Date:
20130712
Docket:
T-1247-11
Citation: 2013
FC 718
Ottawa, Ontario,
July 12, 2013
PRESENT: The
Honourable Madam Justice Kane
BETWEEN:
|
HOFFMAN-LA ROCHE LIMITED
|
|
|
Applicant
|
and
|
|
APOTEX INC.
and
THE MINISTER OF HEALTH
|
|
|
Respondents
|
|
and
|
|
|
F. HOFFMAN-LA ROCHE
AG
|
|
|
|
Respondent Patentee
|
PUBLIC REASONS FOR
JUDGMENT AND JUDGMENT
(Confidential
Reasons for Judgment and Judgment Issued June 27, 2013)
INDEX PARA
INTRODUCTION.............................................................................................................. 4
THE
PARTIES.................................................................................................................. 12
THE
‘721 PATENT GENERALLY................................................................................. 19
THE
EVIDENCE.............................................................................................................. 26
ISSUES............................................................................................................................. 28
THE
NOTICE OF ALLEGATION.................................................................................. 44
BURDEN.......................................................................................................................... 57
PERSON
SKILLED IN THE ART.................................................................................. 65
THE
‘721 PATENT IN DETAIL...................................................................................... 71
CONSTRUCTION
OF THE CLAIMS............................................................................ 90
THE
INVENTION ........................................................................................................... 99
IS
IT A SELECTION PATENT?................................................................................... 133
ANTICIPATION............................................................................................................ 179
OBVIOUSNESS............................................................................................................. 243
CLAIMS
BROADER THAN THE INVENTION MADE OR DISCLOSED............. 355
INFRINGEMENT.......................................................................................................... 365
CONCLUSIONS
AND COSTS..................................................................................... 400
[1]
This is an
application brought under the provisions of the Patented Medicines (Notice
of Compliance) Regulations SOR/93-133, as amended [NOC Regulations]
to prohibit the Minister of Health from issuing a Notice of Compliance to
Apotex in respect of its valganciclovir hydrochloride 450mg tablets (the Apotex
product) until the expiry of Canadian Letters Patent No 2154721 (the '721 Patent)
on July 26, 2015.
[2]
For the
reasons that follow, I find that the allegations with respect to invalidity are
justified and the allegation with respect to non-infringement of claim 4 is
justified.
[3]
The
application is dismissed with costs to Apotex.
INTRODUCTION
[4]
In the 1990s,
ganciclovir was recognized as the leading drug for the treatment of certain
herpes viruses, particularly cytomegalovirus [CMV], a type of herpes virus.
The parties and the experts described ganciclovir as an antiviral nucleoside,
which is a compound that disrupts DNA synthesis in, for example,
virally-infected cells. Disrupting viral replication induces the death of the
infected cell. A nucleoside is a compound formed by joining a base moiety with
a sugar moiety. A disadvantage of ganciclovir was its limited oral
bioavailability. Although it could be more effective when administered
intravenously [IV], this mode had other disadvantages including inconvenience
for patients and potential infections, particularly in immunocompromised
patients. An improvement in the bioavailability of ganciclovir for oral
administration was, therefore, desired.
[5]
Acyclovir
and penciclovir were other antiviral nucleosides that were also effective
against various strains of the herpes virus. However, they also shared the
disadvantage, when orally administered, of poor absorption across the gut
(small intestine) into the blood stream. These drugs were, therefore, also
generally administered by IV (directly into the bloodstream). Several research
groups were seeking to improve the oral bioavailability of these compounds in
the 1980s and 90s. As explained by the experts, one of the several possible
approaches for improving the bioavailability of a drug like ganciclovir was to
link the molecule to another compound, referred to as a pro-moiety, (often an
amino acid) and to thereby create a prodrug. A prodrug is a compound that has
improved absorption and is metabolized to the active drug after absorption (valganciclovir
is a prodrug formed by the molecular combination of ganciclovir with the amino
acid, mono-L-valine).
[6]
The intended
mechanism of action of a prodrug is that the pro-moiety will help deliver the active
medicine more effectively to the site of action. Prodrugs are designed
such that the pro-moiety (in this case, the amino acid ester) is hydrolyzed, or
cleaved, from the active drug compound at an appropriate point after absorption
into the body.
[7]
Doctor
McGuigan, an expert for Apotex, noted at paragraph 54 of his affidavit that by
1994 it was well known that prodrugs are often used where a drug has suboptimal
bioavailability. He described a prodrug as a molecular derivative of the parent
drug which requires structural transformation to the active drug in vivo
(in the body). Once activated in the body it can then exert its pharmacological
action. A prodrug often results in improved tissue penetration by altering the
lipophilicity and/or the water solubility of the drug. Prodrugs can also take
advantage of the various active transport mechanisms available in the body, in
particular when the prodrug resembles natural metabolites, such as with amino
acid esters. The prodrug form is better absorbed, and after biotransformation,
results in a greater exposure to the active drug that would have occurred had
the parent drug form been administered.
[8]
He also noted
that the majority of produgs are esters (para 55). An ester is a compound
produced through the reaction of an acid (with a -COOH functional group) with a
compound having a hydroxyl group (-OH).
[9]
Dr McGuigan
indicated that in order to be suitable, a nucleoside prodrug would need
improved bioavailability (assuming that the desired improvement is higher oral
bioavailability) and would have to be: soluble enough to be dissolved in the
stomach; stable enough to survive the acidic environment of the stomach; have
the ability to pass through the gut; reach the blood stream; and, release the
active agent. Additionally, a suitable prodrug would have to be acceptable for
use as
a pharmaceutical.
[10]
Roche
holds the patent for
valganciclovir, which is more fully described below, and which the inventors
claim meets these desired characteristics.
[11]
In
GlaxoSmithKline Inc v Pharmascience Inc, 2011 FC 239, [2011] FCJ 287,
Justice Hughes explained the nomenclature of NOC proceedings and the requirements
of the Notice of Allegation [NOA] as follows:
[38] The NOC Regulations identify two groups of persons,
a “first person”, commonly called the “brand”, who is the person owning or
licensed under a patent and who has received permission to sell a drug somehow
relating to that patent in Canada (section 4(1)). A “second person”, commonly
called a “generic” is a drug company wanting to take advantage of much of the
material submitted by the first person in order to obtain approval itself to
sell the drug. The second person must notify the first person providing
particulars of its application to secure approval and to state that the patent
will not be infringed or is invalid or that the second person will wait for the
patent to expire. That notification takes the form of a “Notice of Allegation”
(NOA).
