgery
or therapy and diagnostic methods" were not, with the saving provision
that "substances or compositions, for use in any of these methods"
were permitted to be claimed. Thus a new medicine could be claimed, but not a
new use for an old medicine. The Swiss developed a way around this issue of
claiming a new use for an old medicine by characterizing the manufacture of a
pill for a new use as something that was "susceptible of industrial
application" thus this type of claim became known as a "Swiss
claim".
21 Jacob J. as he
then was explained Swiss claims clearly in his decision in the English Chancery
(Patents) Division in Bristol-Myers Squibb Co. v. Baker Norton
Pharmaceuticals Inc.,
[1998] EWHC Patents 300 (aff'd [2000] EWCA Civ. 169 (CA)), at paragraph 43 and
following:
43. Before going further I
must now say something about the general structure of the claim. I daresay that
an ordinary skilled man (to whom it is notionally addressed) would find it
puzzling, unless he had been initiated in some of the Byzantine logic of patent
law and jurisprudence. The explanation lies in Art. 54(4) of the EPC and the
decided cases. The material parts of Art.54 read:
(1) European patents shall be
granted for any inventions which are susceptible of industrial application,
which are new and which involve an inventive step.
(4) Methods for treatment of
the human or animal body by surgery or therapy and diagnostic methods practised
on the human or animal body shall not be regarded as inventions which are
susceptible of industrial application within the meaning of paragraph 1. This
provision shall not apply to products, in particular substances or
compositions, for use in any of these methods.
22 Thus the
"Swiss claim" is an additional structural form of a claim that can be
added to the structures discussed in Deprenyl, supra so that presently, in Canada, claims
directed to a medicine, and in particular to a previously known medicine can be
structured in a variety of ways such as:
• The
use of an old
medicine for the treatment of a new disorder (new use claim)
• The process for making an old
medicine that is to be used in the treatment of a new disorder (process claim)
• The use of an old medicine
when prepared by a certain process for the treatment of a new disorder
(process-dependent claim)
• The use of an old medicine
for the manufacture of a medicament for the treatment of a new disorder (Swiss
claim)
23 Each of these
claims could arguably be said in "spirit" or "essence" to
be directed to the new use of a known medicine, but each is structured
differently.
24 At
the pre-trial conference held on January 14, 2008, counsel for Apotex stated
that Apotex would not be arguing whether "Swiss" type claims are
appropriate for listing under the NOC Regulations nor would it be arguing
whether such claims are directed to a
method of medical treatment. To the extent that such arguments were
raised in Apotex's Notice of Allegation or Memorandum of Argument, they have
been abandoned.
In that case, I did not have to deal with
the effect of drafting the claims in a Swiss type style. In the present case I
do.
[88]
There
are somewhat conflicting decisions in our Courts as to the construction of a
“Swiss” type claim. In Abbott Laboratories v. Canada (Minister of
Health)
(2007), 59 C.P.R. (4th) 1, the Federal Court of Appeal held that the Trial
Judge was “on solid ground” when she construed such a claim not be a claim for
the use of the medicine. At paragraphs 32 to 43, Noel J.A. (who dissented on
other grounds) wrote:
32 Turning
to the first issue raised on appeal, claim 31 reads:
The use of [clarithromycin] Form 0-ethanolate in
the preparation of [clarithromycin] Form II for use as an antibiotic.
33 Abbott
does not dispute Heneghan J's conclusion that claim 31 is not a claim for the
"medicine itself". The sole issue is whether Heneghan J. correctly
held that claim 31 is not an eligible claim under the NOC Regulations because
it is not (section 2) "... a claim for the use of the medicine for the
diagnosis, treatment, mitigation or prevention of a disease, disorder or
abnormal physical state, or the symptoms thereof".
34 Abbott
submits that Heneghan J. erred in holding that claim 31 is not a claim for the
use of the medicine. The applications judge concluded that claim 31
"claims the use of Form 0 to make something else, that is Form II"
(Reasons, at para. 120). In so doing, according to Abbott, she erred by giving
no meaning to the words "for use as an antibiotic" in claim 31.
35 When
given a purposive construction, Abbott submits that claim 31 is a claim for the
use of a medicine, thereby rendering it eligible for inclusion on the Patent
List. In other words, had the phrase "for use as an antibiotic" not
been disregarded, an eligible use would have been found.
36 In
this respect, Abbott submits that claim 31 should be read with claim 30 which
is identical to claim 31, but for the fact that the concluding words "for
use as a medicine" are omitted. According to Abbott, these additional
words in claim 31 must be given meaning, and Heneghan J. erred in law, in
choosing to ignore them.
37 I
do not believe that Heneghan J. ignored the words "for use as an
antibiotic" in construing claim 31. She refers to that phrase throughout
her reasons. On a fair reading of her reasons, she held that the person skilled
in the art would have read claim 31 as claiming the use of Form 0 to make Form
II and considered that the closing words were not essential to the invention
claimed (Reasons, at para. 104, 120-134). The issue in this appeal is whether
this conclusion was open to her. In my respectful view, it was.
38 On
a plain reading of claim 31, it makes a claim to a use of a substance (Form 0
clarithromycin) in the preparation of another substance (Form II
clarithromycin). This is achieved by heating Form 0 at extreme temperatures
(between 70o C and 110oC).
39 The
68 claims of the '361 Patent vary in scope, but all relate to Form 0 being used
to make Form II. None purports to claim Form 0 clarithromycin as a medicine.
Claims for Form 0 clarithromycin per se and for the use of Form 0 as an
antibiotic are made in Patent 2,277,274 which was filed at the same time as the
'361 Patent (Appeal Book, Vol. VI, p. 2270).
40 On
the other hand, the use of Form II as an antibiotic is disclosed in Patent
2,258,606 which was filed before the '361 Patent and has a claim date which
precedes that of the '361 Patent (ibid).
41 It
is significant that Abbott's own expert (Dr. Byrn) omitted the phrase "for
use as an antibiotic" entirely in describing what is claimed by the '361
Patent (Appeal Book, Vol. VI, pp. 2171-2172).
In the
same vein, Dr. Atwood (who also provided expert evidence on behalf of Abbott)
does not qualify the words "for use as an antibiotic" as being
essential to the claim (Appeal Book, Vol. VII, p. 2645).
42 Moreover,
Form II was known to have but one use, that being use as an antibiotic. Dr.
Byrn indicates so much at para. 296 of his affidavit (Appeal Book, Vol. VI, p.
2333). It is true, as Counsel for Abbott point out, that the statement made by
Dr. Byrn relates to clarithromycin tablets, but Dr. Byrn's evidence does not
suggest that Form II from which the tablets are made, had any other use.
43
Although, the Court should
strive to construe claims which do not bear the same words differently,
Heneghan J. was on solid ground in this case, when she held that the words
"for use as an antibiotic" at the end of claim 31, do not add
anything to the invention claimed. At best, these words describe the utility of
Form II once made in accordance with the claimed invention. The fact that
clarithromycin in Form II is used as an antibiotic was well known. Saying, in
effect, that an antibiotic is used as an antibiotic adds nothing to the
invention.
[89]
In
Pfizer Canada Inc. v. Apotex Inc. (2007), 61 C.P.R. (4th)
305, Mosley J. of this Court considered certain claims which he summarized at
paragraph 147 so as to include, at claim 8 a “Swiss” type claim. Other claims
were more directly stated to be the use of the medicine:
147 The
relevant claims with respect to this issue, as disclaimed, are set out as
follows in summary form and with emphasis added:
1. The use of a compound
of formula (I) [which is then defined] or a
pharmaceutically acceptable salt thereof, or a pharmaceutical composition
containing either entity, for the manufacture of a medicament
for the curative or prophylactic treatment of an erectile dysfunction in man.
Claims 2-4 in essence claim
"The use according to claim 1" and give more narrow definitions for
formula (I).
7. The use according to claim 4 wherein
the compound of formula (I) is 5-[2-ethoxy-5-(4-methyl-1-piperazinylsulphonyl)phenyl]-1-methyl-3-n-propyl-1,6-dihydro-7Hpyrazolo[4,3-d]pyrimidin-
7-one] (i.e. sildenafil) or a pharmaceutically
acceptable salt thereof (i.e. sildenafil salt),
[italicized notations added]
8. The use according to any one of
claims 1 to 7 for the manufacture of a medicament for the
curative or prophylactic treatment of erectile dysfunction in man.
10. A pharmaceutical
composition for the curative or prophylactic treatment of erectile dysfunction
in man, comprising a compound of formula (I) according to any one
of claims 1 to 7, or a pharmaceutically
acceptable salt thereof, together with a pharmaceutically acceptable diluent or
carrier.
18. The use of a
compound of formula (I) according to any one of claims 1 to 7, or a
pharmaceutically acceptable salt thereof, for the curative or prophylactic
treatment of erectile dysfunction in man.
22. The use according
to any one of claims 1 to 8 wherein the medicament is adapted for oral treatment.
23. A pharmaceutical composition according
to claim 10 which is adapted for oral treatment.
[Emphasis
added]
[90]
In
referring to these claims at paragraph 153, he referred to all of them,
including the “Swiss” as directed to the use of the medicine, the manufacture
of a medicament being merely secondary:
153 To
my mind, it is clear from the claims at issue that multiple forms of
sildenafil, including a compound of formula (I), a pharmaceutically acceptable
salt thereof, or a pharmaceutical composition containing either, are claimed as
being useful for the treatment of ED in man, and that this may require the
manufacture of a medicament to be achieved. The use being spoken of is
therefore the use of sildenafil (which is a medicine, as defined above, i.e.
"a substance") for the curative or prophylactic treatment of erectile
dysfunction in man, and the manufacture of a medicament or the adaptation for
oral treatment are merely secondary aspects to the essential claimed use.
[91]
Given
Bristol-Myers, Actavis and Kos, as well as these Canadian
decisions, where are we in Canada in respect of “Swiss” claims? Do we do
what the British Courts and Mosley J. have done and view the structure which is
drafted in terms of the manufacture of a medicament as merely secondary to the
real intent in claiming a new use? The difference is important when considering
validity in particular.
[92]
In
this case, if claim 5 is really directed simply to the manufacture of a tablet
having, in this case, 1 mg. of the drug, these cannot be said to be anything
novel or inventive in making a tablet at that dosage, given the prior art which
shows tablets used for the same purposes with the same drug
in dosages, say, at 5 mg. or more. This is
what Warren J. did in the Actavis trial decision at paragraphs 23 to 27:
Lack of Novelty
23.
Mr
Thorley submits that the present case is indistinguishable from Bristol-Myers
(which is of course binding on me). Dealing first with lack of novelty he says
that, in order to be a valid Swiss-type claim, the novelty must lie in the new
therapeutic application: novelty cannot reside in a new dosing regimen for
treatment of the same disorder as previously treated. In the present case, he
submits that EP 0 285 382 discloses the therapeutic application, namely, the
treatment of androgenic alopecia. The fact that the dosage levels are changed
cannot afford novelty. The Claim accordingly lacks novelty in the light of the
reasoning in Bristol-Myers.
24.
I
need to say something at this stage about that EP 0 285 382. This application
was published in October 1988. It is entitled “Methods of treating androgenic
alopecia with 17β-N-monosubstituted-carbomyl-4-aza-5α-androst-1-en-3-ones”.
One of the compounds in question is finasteride.
25. As with the Patent, 382 begins
with a reference to a number of hyperandrogenic conditions including male
pattern baldness and BPH (page 2 11-13). At the foot of page 2, it refers to
the new class of compounds as active ingredients and methods of inhibiting 5α-reductase and of
treating androgenic sensitive conditions.
26. Having described the underlying
chemistry, the specification states as follows:
“Accordingly, the present invention is
particularly concerned with providing a method of treating the hyperandrogenic
conditions of androgenic alopecia, including male pattern alopecia, acne
vulgaris, seborrhoea, and female hirsutism by topical administration, and a
method of treating all of the above conditions as well as benign hypertrophy,
by systemic administration, of the novel compounds of the present invention.
The compositions containing the compounds
of the present invention is [query should be “which are”] the active ingredient
for use in the treatment of benign prostatic hypertrophy can be administered in
a wide variety of therapeutic dosage forms in conventional vehicles for
systemic administration, as for example, by oral administration in the form of
tablets, capsules, solutions, or suspensions, o[r] by intravenous injection.
The daily dosage of the products may be varied over a wide range varying from 5
to 2,000 mg, preferably from 5 to 200 mg.”
27. In light of that, it seems to
be clear that there is no novelty in the use of finasteride as a possible
treatment for MPB. It may be novel to use it in the small dosage which it is
now apparent can result in successful treatment, rather than the much larger
doses mentioned in EP 0 285 382. But this is simply a different dosing regime
and is thus precisely the same as the situation in Bristol-Myers.
[93]
On
the other hand, if we ignore the “Swiss” structure and construe the claim to be
directed to the treatment of baldness with finasteride at a particular dosage,
then we are in the situation as discussed by Jacob L.J. in the Actavis
appeal decision at paragraphs 66 to 71:
[66] If one considers Warren J’s
judgment on these points it illustrates particularly vividly why it is unlikely
that the BMS case actually decided that a Swiss form claim whose difference
from the prior art is only in the dosage regime lacks novelty.
