Date: 20090707
Docket: T-1129-07
Citation: 2009 FC
648
Toronto, Ontario, July 7, 2009
PRESENT: The Honourable Madam Justice Heneghan
BETWEEN:
ABBOTT LABORATORIES and
ABBOTT LABORATORIES LIMITED
Applicants
and
THE MINISTER OF HEALTH
and SANDOZ CANADA INC.
Respondents
REASONS FOR JUDGMENT
(Confidential Reasons for Judgment issued
on June 19, 2009)
I. Introduction
[1]
Abbott
Laboratories and Abbott Laboratories Limited (the “Applicants” or “Abbott”)
apply pursuant to the Patented Medicines (Notice of Compliance) Regulations,
SOR/93-133 (the “NOC Regulations”) for an order prohibiting the Minister of
Health from issuing a Notice of Compliance (“NOC”) to Sandoz Canada Inc. (the
“Respondent” or “Sandoz”), pursuant to section C.08.004 of the Food and Drug
Regulations, C.R.C. c. 870 until the expiry of the Canadian letters patent
2,285,266 (the “ ‘266 Patent”), 2,358,395 (the “ ‘395 Patent”) 2,325,541 (the “
‘541 Patent”) and 2,209,714 (the “ ‘714 Patent”).
[2]
This
application was commenced in response to a Notice of Allegation (“NOA”) dated
May 7, 2007 and served by the Respondent on that day. The Respondent alleged
that the Abbott patents are invalid on several grounds including obviousness,
lack of actual utility, lack of sound prediction utility and double patenting.
[3]
On June
19, 2007, the Applicants filed their application, pursuant to the NOC
Regulations, claiming that the allegations are not justified and requesting the
issuance of a Prohibition Order.
A. The Parties
[4]
The Applicant
Abbott Laboratories is a Canadian company that distributes and sells
pharmaceutical products.
[5]
The
Applicant Abbott Laboratories Limited, a company incorporated under the laws of
the United States
of America, is
the parent of Abbott Laboratories and is the owner of the patents at issue in
this proceeding. The Applicants are engaged in the development and manufacture
of innovative pharmaceutical products.
[6]
Sandoz is the
Canadian subsidiary of a multinational generic pharmaceutical manufacturer. It
has applied for an NOC to permit it to market its version of clarithromycin
extended-release 500 mg tablets.
[7]
The Minister of Health (the “Minister”), although a party to this
proceeding, is not actively participating in it.
B. The Drug
[8]
Clarithromycin,
or 6-0-methoxy erythromycin is an erythromycin derivative and an antibiotic. It
is administered to humans in a composition or formulation. Abbott sells this
product in an extended release (“ER”) 1000 mg formulation under the trade name
BIAXIN®XL (“BIAXIN”).
[9]
Clarithromycin
is the active pharmaceutical ingredient (“API”) in Abbott’s BIAXIN tablets.
BIAXIN is administered for the treatment of mild to moderate bacterial
infections.
[10]
In order
to work, the clarithromycin is released from the formulation, dissolved, absorbed
through the bloodstream, distributed to various tissues, metabolized, and
ultimately eliminated from the body. The path that the drug takes from the
formulation through the body depends on the biological characteristics of the
drug in the body, specifically its absorption, distribution, metabolism and
excretion (“ADME”).
[11]
Prior to
the ‘266 Patent, these clarithromycin tablets were sold only in an immediate
release (“IR”) formulation. This required a patient to take multiple daily
doses of the tablets. Multiple daily doses can lead to poor patient compliance
and affect the efficiency of treatment. A second problem with the IR
composition was the phenomenon of taste perversion, an adverse effect which can
lead to non-compliance by a patient with the treatment regime.
[12]
Abbott
tried to resolve the issues related to multiple dosing by creating an extended
release (“ER”) formulation. This allows patients to take only one 1000 mg
tablet daily, rather than taking a 500 mg tablet twice a day, that is in the morning
and at night.
[13]
An
important aspect of the ER formulation is that it maintains adequate drug
levels in the blood over the extended period of time. This advantage is known
as the demonstration of favourable pharmacokinetics (“p-kinetics”), that is the
study of the movement of drugs, especially the rates of absorption and
excretion of drugs.
[14]
In terms
of p-kinetics, the area under the plasma concentration time curve (“AUC”)
describes the measure or quantity of the total amount of a drug that is
delivered in 24 hours. The C-maximum (“C-max”) is the maximum drug
concentration in the blood that is attained over the period. The C-minimum
(“C-min”) is the minimum drug concentration in the blood reached over the
period. The T-maximum (“T-max”) is the time at which the C-max is reached.
Bioavailability is the measurement of the amount of the drug available in the
blood upon reaching the body’s systemic circulation. The Degree of Fluctuation
(“DFL”) is the measure of the difference between the C-max and the C-min. In
particular, it measures the variation in the drug levels between the lowest and
highest levels during the steady state, the steady state being the point at
which the rate of drug supply to the body equals the rate of drug removal from
the body.
[15]
Abbott
first attempted to address the issue of multiple dosing with a once-daily
formulation by combining clarithromycin with alginate in a matrix (the
“Alginate Formulation”) and obtained a patent in respect of this product, that
is the 2,209,714 (the “‘714 Patent”). The Alginate Formulation is sold in the United Kingdom under the name KLARICID® .
However, the ‘714 Patent does not address the phenomenon of taste perversion.
Abbott wanted to meet the need for a composition that would allow once-daily
dosing and which would also address the issue of taste perversion, as compared
with the IR formulation.
C. The Patents
[16]
Although
the NOA referred to four patents, only two patents are the subject of this
proceeding, that is the ‘266 Patent and the ‘395 Patent.
i) The 266 Patent
[17]
The ‘266
Patent is entitled “Extended Release Formulations of Erythromycin Derivatives”.
The invention in the patent relates to “pharmaceutical compositions of
erythromycin derivatives with an extended release of an active compound in the
gastrointestinal environment.” The invention relates to a pharmaceutical
composition that is taken daily as a single dose.
[18]
The ‘266 Patent
contains 12 claims. Only Claims 11 and 12 are in issue.
[19]
The ‘266
Patent was filed in the Canadian Patent Office on March 6, 1998 and claimed
priority from U.S. Patent 08/838,900. The priority date is April 11, 1997. Pursuant to
sections 28.1 and 28.2 of the Patent Act, R.S.C., 1985, c. P-4 (the “Patent
Act”) the claim date is the earliest of the date the application was
regularly filed with the Canadian patent office; the date a previous
application was regularly filed with the Canadian Patent Office that reveals
the subject matter defined by the claim in the new application; or the
convention priority date, if applicable. In the present case, the earliest of
the three dates is the convention priority date. The claims will therefore be
assessed as of April 11, 1997.
[20]
The ‘266
Patent contains an ER composition that is comprised of a pharmaceutically
active compound and a pharmaceutically acceptable polymer. The pharmaceutically
active compound is an erythromycin derivative, in particular, clarithromycin,
which varies from about 45 – 60 percent by weight of the composition with the
preferred amount being 50 percent.
[21]
The pharmaceutically
acceptable polymer may be a water soluble hydrophilic polymer, most preferably
being a low viscosity hydroxypropyl methylcellulose (“HPMC”), with viscosity
ranging from about 50 centipoise (“cps”) to 200 cps, the most specific amount
being 100 cps, and commercially available under the trade-mark METHOCEL K 100
LV from the Dow Chemical Company. The amount of the polymer can range
from 5 to 50 percent, the most specific variance being from 10 – 30 percent by
weight of this composition.
[22]
The remainder
of the composition is made up of pharmaceutically acceptable excipients and/or
fillers such as lactose, starches, glucose and the like. The amount of
lubricant within the composition will generally vary from about 0.5 to about 10
percent by weight of the composition.
[23]
The ‘266
Patent provides p-kinetics that are suitable for once-daily dosing but that are
superior to those of the Alginate Composition of the ‘714 Patent.
[24]
The ‘266
Patent describes the ER composition by comparing its p-kinetics to those of the
IR composition. These are measured in a comparative p-kinetic study between the
two compositions.
[25]
It was
discovered that the C-max of clarithromycin in the ER formulation is
statistically significantly lower than that in the IR composition when the IR
composition is given twice daily, while the AUC and C-min levels were
maintained throughout the 24 hour period. The ER composition is advantageous
because the patient is exposed to a lower spike of the drug concentration at
the peak of the cycle, while maintaining whatever minimum concentration that is
necessary for good effect and still maintaining the overall delivery as
measured by the AUC.
[26]
As stated,
the claims of the ‘266 Patent relevant to this proceeding are Claims 11 and 12.
Claim 11 relates to an ER composition made according to Claims 1 through 10,
where the erythromycin derivative is clarithromycin. Claim 12 relates to the
composition in Claim 11, where clarithromycin comprises 50 percent of the
weight of that composition.
ii) The ‘395 Patent
[27]
As
previously noted, the ‘714 Patent does not address the issue of taste
perversion. Originally Abbott had filed one patent application for its
invention of the formulation, their favourable p-kinetics and the improved
taste profile. However, during the prosecution of the ‘266 Patent, the
Commissioner of Patents required Abbott to divide out any claim relating to
improved taste profile into a separate application. This led to the ‘541
application from which the ‘395 Patent ultimately issued. In light of this
background, the make-up of the ER clarithromycin composition in the ‘395 Patent
is the same as that described relative to the ‘266 Patent.
[28]
The ‘395
Patent also is entitled “Extended Release Formulations of Erythromycin
Derivatives”. It was filed on March 6, 1998 and claims priority from U.S.
Patent 08/838,900. The priority date is April 11, 1997. For the
reasons referred to above, this claim will be assessed as of April 11, 1997.
[29]
The
invention described in the ‘395 Patent shows that when the active compound and
the polymer are combined, they yield an improved taste profile and a reduction
in adverse effects related to the digestive system.
[30]
Abbott is
relying on and asserting Claim 22 of the ‘395 Patent. This claim relates to an
ER composition described in Claims 12 through 21, where the composition formed
has an improved taste profile as compared to the IR composition.
iii) The ‘541 Patent
[31]
The ‘541
Patent likewise is entitled “Extended Release Formulations of Erythromycin
Derivatives”. The ‘541 Patent is in issue in this proceeding only insofar as
Sandoz alleges that the ‘395 Patent is invalid for double patenting over it.
The ‘541 Patent was dedicated to the public by a Notice of Dedication dated
January 20, 2009 which Notice was filed with the Canadian Patent Office on
January 20, 2009.
[32]
The ‘541
Patent was filed in the Canadian Patent Office on March 6, 1998 and claims
priority to U.S. Patent 08/838,900. The priority date is April 11, 1997.
