Date: 20100305
Docket: T-370-08
Citation: 2010 FC 230
Ottawa, Ontario, March 5, 2010
PRESENT: The Honourable Mr. Justice Phelan
BETWEEN:
SANOFI-AVENTIS
CANADA INC.
Applicant
and
RATIOPHARM INC. and
THE MINISTER
OF HEALTH
Respondents
and
SANOFI-AVENTIS
Respondent/Patentee
REASONS FOR JUDGMENT AND JUDGMENT
(Public
Version)
I. OVERVIEW
[1]
This
is an application pursuant to s. 55.2(4) of the Patent Act and s. 6 of
the Patented Medicines (Notice of Compliance) Regulations (SOR/93-133).
Sanofi-Aventis Canada Inc. (Sanofi-Aventis) seeks an order against Ratiopharm
Inc. (Ratiopharm) and the Minister of Health prohibiting the issuance of a
Notice of Compliance (NOC) to Ratiopharm for its generic version of Irbesartan
tablets for oral administration in tablet sizes of approximately 75mg, 150mg
and 300mg.
[2]
There
are two patents which could be in issue, Canadian Patent Nos. 2,057,913 ('913
Patent) and 2,177,772 (the '772 Patent). Ratiopharm had agreed that no NOC
shall issue until the '913 Patent expires on March 20, 2011.
[3]
The
'772 Patent claims pharmaceutical compositions containing Irbesartan (the
active ingredient) alone or in combination with a diuretic, preferably in the
form of tablets with a high relative amount of the active ingredient. A
critical feature of the patent is that the pharmaceutical composition comprises
from about 1 to about 70% diluent.
[4]
Ratiopharm’s
tablets will contain a high amount of Irbesartan (approximately 63%) and Ratiopharm’s
excipient (Ratiopharm’s excipient) [name deleted for reasons of
confidentiality] which can but does not necessarily fill the role of a diluent.
Ratiopharm’s excipient can also act as a binder and a disintegrant.
[5]
As
in many NOC proceedings, the parties have raised almost every conceivable
allegation and defence. This approach of throwing as many arguments “up in the
hopes that something sticks” is not helpful to either the Court or to the
cause. As a result of this approach, positions become contradictory,
overlapping and confusing. Therefore, the Court has distilled the dispute to
its essential elements sufficient to resolve the two fundamental issues of
validity and infringement.
[6]
The
critical issues in this NOC are whether the claims at issue in the '772 Patent
are invalid because of its breadth and its unproven utility and whether
Ratiopharm’s drug will infringe the '772 Patent. Infringement turns on whether Ratiopharm’s
excipient is a diluent.
[7]
For
reasons set forth, the Court finds that the claims are invalid and, alternatively,
Ratiopharm’s proposed drug will not infringe the '772 Patent.
II. FACTUAL
BACKGROUND
[8]
Irbesartan
is not a new drug. It belongs to a family of medicines known as angiotensin II
receptor blockers. It is an active ingredient and has been found to be particularly
useful in the treatment of cardiovascular ailments, including hypertension and
heart failure. Angiotensin II is a chemical that the body releases to cause the
constriction of blood vessels and these medicines are used to lower high blood
pressure by relaxing blood vessels. There are several types of drugs in this
family, Irbesartan is but one of these.
[9]
The
drug can be administered in dosages which contain a substantial amount of
active ingredient and it is a potent and long-lasting drug. The drug is not
without certain features which make it difficult to transform into tablets. Significantly,
it is “fluffy” which means that it has a relatively low bulk density and is
therefore difficult to put into tablets which can be easily swallowed. It is also
sticky which makes it difficult to mass produce. It is also “low in aqueous
solubility” and therefore only a limited amount of excipients can be added to
facilitate disintegration and wetting leading to rapid and complete drug
release.
[10]
The
'772 Patent was filed May 30, 1996 with a priority date of June 7, 1995. It was
issued on April 10, 2007 and will expire on May 30, 2016. The patent is a
formulation patent and relates to the way in which Irbesartan tablets are made
and the percentages of excipients and active ingredients which will allow for
the rapid dissolution and release required.