[67] The judge held that claim 1
lacked novelty because the only thing that differentiated it from the prior art
was the new dosage regime. Spelling that out it means he held that ‘the use of
finasteride for the preparation of a medicament for oral administration useful
for the treatment of aa wherein the dosage is amount is about 0.4305 to 1.430
mg’ lacked novelty. But no one had ever used finasteride for that purpose or
ever given clear and unmistakable directions to do so. This case is not like
the BMS case where Winograd had disclosed the very dosage regime of the claim
and had given clear and unmistakable directions for its use and hence to use
taxol for the preparation of that dosage regime.
[68] The judge noted that ‘it may be
novel to use it in the small dosage which it is now apparent can result in
successful treatment’. He thought it followed from the BMS case that that
novelty was not enough to count as novelty for the purposes of validity.
[69] What is revealed particularly
sharply here is that if that conclusion is right, there are two kinds of
novelty attacks possible against Swiss form claims. First there is what may be
called the ‘conventional’ novelty attack—the well-known General Tire and Rubber
Co v Firestone Tyre and Rubber Co Ltd [1972] RPC 457 at 485-486 clear and
unmistakable direction test’. But also available would be a different test—one
asks is the novelty of the claim only due to a novel dosage regime? If that is
so then it doe not matter that no one has ever proposed that regime—the claim
lacks novelty.
[70] We think that cannot be so—there
is only one novelty test and it is the General Tire test. We do not think one
can conclude that the court in the BMS case was holding that there are two
tests and certainly it was not clearly doing so.
[71] Accordingly we are not satisfied
that the BMS case contains a clear ration that a Swiss form claim lacks novelty
if the only difference between it and the prior art is a new dosage regime for
a known medical condition.
[94]
I
will leave the matter there because, in the circumstances of this case, since
it is a proceeding under the provisions of the NOC Regulations, I am
determining, as follows, that Pharmascience is bound by the allegations as to
construction of claim 5 that it made in its Notice of Allegation.
g) Claim
Construction – Notice of Allegation
[95]
The
function of a Notice of Allegation served by a second party such as
Pharmascience under the provisions of the NOC Regulations is to raise
all the relevant facts and law upon which it intends to rely in clear and
unequivocal terms. I wrote in Eli Lilly Canada Inc. v. Novoharm Ltd.,
2009 FC 301, 76 C.P.R. (4th) 407 at paragraph 78:
78 The
jurisprudence in this Court has evolved to the point where it has established
that a second party has an obligation in its Notice of Allegation to raise all
the issues and relevant facts and law upon which it relies and set this out in
clear and unequivocal terms such that the first party will know exactly the
case that it will have to meet should it wish to commence proceedings under the
NOC Regulations. In this regard I stated in Bristol-Myers Squibb Canada Co. v. Apotex Inc., 2009 FC
137 at paragraph 130 in reliance upon Stone JA. in AB
Hassle v. Canada (Minister of Health and Welfare) (2000), 7 C.P.R. (4TH) 272:
[130] A Notice of Allegation
is intended to be fulsome, putting the first party on notice as to the
allegations made and the factual and legal basis for those allegations. The
intent is that the entire factual basis upon which a second person relies is
set out with particularity. The second person assumes the risk if the notice is
incomplete. I quote from the reasons of the Federal Court of Appeal given by
Stone JA. in AB Hassle v. Canada
(Minister of Health and Welfare), previously referred to in these reasons when
I was dealing with the disclaimer issue. He wrote at paragraph 21and 23:
21 In my
view, all of these considerations suggest that a second person must do what, in
fact, paragraph 5(3)(a) requires, i.e. set forth in the detailed statement
"the legal and factual basis" for the paragraph 5(1)(b) allegation
and to do so in a sufficiently complete manner as to enable the patentee to
assess its course of action in response to the allegation. See Pharmacia Inc.
v. Canada (Minister of National Health and Welfare)
(1994), 58 C.P.R. (3d) 209 (F.C.A.), per Strayer J.A. at 216. An examination of
the detailed statement in issue is thus required in order to determine whether
it
measures up to this
requirement with respect to the allegation that the '693 and '891 Patents are
not valid for obviousness.
...
23 The
respondent suggests that the list of prior art in the detailed statement was
not intended to be exhaustive, hence the presence of the word
"including", so that the way was left open to add to that list in the
section 6 proceeding. I am of the view, however, that paragraph 5(3)(a) does
not contemplate such possibility. The intent appears to be that the entire
factual basis be set forth in the statement rather than be revealed piecemeal
when some need happens to arise in a section 6 proceeding. This Court has
cautioned persons in the position of the respondent that they assume a risk
that a particular allegation may not be in compliance with the Regulations and
that the deficiency cannot be cured by the Court in a section 6 proceeding. In
Bayer AG v. Canada (Minister of National Health and Welfare) (1995), 60 C.P.R.
(3d) 129 (F.C.A.), Strayer J.A. stated, at 133-134, in reference to the
decision of this Court in Pharmacia Inc. v. Canada (Minister of National Health
and Welfare) (1994), 58 C.P.R. (3d) 207:
The order appealed from here
was made before this court had had occasion to clarify certain issues arising
out of the Regulations. In particular, this court in Pharmacia Inc. v. Canada
(Minister of National Health and Welfare)...[since reported at 58 C.P.R. (3d) 207]...stated
the following [at p. 209]:
It seems to us that while a
notice of allegation does play an important role in the ultimate outcome of
litigation of this nature, it is not a document by which the judicial review
application may be launched under s. 6 of the regulations. That document was
put in as a piece of evidence by the appellants; it originated with the
application filed before the Minister. Because it is not a document that was
filed with the court but with the Minister, in our view the notice of allegation
is beyond the reach of the court's jurisdiction in a judicial review
proceeding. That being so, the court, in our opinion, lacks jurisdiction to
strike out the notice of allegation.
This clearly means that the
court has no jurisdiction to make orders concerning the filing of notices of
allegation or requiring them to be perfected in some way. The principle is
that, by the scheme of the Regulations, the notice of allegation precedes the
institution of prohibition proceedings in this court. It forms part of the
background to that proceeding, perhaps what one might loosely refer to as part
of the "cause of action". A court cannot order that a cause of action
be created, or that it be created at a certain time, or in a certain way. It
can only deal with it after it is created or allegedly created. Those who fail
to file notices of allegation,
or adequate notices of
allegation, must assume their own risk when it comes to attacks on the adequacy
of such allegations once prohibition proceedings are commenced before the
court.
[96]
In
this sense, the Notice of Allegation is like a pleading. Once a second party
has taken a position as to fact or law, it cannot be seen to resile from that
position. This is particularly so since a Notice of Allegation cannot be
amended once Court proceedings have been commenced.
[97]
In
the present case, Pharmascience characterized the ’457 Patent, including claim
5, not as being directed to the manufacture of a tablet; rather, it took the
position that it was directed to a particular dosage. It said at pages 2 and 3
of its “Detailed Statement”:
C. Canadian Patent No. 2,173,457
1) Subject Matter of the ’457
Patent
The ’457 Patent is directed
to the treatment of androgenic alopecia, including both female and male pattern
baldness, and other hyperandrogenic conditions by administering a low daily
dosage of a 5α-reductase
2 inhibitor, in particular, 17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-1-ene-3-one,
i.e., finasteride, wherein the dosage is 0.05 to 3.0 mg per day.
2) Summary of the Claims in the ’457
Patent
a) Claims 1 to 5 of the ’457
Patent
Claim 1 of the ’457 Patent is
a broad, independent claim, directed to the use of a 5α-reductase 2
inhibitor for the preparation of a medicament adapted for oral administration
useful for the treatment of androgenic alopecia in a person, wherein the dosage
amount is about 0.05 to 3.0 mg.
Claim 2 is dependent on claim
1, wherein the 5α-reductase
2 inhibitor is limited to finasteride.
Claim 3 is dependent upon
claim 2, wherein the dosage claimed is about 1.0 mg.
Claim 4 is dependent upon
claim 3, wherein the dosage claimed is about 1.0 mg.
Claim 5 is dependent upon
claim 4, wherein the androgenic alopecia is male pattern baldness.
[98]
Furthermore,
each of Pharmascience’s witnesses, Doctor Taylor at paragraphs 108 to 115 of
his affidavit, and Doctor Steiner at paragraph 123 of his affidavit, took the
position that the claims, including claim 5, were really directed to the use of
finasteride in a particular dosage to treat male baldness.
[99]
Thus,
for purposes of the present proceedings, I shall deal with the construction of
claim 5 on the basis that the “Swiss” type construction should not be taken
literally. Rather it is to be considered that the claim is directed to the use
of finasteride at a particular dosage in oral form to treat male baldness.
h) Construing
Claim 5
[100] Having gone
the long way around, I return to the construction of claim 5, which I repeat in
the form incorporating the earlier claims and substituting finasteride for the
complex chemical formula:
5.
The
use of finasteride for the preparation of a medicament adopted for oral
administration useful for the treatment of male baldness pattern and wherein
the dosage is about 1.0 mg.
[101] Given the
discussion previously set out including the position taken by Pharmascience as
to the “Swiss” type claim, I construe this claim as having the following
essential elements:
·
a
medicament
·
prepared
using finasteride
·
for
oral administration
·
to
treat male baldness
·
having
a dosage at about 1.0 mg.
[102] Two items of
controversy have been raised by Pharmascience.
1. does the
claim contemplate finasteride alone as the active ingredient
2. is the dosage
a daily dosage
[103] As to the
first, is claim 5 properly construed, directed to the use of finasteride alone
as the active ingredient? The claim does not say “alone” or “only”. The
description of the ’457 Patent at page 5 states that the drug such as
finasteride “can be used in combination with a potassium channel opener,
such as minoxidil”.
[104] Pharmascience’s
witnesses, Doctor Taylor (paragraph 152 of his affidavit) and Doctor Steiner
(paragraphs 81 and 82 of his affidavit), take the view that claim 5 is not
limited to finasteride alone. Merck’s witness, Doctor Russell, in
cross-examination, in answer to questions 378, 379 and 382 was of the view that
there was nothing in claim 5 to exclude another active ingredient such as
minoxidil.
[105] In AstraZeneca
AB v. Apotex Inc. (2007), 60 C.P.R. (4th) 199, at paragraphs 21
to 25, and 32 and 33 (aff’d 61 C.P.R. (4th) 97 (FCA)) at paragraphs
22 and 23, Barnes J. of this Court, in dealing with very similar claims, held
that such claims were not limited to the use of the named drug alone.
[106] In the
present case in particular, given the specific reference in the description of
the ’457 patent to the inclusion of other active drugs, I conclude that, on a
proper construction, claim 5 is not limited to the use of finasteride alone as
an active drug.
[107] The second
issue is directed to whether the reference to the 1.0 mg. dosage is a daily
dosage. I note that all the experts for each party in their evidence understand
that the dosage is a daily dosage. (Doctor Russell in cross-examination,
questions 162 to 170; Doctor Shapiro in cross-examination, page 42, lines 34 to
41; Doctor Taylor in his affidavit, paragraphs 108 to 109; Doctor Steiner in
his affidavit, paragraph 33).
[108] The ’457 Patent,
in the description at pages 3a and 5 refer to the dosages as daily dosages. I
conclude, in particular, with reference to this description, that a proper
construction of claim 5 is that the 1.0 mg is a daily dosage.
5. Method of
Medical Treatment
[109] Pharmascience
attacks the validity of claim 5 on the basis that it is, in reality, simply
directed to a method of medical treatment which, it alleges, is not valid
subject matter for a patent in Canada.
[110] First, being
a “Swiss” type claim, if we allow it to be read in that fashion, claim 5 is not
directed to a method of medical treatment; rather, it is directed to a vendible
product; namely, a medicament. The reasoning used in the U.K. cases and in
the earlier European cases, is the same reasoning as would apply here such that
the claim would not be considered to be directed to a method of medical
treatment.
[111] If, on the
other hand, the claim is to be construed as directed to the use of a medicament
for treatment of a human condition at a particular dosage, then the Canadian
jurisprudence must be considered, particularly in light of the fact that claim
5 is restricted to a particular fixed dosage and not a dosage range in which it
is left to the physician to make a final determination as to dosage. I refer to
the careful and thorough analysis given by Justice Harrington of this Court in
considering
claims directed to a dosage range in Axcan
Pharma Inc. v. Pharmascience Inc. (2006), 50 C.P.R. (4th) 321 at
paragraphs 45 to 51:
45 Pharmascience
does not dispute that a new use for an old compound is patentable, as held in Shell, supra. However, as noted by Mr. Justice Binnie in Apotex, supra, and Shell, supra,
an invention relating to the area of professional skill is not patentable. This
issue was considered by Mr. Justice Dubé in Visx Inc. v.