D. The NOA
[33]
By letter
dated May 7, 2007 Sandoz served its NOA upon the Applicants, pursuant to
subsection 5(3) of the NOC Regulations, respecting the Abbreviated New Drug
Submission (“ANDS”). The ANDS was filed in respect of Sandoz’s version of
clarithromycin extended-release 500 mg tablets for oral administration for the
treatment of mild to moderate infections caused by susceptible strains of the
designated microorganism of specified diseases of the upper respiratory tract
and of the lower respiratory tract.
[34]
The NOA
was lengthy and raised allegations of non-infringement, improper listing on the
Patent Register and invalidity in respect of four patents, that is the ‘714
Patent, the ‘266 Patent, the ‘541 Patent and the ‘395 Patent. Not all of these
issues were addressed in the parties’ written Memoranda of Law.
E. The Evidence
[35]
Both
parties filed affidavits from factual and expert witnesses. The qualifications
of the experts is not challenged although each party challenged the credibility
and reliability of some of the opinion evidence that was submitted.
i) The Applicants’
Witnesses
[36]
Abbott
filed the affidavits of Ms. Sonia Atwell, Ms. Claire Nachbauer, Dr. Cynthia
Holas, Dr. Daniel Weiner and Dr. Gilbert Banker.
[37]
Ms. Atwell
is a law clerk with the law firm of McCarthy Tétrault LLP, solicitors for the
Applicants. In her affidavit, she referenced a letter dated March 28, 2000 from
the Canadian Intellectual Property Office requesting the amendment of the ‘266
Patent.
[38]
Ms.
Nachbauer is a Senior Paralegal in the Intellectual Property Litigation
Department at Abbott Laboratories. She was asked to obtain copies of the study
reports on adverse effects data for Abbott Studies M96-454, M97-667, M97-756,
M97-734 and M02-472. In her affidavit, she deposed that Studies M95-454,
M97-667, M97-756 and M97-734 were catalogued and entered into Abbott’s Global
Pharmaceutical Regulatory Affairs Department’s Research Information Center (“RIC”) RIC/Webcat database as of
November 17, 1997, March 30, 1999, April 2, 1999 and April 21, 1999,
respectively. This means that the study reports and adverse effect data for
each of these studies was available to the inventors of Abbott’s patents before
October 2001.
[39]
Dr. Holas
is the Assistant Director of Trial Specialty in Clinical Operations at Abbott
Laboratories. She had formerly been a Clinical Project Manager with the
Anti-Infective Clinical Project Team at Abbott Laboratories from July 2002 to
December 2005. In that capacity, she managed Abbott’s internal databases. The
Clarithromycin Master Inventory List (“CMIL”), which is found on the database,
is a complete listing of every study involving clarithromycin that was
sponsored or managed by Abbott. Dr. Holas deposed that the M02-472 study was
the last Abbott study that was undertaken since 2002.
[40]
Dr. Weiner
is a statistician at Pharsight Corporation. He holds a Ph.D. in statistics from
the University of
Kentucky and has worked for more than
25 years in the pharmaceutical industry. He was asked to provide an opinion on
the issue of whether certain ER clarithromycin formulations exhibit an improved
taste profile and a statistically significant reduction in the severity of
adverse effects to the digestive system when compared against IR formulations.
[41]
Dr. Weiner
dealt with the ‘395 Patent and in that regard, he conducted a meta-analysis of
all relevant Abbott studies to determine whether the ER formulation of the ‘395
Patent showed an improved taste profile. A meta-analysis involves the pooling
of all relevant data, including that from multiple studies, in order to assess the
differences in safety results to determine statistical significance. He
referred to the CMIL which contains all of Abbott’s studies on clarithromycin
and selected those studies, for the purpose of his meta-analysis, which showed
the following criteria:
(a) The ER formulations
had to be 10-30 percent by weight of HPMC;
(b) The studies had to have
been head-to-head, in that the ER formulation must have been administered in
the same study as the IR formulation to control against variability arising
from test differences;
(c) The ER formulations must
have been administered in dosages of 1,000 mg once-daily, while the IR
formulations had to have been administered in 500 mg twice-daily doses; and
(d) The AUC for the ER
clarithromycin formulation had to be bioequivalent to that of the IR formulation,
because a requirement under the ‘395 Patent is that the ER formulation must
deliver an equivalent amount of total drug as the IR formulation, although over
a longer period.
[42]
Applying
these parameters, Dr. Weiner concluded that the only relevant studies for use
in his meta-analysis were M96-454, M97-667, M97-756, M97-734 and M02-472. Using
the Cochran-Mantel-Haenszel (“CMH”) method to analyze the pooled data, which
compares the ER and IR groups against each other, Dr. Weiner found that the
incidence of taste perversion for the ER formulation in the ‘395 Patent were
statistically significantly lower than those under the IR formulation and that
there was less than a one in twenty chance that this difference in the incidence
of taste perversion between the formulations could have been due to chance
alone.
[43]
Dr. Banker
is Dean Emeritus and the John L. Lach Distinguished Professor of Drug Delivery
Emeritus at the University of Iowa College of Pharmacy. He obtained his Ph.D.
in 1957 from Purdue University. He was asked to
provide an opinion on the allegation of non-infringement and invalidity set out
in the NOA.
[44]
Dr. Banker
addressed a number of issues, beginning with a definition of the person skilled
in the art. In his opinion, this person would have experience in the art of
pharmaceutical formulation and an understanding of p-kinetics. He would hold a
Bachelor of Sciences degree in Chemistry, Pharmacy or something similar, with
at least two years experience in the pharmaceutical industry and experience in
designing and evaluating formulations.
[45]
Dr. Banker
commented on the allegations of obviousness and said that a person skilled in
the art and reading the six prior art references cited by Sandoz in its
NOA would have believed that an attempt to create an ER formulation with
clarithromycin and an HPMC polymer would likely result in reduced
bioavailability, which is the least desirable outcome for a drug like
clarithromycin.
[46]
He offered
the opinion that even if by experimentation a person skilled in the art reached
a bioavailable ER composition using HPMC, it still would not have been obvious
how to do so in a way that provides the comparator p-kinetic advantages of the
‘266 and ‘395 Patents, or in a way that achieves an improved taste profile. He
said that in the absence of intensive experimentation, a person skilled in the
art would not be able to obtain the claimed compositions and accordingly, the
subject matter of these patents is not obvious.
[47]
Dr. Banker
also commented on the actual utility of the ‘395 Patent. He said that the data
contained in Table VI of the ‘395 Patent demonstrates that there was indeed an
observed improvement in taste profile for the claimed ER composition as
compared to the IR composition. Further, while Sandoz alleges that the M97-667
and M97-756 studies show that the claimed compositions do not have an improved
taste profile, Dr. Banker disagreed with that allegation. He said that these
studies show an observed decrease in the incidence of taste perversion in the
formulation claimed by the ‘395 Patent.
[48]
Dr. Banker
also said that Sandoz’s reference to taste panels and super tasters
demonstrates its misconception of the nature of “taste profile”. Taste panels
and super tasters relate to the assessment of the taste of a compound on the tongue
or in the mouth. This is different from taste perversion as discussed in
the ‘395 Patent. There it is defined as an adverse event and occurs after
ingestion. According to Dr. Banker, it is inappropriate to use taste panels or
super tasters to evaluate taste perversion.
[49]
Dr. Banker
also addressed the issue of double patenting in relation to the ‘266, ‘541 and
‘395 Patents. He said that there are three specific inventions identified in
these three patents and that none of the inventions are invalid for double
patenting. He said that the ‘266 Patent claims clarithromycin and HPMC
compositions for ER release and as having certain p-kinetics. The ‘541 Patent
claims compositions with the added limitation that these compositions have an
improved taste profile. Dr. Banker said that there is no double patenting over
the ‘266 Patent, since the improved taste profile in the ‘541 Patent is not the
same invention as that claimed in the ‘266 Patent, and because improved
p-kinetics and taste profile do not necessarily co-exist with the claims under
the ‘266 Patent.
[50]
Further,
Dr. Banker observed that there is no double patenting over the ‘541 Patent by
the ‘395 Patent, since the ‘395 Patent has the additional limitation of a
statistically significant reduction in the severity of adverse effects to the
digestive system which does not arise from the ‘541 Patent formulations. He
noted that a reduction in the severity of effects on the digestive system do
not go hand in hand with improved p-kinetics or with an improved taste profile.
Accordingly, in Dr. Banker’s opinion, the reduction in the severity of the
effects on the digestive system is not obvious from the claims of the ‘266 or
‘541 Patents.
ii) The Respondent’s
Witnesses
[51]
The
Respondent filed the affidavits of Ms. Pamela Christoforakis, Dr. Metin Celik,
Dr. Walter G. Chambliss, Dr. Thomas R. Einarson and Dr. Jake J. Thiessen.
[52]
Ms.
Christoforakis is a law clerk with Hazzard & Hore LLP, solicitors for
Sandoz. She attached a copy of the NOA as an exhibit to her affidavit, as well
as the 147 prior art references upon which Sandoz relies.
[53]
Dr. Celik
is a Research Professor of Pharmaceutical Processing at the Department of
Industrial and Systems Engineering, Rutgers,
The State University of New Jersey and President of Pharmaceutical Technologies
International Inc. He obtained a Ph.D. in Pharmaceutical Technology from De
Montfort University in 1984. He was retained to opine on the allegations
relating to non-infringement, obviousness, anticipation and double patenting.
[54]
With respect
to the issue of obviousness relative to the ‘266 Patent, he said that it was
known that formulations like those disclosed in the ‘266 Patent would generally
reveal the same p-kinetics as those disclosed in the ‘266 patent. As well, he
said that the WO 95/30422 patent (the “‘422 patent”) sets out the necessary
parameters required of the ‘266 Patent, but uses azithromycin.
[55]
Dr. Celik
noted that azithromycin, erythromycin and clarithromycin were all known to be
similar in their make-up and that if the skilled person would have formulated
one of these in a certain way, he would have formulated the others in the same
way. In his opinion, it would have been obvious for the skilled person to
substitute clarithromycin to arrive at the claimed composition.
[56]
Dr. Celik
also said that the ‘395 Patent is obvious, since it was known by the 1990’s
that macrolide antibiotics like clarithromycin exhibited
concentration-dependent side effects and that these side effects could be
reduced by limiting the concentration of the dose.
[57]
Dr.
Chambliss is a Professor of Pharmaceutics at the University of Mississippi and a Research Professor in
the National Center for Natural Products Research
in the Research Institute of Pharmaceutical Sciences at the University of Mississippi. He obtained
his Ph.D. in Pharmaceutics in 1982 from the University of Mississippi. He was asked to give an opinion on
Sandoz’s allegations of invalidity in respect of the ‘266 and ‘395 Patents.