[11]
In
this NOC proceeding, essentially Claims 1, 2, 22, 33, 34 and 35 of the Patent are
raised in respect of both validity and infringement but claim 36 is raised in
respect of validity only. The bulk of the claims rely upon Claim 1; it is the
focus of the attack in these proceedings.
[12]
The
claims at issue are described as follows:
1.
A pharmaceutical composition comprising, based
on weight: (a) from about 20 to about 70% irbesartan or a pharmaceutically
acceptable salt thereof, (b) from about 1 to about 70% diluent, (c) from about
2 to about 20% binder; (d) from about 1 to about 10% disintegrant, (e) from
about 0.1 to about 5% antiadherent, and (f) from about 0.2 to about 5% lubricant,
and, optionally (g) from about 0.2 to about 6% surfactant, and/or (h) up to
about 2% coloring agent, wherein a tablet formed from said composition has a dissolution
performance such that about 80% or greater of the irbesartan or salt
thereof contained in said tablet dissolves within 30 minutes.
2.
The pharmaceutical composition of claim 1,
wherein the tablet formed from said composition has a dissolution performance
such that about 85% or greater of the irbesartan or salt thereof contained in
said tablet dissolves within 30 minutes.
22.
A tablet formed from the composition of claim 1.
33.
A tablet of claim 22, wherein the total weight
of said tablet is from about 50 to about 600 mg.
34.
A tablet formed from the composition of claim 1,
wherein said tablet is prepared by mixing an extragranular composition
comprising the antiadherent with granules comprising the irbesartan or
pharmaceutically acceptable salt thereof.
35.
The tablet of claim 34, wherein said
antiadherent is silicon dioxide.
36.
A pharmaceutical composition comprising, based
on weight: (a) from about 20 to about 70% irbesartan or a pharmaceutically
acceptable salt thereof, and (b) about 2 to about 33% hydrochlorothiazide,
wherein the total weight % of irbesartan or salt thereof and hydrochlorothiazide
does not exceed about 85%, said composition being free of povidone and
poloxamer.
(Emphasis added)
[13]
While
the Notice of Allegation lists 82 prior art references, three of those
references are pertinent as they form the basis of the challenge on the issue
of anticipation and obviousness. These are the '913 Patent, Canadian Patent
Application No. 2,050,769 (the '769 Application) and International Publication
No. WO 94/09778 (the '778 Application).
[14]
The
'913 Patent teaches a preparation of angiotension II blockers, which include
Irbesartan, for use in treating cardiovascular ailments. The Patent describes
the way the drug can be effectively administered and contemplates the use of
other active principles. It therefore contemplates the use of Irbesartan for
cardiovascular conditions in a tablet form with various excipients.
[15]
The
'769 Application was published on March 3, 1992 and addresses the use of
“azacyclic compounds” which are active ingredients for hypertension drugs. The '769
Application suggests that forms for oral use can be made by combining the
active ingredient with solid carriers which include fillers, binders,
disintegrators, etc.
[16]
The
'778 Application, which was published on May 11, 1994, relates to the
formulations with A-II Antagonists at an effective dose level and diuretics at
a level slightly less than their minimum effective dose. The list of A-II
Antagonists includes Irbesartan’s structure.
[17]
Sanofi-Aventis
relied extensively on the evidence of Dr. Louis Cartilier, a Ph.D in
pharmaceutical sciences and a titular professor at the University of Montreal. His
evidence was used for claim construction and for the majority of
Sanofi-Aventis’ arguments on both validity and infringement. The difficulty
with Dr. Cartilier’s evidence is that he has been found to be a less convincing
witness in a number of cases before this Court. He has been criticized for the
quality of his research and that problem seemed to persist in this case. The
Court has approached his evidence with a considerable degree of caution.
[18]
Sanofi-Aventis’
other witness was Dr. Omar Sprockel, Senior Principal Scientist at the
Biopharmaceutics R&D Department at Bristol Myers Squibb. He gave evidence
as to the development of the commercial formulation of Irbesartan. He was one
of the few witnesses who knew about the making of Irbesartan and he was able to
speak to the process involved in developing the product as well as the
challenges involved.
[19]
Ratiopharm
relied particularly on the expert evidence of Dr. Ping Lee, Ph.D in physical chemistry
and a professor and GlaxoSmithKline Chair in pharmaceutics and drug delivery at
the University
of Toronto.