[39] That Notice of Allegation (NOA) is required by subsection
5(3)(b)(ii) of the NOC Regulations to include “a detailed
statement of the legal and factual basis for the allegations”… .
THE PARTIES
[12]
The
applicant, Roche, is a “first person” as described in the NOC Regulations.
It has listed the '721 Patent in accordance with those Regulations.
Roche has obtained a Notice of Compliance [NOC] to sell valganciclovir hydrochloride,
which it does under the brand name Valcyte, from the Minister of Health.
[13]
The
applicant, Roche, claims to be the owner of the '721 Patent and this is not
contested in these proceedings.
[14]
The
respondent, Apotex, is a “second person” as described in the NOC Regulations.
It seeks to sell a generic version of Roche’s valganciclovir drug. To do so, it
must receive a NOC from the Minister of Health. In accordance with the NOC
Regulations, Apotex served Roche with a Notice of Allegation [NOA] dated
June 14, 2011.
[15]
In
the NOA, Apotex alleges that claims 4-8 and 10 of the ‘721 Patent would not be
infringed, and that the patent is invalid on the grounds of anticipation,
obviousness, and overbreadth or claims broader than the invention made or
disclosed. Apotex also alleges that it does not infringe any valid claim in
making, constructing, using or selling its Apotex product.
[16]
The
respondent, the Minister of Health, who has various responsibilities under the NOC
Regulations, including the issuance of an NOC to a “second person” such as
Apotex, took no active role in these proceedings.
[17]
The
respondent, Apotex, submits that the applicant, Roche, has not honored its part
of the bargain upon which the ‘721 Patent is based. The nature of this bargain
was described in Apotex Inc v H Lundbeck A/S, 2013 FC 192, [2013] FCJ
274 by Justice Harrington, as follows:
[7] A patent represents a bargain between the inventor and
the state. In consideration of the grant of a monopoly, the inventor must fully
and properly disclose the invention so that when the monopoly expires, others
may reproduce the product or process involved without undue difficulty. The Patent
Act requires the applicant to provide a specification which discloses what
has been invented and how to replicate it. The specification ends with a claim
or series of claims over which a monopoly is asserted. According to Apotex, the
specification is fatally defective.
[18]
In
the present case, Apotex makes this same allegation.
THE '721 PATENT
GENERALLY
[19]
Canadian
Letters Patent 2,154,721 (the ‘721 Patent) was applied for by an application
deemed to be filed with the Canadian Patent Office on July 26, 1995. The Patent
is therefore governed by the provisions of the new Patent Act, RSC 1985
c P-4, that governs patents applied for after October 1, 1989.
[20]
The
application was filed under the provisions of the Patent Cooperation Treaty [PCT]
and claims priority from a first application filed in the United States Patent
Office on July 28, 1994. This is the date upon which the issues of anticipation
and obviousness will be determined.
[21]
The
publication date, i.e. the date at which the public could inspect the patent,
was January 29, 1996. This is the date that is to be used for the purposes of the
construction of the claims.
[22]
The
‘721 Patent lists the inventors as John J Nestor, Scott W Womble and Hans Maag,
all of the United States of America. None of the inventors provided evidence in
these proceedings.
[23]
The
‘721 Patent was issued to F Hoffman-LaRoche AG, CH.
[24]
The
term of the ‘721 Patent, unless declared as invalid, will expire 20 years from
the date of the filing of the application in Canada, which is July 26, 2015.
[25]
There
are 17 claims in the ‘721 Patent, 14 of which are at issue in this proceeding.
The construction of the claims and the inventive concept of the patent are addressed
below.
THE EVIDENCE
[26]
The
evidence in this proceeding was provided in the form of affidavits and
transcripts of cross-examinations of experts along with their exhibits. All of
the experts were cross-examined. Each party also submitted as evidence the
affidavits of law clerks to place documents on the record and attest to facts
and specific communications between the parties.
[27]
The
evidence on the record includes the following:
For
the applicant (Roche)
i) Dr
Ronald Sawchuk
Dr
Sawchuk is a Professor of Pharmaceutics, Emeritus, and Morse Alumni
Distinguished Teaching Professor and the Director of the Bioanalytic and
Pharmacokinetic Services Laboratory at the University of Minnesota. Dr Sawchuk
was called on by the applicants for his extensive experience in the areas of
pharmaceutical research, pharmacokinetics, and drug development. Dr Sawchuk was
asked to review Apotex’s Notice of Allegation and provide an opinion as to the
content of the ‘721 Patent, and the validity of the ‘721 Patent.
ii) Dr
Youla S Tsantrizos
Dr Tsantrizos is
a Professor of Chemistry at the Faculty of Science at McGill University and an Associate Member of the Biochemistry Department at the Faculty of Medicine at
McGill University. Dr Tsantrizos spent 10 years at the Medicinal Chemistry
Department of the pharmaceutical company Boehringer Ingelheim where she
participated in pre-development and development committees that moved compounds
through the different stages of drug discovery, pre-clinical and clinical
development. She was called by the applicant for her expertise in human
pharmaceuticals for the treatment of viral infections.
Dr. Tsantrizos
was asked to comment on the claims of the ‘721 Patent and explain what is
understood as the subject matter involved; to review and consider the
allegations in the NOA; including anticipation, obviousness, the proper scope
of the invention, and non-infringement.
iii) Dr Jeffrey
Manthorpe
Dr
Manthorpe is a Professor of Chemistry at Carleton University. His current
academic research interests include synthetic chemistry and particularly
synthetic organic chemistry, the development of new synthetic chemistry
techniques and their application to biologically relevant molecules. Dr
Manthorpe was asked to design and perform an experiment to determine whether
the Apotex crystallization process produces amorphous or crystalline material.
iv) Dr
Ilia Korobkov
Dr Korobkov
is an X-ray diffraction scientist, crystallographer, and supervisor at the
X-ray Core Facility of the Faculty of Science at the University of Ottawa. His work is focused on single crystal X-ray diffraction, but he has also conducted
analyses using other instruments such as powder X-ray and fluorescence. Dr
Korobkov was called by the applicant to analyze Dr Manthorpe’s experiment and
to provide an opinion whether some samples were crystalline or amorphous.
v) Richard
Killworth
Richard
Killworth is a Partner at Dinsmore & Shohl LLP in Dayton, Ohio, USA. Mr Killworth was called as an expert by the applicant as a US patent attorney and because of
his extensive knowledge of US patent law and the United States Patent Office [“USPTO”]
practices, requirements, and procedures.
vi) Erin
McIntomny
Erin
McIntomny is a law clerk for the office of the applicant’s solicitors, Gowling Lafleur
Henderson LLP, and was asked to attest to the truth of various procedural facts
relating to motions, orders, letters, and email correspondence between Apotex
and Roche.