[58]
Dr.
Chambliss also addressed the notion of the person skilled in the art, on behalf
of Sandoz, and said that such person would be one with a Ph.D. in
pharmaceutical science or a similar field, with at least two years experience
in either pharmaceutical formulations or in an equivalent field. He offered an
alternative definition, that is a person holding a Bachelor’s or Master’s
degree in the said field but with significantly more experience in formulating
pharmaceutical products.
[59]
Dr.
Chambliss addressed the allegation of obviousness in relation to the ‘266 and
‘395 Patents. He tendered the opinion that these patents are obvious in light
of the prior art, as of the claim date of April 11, 1997. He said that it was
well known at this date that hydrophilic polymers like HPMC could be used to
make the ER formulation claimed.
[60]
Dr.
Chambliss also said that as of the relevant date, the prior art showed how to
make ER formulations using HPMC, teaching in particular that low viscosity
grades were appropriate for poorly water soluble drugs like clarithromycin.
[61]
Dr.
Chambliss also said that clarithromycin could easily be substituted for known
formulations consisting of a similar drug called azithromycin such that a
skilled person would have been led easily to the claimed patents. He also said
that the p-kinetics claimed in the ‘266 Patent were well-known and previously
disclosed.
[62]
Dr.
Chambliss addressed the allegation of lack of sound prediction utility in
relation to the ‘395 Patent. He used a broader interpretation of taste
perversion than was used by Dr. Banker and said that a skilled person would
understand the term as referring to both the initial taste of the drug in the
mouth of a patient and any undesirable taste resulting from the systemic
effects of ingestion. He said that the prior art reveals a broader definition
of taste perversion than that offered by Dr. Banker.
[63]
Dr.
Chambliss also said that the Abbott studies that allegedly show an improved
taste profile used an inadequate number of subjects such that the results
cannot be considered statistically significant. He said that it was not known
if the comparative IR tablets had an aqueous coating. This coating has been
previously found to enhance taste profile. If the ER tablets were coated and
the IR tablets were not, this might explain any noted improvement in taste
profile, as between the ER and IR compositions.
[64]
Finally,
Dr. Chambliss commented on the allegation of invalidity on the basis of double
patenting, in reference to the ‘266, ‘541 and ‘395 Patents. He expressed the
opinion that these three patents each disclose and claim the same formulation.
The claims of the ‘266 Patent cover p-kinetics, the claims of the ‘541 Patent
cover improved taste profile and the claims of the ‘395 Patent cover p-kinetics
and improved taste profile. In Dr. Chambliss’ opinion, the claims overlap and
so the ‘395 Patent is invalid for double patenting.
[65]
Dr.
Einarson is an Associate Professor of Pharmacy Administration at the Leslie Dan
Faculty of Pharmacy at the University of Toronto and an Associate Professor of
Health Policy, Management and Evaluation at the Faculty of Medicine, also at
the University of Toronto. He obtained his Ph.D. in Pharmacy in 1987 from the University of Arizona. He was asked to
provide an opinion on the meta-analysis that was conducted by Dr. Weiner.
[66]
Dr. Einarson
addressed the issue of lack of actual utility of the ‘395 Patent. He reviewed
the meta-analysis that was conducted by Dr. Weiner and concluded that it was
flawed. He said that the five studies that Dr. Weiner considered differ in
design and patient population and that Dr. Weiner used a method of analysis,
that is the fixed effects model that is customarily used only when study protocols
are the same. Dr. Einarson said that the proper method was the random effects
model, which accounts for differences in the study protocols.
[67]
Dr.
Einarson also criticized Dr. Weiner for having failed to conduct a proper
literature search. He said that he himself had conducted a search and had
located thirty-five studies regarding adverse effects of clarithromycin between
ER and IR formulations. After combining these studies with those chosen by Dr.
Weiner, he concluded that there was not a statistically significant difference
in taste profile between the ER and IR compositions.
[68]
Dr.
Thiessen is the Hallman Director of the School of Pharmacy and the Director of the
Health Sciences Campus at the University
of Waterloo. He was asked to give an
opinion on the issues of the lack of actual utility and the lack of sound
prediction utility.
[69]
He
reviewed the product monographs for Abbott’s various forms of clarithromycin
and found that there was no difference in taste profile between the IR and ER
compositions. He also concluded that two articles, one by John Murray et
al. and the other by Jay Adler et al., each of which was co-authored by an
employee of Abbott, did not show any difference in taste profile between the
two compositions. He concluded that the ER composition lacked utility.
[70]
Dr.
Thiessen considered the M96-454 study done by Abbott. He expressed the opinion
that this study, which is the only one available as of the Canadian filing date
of March 6, 1998, provides a sample group that is too small to give any
meaningful result relative to the issue of taste profile. He said that the
conclusions in this study concerning the incidences of taste perversion were
also inconclusive because the amount of lactose used in the ER versus the IR
formulation could have impacted on the taste results. He concluded that the
improved taste profile of the ER composition was not soundly predicted.
II. Issues
[71]
The
following issues arise from this application:
1. Should the Court permit the
admission of new evidence from Sandoz relative to the ‘395 Patent?
2. How should Claims 11 and 12 of
the ‘266 Patent and Claim 22 of the ‘395 Patent be construed?
3. Are Sandoz’s allegations of
invalidity respecting the ‘266 and ‘395 Patents valid in relation to:
(a) Obviousness of the ‘266 and
‘395 Patents;
(b) Actual utility of the ‘395
Patent;
(c) Sound prediction utility of
the ‘395 Patent; and
(d) Double Patenting in relation to
the ‘395 Patent over the ‘266 and ‘541 Patents.
III. Discussion and Disposition
[72]
The
parties filed a considerable amount of evidence in relation to this
proceeding. I will not refer to all of the evidence contained within the
record but instead will base my conclusions upon that evidence which I found to
be most relevant, credible and reliable. I have not ignored evidence to which
I do not explicitly refer.
A. Nature of This Proceeding
[73]
This
application seeks to prohibit the issuance of a NOC to the Respondent for its
product which contains clarithromycin. The Applicants challenge the
Respondent’s NOA on the grounds that the allegations of invalidity of the ‘266,
and ‘395 Patents are not justified.
[74]
A NOC
grants marketing approval for drugs in Canada. It is issued by the Federal Government,
indicating that all requirements have been met pursuant to the Food and Drug
Regulations for the protection of public health and safety. The NOC Regulations
authorize owners of existing patents for pharmaceutical products to file a
“patent list” relative to those products for which they hold a NOC. The NOC
Regulations refer to the person filing such a list as the “first person”. In
this case, the Applicants are the “first person”.
[75]
The
framework of the NOC Regulations allows generic drug manufacturers to rely on
prior approval of related pharmaceutical products in applying for marketing
approval of their generic form of the products. Manufacturers who produce the
same drug may file an application for a NOC that refers to and relies on the
fact that prior approval has been granted for the brand-name version of the
drug. Such a manufacturer is known as the “second person” and that is the
Respondent’s status.
[76]
The NOC
Regulations prohibit the Minister of Health from issuing a NOC until all
relevant product and use patents in the earlier approved medicine, as described
in the patent list, have expired. Consequently, a second person must either
wait until patent expiry before receiving a NOC or it may submit a NOA to the
Minister with its new drug submission.
[77]
The NOC
Regulations require service of the NOA upon the first person. Section 5 sets
out the grounds upon which a NOA is to be based. Briefly, the NOA must assert
either that the first person is not the patentee, that the patent is expired or
invalid, or that it would not be infringed if a NOC were issued.
[78]
Following
service of the NOA, the Minister may issue a NOC to the second person, unless
the first person avails of its right, pursuant to section 6(1) of the NOC
Regulations, to seek an order from the Federal Court prohibiting the Minister
from issuing the NOC. Any such step must be taken by the first person within 45
days after receipt of the NOA and once such a proceeding is commenced, the
issuance of a NOC to the second person is stayed for a maximum period of
twenty-four months.
B. Burden of Proof
[79]
Before
addressing the specific aspects of this case, I will briefly address the
jurisprudence applicable to the burden of proof and the question that must be
answered in a NOC proceeding. It is well-established that the burden of proving
that the second person’s, that is, Sandoz’s, allegations are not justified is
on the person seeking the Prohibition Order, Abbott. Abbott must establish, on
a balance of probabilities, that Sandoz’s allegations are not justified. Sandoz
must put its allegations “in play” through its NOA. However, once that has been
done, Abbott bears the burden of proving that such allegations are not
justified, on a balance of probabilities: see Eli Lilly Co. v. Nu-Pharm Inc.
(1996), 69 C.P.R. (3d) 1 (F.C.A.), Merck Frosst Canada Inc. v. Canada
(Minister of National Health and Welfare) (1994), 55 C.P.R. (3d) 302
(F.C.A.) and SmithKline Beecham Pharma Inc. v. Apotex Inc., [2001] 4
F.C. 518 (T.D.), aff’d (2002), 291 N.R. 168 (F.C.A.).
[80]
Second,
the Court must determine whether Sandoz’s allegations of invalidity are
justified or not. In Pharmacia Inc. v. Canada (Minister of National Health and
Welfare)
(1994), 58 C.P.R. (3d) 209 (F.C.A.) (“Pharmacia”) the Federal Court of
Appeal commented upon the standard to be applied to this type of proceeding, at
page 216:
...these proceedings are not actions for
determining validity or infringement: rather they are proceedings to determine
whether the Minister may issue a notice of compliance. That decision must turn
on whether there are allegations by the generic company sufficiently
substantiated to support a conclusion for administrative purposes (the issue of
a notice of compliance) that the applicant’s patent would not be infringed if
the generic’s product is put on the market…
[81]
In Smith
Kline, Justice Gibson considered the evidentiary burden in proceedings
under the NOC Regulations where invalidity of a patent is alleged. At pages 533
to 534 he wrote the following:
Against the foregoing, I conclude that
while an evidential burden lies on Apotex to put each of the issues raised in
its Notice of Allegation in play, if it is successful in doing so, the
persuasive burden or legal burden then lies with SmithKline. Assuming Apotex to
be successful in putting the issue of validity of the ‘637 Patent in play,
SmithKline is entitled to rely on the presumption of validity of the patent
created by subsection 43(2) of the Act.