His evidence dealt with both infringement and validity. His experience is both
academic and industrial. His evidence was clear and cogent and while it
suffered from some of the bruises of any cross-examination, his evidence
generally stood the test of relevance and probity.
[20]
Ratiopharm’s
other witness was Dr. Peter Rue, a visiting professor at the University of Aston in
the United
Kingdom.
He is also involved as a pharmaceutical consultant. For the purposes of this
NOC, he designed tablet formulations to test Ratiopharm’s allegations regarding
anticipation and inoperability. He instructed third party Quay Pharma to
manufacture the tablets after which he interpreted the results. There were
unexplained differences between his affidavit and the test results provided by
Quay Pharma.
[21]
There
were three other witnesses from Quay Pharma who were fact witnesses and while
their evidence may have been germane, it is not determinative.
[22]
Having
reviewed the evidence in detail, it is the Court’s conclusion that Ratiopharm’s
evidence generally, but not in all cases, was more cogent and compelling and
thus more persuasive.
[23]
While
the parties described the person skilled in the art (PSIA or “skilled person”)
slightly differently, there is no material distinction between their
definitions. The PSIA is a person with a university degree in pharmacy,
chemistry or a related field and has experience in the formulation design and
the valuation of pharmaceutical dosage forms. The years of experience necessary
could be less if that person possessed a higher degree of education.
III. ISSUES
[24]
The
issues in this proceeding are:
(a) What
is the proper claim construction?
(b) Is
the '772 Patent valid or has Ratiopharm proven invalidity on one or more
grounds of anticipation, obviousness, ambiguity of claims, claims broader than
invention, inoperability/inutility, sound prediction, insufficiency of
disclosure and double patenting?
(c) Does
Ratiopharm’s proposed drug infringe Sanofi-Aventis’ patent – more specifically
does Ratiopharm’s tablet contain a diluent?
IV. ANALYSIS
A. Preliminary
Issues
(1) Burden
of Proof
[25]
Sanofi-Aventis
claims that the burden of proof on the issue of validity (unlike the
infringement situation) shifts to Ratiopharm because only Ratiopharm knows the
basis upon which it claims the patent to be invalid.
[26]
This
is not a proper interpretation of the existing law. At most, as Justice Nadon
held in Pfizer Canada Inc. v. Canada (Minister of Health), 2007 FCA 209,
the second person (Ratiopharm in this case) only has the burden of putting the
issue in play on some evidentiary basis.
[27]
Justice
Hughes in Pfizer Canada Inc. v. Canada (Minister of
Health),
2008 FC 11, sets out the steps as follows in paragraph 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] F.C.J. No. 1271, 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.
[28]
The
burden of proof remained with Sanofi-Aventis to prove Ratiopharm’s allegations
were not justified. Sufficient material was advanced to put the issue of
validity in play.
(2) Sufficiency of Notice of
Allegation (NOA)
[29]
Sanofi-Aventis
has complained that Ratiopharm’s NOA was deficient particularly as regards
infringement because Ratiopharm characterized one of its excipients, […], as a
binder, not a diluent, and then argued that it was both primarily a
disintegrant and secondly a binder.
[30]
Viewed
as a whole, Ratiopharm’s NOA met the critical test of giving Sanofi-Aventis
sufficient understanding of the case it had to meet (Merck Frost Canada Inc.
v. Canada (2000), 8 C.P.R. (4th) 87, aff’d 12 C.P.R. (4th)
447 (F.C.A.)).
[31]
The
critical point is that Ratiopharm said it did not infringe the Patent because Ratiopharm’s
excipient was not a diluent and the absence of a diluent in the formulation
avoided infringement. What other role Ratiopharm’s excipient might play is only
a subset of the basic premise that it does not act as a diluent in Ratiopharm’s
tablets.
[32]
Sanofi-Aventis
knew this point and met it. There is no prejudice to Sanofi-Aventis. Both
parties knew that Ratiopharm’s excipient had multiple uses and that it was a
disintegrant and a binder. Therefore, the NOA was not deficient.