For the
respondent (Apotex)
i) Dr
Chris McGuigan
Dr McGuigan is a
Professor of Medicinal Chemistry and Deputy Pro-Vice Chancellor (Research) at
the Cardiff School of Pharmacy & Pharmaceutical Sciences at Cardiff University. Dr McGuigan has an extensive research background in new drug discovery
and development, particularly for the treatment of viral and retroviral
diseases, for diseases associated with viruses, and for osteoarthritis. Dr
McGuigan was asked to explain the state of the art in the pharmaceutical
treatment of herpes virus infections, including cytomegalovirus infections [HCMV],
from the perspective of an ordinary medicinal chemist.
Dr McGuigan was
asked to comment on the ‘721 Patent, to address its scope, the allegations of
invalidity, the inventive concept and related issues.
Dr McGuigan was
also asked to provide comments on the statements in the affidavits of Dr Ronald
Sawchuk and Dr Youla Tsantrizos.
ii) Dr
George G Zhanel
Dr Zhanel
is a Professor of Medicinal Microbiology/Infectious Diseases at the Faculty of
Medicine at the University of Manitoba, and is the Coordinator of the
antimicrobial resistance program in the Departments of Medicine (Section of
Infection Control) and Clinical Microbiology at the Health Sciences Center in Winnipeg, Manitoba. Dr Zhanel is also the Research Director of the Canadian
Antimicrobial Resistance Alliance [CARA] in Winnipeg, Manitoba.
Dr Zhanel was
asked by Apotex to state what a skilled pharmacologist would have known about
acyclovir and ganciclovir, and their use in treating herpes viruses, as of July
28, 1994.
Dr Zhanel was
also asked to comment on the ‘721 Patent to address its scope, the allegations
of invalidity, the inventive concept and related issues and to address several
questions from the perspective of a skilled pharmacologist.
Dr Zhanel was
also asked to provide comments on the opinions of Dr Ronald Sawchuk and Dr
Youla Tsantrizos in their affidavits.
iii) Dr
Siddegowda
Dr
Siddegowda has a PhD in organic chemistry from the University of Mysore. Since April 2010, Dr Siddegowda has worked as Team Leader of Quality Assurance and
Regulatory Affairs for Apotex Pharmachem India Private Limited [APIPL], in the
City of Bangalore, India. Before that, he was the Group Leader II of Process
Development R&D at APIPL, and from 2004 to 2009 was the Assistant Manager.
Dr Siddegowda was called by Apotex to explain specific terminology, statements
and passages within APIPL’s Drug Master File [DMF] for valganciclovir.
iv) Dr
Robert K Boeckman, Jr
Dr Boeckman
is the Marshall D Gates Jr Professor of Chemistry and the Chair of the Chemistry
Department at the University of Rochester. Dr Boeckman is an active researcher
in the area of synthetic chemistry applied to medicinal chemistry, and is also
a trained X-ray crystallographer.
Dr Boeckman was
asked to provide his opinion on what the EP 329 patent taught and disclosed to
the synthetic chemist reading it as of July 28, 1994.
Dr Boeckman was
asked to comment on the ‘721 Patent to address its scope, the allegations of
invalidity, the inventive concept, crystallinity, and related issues and to
address several questions from the perspective of a synthetic chemist.
Dr Boeckman was
also asked to review and comment on the affidavits of Dr Tsantrizos and Dr
Manthorpe.
v) Dr
Jonathan Steed
Dr Steed
is a Professor of Chemistry at Durham University, with considerable expertise
in crystallography, crystallization, solid-state chemistry, coordination
chemistry and intermolecular interactions in solids. Dr Steed established and
ran the first X-ray crystallographic facility in the UK to be based on a
particular new area detector technology. He was called by Apotex as an expert
in the structures and solid state behavior of organic and molecular solids, and
in the methods and techniques used to study and characterize them. He was also
asked to comment on the ‘721 Patent and answer several questions from the
perspective of the solid state chemist including the scope, allegations of
invalidity, inventive concept and the allegations of infringement, particularly
regarding whether the product was crystalline.
Dr Steed was
also asked to review and comment on the affidavits of Dr Tsantrizos, Dr
Manthorpe and Dr Korobkov.
vi) Dr
Richard Christian Moreton
Dr
Moreton is a pharmaceutical formulation scientist, and Vice-President of
FinnBrit Consulting, a pharmaceutical consulting company. Dr Moreton has over
30 years experience in the pharmaceutical industry and throughout his
industrial career has worked in formulation, pre-formulation, formulation
development and scale-up, drug development and optimization, including the
study and design of prodrug strategies, and the technical transfer of products
into commercial manufacture. He also has experience with antiviral drugs,
including antiviral drug formulations and prodrugs.
Dr Moreton was
asked to review the ‘721 Patent and answer several questions from the
perspective of the pharmaceutical formulator including the scope, allegations
of invalidity, inventive concept and the allegations of infringement,
particularly regarding whether the product was crystalline.
Dr Moreton was
also asked to review and comment on the affidavits of Dr Tsantrizos and Dr
Sawchuk.
vii) Duane Terrill
Duane Terrill is
a long time employee of Apotex and is currently Associate Director of
Regulatory Affairs. From 2005 until 2012, Mr Terrill was Manager for Apotex’s
Regulatory Affairs Department, which regulates all of Apotex’s interactions
with Health Canada regarding Apotex’s submissions for approval to promote and
sell new drugs as well as its compliance obligations.
Mr Terrill was
called by Apotex to comment on Health Canada’s requirements for regulatory
approval of new drugs in Canada, and to provide specifications on the procedure
followed by Apotex while seeking approval for the sale of Apo-Valganciclovir
tablets. He was also asked to comment on the contents of the tablets.
viii) Lisa
Ebdon
Lisa
Ebdon is a law clerk at the office of the respondent’s solicitors, Goodmans
LLP. She was called to testify as to the truth of various documents sent by Apotex
to the applicant, specifically those relating to Apotex’s drug submissions and
filings.
THE ISSUES
[28]
The
principal issue is whether to grant an Order prohibiting the Minister of Health
from granting a Notice of Compliance to Apotex for its generic valganciclovir
until the expiry of the '721 Patent. This determination depends upon whether
the allegations raised by Apotex as to the invalidity of the '721 Patent and
non-infringement are justified.