The persuasive burden or legal burden
that lies with SmithKline in the circumstances described in the preceding
paragraph is, however, impacted by the nature of the proceeding here before the
Court. In Merck Frosst Canada Inc. v. Canada (Minister of National Health and
Welfare),
[(1994), 55 C.P.R. (3d) 302 (F.C.A.)] Mr. Justice Hugessen, for the Court,
wrote at pages 319-20:
As I understand the scheme of the
regulations, it is the party moving under s. 6, in this case Merck, which, as
the initiator of the proceedings, has the carriage of the litigation and bears
the initial burden of proof. That burden, as it seems to me, is a difficult one
since it must be to disprove some or all of the allegations in the notice of
allegation which, if left unchallenged, would allow the Minister to issue a
notice of compliance.
…
In this connection, it may be noted that,
while s. 7(2)(b) [of the Regulations] seems to envisage the court making a
declaration of invalidity or non-infringement, it is clear to me that such
declaration could not be given in the course of the s. 6 proceedings
themselves. Those proceedings, after all, are instituted by the patentee and
seek a prohibition against the Minister; since they take the form of a summary
application for judicial review, it is impossible to conceive of them giving
rise to a counterclaim by the respondent seeking such a declaration. Patent
invalidity, like patent infringement, cannot be litigated in this kind of
proceeding.
Thus, the burden on SmithKline is only to
disprove the allegations in the notice of allegation, not to justify
declaration of validity and infringement or conversely to negative claims for
declarations of invalidity and non-infringement.
[82]
The burden
lies on Abbott, as the Applicants, to refute the allegations set forth by
Sandoz in its NOA dated May 7, 2007. Therefore, like any plaintiff or
applicant, Abbott has the overall legal burden of proof. Sandoz, as the
Respondent, has an obligation to put the allegations set out in its NOA in
play.
[83]
The
present proceeding is a summary proceeding pursuant to the NOC Regulations and
the Federal Court Rules, 1998, SOR/98-106 (the “Rules”) governing
applications for judicial review. A finding of invalidity or infringement in
the context of this type of proceeding is not determinative of that issue in
any subsequent action: Pharmacia at page 216.
Issue 1: Admission of Sandoz’s Additional
Evidence
[84]
Prior to the hearing,
Abbott brought a motion seeking to strike paragraphs 88 to 93 and 96 of Dr.
Thiessen’s affidavit on the basis that these paragraphs address matters that
exceed the scope of the NOA. The Respondent defended the inclusion of these
paragraphs on the grounds that the evidence was proper reply to the
evidence submitted by the Applicants. Prothonotary Aalto ruled that the
Applications Judge would be better placed to deal with the status of the
challenged paragraphs.
[85]
Paragraphs 88 to 93
and paragraph 96 address the contents of Abbott’s product monographs for
BIAXIN, BIAXIN BID and BIAXIN XL contained within the 2006 Compendium of
Pharmaceuticals and Specialties, and relates to Sandoz’s allegations of the
apparent lack of improvement in taste profile in Abbott’s ER tablet as compared
to the IR equivalent. The evidence of Dr. Thiessen is directed at undermining
the conclusions of the Applicants’ evidence. In this regard, I am satisfied
that Dr. Thiessen’s evidence is admissible as reply evidence.
[86]
The exhibits attached
to Dr. Thiessen’s affidavit in relation to the challenged paragraphs consist of
product monographs and labels, and are also admissible as they serve as the basis
for his evidence in reply. Further, the documents were produced by Abbott in
the course of its business and were known to the Applicants. While the
Applicants argue that the documents should not be admitted into evidence
because it has been shown, during the cross examination of Dr. Thiessen, that
the Respondent failed to disclose certain materials to Dr. Thiessen before he
gave his opinion, that is a matter that goes to the weight to be given to the
evidence in question and not to its admissibility.
[87]
In any event, in the
course of oral argument, the Respondent did not actively pursue any submissions
on the issue of the product labels.
Issue 2: Claims Construction
[88]
The first
step in determining whether Sandoz’s allegations of invalidity are justified is
to construe the disputed claims of the ‘266 and ‘395 Patents. As held by the
Supreme Court of Canada in Whirlpool Corp. v. Camco Inc., [2000] 2 S.C.R. 1067 (“Whirlpool’)
and Free World
Trust
v.
Électro Santé Inc. (2000),
9 C.P.R. (4th) 168
(“Free
World Trust”) the patent claim is to be construed in a “purposive”
way and the Court must look at the entire specification of the patent in order
to understand the words as stated in a disputed claim, provided this does not
enlarge or contract the scope of the actual patent claims.
[89]
Claims
construction is a question of law for the Court to decide: Whirlpool at
1111. The key to purposive construction involves a realistic construction of
the language of the claims through the eyes, and with the learning, of a person
skilled in the art: Whirlpool at 1090-91. The Court must identify the
particular words or phrases in the patent claims that describe what the
inventor considered to be the “essential elements of his invention”: Whirlpool
at 1091.
[90]
In Free
World Trust at para. 31, Justice Binnie listed the principles that guide
the purposive approach to the construction of a claim:
(a)
The Act
promotes adherence to the language of the claims.
(b)
Adherence
to the language of the claims in turn promotes both fairness and predictability.
(c)
The claim
language must, however, be read in an informed and purposive way.
(d)
The
language of the claims thus construed defines the monopoly. There is no
recourse to such vague notions as the “spirit of the invention” to expand it
further.
(e)
The claims
language will, on a purposive construction, show that some elements of the
claimed invention are essential while others are non-essential. The
identification of elements as essential or non-essential is made:
a.
on the
basis of the common knowledge of the worker skilled in the art to which the
patent relates;
b.
as of the
date the patent is published;
c.
having
regard to whether or not it was obvious to the skilled reader at the time the
patent was published that a variant of a particular element would not make a
difference to the way in which the invention works; or
d.
according
to the intent of the inventor, expressed or inferred from the claims, that a
particular element is essential irrespective of its practical effect;
e.
without,
however, resort to extrinsic evidence of the inventor’s invention.
(f)
There is
no infringement if an essential element is different or omitted. There may
still be infringement, however, if non-essential elements are substituted or
omitted.
[91]
The
decisions in Free World Trust and Whirlpool emphasize the
interpretation of claims in light of the specification of a patent. When
applying a purposive approach to the interpretation of the words or phrases in
a claim, the Court should keep within the four corners of the specification,
limiting itself to the words of the claim, interpreted in the context of the
specification as a whole. It should avoid the use of extrinsic evidence of
intent: Whirlpool at 1095. While expert evidence is admissible, its use
should be limited to assisting the Court in interpreting the claims in a
knowledgeable way: Whirlpool at 1102.
[92]
The claims
of the ‘266 Patent that are relevant to this application are Claims 11 and 12.
These state as follows:
11. The extended release pharmaceutical
composition according to any one of claims 1 to 10, wherein the erythromycin
derivative is clarithromycin.
12. The extended release pharmaceutical
composition according to claim 11, wherein the composition comprises 50
percent, by weight, of clarithromycin.
[93]
The claim
of the ‘395 Patent that is relevant to this application is Claim 22. It states
as follows:
22. The extended release pharmaceutical
composition according to any of claims 12 to 21, wherein the composition has an
improved taste profile compared to the immediate release composition of clarithromycin.
[94]
The
Applicants submit that a skilled person would understand Claims 11 and 12 to
cover ER compositions of clarithromycin that have between 45-60 percent
clarithromycin (Claim 11) or 50 percent clarithromycin (Claim 12), contain HPMC
(Claim 10) in the range of 10-30 percent (Claim 10) and of a viscosity of 50 to
200 cps (Claim 5), and exhibit specific favourable p-kinetics (Claims 1, 2 and
3).
[95]
Further,
Abbott argues that the skilled person would understand Claim 22 in the ‘395
Patent to have the same meaning given above for Claim 12 of the ‘266 Patent,
with the added limitation that the composition has an improved taste profile as
compared to the IR composition.
[96]
The
Respondent submits that both claims should be construed as covering an ER clarithromycin
tablet with p-kinetic factors described in three different ways (Claims 1 – 3),
containing HPMC (Claim 4) with a low viscosity grade of 50 to 200 cps (Claim
5), where the amount of HPMC and/or clarithromycin is defined in one of four
ways: (i) the HPMC is 5 to 45 percent of the weight of the tablet (Claim 7) or
(ii) 10 – 30 percent of the weight of the tablet (Claim 10) or (iii) the
clarithromycin is 45 – 60 percent of the weight of the tablet (Claim 8) or 50
percent weight of the tablet (Claim 9 or Claim 12). It argues that Claim 22
of the ‘395 Patent should be construed so as to include the same ER tablet
claimed in the ‘266 Patent, with the added limitation that such a formulation
must exhibit an improved taste profile as compared to the IR equivalent.
[97]
In the
course of oral submissions, the Respondent argued that Claims 11 and 12 should
be construed as multiple dependant claims referring back to Claim 1. The
Applicants resisted this submission on two grounds.
[98]
First, the
Applicants submitted that this argument was not raised in the NOA and should
not be entertained at this late stage. Second, the Applicants argued that
pursuant to subsection 27.5 of the Patent Act, it is their choice as to
which of Claims 1 through 10 they assert with respect to the construction of
Claims 11 and 12. In support of this argument, they rely upon the decision of
Justice Hughes in G.D. Searle &
Co. v. Novopharm Ltd. (2007), 56 C.P.R. (4th) 1. On this point, they state that they have
chosen to assert Claim 10, in that the formulation should contain between 10
and 30 percent by weight of HPMC.
[99]
As
previously noted, the ‘266 Patent is entitled “Extended Release Formulations of
Erythromycin Derivatives”. Its filing date is March 6, 1998, with a publication
date of October 22, 1998. It claims priority from US Patent 08/838,900, with a
priority date of April 11, 1997. The ‘266 Patent contains twelve claims. Of
these, Claims 11 and 12 are here at issue in this proceeding.
[100]
In my
opinion, the claims of the ‘266 Patent here at issue would be read by a skilled
person as referring to an ER clarithromycin and polymer matrix composition that
demonstrates improvements over its IR equivalent. The Abstract of the ‘266
Patent says the following:
The composition comprises an erythromycin
derivative and a pharmaceutically acceptable polymer so that, when ingested
orally, the composition induces statistically significantly lower Cmax in the
plasma than an immediate release composition…while maintaining bioavailability
and minimum concentration substantially equivalent to that of the immediate
release composition…
[101]
Claims 11
and 12 must be construed upon the basis of the common knowledge of the person
skilled in the art as of the date the patent was published, that is October 22,
1998.
[102]
Claims 11
and 12 build upon the preceding claims of the ‘266 Patent, providing the
skilled person with the ability to choose from amongst a range of possibilities
in creating the claimed composition. As I have observed above, Claim 11
provides one limitation, however, that being that the erythromycin derivative
that is selected must be clarithromycin. Claim 12 adds the further limitation,
requiring that whatever formulation is created under Claim 11 must contain 50
percent by weight of clarithromycin.