B. Claim
Construction
[33]
The
validity of Claims 1, 2, 22, 33, 34, 35 and 36 are in issue in these
proceedings. As said earlier, Claim 1 is the threshold claim upon which the
others hang.
[34]
A
court must first construe the patent from the perspective of the notional
skilled person to whom the patent is addressed. It is to give it a purposive
construction (Free World Trust v. Électro Santé Inc., 2000 SCC 66,
[2000] 2 S.C.R. 1024).
[35]
The
question is, to some extent, what is the promise in the '772 Patent? As part of
the societal bargain by which a patentee is given a monopoly is the promise
that the invention claimed is novel, that it works and that a skilled person
can understand what it is.
[36]
Claim
1 reads:
A pharmaceutical
composition comprising, based on weight: (a) from about 20 to about 70%
irbesartan or a pharmaceutically acceptable salt thereof, (b) from about 1 to
about 70% diluent, (c) from about 2 to about 20% binder; (d) from about 1 to
about 10% disintegrant, (e) from about 0.1 to about 5% antiadherent, and (f)
from about 0.2 to about 5% lubricant, and, optionally (g) from about 0.2 to
about 6% surfactant, and/or (h) up to about 2% coloring agent, wherein a tablet
formed from said composition has a dissolution performance such that about 80%
or greater of the irbesartan or salt thereof contained in said tablet dissolves
within 30 minutes.
[37]
One
of the main areas of dispute is whether the dissolution performance of 80% or
greater in 30 minutes is a promise of performance or is a limitation on the
formulation – that only when the formulation reaches the dissolution
performance does it fall within the claim. In the end, this dispute is
meaningless because the patent is invalid on either interpretation.
[38]
The
parties do agree that the excipients listed in the patent (other than the two
optional ones) are all essential elements. However, the parties disagree on 1)
the meaning of “about”, 2) the meaning of “preferably” in categorizing
excipients and 3) the significance of “wherein” in the interpretation of the
dissolution performance in Claim 1.
[39]
The
term “about” is not defined in the specifications, as is often the case with
performance patents. Absent some indication of the range of “about” specified
in the patent, the expert evidence which could help resolve the issue is
inconsistent as to what the range should be.
[40]
Sanofi-Aventis
argued that it was “within 10%” and while Ratiopharm disputed that, Dr. Lee
acknowledged that 10% was used in the U.S Pharmacopeia and he used the 10% rule
both in some of his patents and in his affidavit.
[41]
The
best evidence suggests that a skilled person would more likely than not refer
to such texts. The Court accepts that “about” means “within 10%”.
[42]
The
problem with this patent is not the range of 10% in respect of the composition,
the problem is the vast range claimed for each ingredient – 20-70% Irbesartan;
2-20% binder; 1-70% diliuent; 1-10% disintegrant and so forth.
[43]
As
to the term “preferably”, it is not used in Claim 1 in describing the
characterization of excipients. Ratiopharm’s argument in respect of the term
appears to be addressing the lack of clarity in the patent – the problem
described in the preceding paragraph. It is an issue of validity rather than
construction.
[44]
The
real issue is whether an ingredient should be classified, particularly where it
can perform more than one function, on the basis of its primary function in the
formulation. This is relevant to Ratiopharm’s excipient which is a
multi-functional ingredient.
[45]
Bearing
in mind a purposive interpretation which addresses the real teaching of the
patent, it is appropriate to ascribe to the ingredient/excipient its primary
role in the patent.
[46]
As
to the meaning of “wherein” in this patent, its placement in the claim, at the
end after the listed ingredients, gives some indication of the proper meaning.
Its wording is “… wherein a tablet formed from said composition has a
dissolution performance such that …”.
[47]
The
promise made is more than a formulation of Irbesartan in a way that deals with
its physical characteristics. In the Court’s view it is a formulation that
holds out that the tablet formed from the composition of ingredients will have
the stated dissolution performance.
[48]
This
interpretation is consistent with the emphasis placed on dissolution
performance – that it is part of what the patentee is claiming. Sanofi-Aventis
and Dr. Cartilier repeatedly stated that it was novel and inventive to
formulate Irbesartan in such a way that it was an immediate release tablet. Dr.