Nidek Co. et al, 3 C.P.R. (4th)
417, affirmed by the Federal Court of Appeal at 16 C.P.R. (4th) 251. That case
dealt with an apparatus for performing laser eye surgery. One submission was
that the patent was invalid as relating to surgical procedures. The argument
was that the claim did not relate to an "art or process" within the
statutory definition of an invention Mr. Justice Dubé rejected the argument. He
said:
[173] In my view, the Professional Skill Defence
is not available to attack the validity of the three patents in issue. These
patents do not teach professional skills to surgeons. They deal with an
apparatus, a machine, a combination of several components. In that sense, the
apparatus is similar to other medical equipment, as x-ray machines, dentist
drills, scalpels, all of which are patentable if they teach an invention. The
invention in the Visx patents does not pose a limitation upon the surgeons'
skills. On the contrary, it is meant to assist a surgeon in his operation on
the human eye. It focuses, directs and shapes the beam. It determines and
controls a circular area of exposure and does the ablation. All the surgeon
does is prepare the patient and enter the basic measurements into the computer.
He then steps on the pedal to start the machine. Moreover, in accordance with
Dr. Sher's evidence, myopia, hypermyopia and astigmatism are not diseases, they
are human conditions.
46 The
invention claimed here is quite different. It is up to the physician based on
his or her knowledge of the patient's rate of metabolism and other factors to
determine the appropriate daily dosage. I cannot, for a moment, contemplate
that Axcan could claim exclusive property in the dosage and sue a physician for
prescribing Ursodiol for the treatment of PBC at a dosage less than 13
mg/kg/day or greater than 15 mg/kg/day. In fact, Dr. Shaffer, who was called by
Axcan, stated during cross-examination that he has at times prescribed Ursodiol
at dosages greater than those set out in the patent.
47 A
case very much on point is the decision of Mr. Justice Mosley in Merck & Co., Inc. et al. v. Apotex Inc. et al. (2005), 41 C.P.R. (4th) 35. That case also dealt with the PM (NOC) Regulations. Merck
had long marketed Alendronate tablets in a 10 mg daily dosage form for the
treatment of osteoporosis. This required a strict dosing regime to which a
number of patients did not adhere, to their detriment. There were significant
adverse side-effects. The alleged invention asserted that a larger once weekly
dose had fewer adverse effects. Mr. Justice Mosley held that the invention was
obvious and therefore invalid. However, he also addressed the issue of medical
treatment at paragraphs 133 and following. Apotex argued that the patent was
invalid as it simply provided instructions to the physician to alter the dosage
regime. Merck, however, argued that the claim was for a vendable product having
economic value in trade, industry and commerce, and was distinguishable from
the work of the physician, which work required the exercise of specialized
skill. The how and when of administration was not part of the patent.
48 Contrary
to the position taken by the U.K. Courts, Mr. Justice Mosley found that the
patent was for a vendable product having real economic value, and was not for
an unpatentable method of treatment. However, in this case the number of
capsules
to
prescribe is a matter between the patient and her doctor, and does not form
part of a monopoly protected by Letters Patent. Therefore, the patent is
invalid because it claims a method of medical treatment.
49 Another
case of some interest is the decision of Mr. Justice Heald of the Federal Court
of Appeal in Imperial Chemical Industries Ltd. v. Canada
(Commissioner of Patents), [1986] 3 F.C. 40, 67 N.R. 121. The Commissioner had rejected a patent
application in so far as it related to method claims. The invention claimed a
method of cleaning teeth by applying an aqueous composition. The application
was rejected as being a treatment of the human body not patentable in virtue of
Tennessee
Eastman, supra. The method was not a
"process" in the economic sense. The appellant argued that Tennessee Eastman only prohibited the patentability of medical methods which
utilized materials produced by chemical processes as per Section 41(1) of the Patent Act, a section repealed before Dr. Poupon's
application. However, Mr. Justice Heald, like the Supreme Court in Apotex v. Wellcome Foundation, supra, held that Tennessee Eastman was authority for the broader proposition that methods
of medical treatments, as such, are not patentable.
50 After
analyzing the decision of Mr. Justice Kerr in first instance in Tennessee Eastman, Mr. Justice Heald said:
para. 11 Coming now to the decision
of the Supreme Court of Canada, Mr. Justice Pigeon delivered the Court's decision. He commences
his reasons by setting out the agreed statement of facts and issues. At pages
114-115 S.C.R.; at page 204 of the C.P.R., he reproduces, with approval, that
portion of the reasons of Kerr J. set out supra. It is true that he does
discuss the impact of section 41, presumably since that case was a subsection
41(1) case. However, after that discussion, at page 119 S.C.R.; at page 207 of
the C.P.R., he states:
Having come to the conclusion that methods of
medical treatment are not contemplated in the definition of
"invention" as a kind of "process", the same must, on the
same basis, be true of a method or surgical treatment.
In my opinion, this is a clear and unequivocal
statement that "methods of medical treatment are not contemplated in the
definition of 'invention' as a kind of 'process', ..". That was the sole
issue before the Court and it is here answered in unmistakable and unambiguous
language. Accordingly, in my view, the force of that pronouncement cannot be
restricted merely to factual situations where subsection 41(1) of the Act
applies. It follows, therefore, that the Commissioner did not err in considering
himself bound by the ratio of Tennessee Eastman.
51 There
is a distinction between the dosage in a capsule and a dosage range based on
the patient's weight. As I read the claim, the emphasis is on the dosage range,
and a dosage range is not a vendable product.
[112] In Axcan,
Harrington J. found the claim to be invalid because it was directed to a dosage
range in which it was left to the physician to make on appropriate selection.
In the present case, there is no such range; there is a fixed dosage claimed.
The case is similar to that decided by Justice Mosley of this Court in Merck
& Co. Inc. v. Apotex Inc. (2005), 41 C.P.R. (4th) 35 where
he held that such a claim was directed to a vendible product at paragraphs 134
to 138:
134 In
Tennessee Eastman, a method of surgical treatment was found not to be
patentable because such subject matter does not fall within the definition of
"process" or "art" as those terms are understood under the
Patent Act: Tennessee Eastman Co. v. Canada (Commissioner of Patents) (1974), 8
C.P.R. (2d) 202 at 207 (S.C.C.).
135 Apotex
argues that the impugned claims in the '595 Patent are essentially methods of
medical treatment in that they simply provide instructions to the physician to
alter the dosage regime, as found by the Australian court and the U.K. Court of
Appeal: Arrow Pharmaceuticals Ltd. v. Merck &Co. Inc., supra at para. 89;
Instituto Gentili SpA v. Teva Pharmaceutical Industries Ltd., supra at para.
69.
136 Merck
submits that where the claims of a patent are for a vendible product having
economic value in trade, industry and commerce and are distinguishable from the
work of a physician, which requires the exercise of specialized skill, the
patent is taken out of the realm of Tennessee Eastman. The how and when of administration is not a part
of the patent. The inventors provide a new product which physicians may choose
to use in treating patients, based on their own skill and judgment: Apotex Inc.
v. Wellcome Foundation Ltd. [2001] 1 F.C. 495 (C.A.); Merck & Co. v. Apotex
Inc. (1994), 59 C.P.R. (3d) 133 at 176 (T.D.); Apotex v. Wellcome Foundation
Ltd., [2002] 4 S.C.R. 153.
137 I
find that the patent is for a vendible product having real economic value, as
demonstrated by its immediate success in the market, and is, therefore, not for
an unpatentable method of treatment. I note, however, that this is contrary to
the position reached by the U.K. courts. But for the decision of the Court of Appeal in Bristol Myers
Squibb v. Baker Norton [2001] R.P.C. 1, Justice Jacob would have held that it
was not a method of treatment patent. The words of Holman J. (at para. 111) in Bristol Myers were
adapted by counsel for the claimant in that case by substituting alendronate
for taxol, the drug in question in that case, in the following manner;
In the present case, however, the drug
alendronate is exactly the same; the method of administration, orally, is
exactly the same; and the therapeutic application or purpose, namely the
attempt to treat osteoporosis is exactly the same. The only difference is the
discovery that if the drug is administered in a unit dosage form of 70mg once
weekly rather than 10mg once daily an undesirable side effect, adverse GI
effects, is less than it otherwise would be, whilst the therapeutic effect
remains. No previously unrecognized advantageous properties in the chemical
compound have been discovered ... All that has been discovered ... is that if
the compound is administered once a week rather than daily, one of its
disadvantageous side effects will be less than it otherwise would be.
138 Consequently,
Jacob J. found that the claim was in substance a method of treatment of the
human body by therapy, which finding was upheld by the Court of Appeal: [2003]
All E.R. (D) 62.
[113] I do not find
the decision of Re Allergan (2009), 79 C.P.R. (4th) 161,
decided by the Patent Appeal Board, to be any different than Axcan as
the claims there were also directed to a range of dosages within which a
physician was to make a selection.
[114] I note, as
explained in paragraph 50 of Axcan, supra, that Justice Heald of
this Court has found that the decision of the Supreme Court of Canada in Tennessee
Eastman the case that is considered to be the basis of arguments as to
method of medical treatment, is not to be distinguished on the basis that there
were express statutory prohibitions at the time, now repealed. However, a
distinction must be made between claims that rely upon the skill and judgment
of a medial practitioner and those that deal with a vendible product, be it a
scalpel, X-ray machine or 1 mg tablet that are to be used or prescribed for use
by such practitioner. In the present case, we have a 1.0 mg tablet taken as a
daily dose. No skill or judgment is brought to bear. It is a vendible product
and not a method of medical treatment.
6. Double
Patenting
[115] Canadian law
has developed a concept whereby a patent will be invalid if it is found to be
“double patenting” having regard to an earlier patent granted to the same
patentee. This concept is based on the premise that a person is entitled to “a”
patent for each invention and should not be able to gain a second monopoly for
what is, in reality, the same thing. One cannot “evergreen” the patent
monopoly. This concept was stated clearly by the Supreme Court of Canada in Whirlpool
Corp v. Camco Inc., [2000] 2 S.C.R. 1067 where Binnie J., for the Court,
wrote at paragraph 63:
63 The
prohibition against double patenting relates back to the "evergreen"
problem mentioned at the outset. The inventor is only entitled to "a"
patent for each invention: Patent Act, s. 36(1). If a subsequent patent issues
with identical claims, there is an improper extension of the monopoly. It is
clear that the prohibition against double patenting involves a comparison of
the claims rather than the disclosure, because it is the claims that define the
monopoly. The question is how "identical" the claims must be in the
subsequent patent to justify invalidation
[116] The question
of double patenting was again addressed by the Supreme Court of Canada in Sanofi-Synthelabo
Canada Inc. v. Apotex Inc., [2008] 3 S.C.R. 265 where Rothstein J. for the
Court, wrote at paragraphs 95 and 97:
95 There
may only be one patent covering an invention (Whirlpool Corp. v. Camco Inc., [2000] 2
S.C.R. 1067, 2000 SCC 67, at para. 63). Apotex says that a selection patent
claims the same invention as the original class or genus patent and as a
result, the selection patent cannot be valid.
…
97 Evergreening
is a legitimate concern and, depending on the circumstances, strategies that
attempt to extend the time limit of exclusivity of a patent may be contrary to
the objectives of the Patent Act. The Act aims to
promote inventiveness by conferring exclusivity for a limited period of time
while providing for public disclosure of the invention to enable others to make
or use it after expiry of the period of exclusivity.
[117] As stated by
Binnie J. in Whirlpool, supra, at paragraph 63, what a Court must
do is compare the claims of the earlier patent with those of the later patent
and determine whether they
are “identical or co-terminus” or whether
they are “obvious” having regard to the earlier claims. This is addressed by
Binnie J. at paragraphs 65 to 67 of Whirlpool:
65 This
branch of the prohibition on double patenting is sometimes called "same
invention" double patenting. Given the claims construction adopted by the
trial judge it cannot be said that the subject matter of the '734 patent is the
same or that the claims are "identical or conterminous" with those of
the '803 patent.
66 There
is, however, a second branch of the prohibition which is sometimes called
"obviousness" double patenting. This is a more flexible and less
literal test that prohibits the issuance of a second patent with claims that
are not "patentably distinct" from those of the earlier patent. In
Commissioner of Patents v. Farbwerke Hoechst Aktiengesellschaft Vormals Meister
Lucius & Bruning, [1964] S.C.R. 49, the issue was whether Farbwerke Hoechst
could obtain a patent for a medicine that was a diluted version of a medicine
for which it had already obtained a patent. The claims were neither identical
nor conterminous. Judson J. nevertheless held the subsequent patent to be
invalid, explaining at p. 53:
A person is entitled to a patent for a new, useful and inventive
medicinal substance but to dilute that new substance once its medical uses are
established does not result in further invention. The diluted and undiluted
substance are but two aspects of exactly the same invention. In this case, the
addition of an inert carrier, which is a common expedient to increase bulk, and
so facilitate measurement and administration, is nothing more than dilution and
does not result in a further invention over and above that of the medicinal
itself. [Emphasis added.]
67 In
Consolboard, supra, Dickson J. referred to Farbwerke Hoechst as "the main
authority on [page1106] double patenting" (p. 536) which stood for the
proposition that a second patent could not be justified unless the claims
exhibited "novelty or ingenuity" over the first patent:
Judson J. for the Court said that the second process involved no
novelty or ingenuity, and hence the second patent was unwarranted.