[103]
In my
opinion, Claim 11 should be construed as follows:
(a) An ER clarithromycin
formulation (Claims 1, 2, 3 and 11);
(b) which exhibits a significantly
lower DFL than the IR equivalent (Claim 1);
(c) which exhibits a C-max lower
than that produced by the IR equivalent (Claim 2);
(d) which maintains
bioavailability substantially similar to the IR equivalent (Claim 1);
(e) which maintains a C-min
substantially similar to the IR equivalent (Claim 2);
(f) which maintains an AUC
substantially similar to the IR equivalent (Claims 2 and 3);
(g) which contains between 5 and
50 percent of clarithromycin by weight (Claims 1, 2 and 3);
(h) which is also comprised of the
pharmaceutically acceptable polymer HPMC (Claim 4);
(i) the percentage of HPMC by
weight being in a range between 10 and 30 percent by weight (Claim 10);
(j) and the HPMC also being of a
low viscosity rating, ranging from 50 to 200 cps (Claim 5).
[104]
Claim 12
should be construed in the same manner, with the added limitation that the
percentage by weight of clarithromycin in the composition should be 50 percent.
[105]
As stated
above, the ‘395 Patent is also entitled “Extended Release Formulations of
Erythromycin Derivatives”. Its filing date is March 6, 1998, with a publication
date of October 22, 1998. It claims priority from US Patent 08/838,900, with a
priority date of April 11, 1997. The ‘395 Patent contains 139 claims. Of
these, only Claim 22 is at issue.
[106]
The
construction of Claim 22 must likewise be performed upon the basis of the
common knowledge of the skilled person as of October 22, 1998. In my view, the
person skilled in the art would read the ‘395 Patent as revealing what is
essentially the same invention as that claimed in the ‘266 patent, with the
added limitation listed in Claim 22 that the composition must exhibit an
improved taste profile as compared against its IR equivalent.
Issue 3: Invalidity
A. Obviousness
[107]
Obviousness
is the only allegation of invalidity that the Respondent raised against the
‘266 Patent. It was also raised in respect of the ‘395 Patent. Given the
similarities between what is claimed in the ‘266 and ‘395 Patents, I will
assess the allegations of obviousness in respect of both patents together. Section
28.3 of the Patent Act requires that an invention disclosed in a patent
not be obvious. Section 28.3 provides as follows:
The subject-matter defined by a claim
in an application for a patent in Canada must be
subject-matter that would not have been obvious on the claim date to a person
skilled in the art or science to which it pertains, having regard to
(a) information disclosed more than one
year before the filing date by the applicant, or by a person who obtained
knowledge, directly or indirectly, from the applicant in such a manner that
the information became available to the public in Canada or elsewhere; and
(b) information disclosed before the
claim date by a person not mentioned in paragraph (a) in such a manner that
the information became available to the public in Canada or
elsewhere.
|
L’objet que définit la revendication
d’une demande de brevet ne doit pas, à la date de la revendication, être
évident pour une personne versée dans l’art ou la science dont relève
l’objet, eu égard à toute communication :
a) qui a été faite, plus d’un an avant
la date de dépôt de la demande, par le demandeur ou un tiers ayant obtenu de
lui l’information à cet égard de façon directe ou autrement, de manière telle
qu’elle est devenue accessible au public au Canada ou ailleurs;
b) qui a été faite par toute autre
personne avant la date de la revendication de manière telle qu’elle est
devenue accessible au public au Canada ou ailleurs.
|
[108]
In Apotex v.
Sanofi, [2008] 3 S.C.R. 265 (“Sanofi”), the Supreme Court of
Canada set out the prevailing test for obviousness in Canada. This requires the Court to look at the following elements:
(a)
identify the skilled
person to whom the patent is addressed and the state of the art known to that
person;
(b)
identify the
inventive concept in the claims, having regard to the disclosure if the claims do
not expand on that concept;
(c)
determine the
differences between what was previously known and the inventive concept in the
claims; and
(d)
determine if those
differences would be obvious without the benefit of hindsight.
[109]
If
the “obvious to try” test is appropriate, Justice Rothstein in Sanofi identified
four additional but non-exhaustive factors to consider under the fourth step:
(a)
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?
(b)
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?
(c)
Is there a motive provided in the prior art to find the solution
the patent addresses?
(d)
What
is the course of conduct followed in arriving at the invention?
i.) The Person Skilled in the Art and the
Common General Knowledge
[110]
The
Applicants’ witness, Dr. Banker, suggests that the person skilled in the art
would hold a Bachelor of Science degree in chemistry, physics or something
similar, with at least two years experience in the pharmaceutical industry,
including experience in the design and evaluation of formulations.
[111]
On behalf
of the Respondent, its witness, Dr. Chambliss says that the skilled person
would hold a Ph.D. in a pharmaceutical science or related field, and have at
least two years experience in either formulations or a related field.
Alternatively, he would accept that the skilled person hold a Bachelor’s or
Master’s degree in the same field, but have significantly more experience in
formulating pharmaceutical products.
[112]
I am not
persuaded that the skilled person requires the higher academic qualification
mentioned by Dr. Chambliss and find that, for present purposes, the person
skilled in the art would satisfy the requirements identified by Dr. Banker.
This would mean that the skilled person would possess a Bachelor’s degree in
chemistry or physics with at least two years experience in the pharmaceutical industry,
including work in the design and evaluation of pharmaceutical formulations.
[113]
Erythromycin
and its derivatives fall within a class of drugs known as macrolides. This was
amongst the known facts of which the skilled person would have been aware. In
addition, it was well known that an IR composition of clarithromycin existed.
HPMC was a well-known suspension agent, and I am satisfied that the skilled
person would have been aware that this polymer was amongst those available that
could be used in formulating an ER composition. The level of viscosity and
water solubility of a drug were also known to impact on the release rate of a
drug contained within a matrix formulation. Further, it was known that
clarithromycin was a poorly soluble drug.
[114]
There is
no dispute between the parties that the p-kinetics disclosed within the ‘266 and
‘395 Patents are beneficial. I am satisfied that the skilled person would have
recognized the importance of these p-kinetics. That being said, I do not find
that the p-kinetics disclosed in the ‘266 Patent and ‘395 Patents were inherent
in ER formulations or that it was otherwise self-evident that formulating the
claimed compositions would have resulted in these p-kinetics. This will be
addressed in greater detail below.
[115]
In respect
of the common general knowledge relating specifically to the ‘395 Patent, it was known that clarithromycin
exhibited a bitter metallic taste, which was commonly referred to as taste
perversion. This is taught in the article by Harold Neu and Thomas Chick
labeled Sandoz Document 64 and is disclosed within the ‘395 Patent
specification. The person skilled in the art would also understand that taste
perversion was experienced by patients who took the IR formulation.
[116]
There was
some disagreement between the parties as to the correct definition of “taste
perversion”. While
Dr. Banker, on behalf of the Applicants, suggested that taste perversion occurs
following ingestion of the formulation, the Respondent argues that it includes
both the taste of the product on the tongue, and the effect occurring
following ingestion. I accept the Respondent’s interpretation. There is
nothing in the patent or the prior art that supports the narrow definition of
taste perversion suggested by Dr. Banker. Rather, the ‘395 patent itself
states that one method of countering taste perversion in the prior art has been
to develop a palatable liquid oral dosage form of the drug. In my view,
“palatable” suggests a substance with an acceptable taste in the mouth, and appears
to support the broader interpretation of taste perversion. I conclude that it
would be understood as part of the common general knowledge that taste
perversion refers to both taste in the mouth and taste following ingestion.
ii) The Inventive Concept
[117]
The Applicants argue
that the inventive concept of Claims 11 and 12 of the ‘266 Patent is a specific
ER composition with a clarithromycin–HPMC matrix that provides favourable
p-kinetics such that it is suitable for once-daily dosing. The specific
compositions are 45 to 60 percent, or 50 percent of clarithromycin and contain
10 to 30 percent HPMC of a low viscosity of 50 to 200 cps. In this regard,
Abbott relies on the evidence of Dr. Banker.
[118]
Sandoz submits that
the inventive concept of the relevant claim is only the adaptation of known
technology to produce an ER formulation of a known drug, that is
clarithromycin, and that the favourable p-kinetics are not themselves claimed.
[119]
I am not persuaded by
the Respondent’s submissions in this regard. The language of Claims 11 and 12
is clear. The subject of Claim 11 is “the extended release pharmaceutical
composition according to any one of Claims 1 to 10…” The subject of Claim 12 is
“the extended release pharmaceutical composition according to Claim 12, wherein
the composition comprises 50% by weight, of clarithromycin.” Claims 11 and 12
therefore relate to ER compositions that possess the favourable p-kinetics
introduced in Claims 1, 2 and 3, those being a lower DFL, a lower C-max and a
substantially comparable C-min, AUC and bioavailability as compared against an
equivalent IR clarithromycin formulation.
[120]
In my opinion, the inventive
concept of the ‘395 Patent is essentially the same as that claimed in the ‘266
Patent, with the added limitation in Claim 22 that the composition must exhibit
an improved taste profile as compared against its IR equivalent.
iii) Differences between the “state of
the art” and the inventive concept of the claim
[121]
This inquiry relates
to the differences between the matter cited as forming part of the prior art
and the inventive concept of the claims. In relation to the ‘266 Patent, the
particular differences can be listed as follows:
(a)
the selection of HPMC
for an ER clarithromycin formulation;
(b)
the selection of HPMC
with a viscosity in the range between 50 and 200 cps for an ER clarithromycin
formulation;
(c)
the selection of HPMC
in the range between 10 and 30 percent by weight within an ER clarithromycin formulation;
(d)
the selection of
clarithromycin in the range between 45 and 60 percent (Claim 11) or 50 percent
(Claim 12) by weight within an ER clarithromycin formulation; and
(e)
the creation of a
precise ER clarithromycin formulation that demonstrates the particular
p-kinetics claimed within the ‘266 Patent.
[122]
With respect to the
‘395 Patent, the particular difference is the creation of a precise ER
clarithromycin formulation that demonstrates an improved taste profile when
compared against an IR equivalent formulation.
iv) Are these steps obvious to the
skilled person or do they require a degree of invention?
(a)
Is it self-evident that what is being tried ought to work?
The HPMC
[123]
Although there is
evidence contained within Sandoz Document 27, the various Dow Chemical brochures
labeled as Sandoz Documents 23, 39 and 81 and the ’143 patent that reveal that
HPMC was a commonly used polymer for creating extended release compositions, Dr.