Cartilier contended that prior art taught away from such formulation. So by its
own evidence, Sanofi-Aventis indicates that the patent promises that if one
follows the formulation of components, one will achieve the desired dissolution
rate.
[49]
As
indicated earlier, even if the proper construction is that the dissolution rate
is a limitation, Sanofi-Aventis’ claim runs afoul of other aspects of a
validity challenge. Sanofi-Aventis’ interpretation would amount to a claim that
if someone were fortunate enough somehow to find, from the broad ranges
claimed, the precise composition that gives the desired dissolution rate, that
person will have infringed – Sanofi-Aventis claims the result not the process.
[50]
Having
determined the issues surrounding claim construction, the next step is to
address the issues of invalidity.
C. Validity
[51]
As
mentioned earlier, this attempt at creating watertight compartments when the
arguments and evidence overlap to a significant extent suggests that the better
approach is that of the “seamless garment of the law” approach adopted by
Justice Harrington in Purdue Pharma v. Pharmascience Inc., 2009 FC 726.
[52]
The
basic arguments are whether the invention disclosed a novel invention in
relation to Irbesartan and in so doing whether it gave enough detail and
parameters to be valid.
[53]
As
regards anticipation and double patenting, the test in Beloit Canada Ltd. et
al v. Valmet OY (1986), 8 C.P.R. (3d) 289, is that at least a single piece
of prior art be clearly directed to the invention so that a person skilled in
the art would be “in every case and without possibility of error would be led
to the claimed invention”. The test has been further refined in Apotex Inc.
v. Sanofi-Synthelabo Canada Inc., 2008 SCC 61, [2008] 3 S.C.R. 265,
particularly that lack of inventiveness is not a part of the consideration of
anticipation.
[54]
I
am not convinced that the prior art met that test except in regards to Claim 36
(to be discussed). Most particularly, the claims in the '913 Patent are not
identical or coterminus. The '772 Patent is “patentably distinct” – the special
advantage is the capacity to manufacture Irbesartan specifically into tablets
which have the ability to dissolve quickly.
[55]
On
the other hand, obviousness is a significant problem for the '772 Patent. The
test is described in Beloit, above, at page 294:
The test for obviousness is not to ask what competent inventors
did or would have done to solve the problem. Inventors are by definition
inventive. The classical touchstone for obviousness is the technician skilled
in the art but having no scintilla of inventiveness or imagination; a paragon
of deduction and dexterity, wholly devoid of intuition; a triumph of the left
hemisphere over the right. The question to be asked is whether this mythical
creature (the man in the Clapham omnibus of patent law) would, in the light of
the state of the art and of common general knowledge as at the claimed date of
invention, have come directly and without difficulty to the solution taught by
the patent. It is a very difficult test to satisfy.
[56]
Justice
Rothstein in Sanofi-Synthelabo, above, refined or recast the test
somewhat to incorporate the “obvious to try” benchmark.
66 For a finding that an
invention was "obvious to try", there must be evidence to convince a
judge on a balance of probabilities that it was more or less self-evident to
try to obtain the invention. Mere possibility that something might turn up is
not enough.
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. BDMO
SA, [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 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.
[57]
The
main problem with the '772 Patent is that it is an “obvious to try” patent. For
reasons to follow, it is apparent that the patent requires trial and error to
achieve the 85% dissolution rate.
[58]
Dr.
Sprockel testified that there was extensive testing in order to come to the
formulation in the '772 Patent. Ratiopharm’s experts said that it was common to
undertake these tests and it would be reactive. However, the final evidence is
that Sanofi-Aventis never achieved 70% active ingredients in any of their
tests. The best that could be achieved is 50%. While the formulation – so broad
as it is – might be obvious to try, the failure to get to 70% raises issues of
utility and sound prediction.
[59]
While
there is no consistent acceptable range of excipients in formulation patents,
most cases before this Court outline more specifically what materials comprise
the tablet. The jurisprudence accepts a range so long as what constitutes an
“effective” amount is clear and certain.
[60]
It
is clear law that a patent claim must not exceed either the invention made or
the invention disclosed (Pfizer Canada, above, at paragraph 115). The
sheer breadth of ranges in this patent is readily apparent. Given the number of
excipients and the ranges of the percentages, the permutations and combinations
are extremely large.