[29]
Apotex
alleges that the ’721 Patent is invalid on the basis of anticipation, obviousness
and overbreadth (insufficiency of claims or claims broader than the invention
made or disclosed).
[30]
Apotex
also claims in the alternative, that if the patent is valid, they do not
infringe the patent because their product is non-crystalline (it is
amorphous). This flows from the submission by Apotex that the invention of the
‘721 is its crystallinity.
[31]
The
key area of disagreement between the applicant and respondent (and from which
many issues depend) is the meaning of the patent – i.e. what is the invention
or what is the inventive step.
[32]
The
applicant, Roche, asserts that the invention of the ‘721 Patent is the
identification that the mono-L-valine ester of ganciclovir (referred to as
“L-valganciclovir” or simply “valganciclovir”) has unexpectedly better
bioavailability over the previously known esters of ganciclovir, most
importantly the bis-valine ester. This improvement is not only over the closest
prior art (i.e. the bis-ester of EP 329), but also over other known ganciclovir
esters and over ganciclovir itself. Roche notes that the bioavailabilities of
the invention are specifically compared with EP 329 and other esters and ganciclovir
in the ‘721 Patent.
[33]
The applicant
also asserts that the ‘721 Patent is probably, likely, or is definitely a
selection patent from the genus of EP 329.
[34]
The applicant
asserts that the allegations of invalidity due to anticipation and obviousness
are not justified. The applicant argues that the respondent, Apotex, did not
provide any evidence whether it was obvious that L-valganciclovir would have
improved bioavailability over the other known ganciclovir esters, and, in
particular, the bis-valine ester and the bis-propyl ester.
[35]
With respect
to overbreadth, Roche submits that the ‘721 Patent teaches and claims both
amorphous and crystalline valganciclovir (and that crystallinity is merely an
additional advantage).
[36]
With respect
to infringement, Roche submits that there is evidence to establish that the
Apotex product is not limited to amorphous (i.e. non-crystalline)
valganciclovir. As a result, Roche submits that Apotex infringes all claims.
[37]
The
respondent, Apotex, asserts that the applicant’s position is based on
a flawed construction of the ‘721 Patent. Apotex maintains that the ‘721 Patent
neither claims nor indicates in its disclosure that its invention is “the
identification that the mono-L-valine ester of ganciclovir … has
unexpectedly better bioavailability over the previously known esters of
ganciclovir, most importantly the bis-valine ester”, as indicated by
Roche in their memorandum. Apotex argues that no witness stated that this was
the inventive concept of any of the claims of the ‘721 Patent.
[38]
Apotex submits that the invention relates to
valganciclovir, a prodrug of ganciclovir, and its pharmaceutically acceptable
salts, methods and intermediates used to prepare these compounds, and
compositions of these compounds for use to treat viral diseases in humans.
Apotex’s position is that the invention is the crystalline compound and submits
that the patent distinguishes its invention from the prior knowledge by
identifying its compounds as crystalline, which it says provides a “decisive
advantage” in characterization and processing.
[39]
With respect to anticipation, Apotex submits that EP 329
disclosed the subject matter of the claims of the ‘721 Patent, including
valganciclovir, as a medicine to treat herpes virus infections with improved
oral bioavailability over ganciclovir.
[40]
With respect to obviousness, and to the extent that EP
329 did not explicitly make crystalline valganciclovir, Apotex submits that
this was obvious from the art.
[41]
With respect to overbreadth, Apotex submits that most of
the claims in the ‘721 Patent cover all solid forms of valganciclovir
hydrochloride rather than being limited to the crystalline form (which Apotex
submits is the inventive concept). In its written argument, Apotex also argued
that other claims are overbroad for claiming the use of valganciclovir to treat
all viral diseases, rather than being limited to those diseases against which
ganciclovir had been shown to be effective.
[42]
Apotex also
asserts that it will not infringe any claim of the ‘721 Patent because all of
the claims are invalid.
[43]
Alternatively,
Apotex submits that it does not infringe claims 4 to 8 and 10 of the ‘721 Patent.
All of the details of the preparation and testing of Apo-Valganciclovir are
included in its abbreviated new drug submission [“ANDS”] and its supplier’s
drug master file [“DMF”]. These documents establish that Apotex’s
valganciclovir is never crystalline and contains a mixture of the (R) and (S)
forms of the compound. Apotex notes that it produced all of these details to
the applicant.
NOTICE OF ALLEGATION
[44]
As
a preliminary issue, the applicant, Roche, asserts that the respondent raised
new issues in its argument that it had not set out in the Notice of Allegation
[NOA].
[45]
The
applicant notes that the respondent is limited to the factual and legal basis
set out in its NOA and that any new non-infringement and invalidity allegations
cannot be considered. The applicant further notes that the NOA does not assert
or suggest that the advantages set out or information provided in the ‘721 Patent
are not true.
[46]
More
particularly, the applicant asserts that Apotex in its NOA indicated that the
question to be answered was whether “making the mono-ester instead of the
diester (bis-ester) would have been obvious” but then “shifted ground” and
changed the question, which is central to the allegation of obviousness, to whether
the mono-ester was obvious over ganciclovir.
[47]
Roche asserts that the NOA is deficient because it fails
to make any allegations relating to whether Apotex’s supplier makes crystalline
valganciclovir during the manufacturing process.
[48]
Roche
also asserts that because the respondent did not raise an allegation pursuant
to section 53 of the Patent Act, its witnesses could not question
whether the statements in the Patent were true, particularly with respect to
Examples 9 and 10.
Jurisprudence / Principles
regarding NOA
[49]
In
GlaxoSmithKline Inc v Pharmascience Inc, 2011 FC 239, [2011] FCJ 287, Justice
Hughes summarized the requirements of subsection
5(3)(b)(ii) of the NOC Regulations governing the contents of the NOA
which must include “a detailed statement of the legal and factual basis for the
allegations”. He noted at para 40:
[40] Without comment as to whether they are right or wrong as a
matter of “fairness”, certain principles have emerged as a result of judicial
interpretation as to an NOA, including:
i. The NOA cannot be amended once
legal proceedings have
commenced except that certain allegations made can be omitted or
no longer relied upon (e.g. Hoffmann-La Roche Ltd v. Canada (Minister of National Health and Welfare) (1996), 70 C.P.R. (3d) 1, (FCA); Bayer A/G
v. Novopharm Ltd. (2006), 48 C.P.R. (4th) 46 (FC) at paras 72 to
84).
ii. The Notice
of Allegation must be sufficient so as to make the
“first person” fully aware of the grounds raised as to invalidity
or non-infringement (Mayne Pharma (Canada) Inc. v. Aventis Pharma Inc.