Celik on his cross-examination could not identify one poorly soluble drug, like
clarithromycin, that utilizes HPMC.
[124]
In addition, US
Patent 4,871,548 (the “’548 patent”), Sandoz Document 40 teaches that for
nearly insoluble drugs (of which clarithromycin is an example), hydrophilic
matrices are not the most appropriate system for sustained delivery due to
difficulties associated with the erosion process. In my view, this indicates that
the skilled person would not favour the selection of HPMC in an attempt to
formulate the claimed composition. As well, Dr. Banker explains the
difficulties of using HPMC alone, and not in combination with another polymer,
as disclosed in European Publication ER 0 280 571 (the “’571 patent”), Sandoz Document
32.
[125]
While US Patent
4,369,172 Patent (the “’172 patent”), Sandoz Document 11 teaches the use of
HPMC on its own, there is nothing in the prior art that would suggest that this
formulation would be suitable for ER formulations containing clarithromycin.
[126] Further, Dr. Banker states in his
affidavit that when HPMC
was used as described within the prior art to control drug release, it was often
done when all or the majority of the drug in question was being released in
under eight hours. In my opinion, this would not lead the skilled person to
create a drug composition for release over 24 hours as is required of the ‘266
Patent.
[127]
Finally, the
Applicants created ‘714 alginate composition without using HPMC. Following the
decisions in Sanofi and Windsurfing Int’l Inc. v. Bic Sports Inc. (1985), 8 C.P.R. (3d)
241 (F.C.A.) (“Windsurfing”),
the fact that a prior user failed to achieve the invention in question may
serve as evidence of invention.
[128]
In sum, I find that the
prior art fails to disclose that it would have been self-evident to use HPMC in
arriving at the claimed composition.
The Viscosity of the HPMC
[129]
Next, there is the
selection of the viscosity of the HPMC. In spite of the Respondent’s argument, US
Patent 5,393,765 (the “’765 patent), Sandoz Document 88 does not teach the use
of a low viscosity polymer for poorly soluble drugs but rather the use of a low
viscosity polymer for highly soluble drugs. In my opinion, this teaches
away from the use of a low viscosity HPMC within a formulation containing a
poorly soluble drug like clarithromycin. Consequently, it would not be
self-evident to the skilled person to apply these teachings in order to arrive at
the formulation contained within the ‘266 Patent.
[130]
The ‘172 patent
teaches the use of low viscosity polymers for ER formulations of both water
soluble and poorly soluble drugs and is thus too broad to be of assistance.
This patent does not make the choice of low viscosity HPMC self-evident.
[131]
The ‘548 patent
teaches a high viscosity HPMC as functioning together with a low viscosity HPMC.
It is not clear from this patent that a skilled person could remove the high
viscosity HPMC in order to arrive at the composition claimed in the ‘266
Patent.
[132]
I conclude that the
prior art would not lead the skilled person to use a low viscosity HPMC with a
poorly water soluble drug like clarithromycin.
The Percentage by Weight of HPMC
[133]
The Respondent relies
on the affidavit evidence of Dr. Celik in support of its argument that the
skilled person could have applied the “Higuchi equation”, a complex mathematical
calculation, in order to determine the appropriate amount of HPMC to use in
arriving at the claimed composition.
[134]
However, on
cross-examination Dr. Celik admitted that this equation cannot be used to determine in
advance the amount of polymer required in a matrix formulation. It stands to
reason then that the requisite percentage of HPMC would not be made
self-evident through the application of this equation.
[135]
The ‘172 patent
teaches the use of HPMC with a virtually infinite number of drugs in the
unhelpful range of between 0.5 percent to 99.9 percent by weight of the
polymer. Again, this would not assist the skilled person.
[136]
US Patent 4,571,333 (the
“’333 patent”), Sandoz Document 20 provides examples of HPMC by weight between
4 and 6 percent and 4 and 9 percent respectively. However, these are also of a
viscosity between 80,000 to 130,000 cps. The viscosity of HPMC used in the
‘266 Patent is between 50 and 200 cps. This difference militates against
obviousness in the choice of this amount of HPMC in formulating the
composition.
[137]
The ‘143 patent teaches
the use of at least 1/3 by weight of the polymer. This exceeds the amount permitted
within the composition claimed in the ‘266 Patent as construed.
[138]
Finally, the
Respondent relies upon the teachings of International Publication WO 95/30422
(the “’422 patent), Sandoz Document 92, which reveals the use of between 10 and
30 percent by weight of HPMC in a composition. For reasons discussed below, given
the significant and important differences between clarithromycin and the
azithromycin, the latter being the drug used in the ‘422 patent, I am not
persuaded that the skilled person would have been led to apply the teachings of
this patent to arrive at the claimed composition.
[139]
In the result, I
conclude that the skilled person would not have been directed by the prior art
to utilize between 10 and 30 percent by weight of HPMC in formulating the matrix
composition. Even if this proportion is obvious, however, the fact that the
remaining components of the matrix formulation are not obvious supports the ultimate
conclusion that the ‘266 Patent is not invalid for obviousness.
The Percentage by Weight of Clarithromycin
[140]
The examples cited by
the Respondent from the ‘172 patent do not show that it was obvious to use the
specified percentage of clarithromycin in the composition. In this regard, the
Respondent directs the Court to examples one to six and nine of the ‘172
patent.
[141]
These examples show
only the use of 50 percent of a drug. There is no indication that these
drugs are similar to clarithromycin or that these teachings would apply to the
claimed composition. None of the examples in the ‘172 patent are sufficiently
specific to be helpful in leading the skilled person to formulate the claimed
composition.
[142]
The Respondent again
relies upon the ‘422 patent, which demonstrates the use of 54 percent by weight
of azithromycin within a composition. As stated, for reasons discussed below,
I am not satisfied that the skilled person would be led to apply the teachings
of this patent to arrive at the ‘266 Patent formulation.
[143]
I find that the prior
art fails to disclose that it would have been self-evident to select the
specific percentage of clarithromycin called for in the ‘266 Patent.
The Favourable P-kinetics
[144]
Initially, the
Respondent argues that favourable p-kinetics are not a part of what is being
claimed by the ‘266 Patent. However, I have construed the patent so as to
include these p-kinetics.
[145]
The Respondent then
argues that favourable p-kinetics are inherent in any ER composition. This
view, however, is not supported by Dr. Banker, whose evidence I prefer over
that of the Respondent’s witnesses. Dr. Banker deposed that the favourable
p-kinetics disclosed in the ‘266 Patent are not inherently found in ER
formulations.
[146]
Dr. Banker also said
that there can be differences in the ADME of various compositions and
accordingly in vivo testing is required to determine the
comparator p-kinetics. He said that there was no in-vivo / in-vitro correlation
(“IVIVC”) established for any ER clarithromycin product as of 2006 such that
the skilled person could accurately predict, absent in-vivo testing, the
p-kinetics of an ER dosage.
[147]
Furthermore, the
alginate ER composition claimed by the ‘714 Patent, which contains clarithromycin
as the active ingredient, did not demonstrate the favourable p-kinetics of the
‘266 Patent, indicating that these parameters are not “inherent” to every ER
composition.
[148]
Dr. Celik stated that
the applicable Health Canada guidelines dealing with drug approvals actually
require that the drug exhibit these p-kinetics. However, on cross examination
he admitted that he had been mistaken as to the applicable guideline, and that
the guideline to which the drug was actually subject does not require these
p-kinetics.
[149]
I conclude, then,
that there is a lack of evidence demonstrating that the p-kinetics claimed in
the ‘266 Patent are inherent in any ER formulation. Furthermore, it is not
self-evident from the prior art that formulating the ‘266 matrix composition would
have led to the favourable p-kinetics claimed.
Substituting Clarithromycin for Azithromycin
[150]
The “substitution”
argument advanced by the Respondent was based upon the evidence of Dr.
Chambliss and Dr. Celik. These expert witnesses canvassed the similarities
between azithromycin and clarithromycin, namely that both are macrolides,
possess similar chemical structures and can exhibit similar p-kinetic
parameters. They stated that in light of these similarities, the skilled
person would understand that one drug could be substituted for the other.
[151]
Each witness then
pointed to the ‘422 patent, noting that it claimed an ER azithromycin composition
containing HPMC. Given that the skilled person would understand that
clarithromycin could be substituted for azithromycin, and in light of the
significant similarities between the make-up of the formulations claimed within
the ‘422 and ‘266 Patents, the two expert witnesses stated that the skilled
person would have been led to apply the teachings of the ‘422 patent to arrive
directly and without difficulty at the composition contained within the ‘266 Patent.
[152]
While the Respondent
submits that Abbott’s ‘714 Patent shows that substitution can work, this theory
is not supported by the evidence. Azithromycin has very particular properties
among macrolides, suggesting that it would not be obviously interchangeable
with clarithromycin. The ‘333 patent teaches that wide variations in the
physiochemical and p-kinetic properties of different drugs mean that
formulations which are suitable for one drug cannot generally be predictably
applied to others. This view is supported by at the textbook, Pharmaceutical
Dosage Forms and Drug Delivery Systems, labeled as Sandoz Document
126.
[153]
The dissimilarities
between the two drugs include their distribution in body tissues, half-life,
and first pass effect metabolism. I accept the evidence put forth by the
Applicants that these differences mean that the performance of these two drugs
in the body would be fundamentally different, such that one could not be
readily substituted for another.
[154]
In my opinion, on the
basis of the foregoing, I conclude that the skilled person would not have been
led to the composition claimed within the ‘266 Patent upon the basis of the
teachings contained within the ‘422 patent.
The Improved Taste Profile
[155]
There is
also some dispute between the parties as to whether taste perversion was known
to be dose-dependent and whether it was self-evident that extending the release
of the formulation would address this adverse effect. The parties provided
evidence supporting two diametrically opposing conclusions.
[156]
The Respondent
provided the Court with a number of references to the prior art in support of
its argument. These included US Patent 3,065,143 (the “’143 patent”), being
Sandoz Document 1, and the Robert E. Notari article labeled Sandoz Document 24,
which each support the conclusion that higher C-max levels can lead to an
increase in adverse effects, and that side effects are dose-dependent.
Further, the article by Dr. J.K. Aronson and Dr. C.J. Van Boxtel posits that
taste perversion as described by patients taking clarithromycin, seems to be
dose-related.
[157]
The
Applicants pointed to the evidence of Dr. Banker, who disputes the Respondent’s
conclusion, stating that to
this day, it is not known what exactly causes the bitter metallic taste
associated with clarithromycin following ingestion.