[61]
Given
the Court’s claim construction that the patent contains a promise, the
situation is analogous to a recipe which promises a result. However, as
discussed and to be discussed, Sanofi-Aventis has not been able to fulfil the
promise.
[62]
Even
accepting Sanofi-Aventis’ claim construction that the dissolution rate is a
limitation, as discussed in paragraph 49, Sanofi-Aventis is claiming the result
of someone else’s successful efforts.
[63]
In
Free World Trust, above, Justice Binnie held:
The ingenuity of these patents lay not in
their identification of a desirable result but in teaching particular means to
achieve it. The claims cannot be stretched to allow the patentee to monopolize
anything that achieves the desirable result.
Sanofi-Aventis has, by its own
interpretation, done substantially this.
[64]
Sanofi-Aventis
relies on this Court’s decision in Purdue Pharma, above, as an example
of a case where a dissolution profile was acceptable as inventive and within an
acceptable breadth.
[65]
However,
Purdue Pharma is distinguishable because there the dissolution
performance was not the desired result but a means by which to achieve the
result. There the various dissolution rates at a certain level contributing to
the profile created a matrix and allowed the pill to be a 12 hour release. The
inventive element was the controlled release within a combination.
[66]
The
Applicant’s position shifted from claiming that the dissolution profile was the
“essence of the patent” (the promise) to claiming the dissolution profile was
an essential element. The Court has already concluded that the dissolution
profile is the promise.
[67]
A
central difficulty of the promise is that it is not obvious to a skilled person
which element and in which proportions will yield the promised result. The
experts on all sides agree that a great deal of testing would be required in
order to come to the correct formulation. This confirms the overbreadth of the
patent to achieve the promise.
[68]
The
Applicant’s position that the '772 patent is akin to a selection patent, and
therefore it can simply choose from what has already been claimed, cannot be
sustained. To be a selection patent, the selection of the known elements of
another patent must be “novel” and the compound must possess a “special
property of an unexpected character” (Sanofi-Synthelabo, above).
[69]
Therefore,
a selection patent identifies a compound and its use rather than provide a
formulation for compounds already known. As held in Pfizer Canada Inc. v.
Canada (Minister of Health) (F.C.A.), 2006 FCA 214, the inventive concept
is the identification of the particular characteristics of a particular
compound within a larger group of compounds and teaches a new use of the
particular compound.
[70]
The
'772 Patent does not purport to isolate a particular compound and teach a new
use.
[71]
The
breadth of the '772 Patent not only goes beyond the scope of the disclosure but
because of its breadth the Applicant cannot establish either utility or sound
prediction. The Applicant could not show that it reached 70% active ingredient
(Irbesartan) in any of its tests, yet it claims in the patent 70% (or 77% if
“about” means 10%).
[72]
The
best that Sanofi-Aventis could achieve was 50% Irbesartan, as disclosed in the
examples. Having failed to show actual utility, the Applicant has to show that Irbesartan
at higher levels of 70-77% could be soundly predicted.
[73]
As
in the example of the “heavier than air flying machine” referred to by Justice
Binnie in Apotex Inc. v. Wellcome Foundation Limited, [2002] 4 S.C.R.
153, the patent disclosure must set out the specifics as to how it would fly or
flight must be soundly predicted. The '772 Patent neither sets out the
specifics of how the formulation will operate nor was Sanofi-Aventis able to
achieve “flight” at the higher concentration of Irbesartan claimed.
[74]
Given
that failure and Ratiopharm’s own tests which only achieved 64%, sound
prediction cannot be established.
[75]
Sound
prediction is more than the use of a “shot gun” approach to using existing
knowledge in the hopes that by good luck rather than good design, the desired result
is achieved.
[76]
The
'772 Patent gives no disclosure of the factual basis or sound line of reasoning
which would lead to the higher concentrations of Irbesartan.
[77]
Sanofi-Aventis
has claimed too much with 70% and provided too little instruction to show how
that which is claimed can be achieved.