[118] In Whirlpool,
the Supreme Court found that the claims of the patent at issue were not identical
or co-terminus with the claims of an earlier patent and that, on the trial
judge’s finding on the evidence, the latter were not obvious in light of the
former.
[119] In Sanofi,
where an argument as to double patenting was dealt with briefly, the Supreme Court
found that the claims of the latter patent were patentably distinct and not
obvious over the claims of a prior patent because they constituted a valid
“selection” patent over the first. In the present case Merck’s Counsel
expressly stated to this Court that the ’457 Patent at issue was not to be
treated as a selection patent.
[120] In Bristol-Myers
Squibb Canada Co. v. Apotex (2009), 74 C.P.R. (4th) 85, 2009 FC
137, I summarized double patenting at paragraphs 173 to 175 as follows:
173 Double
patenting, put simply, involves the concept that a person cannot get a second
patent for the same thing for which they already have received a patent. A
patent is a monopoly for a limited period of time and that period should not be
extended by the expedient of getting a subsequent patent for the same thing.
174 Double
patenting only applies when dealing with the same person getting two or more
patents. If some other person has received an earlier patent, then the second
patent is to be considered in the context of anticipation and obviousness or,
in the case of pre-October 1989 patent applications, the first to invent.
175 Even
when the same person has received two patents the test for distinguishing one
from the other is like anticipation or obviousness. One asks whether the second
patent is claiming the same thing as the first (literal or co-terminus) or is
the second patent claiming something that is obviously within the scope of the
first. The Supreme Court of Canada has accepted both approaches as sound: see Whirlpool Inc. v. Camco Inc., [2000] 2 S.C.R. 1067 at paragraphs 63 to 75.
[121] The concept
of double patenting does not seem to have arisen in Great Britain, and
certainly was not discussed in the Actavis case. In Australia, there are
statutory provisions respecting what is described as double claiming. A good
discussion by the Federal Court of Australia can be found in Arbitron v.
Telecontrol A/G, [2010] FCA 302 at paragraphs 140 to 159.
[122] In the United
States,
there is both statutory law and judicial jurisprudence respecting double
patenting. A good overview can be found in Boehringer Ingelheim
International GMBH v. Barr Laboratories Inc, 592 F.3d 1340 (2010), a
decision of the United States Court of Appeals for the Federal Circuit (CAFC). In
the United
States,
invalidity of the second patent can sometimes be avoided by invoking statutory
provisions to make the later patent terminate at the same time as the
earlier patent that is, to make a “terminal
disclaimer”. Linn, Circuit Judge, wrote for the Court at page 1346:
A Retroactive Terminal Disclaimer
Because [HN1] 35 U.S.C. 101 “states that
an inventor may obtain a patent for an invention,” the statute “permits only
one patent to be obtained for a single invention.” In re Lonardo, 119 F 3d 960,
965 (Fed. Cir. 1997) (emphasis added). [HN2] “A double patenting
rejection precludes one person from obtaining more than one valid patent for
either (a) the ‘same invention’, or (b) an ‘obvious’ modification of the same
invention.” In re Longi, 759 F.2d 887, 892 (Fed. Cir. 1985).
Obviousness-type double patenting
is a “judicially created doctrine grounded in public policy (a policy reflected
in the patent statute)” that “prevent[s] the extension of the term of a patent,
even where an express statutory basis for the rejection is missing, by
prohibiting the issuance of the claims in a second patent not patentably
distinct from the claims of the first patent.” Id.
The purpose for the doctrine of
obviousness-type double patenting is well established.
(HN3) The doctrine of double patenting is
intended to prevent a patentee from obtaining a time-wise extension of patent
(rights) for the same invention or an obvious modification thereof.
Lonardo, 119 F.3d at 965; see also Eli
Lilly & co. v. Barr Labs., Inc., 251 F.3d 955, 967 (Fed. Cir. 2001) [HN4]
(“The judicially-created doctrine of obviousness-type double patenting
cements [the]legislative limitation [of 101] by prohibiting a party from
obtaining an extension of the right to exclude through claims in a later patent
that are not patentably distinct from claims in a commonly owned earlier
patent.”)
[HN5] The doctrine of obviousness-type double
patenting is an important check on improper extension of patent rights
through the use of divisional and continuation applications, at least for
patents issued from applications filed prior to the amendment of 35 U.S.C. 154
to create twenty-year terms running from the date of the earliest related
application. See 35 U.S.C. 154; Uruguay Round Agreements Act, Pub. L. No.
103-465, 108 Stat. 4809 (1994); see also In re Fallaux; 564 F.3d 1313, 1318
(Fed. Cir. 2009) [**13] (discussing rationales for obviousness-type double
patenting rejections for patents issued from applications filed both before
and after the amendment of the Patent Act). “The policy underlying a double
patenting rejection is an important policy because it precludes the
improper extension of the statutory term of patent protection for an
invention.” Applied Materials, Inc. v. Advanced Semiconductor Materials Am.,
Inc., 98 F.3d 1563, 1577 (Fed. Cir. 1996).
[HN7] A patentee, whether of the whole or
any sectional interest therein, may, on payment of the fee required by law,
make disclaimer of any complete claim, stating therein the extent of his
interest in such patent…
In like manner any patentee or applicant
may disclaim or dedicate to the public the entire term, or any terminal part of
the term, of the patent granted or to be granted.
[HN8] “[A] terminal disclaimer may
restrict the slight variation to the term of the original patent and cure the double
patenting rejection.” Geneva Pharms., Inc. v. GlaxoSmithKline PLC, 349 F.3d 1373, 1378
(Fed. Cir. 2003).
[123] Thus it can
be seen that the United States concept of double patenting, with the
exception of the ability to make a terminal disclaimer, is not very different
from the Canadian concept as expressed in Whirlpool and Sanofi.
[124] What is
important to keep in mind is that the exercise required in the inquiry as to
whether there is double patenting is that the claims of the earlier
patent owned by the same patentee as the latter must be compared with the
claims of the latter to see if they are “identical or co-terminus”, or
whether the latter is “obvious” in view of the former. Therefore, the exercise
is somewhat different than that of dealing with obviousness of a patent having
regard to the art that would have been known to a person skilled in the art as
of the relevant time. The exercise respecting double patenting is to present
the notional person skilled in the art with the claims of the first patent and
inquire whether what is claimed in the second patent was “identical or
co-terminus” with the first or would have been obvious in light of the earlier
patent. The inquiry must not bother with any inquiry as to whether the earlier
patent would have come to the attention of the notional person skilled in the
art. Nor does the inquiry extend to the validity or otherwise of the claims of
the earlier patent. Nor does the inquiry extend to “prior art” beyond the earlier
patent, as Binnie J. wrote at paragraph 67 of Whirlpool, the inquiry is
whether a second patent can be justified unless the claims
exhibit “novelty or ingenuity” over the first patent. As the Supreme
Court of Canada, Binnie J.
said in another case, Apotex Inc. v. AstraZeneca Canada Inc., [2006] 2
S.C.R. 560 at paragraph 39, there is an evident (and entirely understandable)
commercial strategy of the innovative drug companies to evergreen their
products by adding bells and whistles to a pioneering product even after the
original product for that patent has expired. This is the “evergreening”
problem discussed in Whirlpool, supra.
[125] In the
present case, Merck & Co. Inc received a first patent – Canadian Patent
1,302,277 (the ’277 patent) – which, as stated at page 1 of that patent, in the
Background section, is directed to a range of compounds, of which finasteride
is one and the use of such compounds for the treatment of androgenic alopecia,
including male pattern baldness, with finasteride.
[126] The ’277
patent contains a lengthy discussion as to the preparation of the compounds,
including finasteride, and their composition. At pages 11 and 12, there is a
discussion respecting the oral administration of the drug in a daily dosage
“over a wide range, varying from 5 to 2000 mg., preferably from 5 to 200 mg.
and “well below the toxic dose”.
The compositions containing
the compounds of the present invention as the active ingredient can be
administered in a wide variety of therapeutic dosage form in conventional vehicles
for systemic administration, as, for example, by oral administration in the
form of tablets, capsules, solutions, or suspensions, of by intravenous
injection. The daily dosage of the products may be varied over a wide range
varying from 5 to 2,000 mg, preferably from 5 to 200 mg.
The compositions are
preferably provided in the form of scored tablets containing 5, 10, 25, 50,
100, 150, and 500 milligrams of the active ingredient for this symptomatic
adjustment of the dosage to the patient to be treated. An effective amount of
the drug is ordinarily supplied at a dosage level from about 0.1 mg. to about
50 mg./kg. of body weight per day. Preferably the range is from about 0.1 mg.
to 7 mg./kgs. of body weight per day and more preferably from about 0.1 to
about 3 mg/kg of body weight per day. These dosages are well below the toxic
dose of the product.
[127] It is to be
noted that the tablets can be scored, i.e. broken. For a person weighing 70 kg
(160 lbs) the minimum daily dosage would be about 7 mg.
[128] There are 23
claims at the end of the ’277 patent. Those that are relevant here are claims
14, 15 and 19, which read:
14. The use of 17β-(N-t-butylcarbamoyl)-4-aza-5α-androst-1-ene-e-one
for treating androgenic alopecia.
15. The use according to claim 11,
12, 13, 14, wherein the androgenic alopecia is male pattern alopecia.
. . .
19. The use of 17β-(N-t-butylcarbamoyl)-4-aza-5α-androst-1-ene-e-one,
for the manufacture of a medicament for the treatment of androgenic alopecia
[129] Translating
those claims into the language that has been used in these proceedings, they
read:
14. The use of finasteride for
treating androgenic alopecia.
15. The use according to claim 14
wherein the androgenic alopecia is male pattern baldness.
. . .
19. The use of finasteride for the
manufacture of a medicament for the treatment of androgenic alopecia.
[130] As can be
seen, the claims of the ’277 patent are not limited to any particular dosage or
dosage range. A dosage range is discussed in the descriptive portion of the ’277
patent, but not in the claims.
[131] The ’457
Patent which is at issue here, describes the ’277 patent this way at page 2,
lines 15 to 20:
“Finasteride’s utility in the treatment
of androgenic alopecia…is…disclosed in…Canadian Patent No. 1,302,277… The
specific dosages exemplified in the above-noted disclosures varied from 5 to
2000 mg. per patent per day.”
[132] At page 7 of
the description, the ’457 Patent at issue here makes it clear that:
“A physician or veterinarian of ordinary
skill can readily determine and prescribe the effective amount of the drug
required to prevent, counter, arrest or reverse the progress of the condition.”
[133] The only difference
between claim 5 and the ’457 Patent at issue and claims 14, 15 and 19 of the ’277
earlier patent is that claim 5 specifies 1 mg/day. Is claim 5 “identical or
co-terminus”, to use the Whirlpool language, with those earlier claims
of the ’277 patent?
[134] Counsel for
Merck argues that claim 5 is not “identical or co-terminus” because, it is
argued, the earlier claims 14, 15 and 17 must be read together with the
description and, in being so limited, are to be restricted to a dosage range of
between 5 and 2000 mg. I disagree. First, as the ’277 patent at issue here
says, and I agree, that the range of 5 to 2000 “exemplifies” the dosage;
it does not say that it limits or restricts it. Second, there is nothing in the
’277 patent that clearly states that the dosage range of 5 to 2000 mg are the
limits of the range to be administered. At best, it states that 2000 mg is
still below the toxic level. Nothing is said about restricting the lower limit
to 5 mg. Thirdly, the ’457 patent itself states that the dosages can be readily
determined by a physician of ordinary skill.
[135] Simply to
attach a number to the dosage level, even if that number is outside the range
“exemplified” in the earlier patent, does not mean that claim 5 is not (to use
a double negative) “identical or co-terminus” with the claims of the earlier
patent. I find claim 5 to be invalid for that reason.
[136] In the event
that a further Court may wish to consider the issue of double patenting, I will
also address the issue of “obviousness” double patenting. In so doing, I will
follow the “best case” presented in favour of Merck.
[137] Merck argues,
for instance, at paragraph 51 of its Memorandum of Argument, that the inventive
concept is that finasteride is particularly useful in the treatment of male
pattern baldness at the low daily dosage of 1 mg.
[138] Pharmascience
argues, just as Actavis argued in the U.K. case, that given the prior art such as
the equivalent of the ’277 patent before the U.K. Court, and other art, Merck
accepted in the U.K. court that the “invention” of the use of low dosages of
finasteride would be obvious. Merck argued, however, to use the colourful
language of the U.K. case, that there was a “lion in the path” in the form of two
papers; one by Harris, et al.; the other by Thigpen, et al, (both Merck
scientists) that would radically change the view of the ordinary person skilled
in the art and dissuade them from pursuing a low dosage inquiry. These papers
were published after the publication of relevant prior
art, but before the filing of the
application for the patent at issue. The arguments were set out by the Court of
Appeal in Actavis, supra, at paragraphs 110, 111 and 113 as follows:
[110] In more detail Actavis’s case ran as
follows (1) It had already been proposed to treat aa with finasteride but with
a dosage of ‘5 to 2000 mg preferably from 5 to 200 mg’ (Merck patent appn
0285,382A published on 5 October 1988); (2) It was obvious to follow this
up-and to investigate suitable doses. One would thereby learn that the lower
does of the patent in suit would do. Hence it was obvious to manufacture
finasteride for the manufacture of a medicament for the treatment of as with
such lower doses. (3) The Sudduth review paper of August 1993 (‘Finasteride”
The First 5α-Reductase
Inhibitor’) reinforces this. It says:
“DHT appears to be the active androgen in
the balding scalp. Thus preventing DHT formation by inhibiting 5α-reductase may be a
viable treatment option.