[158]
In addition, the
Applicants point to the statements made on cross examination by Dr. Thiessen
and Dr. Einarson. Dr. Thiessen stated that he believed it would take “a leap
of faith” to conclude that
an inventor could reasonably have expected the ER formulations to have resulted
in a lowering of any adverse effect. Furthermore, Dr. Einarson stated that it
is not true to state that there is a correlation between increased exposure to
a drug and increases in the adverse effects associated with the drug, and that
he does not believe that taste perversion is necessarily dose-related.
[159]
Even if I
accept that adverse effects may be dose-dependent, that higher C-max levels could lead to an
increase in adverse effects and that it was self-evident that reducing a drug’s
C-max could serve as a method by which to reduce adverse effects, I do not
believe that it was self-evident that the C-max could have been reduced simply
by extending a drug’s release rate.
[160]
A reduction in the
drug’s C-max when compared against the IR formulation was amongst those
favourable p-kinetics disclosed within the claimed compositions. I concluded
above that the favourable p-kinetics disclosed within the compositions were not
inherent in any ER formulation. Upon this basis, it could not inherently be
the case that extending a drug’s release would result in the lowering of the
drug’s C-max.
[161]
If it was not
self-evident that one could reduce a drug’s C-max simply by extending the
drug’s release, then it follows that it also could not have been self-evident
that any benefit flowing from the reduction in the drug’s C-max would result
simply by extending a drug’s release.
[162]
In sum, I find that
it would not have been self-evident to the skilled person that extending the
drug’s release could lead to a reduction in the incidence of taste perversion
and an improvement in the drug’s taste profile.
(b) Effort required to
achieve the invention
[163]
As noted above, Dr.
Banker said that there was no IVIVC correlation established for any ER
clarithromycin product as of 2006 such that the skilled person could accurately
predict, absent in-vivo testing, the p-kinetics of an ER dosage.
In light of the dearth of prior art that would otherwise direct the skilled
person to the composition claimed under the ‘266 Patent and its favourable
p-kinetics, I am satisfied that in-vivo testing would be required. The
question therefore becomes, how much effort would be required to conduct these
tests in order to arrive at the claimed composition?
[164]
Doctor Chambliss in his
cross examinations was taken through the various steps required to complete the
in vivo tests. In sum, the process would require the skilled person to create
a number of different formulations and apply a trial-and-error approach, utilizing
numerous subjects and testing thousands of blood samples until such time as the
precise formulation revealing the specific p-kinetics of the Patent was
discovered. I am satisfied that the steps required of the skilled person in
this regard are extremely arduous and in my opinion, far exceeds what would be
called “routine testing”.
[165]
With regards to the
‘395 Patent, the parties have not provided any evidence that would assist the
Court in determining the level of effort required to achieve the invention.
(c)
Motive in the prior art to find the solution addressed by the patent
[166]
The
prior art reveals that ER formulations reduce the frequency of dosing, thereby
increasing compliance amongst patients. Prior to the creation of the claimed
compositions, there was also a need to develop a drug that would exhibit an
improved taste profile, which also addresses the issue of compliance. I am
satisfied that there was a motive to create an ER clarithromycin formulation
with the attributes disclosed in the ‘266 and ‘395 Patents.
(d)
Course of conduct followed in arriving at the invention
[167]
The Applicants did
not file any evidence that would reveal the course of conduct followed in arriving
at the ‘266 and ‘395 Patents. That being said, it is known that the Applicants
first created the ‘714 Patent, which utilized an alginate composition but did
not address the phenomenon of taste perversion. I accept that Abbott was led
to create the ‘266 and ‘395 Patents, which sought to build upon the success of
the ‘714 Patent, in as much that it would allow for once-daily dosing of the
clarithromycin composition, but additionally address the issue of taste
perversion. As stated above, the fact that a prior user failed to achieve the
invention in question may serve as evidence of invention.
v) Conclusion on Obviousness
[168]
In conclusion, I find
that it would not have been obvious to the skilled person to arrive at the
compositions claimed by the ‘266 and ‘395 Patents based upon the teachings
contained within the prior art. As a result, I am satisfied that the Applicants have
successfully shown that the Respondent’s allegations of obviousness are not
justified.
B.
Lack of Actual Utility
[169]
The concept of
utility was discussed by the Supreme Court of Canada in its decision in Consolboard
Inc. v. MacMillan Blodel (Saskatchewan) Ltd., [1981] 1 S.C.R. 504 at
521-527. At p. 525, the Supreme Court succinctly explained the concept of
utility as follows:
There is a helpful discussion
in Halsbury’s Laws of England, (3rd ed.), vol. 29, at p. 59, on the
meaning of “not useful” in patent law. It means “that the invention will not
work, either in the sense that it will not operate at all or, more broadly,
that it will not do what the specification promises that it will do”. There is
no suggestion here that the invention will not give the result promised. The
discussion in Halsbury’s Laws of England, ibid., continues:
... the practical
usefulness of the invention does not matter, nor does its commercial utility,
unless the specification promises commercial utility, nor does it matter
whether the invention is of any real benefit to the public, or particularly
suitable for the purposes suggested...
and concludes:
... it is
sufficient utility to support a patent that the invention gives either a new
article, or a better article, or a cheaper article, or affords the public a
useful choice.
[170]
The Applicants argue
that Table VI of the ‘395 Patent and Abbott’s M97-667 and M97-756 studies show
the utility of the ‘395 Patent insofar as the ER composition exhibits an improved
taste profile as compared with the IR composition. For its part, Sandoz alleges
that the ‘395 Patent simply repeats the state of the art, that is that an ER
formulation should reduce taste perversion, and argues that the sum of
the available data shows that the ER composition does not in fact exhibit an
improved taste profile over its ER equivalent. It submits that the evidence of
Dr. Weiner is flawed and that the Court should prefer the evidence of its
expert, Dr. Einarson.
[171]
Dr. Thiessen reviewed
the 2006 Compendium of Pharmaceuticals and Specialties product
monographs and labeling for BIAXIN, BIAXIN BID and BIAXIN XL. He concluded that
these labels showed a lower incidence of taste perversion in the IR formulation
as compared with the ER equivalent. However, upon his cross-examination, Dr.
Thiessen disclosed that the dosages of the IR and ER formulation were different
and the studies could not be considered head-to-head.
[172]
In my opinion, the
fact that the IR composition was given in a lower dosage than the ER
composition calls into question the reliability of the comparative results
concerning taste perversion. Since Dr. Thiessen did not have relevant
information about the dosages, the probative value of his opinion is reduced
accordingly.
[173]
Dr. Thiessen rejected
the results of Abbott’s M96-454 study upon the grounds that the ER tablets were
allegedly coated in lactose which may have affected the taste, while the IR
tablets were not. Dr. Thiessen suggested in cross examination that the lactose
used in the ER tablets could be recognized by taste buds in the
gastrointestinal tract thereby altering the brain’s perception as to mask the
effect of taste perversion.
[174]
This novel theory is
not supported by any empirical evidence that Sandoz could identify. Neither
could Sandoz identify empirical evidence that lactose could affect the taste
perversion associated with clarithromycin.
[175]
Dr. Einarson’s
evidence is also less preferable than the evidence presented by Abbott. Dr.
Einarson testified that before a search is done for the appropriate studies to
be included in the meta-analysis, the selection criteria must be established.
The choice of selection criteria will determine which studies are selected.
Abbott’s expert witness, Dr. Weiner, followed this method, first setting the
selection criteria as requiring head-to-head studies comparing the ER and IR
clarithromycin formulations.
[176]
Dr. Einarson accepted
that this head-to-head selection criterion was the preferred standard and
confirmed that the studies located by Dr. Weiner were the only head-to-head
studies of this kind. However, when Dr. Einarson revisited Dr. Weiner’s
meta-analysis, he did not follow this approach, an approach with which he
agreed.
[177]
Rather, after
accepting Dr. Weiner’s selection criteria, Dr. Weiner concluded that there were
only five studies that compared the ER and IR formulations and that these
failed to reveal a sufficient number of subjects. Dr. Einarson then included an
addition thirty-five studies that did not match the original selection
criteria, despite his insistence as to the importance of choosing the selection
criteria.
[178]
It was always open to
Sandoz to conduct further head-to-head studies that matched the selection
evidence and provided a larger number of subjects in order for it to assess
whether the ER composition failed to show a statistically significant
improvement over the IR composition, but it chose not to do so. It appears that
Sandoz may have been in possession of certain additional head-to-head studies
arising from litigation in the United
States. It is now trying to
rely on the selective results obtained by Dr. Einarson which are based upon
thirty-five studies that did not match what he himself described as the
preferable selection criteria. Dr. Weiner included his statistical tests in his
affidavit; Dr. Einarson did not.
[179]
While individually,
Abbott’s studies M96-454, M97-667 and M97-756 are too weak to individually
confirm a statistically significant improvement in taste profile, as was
admitted by Dr. Weiner, the results obtained by him when he pooled those
studies conclusively demonstrated a statistically significant improvement in
taste profile in the ER over the IR formulation. Dr. Weiner found that the
results of his meta-analysis of the five head-to-head studies were statistically
significant at the .05 confidence level, meaning that there was a five percent
or less than a one in twenty chance that a difference in the incidence between
the formulations was due to chance. In contrast to this conclusion, Dr.
Einarson’s results showed that there was less than a 5.1 percent chance that
the improved taste profile was due to chance.
[180]
This difference is
not sufficiently distinct from the findings of Dr. Weiner to allow me to
conclude that there was not an improved taste profile demonstrated in the ER
composition.
[181]
Furthermore, I
observe that regardless of whether the ER formulation showed a statistically
significant reduction in the incidence of taste perversion, Claim 22 only
requires an improvement in taste profile, not a statistically significant
reduction in taste perversion. In my opinion, even if the evidence falls short
of supporting the conclusion that the ER composition demonstrates a
statistically significant reduction in the incidence of taste perversion as
compared to the IR composition, I am satisfied that the evidence shows an
improvement in taste profile as claimed in Claim 22, thereby meeting the
standards of utility.
[182]
In concluding the
discussion relative to the allegation that the ‘395 Patent lacks utility, I am
satisfied that a review of this patent clearly shows that there was a motive to
develop an ER clarithromycin formulation that exhibits an improved taste
profile. In view of the need for such a formulation and in light of Sandoz’s
efforts to market a generic version of the Applicants’ formulation, it seems to
be disingenuous for the Respondent to now suggest that Abbott’s product does
not in fact exhibit an improved taste profile. If the ‘395 Patent truly lacks
utility as Sandoz alleges, why does Sandoz itself want to market a generic
version? The submissions of the Respondent appear to undermine one of the
central benefits it would realize by marketing its generic version.
C.