(2005), 38 C.P.R. (4th) 1 (FCA), at paras. 19-21).
iii.
A
second person cannot, in proceedings taken in Court, present argument and
evidence relating to an issue that is outside the scope of its NOA (e.g. Ratiopharm
Inc. v. Canada (Minister of Health) (2007), 58 C.P.R. (4th) 97
(FCA), at para. 25.
iv.
The
second party may not shift ground or raise a new ground during the legal
proceedings that has not been raised in its NOA (Pfizer Canada Inc. v. Canada (Minister of Health) (2006), 54 C.P.R. (4th) 279 (FC), at paras 70 –
71).
Conclusion
re NOA
[50]
I
have considered these principles and do not agree that there was any deficiency
in the NOA.
[51]
The
NOA sufficiently set out the allegations of invalidity and non-infringement to
make Roche fully aware and to permit Roche to respond. Apotex did not raise
any new ground or new argument or lead any evidence that was beyond the NOA or
that was not responsive to arguments raised by the applicant. In addition, as
noted by Apotex, the applicant did not bring any earlier motions, except for
the production order as noted below, to resolve any concerns it had about the
NOA.
[52]
Apotex served the NOA alleging that the ‘721 Patent and
each of its relevant claims are invalid and will not be infringed by Apotex’s
making, constructing, using or selling of Apotex’s Apo-Valganciclovir product.
Apotex noted that the details of its valganciclovir and its formulation would
be provided once a confidentiality order was in place. The applicant, Roche,
obtained a Court Order requiring Apotex to produce those portions of its ANDS
and associated DMF that provide information on the solid state form of Apotex’s
valganciclovir at each stage of its manufacture and formulation into tablets.
[53]
Apotex’s NOA gave sufficient notice that its allegation
of non-infringement was not limited to the fact that Apotex’s
valganciclovir hydrochloride will not be crystalline when sold.
Apotex’s NOA states that Apotex will not infringe the ‘721 Patent in its
“making” or “using” of its product. The applicant, Roche, was aware of how to
seek Apotex’s process information and pursued the production order. Moreover,
the experts for Roche considered whether Apotex’s product might become
crystalline at any point in its processing, handling or subsequent storage.
[54]
With respect to Roche’s assertion that Apotex changed the
key question on obviousness, from whether “making the mono-ester instead of the
diester (bis-ester) would have been obvious” to whether
making the mono-ester instead of ganciclovir would have been obvious, I find
that the words quoted are taken out of the context of the full sentence and the
part of the NOA in which they are found.
[55]
This issue relates to the inventive concept of the ‘721 Patent
which is a significant point of disagreement between the parties. It was fully
addressed in argument by both parties.
[56]
With respect to the concern that section 53 was not raised,
I agree with Apotex that its submissions with respect to the data set out in
Examples 9 and 10 respond to evidence on the record submitted by the applicant.
BURDEN
[57]
There
is extensive jurisprudence with respect to who bears the burden of proof of the
allegations and there is no dispute on this issue.
[58]
Where
the validity of a patent is at issue, the patent will be presumed to be valid.
However, where a generic manufacturer (a second person), in this case Apotex,
raises allegations of invalidity and adduces some evidence capable of
establishing the invalidity of the patent, the generic is said to put the issue
“into play”. This puts the burden on the brand or applicant (first person), in
this case, Roche, to establish on a balance of probabilities that all of the
allegations of invalidity are not justified: see Lundbeck Canada Inc v Ratiopharm
Inc, 2009 FC 1102, [2009] FCJ 1466; Abbott
Laboratories v Canada (Minister of Health),
2007 FCA 153, 59 C.P.R. (4th) 30 at paras 9-10; Pfizer v Canada
(Minister of Health), 2007 FCA 209, 60 C.P.R. (4th) 81 at para 109 (FCA); Pfizer
v Canada (Minister of Health), 2012 FC 767 at para 42 affirmed in the
result 2012 FCA 308; Pfizer Canada Inc v Pharmascience Inc, 2013 FC 120,
[2013] FCJ 111 at paras 24-27.
[59]
If
the generic (second person) does not adduce any evidence with respect to a
ground of invalidity alleged, then the presumption is not rebutted.
[60]
The burden is also on the brand (first person), Roche, with
respect to allegations of non- infringement. The generic manufacturer, Apotex,
has alleged non-infringement of specific claims in its NOA. These statements
are presumed to be true. The onus is on the brand, Roche, to demonstrate, on a
balance of probabilities, that the allegations of non-infringement are not
justified. The applicant cannot simply raise the possibility of
infringement: see Novopharm Limited v Pfizer Canada Inc, 2005 FCA 270,
42 CPR (4th) 97, at paras 19-20 and 24.
[61]
In Pfizer Canada Inc v Apotex Inc, 2007 FC 26, 59 CPR (4th)
183 (aff’d 2007 FCA 195, leave to appeal refused [2007] SCCA No. 371) Justice O’Reilly
set out the approach to be followed with respect to the burden of proof at
paragraphs 9 and 12:
9 In my view, the burden on a respondent under
the Regulations is an "evidential burden" -- a burden merely to
adduce evidence of invalidity. Once it has discharged this burden, the
presumption of validity dissolves and the Court must then determine whether the
applicant has discharged its legal burden of proof. I believe this is what is
meant in those cases where the Court has stated that the respondent must put
its allegations "into play". It must present sufficient evidence to
give its allegations of invalidity an air of reality.
. . .
12 To summarize, Pfizer bears the legal burden
of proving on a balance of probabilities that Apotex's allegations of
invalidity are unjustified. Apotex merely has an evidentiary burden to put its
case "into play" by presenting sufficient evidence to give its
allegations of invalidity an air of reality. If it meets that burden, then it
has rebutted the presumption of validity. I must then determine whether Pfizer
has established that Apotex's allegations of invalidity are unjustified. If
Apotex does not meet its evidential burden, then Pfizer can simply rely on the
presumption of validity to obtain its prohibition order.