And (after summarising a report of some
small scale experiments with balding monkeys in a paper by Diani):
‘Results from this study
suggest a role in reversing established baldness. It also appears that the
combination of finasteride and minoxidil may be more effective than either
agent alone. Development of a topical finasteride treatment would allow local
treatment of baldness without significant systemic alteration of androgens.
Clinical trials in humans are planned to establish the drug’s role as either
single-agent therapy or in combination with minoxidil in the treatment of MPB’.
[111] Given just these matters (all of which
are accepted as being material which the skilled man would know) Merck accept
that the invention would indeed be obvious. Indeed Merck accepts that if
Sudduth could fairly be taken alone. But, Merck submits that the skilled man
would, at the priority date of the patent, know more. In particular by then he
would know that there is no detectable Type 2 in the scalp. Since finasteride
was known only to inhibit Type 2 he would think there would be no point in
trying it at all for aa. He would never get to investigate suitable dosage
forms for he would think there are none.
. . .
[113] Merck says that the state of knowledge of
the skilled man was radically changed by two documents which it accepted the
skilled man would have read at the priority date. They are Thigpen et ors
(‘Tissue Distribution and Ontogeny of Steroid 5α-Reductase Isozyme
Expression), published in August 1993 and Harris et ors (‘Identification and
selective inhibition of an isozyme of steroid 5α-reductase in Human
Scalp’}, published November 1992. Merck says these documents clearly point to
Type 1 as the culprit responsible for baldness, for instance Harris says: ‘5α-reductase 1-type
activity appears to be the major reductase activity in the scalp. And Thigpen
reported that Type 2 could not be detected in any region of the balding scalp –
in experiments which were quite sensitive.
[139] Merck’s
arguments prevailed in the U.K. The Court of Appeal found that while the
“invention” may have been “obvious” at an earlier time, it was not obvious at a
later time; (the critical time for determining invention is the same date that
is to be used in the present case) because of the “change of one’s perspective”
brought about by Harris and Thigpen. The Court of Appeal acknowledged that the
conclusion was “a bit odd” and explained itself at paragraph 119 of Actavis,
supra as follows:
[119] We add a small postscript: superficially
one might think this conclusion is a bit odd given that the invention was once
obvious – one might assume that when an invention becomes obvious it must
remain so thereafter. But such an assumption would be wrong: obviousness must
be determined as of a particular date. There is at least one other well-known
example showing how an invention which might be held obvious on one date, would
not be so held at a later date. That is where there has been commercial success
following a long-felt want. Time can indeed change one’s perspective. The
perspective the court must bring to bear is that of the skilled man at the
priority date and not any earlier time.
[140] The
difference between that discussion as to “obviousness” and the discussion as to
double patenting undertaken here is that, as instructed by the Supreme Court in
Whirlpool, supra, we are dealing with a different type of “obviousness”
when it comes to double patents. As set out in paragraph 66 of Whirlpool, we
are to compare the earlier patent with the later patent to determine if the
claims of the later are “patentably distinct” from the earlier. The example
given is particularly interesting:
66 There
is, however, a second branch of the prohibition which is sometimes called
"obviousness" double patenting. This is a more flexible and less
literal test that prohibits the issuance of a second patent with claims that
are not "patentably distinct" from those of the earlier patent. In Commissioner
of Patents v. Farbwerke Hoechst Aktiengesellschaft Vormals Meister Lucius &
Bruning, [1964] S.C.R. 49, the issue was whether Farbwerke Hoechst could obtain
a patent for a medicine that was a diluted version of a medicine for which it
had already obtained a patent. The claims were neither identical nor
conterminous. Judson J. nevertheless held the subsequent patent to be invalid,
explaining at p. 53:
A person is entitled to a patent for a new, useful and inventive
medicinal substance but to dilute that new substance once its medical uses are
established does not result in further invention. The diluted and undiluted
substance are but two aspects of exactly the same invention. In this case, the
addition of an inert carrier, which is a common expedient to increase bulk, and
so facilitate measurement and administration, is nothing more than dilution and
does not result in a further invention over and above that of the medicinal
itself. [Emphasis added.]
[141] Thus, for
obviousness type double patenting under Canadian law, Harris and Thipgen do not
exist; the “lion in the path” is nonexistent as far as this inquiry is
concerned.
[142] Therefore,
claim 5 is invalid for double patenting because it is “identical or
co-terminus” with the claims of the earlier ’277 patent. As well, it is invalid
for obviousness double patenting having regard to the ’277 patent.
7. Novelty
and Obviousness
a) General
[143] I have
started the discussion as to novelty and obviousness by addressing them
together. There is no question that for a claim of a patent to be valid, it
must encompass that which is both novel and inventive or, to use the other
language often associated with this exercise, the claim must encompass that
which is both not anticipated and not obvious.
[144] The two are
similar but require somewhat different approaches. Anticipation, or lack of
novelty, means that the public is already in possession of what is claimed as
an invention; regardless as to how inventive the concept may be. A person
cannot purchase a monopoly with something the public already has. On the other
hand, inventiveness means that the invention has gone beyond what the public
already has by going farther than the ordinary person skilled in the art would
have been expected to go in providing something new and useful or dispelling an
old preconception.
[145] A patent is
not something simply to be acquired as of right. It is a monopoly voluntarily
sought by an applicant seeking a time-limited but state-supported exclusivity.
The applicant must fulfill the statutory requirements in order to acquire the
monopoly. I quote de Montigny J. at paragraph 46 of M-Systems Flash Disk
Pioneers Ltd. v. Commissioner of Patents, April 23, 2010, 2010 FC 441:
[46] That being
said, however, I fail to see how the grant of a patent can be said to be a
right for the Applicant. Quite the contrary, a patent has been described
as a bargain voluntarily entered into by the patentee. It is a quid pro
quo agreement in which the patentee obtains time-limited but state-supported
exclusivity for his invention in return for his disclosure of it to the public:
Smith, Kline & French Laboratories Ltd. v. Canada
(Attorney General), [1987] 2 F.C. 359, at p. 389 (F.C.A.). If an
applicant does not fulfill his part of the bargain and does not fulfill the requirements
of the statute, he cannot claim the exclusivity conferred by a patent.
[146] While there
he was dealing with a procedural matter, the statement is equally true
respecting substantive matters.
b) The ’457
Patent
[147] Turning first
to what the ’457 Patent says as to novelty and invention, one starts at the
beginning of page 1 to understand that the invention deals with the treatment
of male pattern baldness with finasteride:
The present invention is
concerned with the treatment of androgenic alopecia, including male pattern
baldness, with compounds that are 5-alpha
reductase isozyme 2 inhibitors.
[148] At the bottom
of page 1, and over to page 2, we are told that a culprit named DHT, which
causes problems, is found in certain organs of the male body such as the prostate,
and the DHT is formed by something called testosterone-5α-reductase.
We are further told that there are two testosterone-5α-reductases,
type 1 and type 2; and that type 1 is principally found in the skin, and type 2
in the prostate:
The principal mediator of
androgenic activity in some target organs, e.g. the prostate, is 5α—dihydrotestosterone
(“DHT”), formed locally in the target organ by the action of testosterone-5α-reductase. Inhibitors
of testosterone-5α-reductase
will serve to prevent or lessen symptoms of hyperandrogenic stimulation in
these organs. See especially united States Patent No. 4,377,584 assigned to
Merck & Co., Inc., issued March 22, 2983. It is now known that a second 5α-reductase isozyme
exists, which interacts with skin tissues, especially in scalp tissues. See,
e.g., G. Harris, et al., Proc. Natl. Acad. Sci. USA, Vol. 89, pp. 10787-10791
(Nov. 1992). The isozyme that principally interacts in skin tissues is conventionally
designated as 5α-reductase
1 (or 5α-reductase
type 1), while the isozyme that principally interacts within the prostatic
tissues is designated as 5α-reductase
2 (or 5α-reductase
type 2).
[149] Next, on page
3, the reader is told that finasteride is a known compound sold commercially
for prostate treatment. We are also told that several patents and published
applications disclose the use of finasteride to treat both baldness and
prostate issues with dosages “exemplified” from 5 to 2000 mg per day:
Finasteride (17β-(N-tert-butylcarbamoyl)-4-aza-5α-androst-1-ene-3-one,
which is marketed y Merck & Col, Inc. under the tradename PROSCAR®, is
an inhibitor of 5α-reductase
2 and is known to be useful for the treatment of hyperandrogenic conditions.
See e.g., U.S. Patent No. 4,760,071.
Finasteride is currently marketed in the United States and worldwide for the
treatment of benign prostatic hyperplasia. Finasteride’s utility in the
treatment of androgenic alopecia and prostatic carcinoma is also disclosed in
the following documents: EP 0 285,382, published 5 October 1988; EP 0 285 383,
published 5 October 1988; Canadian Patent no. 1,302,277; and Canadian Patent
no. 1,302,276. The specific dosages exemplified in the above-noted disclosures
varied from 5 to 2000 mg per patient per day.
[150] The last
paragraph at page 3 states the desirability of administering the lowest
possible dosage to treat baldness, and that the inventors have “surprisingly
and unexpectedly” discovered: that a low dosage of finasteride is
“particularly useful” in treating baldness.
In the treatment of androgenic
alopecia, which includes both female and male pattern baldness, and other
hyperandrogenic conditions, it would be desirable to administer the lowest
dosage possible of a pharmaceutical compound to a patient and still maintain
therapeutic efficacy. Applicants have surprisingly and unexpectedly discovered
that a low daily dosage of a 5α-reductase
2 inhibitor is particularly useful in the treatment of androgenic alopecia.
Furthermore, a low daily dosage of a 5α-reductase 2 inhibitor may also be
particularly useful in the treatment of hyperandrogenic conditions of acne
vulgaris, seborrhoea, female hirsutism, and polycystic ovary syndrome.
[151] Example 4,
beginning at page 12, describes a test for measuring hair growth – essentially
taking photographs over a period of time. That example concludes at page 14 in
stating that the test has been used to show that the administration of
finasteride, at dosages of 1 mg/day or 0.2 mg/day, are useful in treating
baldness.
Using the above-described
methodology, it can be shown that administration of 5α-reductase 2 inhibitors,
including finasteride, I dosages below 5 mg/day per patient, for example, 1
mg/day or 0.2 mg/day, are useful in the treatment of androgenic alopecia, and
promote hair growth in patients with this condition.
[152] We must be
careful to note that this is all the information that has been given to support
the statement at page 3 that there was a “surprising and unexpected” discovery
that a low dosage would be “particularly useful” in treating baldness. Example
5 only tells us that DHT was reduced significantly with the previously
exemplified dosage, and presumably, also with dosages of 0.2 mg/day and 1.0
mg/day. No relative data between the three dosages is given; no information
linking DHT reduction to improvement in baldness is given. No reason is given
as to why any of the three dosages, including the previously exemplified dosage
would give “surprising and unexpected” results.
[153] I repeat
claim 5 in the form often referred to herein:
5. The use of finasteride for the
preparation of a medicament adapted for oral administration useful for the
treatment of male pattern baldness in a person and wherein the dosage is about
1.0 mg.
[154] The last
example of the ’457 patent, Example 5, tells the reader that some kind of test
was conducted at the previously exemplified dosage of 5 mgs/day, as well as two
other dosages of 0.2 mg/day and 1 mg/day; and the results of the test showed
significant reduction of DHT in the scalp tissue:
EXAMPLE 5
In another test, finasteride
was orally administered for 6 weeks to men with male pattern baldness at doses
of 0.2 mg/day, 1.0 mg/day and 5.0 mgs/day. The results of this test showed a
significant reduction in DHT content in scalp tissue of the test participants.
c) The Prior
Art
[155] Pharmascience
relies on some of the prior art recited at page 2 of the patent as well as a
published patent application filed by Upjohn, a competitor of Merck, in which
disclosures of work conducted by Diani, et al. is disclosed. Referring to them
in order of date of publication:
i) US Patent 4,760,071 (‘071 patent)
This
patent, issued in 1988 to Merck (and its Canadian equivalent 1,314,541, issued
in March 1993) are relied upon by Pharmascience to show which has been
acknowledged at page 2 of the ’457 Patent; namely, that finasteride was a known
compound shown to be useful in treating prostate conditions. At column 3 of the
’071 patent, there is a disclosure that the drug can be taken in tablet
or capsule
form, preferably at dosage levels of 5 to 500 mg. The dosage level is
ordinarily about 1 mg to 50 mgs/kg per day; that is, for a 70 kg (160 lb)
person, about 7 to 3500 mg/day.
Merck
acknowledges all of the foregoing, through Doctors Russell and Shapiro, but
says that there is no disclosure that finasteride is useful in treating male
baldness, nor can it be effectively administered in low dosages.