Lack of Sound Prediction Utility
[183]
The doctrine of sound
prediction was reviewed by the Supreme Court of Canada in Apotex Inc. v.
Wellcome Foundation Ltd., [2002] 4 S.C.R. 153. At paragraph 46 Justice
Binnie explains that where the invention is a new use for an old product, the
utility required for patentability must either be demonstrated or be a sound
prediction based on the information and expertise then available.
[184]
One doctrine of sound
prediction has three components: first, there must be a factual basis for the
prediction; second, the inventor must have a “sound” line of reasoning from
which the desired result can be inferred from the factual basis, as of the date
of the patent application; and third, there must be proper disclosure. These
three elements are discussed by the Supreme Court of Canada in Wellcome at
para. 70. The key date for consideration of the doctrine of sound prediction
is the filing date of the patent application; see Aventis Pharma Inc. v.
Apotex Inc. (2005), 43 C.P.R. (4th) 161, aff’d (2006) 46 C.P.R.
(4th) 401 (C.A.).
[185]
It is unnecessary for
me to deal further with the Respondent’s submissions under this heading. I am
satisfied that the Applicants have shown that the allegation of lack of utility
is not justified and it is not necessary for me to consider whether Claim 22 of
the ‘395 Patent was not soundly predicted.
D.
Double Patenting
[186]
The Respondent also
alleged that the ‘395 Patent was invalid on the basis of double patenting. The
allegations of double patenting at issue in this proceeding concern
“obviousness” type double patenting. At pages 1105–1106 of its decision in Whirlpool,
the Supreme Court of Canada defined this concept as follows:
There
is, however, 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 substances 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…
[187]
In Consolboard,
Justice Dickson (as he then was) referred to the decision in Farbwerke
Hoechst Aktiengesellschaft Vormals Meister Lucius & Bruning, [1964]
S.C.R. 49 at p. 536 as “the main authority on double patenting”, standing for
the proposition that a second patent could not be justified unless the claims
exhibited “ingenuity or novelty” over the first patent”.
[188]
The question, then,
in the within proceeding, is whether the claims of the ‘395 Patent are distinct
from the claims of the ‘266 and ‘541 Patents, as of the date of the patent’s
publication, that being October 22, 1998.
[189]
Abbott makes two
submissions in response to the allegations of Sandoz. First, it argues that
because the Commissioner of Patents required it to divide its claims respecting
the improved taste profile from the ‘266 Patent into a separate divisional
application, that is the ‘541 Patent from which the ‘395 Patent ultimately
issued, the ‘395 Patent should not be found to constitute double patenting over
the ‘266 Patent. Abbott had to follow the instructions from the Commissioner of
Patents.
[190]
Second, Abbott
submits that since all the claims of the ‘541 Patent have been dedicated to the
public, which act of dedication gives rise to the legal effect that the claims
were never issued, the ‘395 Patent should not be found to constitute double
patenting over the ‘541 Patent.
[191]
Sandoz argues that
the claims of the ‘395 Patent claim the same improved taste profile as those of
the ‘541 Patent and that, consequently, the ‘395 Patent is invalid for double
patenting. It submits that the recent dedication of the ‘541 Patent to the
public by Abbott is irrelevant to determining the issue of double patenting.
[192]
Section 36 of the Patent
Act addresses double patenting. Section 36(1), (2.1) and (4) are relevant
and provide as follows:
Patent for one invention
only
36. (1) A patent shall be granted for one
invention only but in an action or other proceeding a patent shall not be
deemed to be invalid by reason only that it has been granted for more than one
invention.
Limitation of claims on
direction of Commissioner
(2.1)
Where an application (the "original application") describes and
claims more than one invention, the applicant shall, on the direction of the
Commissioner, limit the claims to one invention only, and any other invention
disclosed may be made the subject of a divisional application, if the
divisional application is filed before the issue of a patent on the original application.
Separate applications
(4)
A divisional application shall be deemed to be a separate and distinct
application under this Act, to which its provisions apply as fully as may be,
and separate fees shall be paid on the divisional application and it shall have
the same filing date as the original application.
[193]
I am satisfied that
the ‘395 Patent should not be found invalid for double patenting over the ‘266
Patent. The Applicants provided evidence to show that claims respecting the
improved taste profile were divided out of the ‘266 Patent at the request of
the Commissioner of Patents. That was an administrative action lying within the
mandate of the Commissioner of Patents. In my opinion, it would be unfair and
inequitable to find that the ‘395 Patent should be invalidated, only because
the Applicants had followed the directions of the Commissioner.
[194]
The remaining
question is whether the ‘395 Patent is invalid on the basis of double patenting
over the ‘541 Patent. This question puts in issue the effect of the Notice of
Dedication that was submitted to the Canadian Patent Office on January 20,
2009. The terms of that Notice of Dedication read as follows:
Subject
to the terms of this document, the patentee hereby dedicates to the public all
rights that the patentee may hold in and to the invention defined in the claims
of Canadian Patent No. 2,325,541.
The
present dedication is made without any prejudice to the rights of the patent
owner in or to its rights under or in any other patent or pending patent
application other than the present patent and in particular, but without
limitation, does not dedicate any rights under Canadian Patent Nos. 2,285,266,
or 2,358,395 or the inventions claimed therein.
The
present dedication shall apply to all subsequent owners of the patent and to
all persons who now or in the future may hold any rights under this patent.
[195]
In Bristol-Myers
Squibb Canada Co. et al. v. Apotex Inc. et al., 2009 FC 137 at paras. 51,
54-55, Justice Hughes said that a claim that is overbroad but which has yet to
be declared invalid can be saved from such a finding if a disclaimer was filed.
However, he cautioned that such a filing must be done in a timely manner. In
that case, the applicants had filed a disclaimer after the respondent had filed
its NOA and one day after the applicants had commenced their application for an
order prohibiting the Minister from issuing a NOC.
[196]
Justice Hughes found
that the claims that had been disclaimed had to be construed as they appeared
on the date of issuance of the NOA; otherwise the respondent would be
disadvantaged in attacking the validity of the claims as they stood after the
disclaimer since no revision of the NOA was permitted after the commencement of
the prohibition proceedings.
[197]
In the present case,
Abbott executed a Notice of Dedication and relying on the decision in G.D. Searle
& Co. v. Merck & Co. (2002), 20 C.P.R. (4th) 103 (F.C.T.D.)
argues that since the effect of a dedication is as if the patent had never been
issued, there is no object for the Respondent’s allegation of invalidity.
[198]
The Respondent
submits that it would be prejudiced by recognition of the Notice of Dedication,
at this time. It relies on the decision in Bristol-Myers in support of
its argument in this regard.
[199]
In the first place, I
acknowledge that the Respondent’s arguments as to prejudice are based upon a
misunderstanding of the decision in Bristol-Myers. The Respondent used
that decision to say that it would be prejudiced by the Dedication. This is a
misunderstanding of the object of the Dedication which is the relinquishment by
Abbott, the patentee, of its rights to the monopoly of the patent and the
availability of invention of the patent of the public at large.
[200]
Had the Dedication
been executed prior to the service of the NOA, Sandoz would not have had a
ground for alleging double patenting in respect of the ‘395 Patent. There would
have been no foundation for any argument of prejudice.
[201]
Be that as it may, I
am not persuaded by the Applicants’ arguments as to the effect of their Notice
of Dedication in the context of this proceeding. The issue of prejudice to a
respondent is not the starting point in dealing with an allegation of
invalidity in a prohibition proceeding. Rather, the commencement point is the
NOA, the document which frames the grounds upon which a second person advances
allegations of invalidity or non-infringement, as the case may be, against one
or more patents: AB Hassle v. Canada (Minister of National Health
and Welfare)
(2000), 7 C.P.R. (4th) 272 (F.C.A.) at para. 20. It was upon the content of the NOA that
the Applicants decided to commence these proceedings and so it must be upon the
date that the NOA was issued that the status of the ‘541 Patent is considered.
[202]
In Bristol-Myers,
Justice Hughes focused on the NOA, particularly the date of service, for the
purpose of determining the date at which the patent claim should be construed.
He referred to and relied upon the decision in Canadian Celanese Ltd. v.
B.V.D. Co. Ltd., [1939] 2 D.L.R. 289 (P.C.).
[203]
I see no reason to
depart from the approach and the reasoning of Justice Hughes in the present
case. While there may well be a difference between the effects of a disclaimer
and a Notice of Dedication in an action involving the validity of a patent, the
present proceeding is not an action but a summary proceeding for a limited purpose,
that is about the issuance of a NOC. In the context of prohibition proceedings,
the NOA is the critical document. According to the NOC Regulations, service of
a NOA puts a patentee in the position of deciding whether to commence
prohibition proceedings or not.
[204]
As noted in Bristol-Myers
at para. 48, in “proceedings under the NOC Regulations all that a Court
may do is determine whether the allegations made … in the Notice of Allegation,
are justified”. [Emphasis in original.]
[205]
The Applicants’
argument as to the effect of the Notice of Dedication, is novel but in my
opinion, it is not sound. I am not satisfied that the Applicants have shown
that the allegation of double patenting of the ‘395 Patent over the ‘541 Patent
is not justified.
[206]
The ‘395 Patent
claims the same “improved taste profile” as that which was already claimed by
the ‘541 Patent. It is not distinct from that which is claimed in the ‘541
Patent. The ‘395 Patent is therefore invalid for double patenting on this
ground.
Conclusion
[207]
In conclusion, I am
satisfied that the Applicants have demonstrated on a balance of probabilities
that the allegations of invalidity set out by the Respondent in its NOA dated
May 7, 2007 respecting the ‘266 Patent are not justified. Accordingly, the
Applicants are entitled to an Order of Prohibition in relation to the ‘266
Patent and an Order will issue in that regard.
[208]
While I am satisfied
that the Applicants have rebutted the Respondent’s allegations of invalidity
respecting obviousness and the lack of utility of the ‘395 Patent, I conclude
that they have failed to rebut the Respondent’s allegations of invalidity
respecting the issue of double patenting over the ‘541 Patent. Accordingly,
the Applicants’ request for an Order of Prohibition in relation to the ‘395
patent is dismissed.
[209]
This application proceeded upon the basis of a confidential
record. The parties were asked if they wished to proceed on an in camera basis
and advised that such hearing was not necessary. However, in the interests of
avoiding any inadvertent disclosure of confidential material, these reasons
will be issued on a confidential basis. The parties will advise the Court
within ten (10) days of the release of these reasons if any
redaction is required.
[210] The parties requested the opportunity to make submissions on costs. In
that regard, the parties shall file their submissions, not to exceed five (5)
pages, on or before July 8, 2009.
“E. Heneghan”