[62]
As
noted above, Justice Hughes summarized the requirements of subsection 5(3)(b)(ii) of the NOC Regulations
governing the contents of the Notice of Allegation [NOA] in GlaxoSmithKline
Inc v Pharmascience, 2011 FC 239, [2011] FCJ 287, and also noted at para 41:
[41] In the Court proceedings, a first person is required to
demonstrate, in accordance with subsection 6(2) of the NOC Regulations,
that “none of those allegations is justified”. Thus, the object of the
proceedings is to look at the allegations, consider the evidence, apply the
law, and determine whether an allegation made in the NOA is justified. Such a
determination, for instance, whether an allegation as to invalidity is
justified or not, does not preclude that issue from being litigated in an
ordinary action respecting the patent, in other words, there is no res
judicata (Aventis Pharma Inc. v. Apotex Inc. (2006), 46 C.P.R. (4th)
401(FCA), at para. 7).
[63]
In the present case, Apotex has raised allegations in its NOA
and has led evidence as to the invalidity of the Patent on the basis of
anticipation, obviousness and overbreadth which is sufficient to put those
issues into play. As a result, the applicant, Roche bears the burden of
establishing, on a balance of probabilities, that these allegations are not
justified.
[64]
Apotex
also alleges that it will not infringe claims 4-8 and claim 10. As noted above at paragraph 60, the law is well-settled
that where a generic has alleged non-infringement, the statements that it makes
in that regard in its NOA are presumed to be true. The applicant, Roche,
therefore bears the burden of proof, on a balance of probabilities, to satisfy
the Court that the allegations of non-infringement are not justified; merely to
raise the possibility of infringement is insufficient.
PERSON SKILLED
IN THE ART
[65]
The
person skilled in the art (or person of ordinary skill in the art – a “POSITA”)
provides the lens through which the patent is construed and many other issues
are assessed. As described by Justice Hughes in Pfizer
Canada Inc v Pharmascience Inc, 2013 FC 120, [2013] FCJ 111:
28
The person skilled in the art, or as sometimes described, the person of
ordinary skill in the art (POSITA) is the notional person, which may include a
team of persons, through whose eyes a patent is to be construed, the prior art
is to be considered. This notional person may be pertinent to other issues that
arise in respect of a patent under consideration by the Court.
[66]
In
Apotex Inc v Sanofi-Aventis, 2011 FC 1486, [2011] FCJ 1813, Justice Boivin noted:
[64] In assessing the hypothetical POSITA, the Court must
define the person or group to whom the ‘777 Patent is addressed. This person is
obviously not a real person. As explained by Justice Hughes in Merck &
Co v Pharmascience Inc., 2010 FC 510, 85 CPR (4th) 179, at para
42: “[T]hat person is to be unimaginative, but that does not mean that the
person is slow-witted or graduated (if at all) at the bottom of the class. Nor
is the person the gold medalist who graduated at the top of the class. That
person is the average person in the group. Just as a “reasonable man” is
expected to be reasonable, the POSITA is expected to possess the ordinary skill
in the art”.
[65] The Supreme Court of Canada considered such a person in Whirlpool,
above, at para 74, where Justice Binnie for the Court wrote that the POSITA
refers to the hypothetical “ordinary worker” who is reasonably diligent in
keeping up with advances in the field to which the patent relates.
[67]
In
my view, it is difficult to characterize the POSITA as an ordinary person
possessing ordinary skill in the art given the expertise, experience and
educational qualifications of the scientists engaged in this research; even if
they are considered ordinary vis–à-vis their peers, they are far from ordinary.
In this case, these highly qualified experts were in disagreement on most
issues, but there was general agreement on the POSITA.
[68]
The
experts called by both parties expressed their opinions on the qualifications
of the proposed person skilled in the art and why such qualifications and
experience would be necessary. There is no significant difference among the
experts about the attributes
and range of qualifications and expertise of the person skilled in the art in
the mid-1990s to whom the ‘721 Patent would be addressed.
[69]
This
composite person or team of persons would have expertise in medicinal
chemistry, solid state chemistry, synthetic chemistry, pharmaceutical
formulation, pharmacology and pharmacokinetics at the Masters or PhD level.
[70]
The
medicinal chemist would be necessary to provide expertise in the discovery and
design of drugs, and the understanding of organic synthesis, including issues
related to chirality and stereoisomerism and pharmacokinetics, including
familiarity with the design of prodrugs. The solid state chemist would address
the aspects of the ‘721 that involve the solid state of the L-valine mono-ester
of ganciclovir, including its crystalline nature and its properties. The
synthetic chemist would address the process aspects of the ‘721 Patent. The
pharmaceutical formulator would address the making of the patent formulations.
The pharmacologist would address the pharmacokinetic aspects of the patent.
THE ‘721 PATENT
IN DETAIL
[71]
The
‘721 Patent appears to have no title except, 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)
methoxy-1,3-propane-diol derivative.
[72]
It
is generally described, beginning at page 1 as a novel antiviral drug:
[73]
The
prior art is acknowledged at pages 1-8. The Patent identifies several other
patents, patent applications and published research, including:
US
Patent 4 355 032, published in 1982,
which discloses ganciclovir and notes that it is highly efficacious against
viruses of the herpes family (e.g. herpes simplex and cytomegalovirus),
however, it has relatively low rate of absorption when administered orally.
Ganciclovir is most commonly administered intravenously, which has
disadvantages. Therefore, it has been highly desirable to provide ganciclovir
with an improved oral absorption profile.
European
Patent 375 329 (EP 329), published in 1990, which discloses prodrug compounds described as
having advantageous bioavailability when administered the oral route resulting
in high levels of the parent compound in the body. The examples described are
all bis-esters, except example 6(b) which discloses a bis-(L-alininate) ester
of ganciclovir as a syrup containing 90% bis-ester and 19% mono-ester. The
described bis-esters are non-crystalline materials which are difficult to
process for the manufacture of oral pharmaceutical dosage forms.
EP
329 discloses amino acid esters of the compounds of the formula indicated and
the physiologically acceptable salts. Examples of preferred amino acids include
aliphatic acids, e.g. containing up to 6 carbon atoms such as glycine, alanine,
valine and isoleucine. The amino acid esters include both mono and diesters.
However, this patent application and US Patent No 5,043,339 (which is
ganciclovir) do not disclose the preparation of mono-esters, much less any data
suggesting their usefulness.
Martin
et al (1982) J
Pharm Sci 76(2) which discloses the mono- and diacyl esters of ganciclovir and
indicate that the dipropionate ester is about 43% more bioavailable than
ganciclovir itself.
There
are also several references to patent applications and research regarding
acyclovir, which is also used for the treatment of herpetic viruses, again at
pages 1-8.
British
Patent (BP) 1 523 865 published in 1978 describes derivatives which include acyclovir,
which has been found to have good activity against herpes simplex and is very
effective upon topical or parenteral administration, but it is only moderately
absorbed upon oral administration.