The
claims of these two patents are more broadly stated than the previous
discussion would indicate. The ’071 patent in claim 3 claims the use of
finasteride in inhibiting testosterone-5α-reductase by
using a “therapeutically effective amount”. Claim 17 of the Canadian 1,314,541
patent claims use for treating a hyperandrogenic condition with a
“therapeutically effective” amount of finasteride.
ii) European Patent
Application 0 285 382
European
Patent Application 0 285 382, published in October 1988, is also a Merck
document and is mentioned at page 2 of the ’457 Patent.
At
page 1, this patent application acknowledges that finasteride is a known
compound and has been said to be useful in treating hyperandrogenic conditions.
The invention stated in this application is the use of finasteride as a highly
potent testosterone-5α-reductase inhibitor. At page 6, the
treatment of male pattern alopecia is specifically identified. A novelty of
forms of administration, including tablets, capsules and solutions, are
indicated. Preferable, it is said, are scored tablets, ranging in dosages from
5 mg to 500 mg, with dosage levels ordinarily said to be from 0.1 mg/kg to 50
mg/kg per day (7 to 3500 mg/day for a 70 kg person). Claims 6 and 7 state, in
effect:
6. The
use of finasteride for the manufacture of a medicament useful for arresting and
reversing male pattern alopecia
7. As
per claim 6, where the medicament contains 0.1% to 15% of the total.
Merck,
through Doctors Russell and Shapiro, state that this patent application does
not disclose, nor would be taken to disclose, dosages in the order of 1.0
mg/day.
iii) European Patent
Application WO 92/02225 (Diani)
European
Patent Application WO 92/02225 was published 20 February 1992. The applicant is
the Upjohn Company, and Diani and others are named as inventors. This
application discloses the “concomitant administration” of two medicines such as
minoxidil and finasteride to promote hair growth. At page 2, the use of the two
medicines together is said to have a synergistic effect. The dosage of finasteride
administered is set out at page 3 as from about 0.001 to about 10 mg/kg body
weight (for a 70kg person, that would be about 0.7 to 700 mg). Also at page 3,
it is stated that one drug can be administered orally and the other topically.
Thus, we have the disclosure of the oral administration of finasteride in
the dosage usage of claim 5 of the ’457 patent, but always in combination of
minoxidil. Pharmascience points out that at page 5 of the ’457 Patent,
specifically describes the use of finasteride in combination with minoxidil and
argues that claim 5 is not limited to the use of finasteride alone.
Merck,
through Doctors Russell and Shapiro, states that the dosage range of 0.001 to
10 mg/kg is a vast range and, without further guidance, a skilled person would
not know how to narrow that range. Doctor Russell also states that Diani’s
conclusions are based on studies conducted on few monkeys and that the results
cannot necessarily be translated into human use, and further, that the dosages
administered to monkeys were outside the low dosage ranges claimed in the ’457
Patent. Merck argues that the teaching of Diani must be limited to a use of the
combination of minoxidil and finasteride.
iv) Canadian Patent 1,302,277
Canadian
Patent 1,302,277 was issued and granted to Merck in June 1992. This patent was
discussed again when considering double patenting. As described at page 2 of
the ’457 Patent, this patent discloses the use of finasteride to treat male
baldness; the dosages exemplified are from 5 to 2000 mg/day. The claims,
particularly 15, 19 and 23 are directed to such use and the manufacture of a
medicament for such use without any limitation as to dosage. Pharmascience
argues that this is an adequate enabling disclosure of what is contained in
claim 5 of the ’457 Patent. Merck argues that this patent discloses and enables
dosages only from 5 mg and upward, and not the dosage of claim 5.
v) The
Harris Paper
A
scientific paper by Harris et al. (Merck employees) entitled “Identification
and selective inhibition of an isozyme of steroid 5α-reductase
in human scalp” was published in August 1992 in Biochemistry. This paper
is referred to at page 2 of the ’457 Patent. This paper reports the existence
of two forms of 5α-reductase, which, during these
proceedings, were called type 1 and type 2. The paper concludes in stating that
the inhibitors effective against one type may not be suitable as against the
other. At page 10790, it concludes:
The results reported in this paper may
not have important implications in pursuing steroid 5α-reductase as a
therapeutic target. An inhibitor of 5α-reductase has been shown to be
useful in the treatment of benign prostatic hyperplasia (34). Reductase
inhibitors may also be useful in treating male pattern baldness, acne, and
hirsutism, as these disorders also appear to be DHT dependent.
However, the results of our study
indicate that a single inhibitor may not be suitable, given the differences in
the enzymes. We have shown that it is possible to identify scalp-selective,
prostate-selective, and dual-active inhibitors.
Merck
argues that this paper constitutes a “lion on the path” and would dissuade a
researcher from using finasteride in low dosages for treatment of conditions
related to the scalp, such as baldness. Pharmascience argues that the paper is
inconclusive, and does not say that finasteride would be ineffective, or at
what dosage it would be ineffective.
vi) The
Thigpen Paper
A
scientific paper by Thigpen, et al. (University of Texas) entitled “Tissue
Distribution and Ontogeny of Steroid 5α-Reductase Isozyme
Expression” was published in August 1993 in the Journal of Clinical
Investigation. It deals with type 1 and type 2 5α-reductase
isozymes. This paper is not referred to in the ’457 Patent.
This
paper speculates as to the occurrence of type 1 and type 2 in the scalp and the
influence on hair regression. At page 909, it states:
…Since 5α-reductase type
2-deficient subjects have less temporal hair regression (1-5), the pulse of
type 2 expression in the scalp may influence the development of baldness later
in life.
In support of this
speculation regarding type 2 expression, we could find no qualitative
difference in the steady state levels of 5α-reductase type 1 in the scalps
of balding and nonbalding men (Fig. 9), nor were any regional expression
differences detected in the balding scalp (Fig. 8). Thus, at the level of
resolution afforded by these studies, no evidence for abnormal expression of
the type 1 isozyme as a feature of male pattern baldness was found. The
interpretation of these results must be tempered by the qualitative nature of
the findings. We cannot rule out low levels of expression that are below the
sensitivity of detection by our antibodies (as clearly demonstrated by the mRNA
and enzyme activity studies (Fig. 3, Table I), nor can we assess changes in
cell type specific expression It remains to be seen whether similar results
will be obtained I hirsutism (35, 36) and acne (37), two disorders that are
manifest together with the reappearance of 5α-reductase type 1
expression in the skin at puberty.
The
arguments of each of Merck and Pharmascience respecting Thigpen are the same as
for Harris. Merck argues that the combination of Thigpen and Harris prove a
formidable “lion in the path”.
d) Viewing
the Prior art Through the Eyes of the Person of Ordinary Skill in the
Art (POSITA)
[156] Given this
prior art, the Court must consider it through the eyes of a person skilled in
the art (POSITA). All parties are agreed that the relevant date for considering
each of novelty and inventiveness is the “claim date”, which is the date of the
filing of the priority application upon which the ’457 application is based;
namely, October 15, 1993. All the prior art referred to above predates that
date.
[157] The prior art
clearly shows that finasteride has been used for the treatment of baldness. The
prior art patents directed to finasteride alone do not claim a specific dosage
or dosage range. A range of 5 mg/day to 2000 mg/day is “exemplified”. A lower
dosage from about 0.7 mg/day is indicated by Diani, but only when finasteride
is used with minoxidil. The papers published by Harris and Thigpen raise doubts
as to the effectiveness of finasteride in treating male baldness, although
dosages and dosage ranges are not discussed.
[158] The first
indication as to the skill expected of a POSITA is stated in the ’457 Patent
itself at page 7. Such a person is expected to select dosages having regard to
a variety of factors:
The dosage regimen utilizing
the compounds of the present invention is selected in accordance with a variety
of factors including type, species, age, weight, sex and medical condition of
the patient; the severity of the condition to be treated; the route of
administration; the renal and hepatic function of the patient; and the
particular compound thereof employed. A physician or veterinarian of ordinary
skill can readily determine and prescribe the effective amount of the drug
required to prevent, counter, arrest or reverse the progress of the condition.
Optimal precision in achieving concentration of drug within the range that
yields efficacy without toxicity requires a regimen based on the kinetics of
the drug’s availability to target sites. This involves a consideration of the
distribution, equilibrium, and elimination of a drug.
[159] Doctor
Russell, for Merck, concludes at paragraph 130 of his affidavit that a skilled
person would not have thought that it would be more or less self-evident that
low dosages of finasteride would work and that, based on Harris and Thigpen,
such person would conclude that finasteride would be ineffective in treating
male baldness. Doctor Shapiro says much the same at paragraphs 71 to 85 of his
affidavit.
[160] Pharmascience
relies on the cross-examination of Doctor Russell (pages 76 and 77) and Doctor
Shapiro (page 68) to argue that the prior art, particularly the ’277 Patent,
claims that which falls within claim 5 of the ’457 Patent and that the Harris
and Thigpen papers do not present any formidable dissuasive considerations
(Russell, pages 176-7, 184; Shapiro, pages 91-92, 95). Pharmascience also
relies on Doctor Taylor (paragraphs 161, 196) and Doctor Steiner (paragraph
124) to argue that dosage selection was well within the expected skill of a
person of ordinary skill in the art.
e) Conclusions
as to the Factual Evidence Respecting Novelty and Inventiveness
[161] Having
reviewed all of the evidence, including the evidence summarized above, I have
reached the following conclusions as to the facts relevant to an inquiry as to
novelty and inventiveness:
1. The relevant date for considering such an inquiry
is October 15, 1993 – the “claim date”.
2.
As
of the claim date finasteride was a known drug.
3.
As
of the claim date finasteride was sold commercially for prostate treatment.
4.
Prior
patents, particularly the ’277 Patent, state that finasteride is useful in
treating male baldness. They state that finasteride can be taken in oral dosage
form. These patents exemplify, but do not restrict themselves, to a dosage
range of between 5 to 2000 mg/day. No patent suggests that a lower dosage will
not work.
5.
The
Diani patent application discloses the use of finasteride in a dosage range
that includes 1 mg/day to treat male baldness, but only in combination with
minoxidil. The finasteride could be taken orally, while the minoxidil is rubbed
on topically. The ’457 Patent also describes the fact that the two drugs can be
used as a combination.
6.
The
Harris and Thigpen papers would cause a researcher to consider looking
elsewhere rather than pursuing further research into the use of finasteride to
treat male pattern baldness.
[162] Given these
factual findings, I turn to the law respecting novelty and inventiveness, much
of which has been recently considered by the Supreme Court of Canada in Sanofi-Synthelabo
Canada Inc. v. Apotex Inc., [2008] 3 S.C.R. 265, 2008 SCC 61 (Sanofi).
The decision of the Supreme Court was given by Rothstein J.
f) Novelty
i) The Law
[163] The Supreme
Court of Canada, in Sanofi, based much of its consideration as to
novelty on the decision of the House of Lords, per Lord Hoffman, in Synthon
BV v. Smithkline Beecham plc, [2006] 1 All E.R. 685, [2005] UKHL 59. In Synthon BV, Lord
Hoffman stated that in considering prior art in respect of novelty, the prior
art must both disclose and enable that which is claimed in the
patent under consideration. In Synthon BV,, Lord Hofman
wrote at paragraphs 32 and 33:
[32] Likewise,
the role of the person skilled in the art is different in relation to
disclosure and enablement. In the case of disclosure, when the matter relied
upon as prior art consists (as in this case) of a written description, the
skilled person is taken to be trying to understand what the author of the
description meant. His common general knowledge forms the background to an
exercise in construction of the kind recently discussed by this House in Kirin-Amgen Inc v Hoechst Marion Roussel Ltd; Hoechst Marion
Roussel Ltd v Kirin-Amgen [2004] UKHL 46, [2005] 1 All ER 667. And of
course the patent itself must be construed on similar principles. But once the
meanings of the prior disclosure and the patent have been determined, the
disclosure is either of an invention which, if performed, would infringe the
patent, or it is not. The person skilled in the art has no further part to
play. For the purpose of enablement, however, the question is no longer what
the skilled person would think the disclosure meant but whether he would be
able to work the invention which the court has held it to disclose.
[33] There
is also a danger of confusion in a case like Merrell Dow
Pharmaceuticals Inc v HN Norton & Co Ltd (1995) 33 BMLR 201, [1996]
RPC 76, in which the subject matter disclosed in the prior art is not the same
as the claimed invention but will, if performed, necessarily infringe. To
satisfy the requirement of disclosure, it must be shown that there will
necessarily be infringement of the patented invention. But the invention which
must be enabled is the one disclosed by the prior art. It makes no sense to
inquire as to whether the prior disclosure enables the skilled person to
perform the patented invention, since ex hypothesis in such a case the skilled
person will not even realise that he is doing so. Thus in the Merrell Dow case the question of enablement turned on
whether the disclosure enabled the skilled man to make terfenadine and feed it
to hay fever sufferers, not on whether it enabled him to make the acid
metabolite.