[78]
American
Home Products v. Novartis Pharmaceuticals, [2001] R.P.C. 8 (Eng C.A.) at
paragraph 40 described the difference between performing a patent and
ascertaining how the patent works:
There is a difference between on
the one hand a specification which requires the skilled person to use his skill
and application to perform the invention and, on the other, a specification
which requires the skilled person to go to the expense and labour of trying to
ascertain whether some product has the required properties. When carrying out
the former the skilled person is trying to perform the invention, whereas the
latter requires him to go further and to carry out research to ascertain how
the invention is performed. If the latter is required the specification would
appear to be insufficient.
[79]
Even
with the more relaxed approach to “trial and error” and the concept of “obvious
to try” endorsed in Sanofi-Synthelabo, above, a patent cannot require
undue experimentation or the performance of prolonged and difficult trials to
achieve the promise of the patent.
[80]
Further,
the '772 Patent does not provide sufficient disclosure to achieve its promise.
Ratiopharm’s expert evidence on this issue is convincing and buttressed by
Sanofi-Aventis’ own failure to achieve Irbesartan concentrations claimed in the
patent. The essence of part of Dr. Lee’s evidence is that there are such broad
ranges claimed in the patent, a skilled person would know that some
compositions would not meet the claimed profile. The dissolution rate is
dependent on many factors, yet there is no guidance as to how to achieve the
desired dissolution.
[81]
For
all these reasons, the Court finds that the allegation of invalidity as regards
claims 1, 2, 22, 33, 34 and 35 is justified. Claim 36 is subject to separate
considerations.
(1) Claim 36
[82]
Claim
36 is a claim that warns against adding two particular excipients where
hydrochlorothiazide (HCTZ) and Irbesartan are part of the composition.
[83]
As
the evidence of Dr. Lee confirms, the only difference between the prior
teachings of the '778 Application, the '913 Patent, prior art (particularly the
monograph for Hydro Diuril HCTZ and the Desai Paper) and the inventive concept
of Claim 36 is an explicit disclosure in the '772 Patent that the absence of
the excipients povidone and poloxamer reduces HCTZ degradation.
[84]
However,
this result would inevitably have been achieved by the formulations claimed in
the '778 Application because povidone and poloxamer are absent.
[85]
The
inventive concept of Claim 36 would have been obvious to the skilled person
because, from the perspective of science, commerce and regulation, a certain
level of stability in formulations is required. The motive to find stable
formulations clearly exists.
[86]
As
Dr. Lee opines, formulations of HCTZ in which povidone and poloxamer were
absent had been commercially available prior to June 7, 1995 under the brand
name Hydro Diuril. This commercial formulation would have been the starting
point for manufacturing HCTZ combination products. Povidone and poloxamer would
only have been added as alternate choices of excipients if there had been some
problem with the Hydro Diuril formulation.
[87]
Sanofi-Aventis
has set up a “straw man” as the prior art never taught that povidone and poloxamer
should be used with HCTZ. There is nothing inventive in finding a solution to a
problem that never existed or where the solution was taught in the prior art (SmithKline
Beecham Pharma Inc. v. Apotex Inc., 2002 FCA 216).
[88]
Claim
36 fails as Ratiopharm’s allegation of obviousness is justified or
alternatively it was anticipated.
D. Infringement
[89]
Given
the Court’s finding on validity, it may not be strictly necessary to deal with
infringement. For completeness, the Court will deal with the issue.
[90]
The
basic issue in this aspect of the litigation is whether Ratiopharm’s excipient in
the Ratiopharm tablet performs the function of a diluent. If it does, and
Sanofi-Aventis asserts it does, the Ratiopharm formulation would infringe the
'772 Patent. A diluent is essentially a filler which provides bulk to a tablet
to make it the desired size.
[91]
Dr.
Cartilier’s opinion was that Ratiopharm’s excipient in the Ratiopharm tablet
was a diluent whereas Dr. Lee reaches the opposite conclusion. As indicated
previously, the Court generally prefers Dr. Lee’s evidence to that of Dr.
Cartillier.
[92]
As
Dr. Lee indicates, a skilled person would know that an excipient can perform
more than one function yet the patent teaches that an excipient must be
assigned to a single category of function. Aside from a diluent (filler),
excipients can also be binders which facilitate granulation and a disintegrant
which facilitates tablet break-up in the body.
[93]
Dr.