Maudgal
et al, Arch Ophthalmal,
102 (1984) discloses esters of acyclovir and the advantages of the glycine
ester for administration as eye drops.
Colla
et al, J Med
Chem 98 (1983) discloses several water soluble ester derivatives of acyclovir
and their salts as prodrugs of acyclovir. The authors suggest that these
acyclovir esters should be more practical for clinical use than the parent
compound (acyclovir) for topical treatment as eye drops and for treatment of
herpes virus infections that respond well to intravenous acyclovir treatment.
European
Patent Application 308 065, published in 1989, discloses the valine and
isoleucine esters of acyclovir, preferably in the L-form , as showing a large
increase in absorption from the gut after oral administration when compared
with other esters and acyclovir.
Beauchamp
et al, Antiviral
Chemistry and Chemotherapy 3 (1992) discloses 18 amino esters of acyclovir
and their efficiencies as prodrugs. The L-amino acid esters were better
prodrugs than the corresponding D-, or D, L-isomers, suggesting the involvement
of a stereoselective transporter. According to the authors, the L-valyl ester
of acyclovir was the best prodrug, in terms of bioavailability, of the esters
investigated.
[74]
The
Patent notes that, currently, ganciclovir is the leading drug for the treatment
of cytomegalovirus infection. It also notes that ganciclovir has limited oral
bioavailability and needs slow daily intravenous infusion of the drug. This
indicates the “urgent need” for an oral dosage form with improved
bioavailability.
[75]
The
invention of the ‘721 Patent and its promise are described at page 9 of the Patent
specification as follows:
The
present invention provides a stable prodrug formulation of ganciclovir with
improved oral absorption and low toxicity. Such characteristics are especially
valuable for suppression of herpetic infections in immunocompromised patients
where oral administration therapeutically is the preferred choice. In addition,
the active ingredients exhibit pharmacopoeial properties which permit their
improved characterization and pharmaceutical processing. Surprisingly, it was
found that the L-monovaline ester of ganciclovir and its pharmaceutically
acceptable salts exhibit these desired characteristics.
[76]
The
compound is described in more detail at pages 9-11 and definitions of terms are
provided at pages 9-19.
[77]
The
processes to prepare the compound are described at pages 20-22 and later in the
Patent. The uses of the compound are set out at pages 22-24.
[78]
At
page 24 the utility of ganciclovir as a proven antiviral drug is noted to have
been established by determining the blood level concentrations of ganciclovir
in test animals (the rat and monkey) following oral administration of the
prodrug. The concentrations were determined according to the methods described
in Examples 9 and 10 (which appear later in the Patent at pages 51-55).
[79]
The
modes of administration of the compound are noted at page 24 as any of the
usual and acceptable modes known in the art, noting that oral pharmaceutical
compositions are preferred.
[80]
The
preferred acids, compounds, and compositions are described at pages 24-28. The
most preferred compounds are described on page 27 and it is noted that these
compounds can be prepared as crystalline materials and therefore can be easily
manufactured into stable oral formulations. Oral and intravenous formulations
are preferred. The oral formulations have the advantage of high
bioavailability; the intravenous formulations have the advantage that the
prodrug of the invention, unlike intravenous ganciclovir formulations, can be
prepared using a physiologically more acceptable ph (4-6). The intravenous
formulation of ganciclovir requires a ph of 11 which results in irritation.
[81]
At
pages 31-39, the Patent describes the steps for the preparation of the mono-L-valine
ganciclovir.
[82]
On
page 39 under a separate heading, The Manufacture of Crystalline 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate,
(i.e. valganciclovir), it is noted that:
The
compound of the invention can be, and has been, produced in crystalline form. This
is a decisive advantage over the compounds disclosed in the prior art which
have been described as non-crystalline materials. The advantage resides in the
fact that pharmaceutical formulations can be more easily produced with a
crystalline material. A crystalline material can be processed efficiently and
is susceptible of being more reproducibly characterized than a non-crystalline
material, and the quality of the crystalline materials of the invention can be
much more readily ascertained than that of non-crystalline materials.
[83]
Examples
are described at pages 40-57. None of the examples, except Examples 9
and 10, indicate their purpose and none state or summarize a conclusion.
[84]
Examples
9 and 10, which were first referred to at page 24, are more fully described at
pages 51-55.
[85]
Example
9 indicates it was used to determine the oral absorption (oral bioavailability)
of the compound of Formula I (L-monovaline ester of ganciclovir) and of other
ganciclovir amino acid esters and other ganciclovir esters and ethers examined
for comparative purposes. It provides bioavailability results for ganciclovir,
other esters of ganciclovir, EP 329 and the G-L-valinate ester of the invention
and the G-L-valinate hydrochloride of the invention. The example indicates
that ganciclovir had oral bioavailability of 7.9%, G-bis (L-valine) ester
ganciclovir (EP 329) had oral bioavailability of 52% and the amino acid ester
of the present invention (G-L-valinate hydrochloride) had a 98% oral
bioavailability.
[86]
Example
10 indicates that it was used to determine the oral bioavailability of
valganciclovir in the monkey. This suggests that the invention, mono L- valine/valganciclovir,
had an oral bioavailability of 35.7%, whereas the bis-L-valinate (EP 329) had a
23.5% oral bioavailability and ganciclovir had 9.9 %.
[87]
The
‘721 Patent ends with 17 claims.
[88]
Claim
1 is the broad compound. Claims 2-3 are directed at the compound and its
diastereomers and salts. Claim 4 is directed to the crystalline form of the
compound. Claims 5-8 cover specific salts and diastereomers. Claims 9-10 cover
pharmaceutical compositions. Claim 11 covers intermediates and Claim 15 covers
their use to make the compounds in Claims 1-8. Claims 12-13 are process claims
which are not at issue. Claims 14, 16, and 17 cover the uses of the compounds
claimed.
[89]
The
claims of the ‘721 Patent are as follows:
1. The
compound 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
or a pharmaceutically acceptable salt thereof, in the form of its (R)– or
(S)–diastereomers, or in the form of mixtures of the two diastereomers.
2. The
compound according to Claim 1 comprising said mixture containing equal amounts
of its (R)- and (S)- diastereomers.
3. The
compound according to Claim 1 wherein the pharmaceutically acceptable salt is
the hydrochloride or acetate.
4. A compound according to Claim 1 in
crystalline form.
5. The
compound of Claim 1 which is
(R)-2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
and its pharmaceutically acceptable salts.
6. The
compound of Claim 1 which is
(S)-2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
and its pharmaceutically acceptable salts.