[164] In
considering Synthon BV, and the requirements of enablement and
disclosure, Rothstein J. in Sanofi wrote at paragraphs 25 to 27:
25 He
explains that the requirement of prior disclosure means that the prior patent
must disclose subject matter which, if performed, would necessarily result in
infringement of that patent, and states, at para. 22:
If I may summarise the effect of these two
well-known statements [from General Tire and Hills v. Evans], the matter relied upon as prior art must
disclose subject matter which, if performed, would necessarily result in an
infringement of the patent... . It follows that, whether or not it would be
apparent to anyone at the time, whenever subject matter described in the prior
disclosure is capable of being performed and is such that, if performed, it
must result in the patent being infringed, the disclosure condition is
satisfied.
When
considering the role of the person skilled in the art in respect of disclosure,
the skilled person is "taken to be trying to understand what the author of
the description [in the prior patent] meant" (para. 32). At this stage,
there is no room for trial and error or experimentation by the skilled person.
He is simply reading the prior patent for the purposes of understanding it.
26 If
the disclosure requirement is satisfied, the second requirement to prove
anticipation is [page280] "enablement" which means that the person
skilled in the art would have been able to perform the invention (para. 26).
Lord Hoffmann held that the test for enablement for purposes of anticipation
was the same as the test for sufficiency under the relevant United Kingdom
legislation. (Enablement for the purposes of sufficiency of the patent
specification under the Canadian Patent Act, s.
34(1)(b) of the pre-October 1, 1989 Act, now s. 27(3)(b), is not an issue to be decided in this case and my
analysis of enablement is solely related to the test for anticipation. The
question of whether enablement for purposes of sufficiency is identical in Canada is better
left to another day.)
27 Once
the subject matter of the invention is disclosed by the prior patent, the
person skilled in the art is assumed to be willing to make trial and error
experiments to get it to work. While trial and error experimentation is
permitted at the enablement stage, it is not at the disclosure stage. For
purposes of enablement, the question is no longer what the skilled person would
think the disclosure of the prior patent meant, but whether he or she would be
able to work the invention.
[165] Rothstein J.
then considered other authorities and, at paragraph 37 of Sanofi,
concluded as to novelty:
37 Drawing
from this jurisprudence, I am of the opinion that the following factors should
normally be considered. The list is not exhaustive. The factors will apply in
accordance with the evidence in each case.
1.
Enablement
is to be assessed having regard to the prior patent as a whole including the
specification and the claims. There is no reason to limit what the skilled
person may consider in the prior patent in order to discover how to perform or
make the invention of the subsequent patent. The entire prior patent
constitutes prior art.
2.
The
skilled person may use his or her common general knowledge to supplement
information contained in the prior patent. Common general knowledge means
knowledge generally known by persons skilled in the relevant art at the
relevant time.
3.
The
prior patent must provide enough information to allow the subsequently claimed
invention to be performed without undue burden. When considering whether there
is undue burden, the nature of the invention must be taken into account. For
example, if the invention takes place in a field of technology in which trials
and experiments are generally carried out, the threshold for undue burden will
tend to be higher than in circumstances [page284] in which less effort is
normal. If inventive steps are required, the prior art will not be considered
as enabling. However, routine trials are acceptable and would not be considered
undue burden. But experiments or trials and errors are not to be prolonged even
in fields of technology in which trials and experiments are generally carried
out. No time limits on exercises of energy can be laid down; however, prolonged
or arduous trial and error would not be considered routine.
4.
Obvious
errors or omissions in the prior patent will not prevent enablement if
reasonable skill and knowledge in the art could readily correct the error or
find what was omitted.
ii) Applying the Law to the
Facts of this Case - Novelty
[166] The prior
art, particularly the ’277 Patent, discloses the use of finasteride to treat
male pattern baldness. It may be administered in a number of forms, including
oral dosage. A range of dosages, from 5 mg/day to 2000 mg/day are disclosed as
examples. Neither the disclosure nor the claims are limited to such dosages.
Clearly, if one were to make a medicament in accordance with claim 5 of the ’457
Patent, a number of claims of the ’277 Patent would be infringed.
[167] It would be
within the expected skill of a person skilled in the art, as the ’457 Patent
itself acknowledges, to determine an appropriate dosage for a given person.
There is no “undue burden” to use the words of paragraph 37(3) of Sanofi in
determining an appropriate dosage.
[168] I find that the
prior art in particular the ’277 patent, discloses and enables that which is
claimed in claim 5 of the ’457 Patent, including the dosage.
[169] What then of
Harris and Thigpen? They were published later in time than the prior art such
as the ’277 Patent. Merck relies heavily on what was found by the Court of
Appeal in the U.K. in Actavis,
at paragraph 23:
[23] In the course of argument Rimer
L.J. noted that the Board considered that a new dosage form would be enough to
confer novelty. Mr. Prescott seized upon that, submitting that the Board
clearly contemplated that a new dosage—even for treating a disease previously
treated with the same substance in a different dosage was regarded as novel. We
agree. A claim to a pill containing a l mg dose of finasteride would be a claim
to a new thing. No one had made or proposed such a thing, so why should it not
be novel? Whether it would obvious is a quite different matter. Since the
patent in fact has
no claim to a pill with a 1 mg dose it is
not necessary to pursue this further, though in view of our conclusion on
obviousness it may be that such a claim would have stood as valid on its own.
[170] Also, Merck cites
Jacob L.J. in another case, Pozzoli SPA v. BDMO SA [2007] EWCA
Civ 588 at paragraphs 26 to 29:
[26] I
put it this way in Union Carbide v BP [1998] RPC 1, 13:
“Invention
can lie in finding out that that which those in the art thought ought not be
done, ought to be done. From the point of view of the purpose of patent law it
would be odd if there were no patent incentive for those who investigate the
prejudices of the prior art.”
[27] Patentability
is justified because the prior idea which was thought not to work must, as a
piece of prior art, be taken as it would be understood by the person skilled in
the art. He will read it with the prejudice of such a person. So that which
forms part of the state of the art really consists of two things in
combination, the idea and the prejudice
that it would not work or be impractical. A patentee who contributes something
new by showing that, contrary to the mistaken prejudice, the idea will work or
is practical has shown something new. He has shown that an apparent “lion in
the path” is merely a paper tiger. Then his contribution is novel and
non-obvious and he deserves his patent.
[28] Where,
however, the patentee merely patents an old idea thought not to work or to be
practical and does not explain how or why, contrary to the prejudice, that it
does work or is practical, things are different. Then his patent contributes
nothing to human knowledge. The lion remains at least apparent (it may even be
real) and the patent cannot be justified.
[29] This
analysis does not require a different way of looking at the inventive concept
depending on whether or not the patentee has shown the prejudice is unjustified
as the Judge thought at 67. It is simply that in the former case the patentee
has disclosed something novel and non-obvious, and in the latter not. The
inventive concept, as I have said, is the essence of what is in the claim and
not dependent on any question about a prejudice being overcome.
[171] Merck also
relies on Jacob L.J. in Dr. Reddy’s Laboratories (UK) Limited v. Eli Lilly
and Company Limited [2009] EWCA Civ 1362 at paragraphs 26 to 30:
26.
First then, the a priori considerations apart from case-law. An old question
and answer runs as a follows: “Where does a wise man hide a leaf? In a forest.”
It is, at least faintly, ridiculous to say that a particular leaf has been made
available to you by telling you that it is in Sherwood Forest. Once identified, you can of course see
it. But if not identified you know only the generality: that Sherwood Forest
has millions of leaves.
27.
The contention has no logical stopping place. If there is disclosure of
olanzapine here, why would one not regard an even more general disclosure as a
disclosure of it. Suppose the prior art had merely been of “3-ringed organic
compounds?” Such a description would encompass much bigger numbers than the
1019 of formula I. Yet the logic of the argument would be the same – that there
is a disclosure of each and every member of the class.
28.
I would add that I would regard the listing out of a great number of compounds
as opposed to the use of a Markush formula in the same way. To say a particular
book is identified by saying “the books in the Bodleian” is no different from
saying it is identified by providing access to the catalogue of the Bodleian.
29.
Similarly it makes no sense to say that a generalised prior description
discloses a specific matter falling within in. The Judge's example illustrates
the point. A prior disclosure of “fixing means” is not a disclosure of a particular
fixing means e.g. welding or riveting even though you could list out a whole
number of ways of fixing things together which would include these means.
30.
Thus logic dictates rejection of the argument that a disclosure of a large
class is a disclosure of each and every member of it. So also does EPO
case-law. Mr Carr accepted that was so, so I can take the matter quite shortly,
going to just one case, Hoescht Enantiomers T 0296/87 which effectively sums up
earlier cases. It said:
6.1
Here the Board is guided by the conclusions it reached in its "Spiro
compounds" decision T 181/82 (OJ EPO 1984, 401) concerning the novelty of
chemical entities within a group of substances of known formula. With regard to
products of the reaction of specific spiro compounds with a (C1-C4)-alkyl
bromide defined as a group, the Board drew a sharp distinction between the
purely intellectual content of an item of information and the material
disclosed in the sense of a specific teaching with regard to technical action.
Only a technical teaching of this kind can be prejudicial to novelty. If any
such teaching is to apply in the case of a chemical substance, an individualised
description is needed.”
So
what one must look for by way of an anticipation is an “individualised
description” of the later claimed compound or class of compounds. This case is
miles from that. It is noteworthy that the Board's application of that
principle in that case to enantiomers was specifically followed by this Court
in Generics v. Lundbeck [2008] EWCA Civ 311; [2008] RPC 19 per Lord Hoffmann at
[9].
[172] Justice Heneghan
recently heard arguments respecting this decision in Pfizer Canada Inc. v.
Apotex Inc., 2010 FC 447, at paragraphs 115 to 134, but she found
that she did not need to decide upon it.
[173] Pharmascience
argues that Merck itself has advanced the opposite argument in this Court in Merck
& Co. Inc. v. Apotex Inc. (1994), 59 C.P.R. (30) 133, where the
argument made by Merck was accepted that the selection of an appropriate dosage
was within the skill of a person skilled in the art. MacKay J. dealt with this
argument at pages 179 – 180:
The second major argument of
the defendant in regard to claims 8, 9 and 10 is that the Merck patent
specification does not set out what constitutes an effective amount of the specified
compounds, the active ingredients in the composition claims. In this regard the
reference in the description to “a dosage range of 5 to 500 mg per patient”
(animal and human) “giving a total daily dose of from 5 to 2000 mg per day”,
ignores Merck’s own production of tablet of 2.5 mg of active ingredient in
VASOTEC, and that the upper range suggested for daily dosage may be virtually
toxic in the view of one witness. Yet, I am persuaded that the specification in
its terms includes more than Merck’s VASOTEC products for human consumption,
for it describes a range of dosage for several compounds claimed, some more
active than others, for use in treating hypertension, not only in humans but in
animals as well, including large animals like horses. On this point, I accept
the evidence of Drs. Patchett and Schwartz that to the person skilled in the
art for whom the specification is written, here a combination of clinical
physician and industrial pharmaceutical chemist at least in regard to producing
finished product for human consumption, once a product has been discovered and
its intended use established, determination of an effective amount to be
included in a delivery system, a dosage amount, is not an inventive step even
if it requires some experimental work by persons of experience and skill,
extrapolating from other known products for similar uses and from experimental
work with animals and clinical trials with human subjects.
[174] Further,
Pharmascience relies upon the decision of this Court in Ratiopharm Inc. v.
Pfizer Limited (2009), 76 C.P.R. (4th) 241, 2009 FC 711 at
paragraphs 177 to 180 in arguing that all that the ’457 Patent does is to use
adjectives such as “unexpected” or “surprising” and offers no solid foundation
for distinguishing itself from the prior art, nor distancing itself from any
previous prejudices:
177 To
address these criteria in this particular case we must determine if the
besylate salt of amlodipine has a "special advantage" in respect of a
"quality of special character" unique to besylate.
178 The
use of words like "unexpectedly" and "unique" and
"outstandingly suitable" by the person or persons drafting the application
that resulted in the’393 Patent becomes clearly apparent.
179 However,
adjectives and adverbs without solid foundation cannot create a "selection
patent" where none in fact exists. As reviewed in the evidence, it is
difficult from the face of the patent and unsupportable from the evidence to
state that besylate is sufficiently superior to the other salts, for instance
tosylate and mesylate so as to make it "unique" or
"outstanding" or "particularly suitable".
180 If
a category of "selection" patent exists, besylate salt of amlodipine
does not merit being a member of that category. The ’393 Patent is invalid for
this reason as well.
[175] Further,
Pharmascience relies on the decision of the European Board of Appeals in Kos, discussed
elsewhere as being decided after Actavis, and the other decisions relied
on by Merck. Pharmascience argues that Kos, particularly at paragraph
6.3, requires that a subsequent invention that comes within broader disclosures
in the prior art must distinguish itself so as to provide “a particular
technical effect as compared with the known state of the art” and, in considering
dosage selected from a prior broader disclosure a “new technical effect” must
be considered.
Furthermore, assuming for the sake of
argument that the claimed modalities of the dosage regime would only consist in
a mere selection within the teaching of a broader prior disclosure in the state
of the art, then novelty could only be acknowledged if the criteria developed
in the jurisprudence of the boards of appeal with respect to selection
inventions would be fulfilled. One typical issue in such kinds of cases is
whether the dosage regime defined in the claim has been shown to provide a
particular technical effect as compared with what was known in the state of the
art.