Cartilier creates four factors which are to be examined to determine the
primary role of an excipient – nature and function, percentage in the
formulation, use in the formulation and context. He then largely ignores those
factors in his consideration of Ratiopharm’s excipient, develops a theory of
“progressive use of Ratiopharm’s excipient as a diluent” and does no testing of
Ratiopharm’s tablets to determine if Ratiopharm’s excipient was being used as a
diluent.
[94]
Dr.
Lee compared what diluents and binders are and what they are to achieve with
the function of Ratiopharm’s excipient in the composition. He examined how Ratiopharm’s
excipient is incorporated in the tablet, how it aids in binding a “fluffy”
material such as Irbesartan while also providing disintegrant properties
(particularly solubility) and how all of this is consistent with the technical
literature.
[95]
Diluents
are not a necessary ingredient in tablets. Their chief function is to make a
tablet larger than it might otherwise be. The evidence is that if the dosage of
the active ingredient is large, little or no diluent would be required.
[96]
Despite
the wide percentage range of diluent claimed in the patent, in its
specifications it indicates that a diluent should be used at the lower weight
range. The patent also says that the compositions will contain a minimal mass
of excipients. All of this suggests that if there is a sufficient amount of
active ingredient, a diluent may not be necessary.
[97]
The
Ratiopharm tablet of 63.3-64% Irbesartan is relatively large compared to active
ingredients in other patents and is larger than the amount of Irbesartan
Sanofi-Aventis was able to achieve. In addition to greater amounts of active
ingredient, the mass of Ratiopharm’s tablets is less than that of
Sanofi-Aventis (118.25mg v. 150mg; 235.35mg v. 300mg; 468.46mg v. 600mg).
[98]
In
the '772 Patent’s examples, the amount of diluent in weight ranged from 19.4%
to 35.5%. Ratiopharm’s use of Ratiopharm’s excipient at an amount in the mid
20% range would not appear to add bulk to a tablet where one would expect the
amount of any diluent to be significantly less in a tablet which is a smaller
mass and contains more active ingredient.
[99]
Ratiopharm’s
excipient is consistently cited for its binding properties – a feature of importance
when dealing with fluffy material – and it is extensively used as a
disintegrant.
[100] Dr. Lee’s
evidence is that it is not unexpected that Ratiopharm’s excipient level in
Ratiopharm’s tablet would be on the high side of an acceptable range for a
binder because Ratiopharm’s tablet contains more of the fluffy substance
Irbesartan than does Sanofi-Aventis’ tablet.
[101] That evidence
was supported by several tests that indicate Ratiopharm’s excipient as a binder
and/or disintegrant in the 20% range is acceptable. This is also consistent
with the evidence of prior art. Lastly, binder levels of about 25% are
acceptable in the Handbook of Pharmaceutical Excipients which is in the same
range of the total binder (Ratiopharm’s excipient and the other binder
povidone) percentage in Ratiopharm’s tablet.
[102] The other
evidence relied upon by Sanofi-Aventis, U.S. Patent '068 and European Patent
'108 are distinguishable from both the '772 Patent and Ratiopharm’s proposed
formulation and does not undermine the weight of the evidence that Ratiopharm’s
excipient is not used as a diluent.
[103] Given the
necessity of a binder for Irbesartan and the importance of rapid disintegration
of this type of drug, it is hard to see how Ratiopharm’s excipient would have
filled the “primary” role as a diluent in a tablet that did not require extra
bulk. Sanofi-Aventis has been unable, on a balance of probabilities, to
establish that Ratiopharm’s excipient in Ratiopharm’s tablets fills that
primary role as a diluent.
[104] Therefore,
the Court finds that for purposes of a NOC proceeding, Ratiopharm’s proposed
formulation does not infringe the '772 Patent.
JUDGMENT
THIS COURT
ORDERS AND ADJUDGES that the
application for an order prohibiting the Minister of Health from issuing a
Notice of Compliance to the Respondent, Ratiopharm Inc., in connection with its
75mg, 150mg and 300mg Irbesartan tablets for oral administration until after
the expiration of Canadian Letters Patent No. 2,057,913 and Canadian Letters
Patent No. 2,177,772, is denied with costs to the Respondent, Ratiopharm Inc.
“Michael
L. Phelan”