In the past, a whole body of
jurisprudence developed concerning the question as to when a technical effect
of a claimed therapeutic application not previously described in the state of
the art can be recognized as conferring novelty on said application and this
jurisprudence continues to be applicable to the assessment of the individual
cases under consideration (see in particular T 290/86, OJ EPO 1992, 414; T
1020/03, OJ EPO 2007, 204; T 836/01 of 7 October 2003; T 1074/06 of 9 August
2007).
Furthermore, if the distinguishing
feature of a claim seeking patent protection for a known medicament to be used
for a different treatment of the same illness is a dosage regime and is
something else than a mere selection from a prior broader disclosure, a new
technical effect caused by said feature shall e considered when examining
inventive step under Article 56 EPC.
[176] I find, given
the state of the law in Canada as set out in Sanofi, in particular,
that the use of finasteride in an oral composition to treat male baldness has
been disclosed, and that the selection of a dosage range was within the skill
of an ordinary person skilled in the art. Claim 5 of the ’457 Patent does
nothing more than confirm that it works at a dosage of 1 mg/day. No new
technical feature has been disclosed or claimed. To the extent that Harris and
Thigpen suggest that finasteride may not work, there is no clear teaching that
it will not work. In the absence of Harris and Thigpen, claim 5 has no novelty.
With Harris and Thigpen, the ’457 Patent, including claim 5, is merely
confirmatory, without undue experimentation, as to what was already known.
[177] Claim 5 of
the ’457 Patent is not novel.
g) Obviousness
(Inventive)
i) Law
[178] To determine
whether what is claimed as an invention is truly an invention, and not obvious
to a person skilled in the art, the Court is to place itself in the position of
such a person at the relevant time, here the “claim date” October 15, 1993.
This issue was considered at length in Sanofi. I repeat what Rothstein
J. wrote at paragraphs 67 to 70:
67 It
will be useful in an obviousness inquiry to follow the four-step approach first
outlined by Oliver L.J. in Windsurfing International Inc.
v. Tabur Marine (Great Britain) Ltd., [1985] R.P.C. 59 (C.A.). This
approach should bring better structure to the obviousness inquiry and more
objectivity and clarity to the analysis. The Windsurfing
approach was recently updated by Jacob L.J. in Pozzoli SPA
v. BDMOSA, [2007] F.S.R. 37 (p. 872), [2007] EWCA Civ 588, at para. 23:
In the result I would restate the Windsurfing questions thus:
(1) (a) Identify the notional
"person skilled in the art";
(b) Identify the relevant common general knowledge of that
person;
(2) Identify the inventive
concept of the claim in question or if that cannot readily be done, construe it;
(3) Identify what, if any,
differences exist between the matter cited as forming part of the "state
of the art" and the inventive concept of the claim or the claim as construed;
(4) Viewed without any knowledge
of the alleged invention as claimed, do those differences constitute steps which
would have been obvious to the person skilled in the art or do they require any degree of invention?
[Emphasis added].
It will
be at the fourth step of the Windsurfing/Pozzoli
approach to obviousness that the issue of "obvious to try" will
arise.
i. When Is the "Obvious to
Try" Test Appropriate?
68
In areas of endeavour where
advances are often won by experimentation, an "obvious to try" test
might be appropriate. In such areas, there may be numerous interrelated
variables with which to experiment. For example, some inventions in the
pharmaceutical industry might warrant an "obvious [page294] to try"
test since there may be many chemically similar structures that can elicit
different biological responses and offer the potential for significant
therapeutic advances.
ii. "Obvious to Try"
Considerations
69 If
an "obvious to try" test is warranted, the following factors should
be taken into consideration at the fourth step of the obviousness inquiry. As
with anticipation, this list is not exhaustive. The factors will apply in
accordance with the evidence in each case.
1. Is it more or less self-evident that what is being tried
ought to work? Are there a finite number of identified predictable solutions
known to persons skilled in the art?
2. What is the extent, nature and amount of effort required
to achieve the invention? Are routine trials carried out or is the
experimentation prolonged and arduous, such that the trials would not be
considered routine?
3. Is there a motive provided in the prior art to find the
solution the patent addresses?
70 Another
important factor may arise from considering the actual course of conduct which
culminated in the making of the invention. It is true that obviousness is
largely concerned with how a skilled worker would have acted in the light of
the prior art. But this is no reason to exclude evidence of the history of the
invention, particularly where the knowledge of those involved in finding the
invention is no lower than what would be expected of the skilled person.
[179] To this
discussion must be added the decision of the Federal Court of Appeal in Apotex
Inc. v. Pfizer Canada Inc. (2009), 72 C.P.R. (4th) 141, 2009 FCA
8, as to motivation. It distinguishes between “obvious to try” and “more or
less self-evident” at paragraphs 43 to 45:
43 The
reasoning advanced by Mr. Justice Laddie and approved by the English Court of
Appeal is that where the motivation to achieve a result is very high, the
degree of expected success becomes a minor matter. In such circumstances, the
skilled person may feel compelled to pursue experimentation even though the
chances of success are not particularly high.
44 This
is no doubt the case. However, the degree of motivation cannot transform a
possible solution into an obvious one. Motivation is relevant in determining
whether the skilled person has good reason to pursue "predictable"
solutions or solutions that provide "a fair expectation of success"
(see respectively the passages in KSR International Co. v. Teleflex Inc., 127 S. Ct. 1727 (2007) at page 1742 and Angiotech
Pharmaceuticals Inc. v. Conor Medsystems Inc., [2008] UKHL 49, at paragraph 42, both of which are
referred to with approval in Sanofi-Synthelabo, supra, at paragraphs 57 and 59).
45 In
contrast, the test applied by Mr. Justice Laddie appears to be met if the prior
art indicates that something may work, and the motivation is such as to make
this avenue "worthwhile" to pursue (Pfizer Ltd., supra, para. 107, as quoted at para. 42 above). As such, a
solution may be "worthwhile" to pursue even though it is not
"obvious to try" or in the words of Rothstein J. even though it is
not "more or less self-evident" (Sanofi-Synthelabo, supra, para. 66). In my view, this approach which is based on
the possibility that something might work, was expressly rejected by the
Supreme Court in Sanofi-Synthelabo,
at paragraph 66.
[180] In addition
to the law already discussed in respect of novelty, the decision of the U.K.
Court of Appeal in Actavis should be noted. It found the invention not
to be obvious. That Court reviewed in detail the evidence of Doctor Russell and
the prior art at paragraphs 109 to 118, and concluded that the evidence showed
that the effect of Harris and Thigpen was enough to conclude that the person
skilled in the art would put expectations of success respecting the use of finasteride
to treat baldness so low that one would never start inquiries in that area. At
paragraph 119, the Court admitted that its conclusion was a “bit odd” in that,
once a person has been put in a position of thinking a matter to be obvious,
subsequently, they may be discouraged:
[119] We add a small postscript:
superficially one might think this conclusion is a bit odd given that the
invention was once obvious—one might assume that when an invention becomes
obvious it must remain so thereafter. But such an assumption would be wrong:
obviousness must be determined as of a particular date. There is at least one
other well-known example showing how an invention which might be held obvious
on one date, would not be so held at a later date. That is where there has been
commercial success following a long-felt want. Time can indeed change one’s
perspective. The perspective the court must bring to bear is that of the
skilled man at the priority date and not any earlier time.
ii) Applying the Law to the
Facts - Obviousness
[181] In the
present case before me, I find, on the evidence, particularly that of Doctor
Russell, that because of the Harris and Thigpen papers, a researcher would be
discouraged from pursuing research in that area. In other words, the
“motivation” would be lost. Thus, it has been proven that the allegation that
claim 5 of the ’457 Patent was obvious was not justified.
[182] I can
understand that at first glance the finding that claim 5 lacks novelty may be
at odds with the finding that it is inventive. This is not unlike the finding
of the trial judge in Actavis. The difference lies in the legal test for
novelty and obviousness. Novelty invokes a consideration as to whether the
public is already possessed of what is claimed. It does not matter whether it
is invented or not. Here I have found that, within the tests as set out in Sanofi,
the public was already in possession of what is claimed in claim 5 of the ’457
Patent. The fact that any suspicion or discouragement raised by Harris and
Thigpen would have to be dispelled is irrelevant.
8. Sound
Prediction/Overbreadth
[183] Pharmascience
argues, in its Memorandum of Argument at paragraphs 116 to 120, that claim 5 is
invalid for overbreadth and lack of sound prediction. I repeat paragraphs 119
and 120 of the Memorandum:
119. To the extent, therefore, that
it was not simply obvious that a 5α-Reductase
2 inhibitor at low doses would provide effective treatment for male pattern
baldness, the inventors of the ’457 Patent provided no further information on
which that conclusion could be
reached, and set out no new information
establishing or allowing a prediction that 1.0 mg of the finasteride is
effective in actually treating male pattern baldness (the “arresting and/or
reversing of androgenic alopecia, and the promotion of hair growth”).
Therefore, if claim 5 is not considered obvious, then it is invalid for
overbreadth and lack of sound prediction.
120. Further, if what the inventors
invented was the use of finasteride alone to treat male pattern baldness, as
Merck now apparently asserts, claim 5 is broader than that invention, as it
captures the use of finasteride either alone or in combination with other
medicines. Merck cannot assert that the invention is the use of finasteride
alone (to avoid anticipation by Diani) and avoid the conclusion that claim 5 is
overbroad.
[184] Merck, citing
my decision in Eli Lilly Canada Inc. v. Apotex Inc., (2008), 63 C.P.R.
(4th) 406, at paragraph 58, which had been previously set out in
those Reasons, states that Pharmascience has an obligation to put these
allegations “in play” in its Notice of Allegation and has not done so and
cannot do so now.
[185] Furthermore,
Merck points out that Pharmascience has not in its evidence, namely the
affidavits of Doctors Taylor and Steiner, put in any evidence to support these
allegations.
[186] Pharmascience
points out that Merck must have understood that these allegations were in play
since its own witness, Doctor Russell, in his affidavit, purports to address
these allegations at paragraphs 194 and 195:
PART VII SOUND PREDICTION, UTILITY
AND CLAIMS BROADER
X. Low doses of finasteride to
treat male pattern baldness
194. Dr. Taylor and Dr. Steiner both
state that Example 5 in the patent does not teach anything about effectiveness
of finasteride to treat male pattern baldness because the results of the
DHT/scalp study were not disclosed and also because the patent does not
actually assess whether the dosage amounts reversed baldness or promoted hair growth.
Despite these observations, both Dr. Taylor and Dr. Steiner state that Merck
inventors nonetheless did have a basis upon which to predict that low
doses of finasteride would be effective in treating in male pattern baldness.
They assert, however, that the basis for this “prediction” merely arises from
the fact that they deem it obvious that low doses of finasteride are effective
in treating male pattern baldness. Finally, they assert that to the extent that
the patent is not obvious there was no basis to make this prediction.
195. I have been asked to respond to
these points and to comment on the examples in the patent. I have also been
asked whether
(i)
there
was a factual basis for the “prediction” that the claimed compounds are
effective in treating male pattern baldness;
(ii)
the
inventor had at the date of the patent application an articulable and “sound”
line of reasoning from which the desired result can be inferred from the
factual basis and
(iii)
there
was proper disclosure of the factual basis and the line of reasoning.
[187] I have
carefully reviewed Pharmascience’s Notice of Allegation and agree with Merck
that the Notice does not address these issues with respect to claim 5. These
issues are raised with respect to other claims and not with respect to claim 5.
The evidence of Doctor Russell is directed to the matters raised with respect
to those other claims.
[188] I find that
Pharmascience cannot raise this issue now with respect to claim 5. It had an
obligation to raise the issue clearly in its Notice of Allegation. It cannot
now rely on general statements or general evidence directed to other claims in
an effort to redirect those statements and evidence to claim 5.
[189] In the
absence of a clear meeting of the minds between the parties to have the issue
determined, notwithstanding that a matter was not raised in the Notice of
Allegation, I am not prepared to allow Pharmascience to address such issue now.
CONCLUSION AND COSTS
[190] I have
concluded that Pharmascience’s allegation that claim 5 of the ’457 Patent is
invalid is justified within the provision of section 6(2) of the NOC
Regulations. I do so on the basis that the claim lacks novelty and constitutes
double patenting having regard to the ’277 patent.
[191] At the
hearing, counsel for the parties were agreed that costs should be awarded to
the successful party. Counsel indicated that they probably could agree as to
the quantum, failing which they could return to me for a ruling in that regard
within a reasonable period of time. No costs will be awarded for or against the
Minister.
[192] The
application will be dismissed with costs payable to Pharmascience by Merck.
JUDGMENT
THIS COURT
ORDERS AND ADJUDGES that:
1.
The
application is dismissed; and
2. Pharmascience
is entitled to costs to be paid by Merck. If these parties cannot agree as to
quantum within a reasonable time, either one of them may apply to me for a
ruling as to costs. No costs are awarded to or against the Minister.
“Roger
T. Hughes”