7. A compound according to Claim 5 or 6
wherein said salt is the hydrochloride.
8. A compound according to Claim 5 or 6
wherein said salt is the acetate.
9. A
pharmaceutical composition comprising a compound according to any one of Claims
1 to 8 together with a pharmaceutically acceptable excipient or carrier
material.
10. The
pharmaceutical composition according to Claim 9 for intravenous administration.
11. A compound of the formula
wherein
P1
is hydrogen or hydroxy-protecting group and P2 is an
amino-protecting group.
12. A process
for preparing the compound
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
or a pharmaceutically acceptable salt or diastereomers thereof which process
comprises:
(a) removal of
an amino- and/or hydroxy-protecting group from a compound with the formula
wherein:
P1 is a hydroxy-protecting group or
hydrogen, P2 is an amino-protecting group, and P3 is
hydrogen or P2;
to
afford the compound
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-
L-valinate or a pharmaceutically acceptable salt thereof;
(b) conversion
of the compound
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
into a pharmaceutically acceptable salt thereof; or
(c) esterification
of 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-1,3-propanediol
(ganciclovir) or a salt thereof, with an activated derivative of L-valine; or
(d) condensation of an optionally substituted
guanine of the formula
optionally
in persilylated form,
wherein:
P3
is hydrogen or an amino-protecting group, with an 2-substituted glycerol
of the formula
wherein:
Y1
and Y2 independently are halo, lower acyloxy, lower alkyloxy, or
aryl(lower)alkyloxy groups, and Z is a leaving group selected from lower
acyloxy, methoxy, isopropyloxy, benzyloxy, halo, mesyloxy or tosyloxy;
optionally
in the presence of a Lewis acid catalyst, to provide the compound
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate;
or
(e) partial
hydrolysis of the bis ester
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-1,3-propanediyl bis
(L-valinate) or a salt thereof to afford the monoester
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
or a pharmaceutically acceptable salt thereof; or
(f) diastereomeric
separation of
2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate
into its (R) and (S) diastereomers.
13. The process of
Claim 12, wherein the removal of amino- and hydroxy-protecting groups is
carried out under acidic conditions.
14. A compound
as claimed in any one of claims 1 to 8 as a therapeutically active agent for
the treatment of viral diseases.
15. The use of a
compound as claimed in claim 11 for the preparation of a compound as claimed in
claims 1 to 8.
16. The use of a
compound as claimed in any one of claims 1 to 8 for the preparation of a
pharmaceutical composition.
17. The use of a
compound as claimed in any one of claims 1 to 8 for the preparation of a
pharmaceutical composition for the treatment of viral diseases.
CONSTRUCTION OF THE CLAIMS
Jurisprudence / Principles
re the Construction of a Patent
[90]
In
Apotex Inc v Sanofi-Aventis, 2011 FC
1486, [2011] FCJ 1813, Justice Boivin noted:
[59] The Court observes that claims construction is a
question of law and must be addressed with a purposive approach in order “to
achieve fairness and predictability and to define the limits of the monopoly” (Dimplex
North America Ltd. v CFM Corp., 2006 FC
586, 54 CPR (4th) 435, at para 49, aff'd 2007 FCA
278, 60 CPR
(4th) 277). In so doing, the Court is required to read the patent
claims with “a mind willing to understand” (Whirlpool, above).
[91]
Justice
Hughes reviewed all the relevant case law and provided a useful summary of the
principles which govern claim construction in Pfizer
Canada Inc and Warner Lambert Company LLC v Pharmascience Inc et al, 2013 FC 120, [2013] FCJ 111:
[64] There
have been many judicial instructions as to the construction of a claim. To
summarize:
•
construction
must be done before considering the issues of validity and infringement;
•
construction
is done by the Court alone, as a matter of law;
•
the Court is
to construe the claim through the eyes of the person skilled in the art to which
the patent pertains;
•
the Court may
obtain the assistance of experts to explain the meaning of particular words and
phrases, and as to the state of the art as of the date the claim was published;
•
the Court
should read the claim in the context of the patent as a whole, including the
description and other claims;
•
The Court
should avoid importing this or that gloss from the description;
•
the Court
should not restrict the claim to specific examples in the patent;
•
the Court
should endeavour to interpret the claim in a way that gives effect to the
intention of the inventor;
•
the Court
should endeavour to support a meritorious invention.
[92]
Justice
Hughes traced the current state of the law to Free World Trust v
Électro-Santé Inc, [2000] 2 S.C.R. 1024, [Free World Trust] where Justice
Binnie noted that Canadian courts prefer the “peripheral claiming principle” –
an approach whereby the legal boundary of the monopoly of the patent is defined
by the claims. Justice Binnie wrote at para 68:
The
other school of thought supporting what is sometimes called the
"peripheral claiming principle" emphasizes the language of the claims
as defining not the underlying technical idea but the legal boundary of the
state-conferred monopoly. Traditionally, for reasons of fairness and
predictability, Canadian courts have preferred the latter approach.
[93]
Justice
Binnie indicated that an informed and purposive construction was required to
advance research while promoting certainty, and generally, to reflect the
patent bargain. At para 50, he stated:
I
do not suggest that the two-stage approach necessarily ends at a different
destination than the one-stage approach, or that the two-stage approach has
resulted in abuse. I think we should now recognize, however, that the greater
the level of discretion left to courts to peer below the language of the claims
in a search for "the spirit of the invention", the less the claims
can perform their public notice function, and the greater the resulting level
of unwelcome uncertainty and unpredictability. "Purposive
construction" does away with the first step of purely literal
interpretation but disciplines the scope of "substantive" claims
construction in the interest of fairness to both the patentee and the public.
In my view its endorsement by the Federal Court of Appeal in O'Hara was
correct.
Construction of the ‘721
[94]
Turning to
the claims, I have endeavoured to construe those at issue in an informed and
purposive way through the eyes of the POSITA with regard to the Patent as a
whole and with the benefit of the evidence of the experts.
[95]
As noted
above, the POSITA or “skilled person” is a composite person or a team of
persons with expertise in medicinal chemistry, solid state chemistry, synthetic
chemistry, pharmaceutical formulation, pharmacology and pharmacokinetics at the
Masters or PhD level.
[96]
The experts
for both parties expressed similar opinions with respect to how the patent
should be construed.
[97]
I would
construe the claims as follows:
Claim 1 of the patent covers the
compound, 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-3-hydroxy-1-propanyl-L-valinate,
referred to as valganciclovir, or its pharmaceutically acceptable salts, either
as the (R) diastereomer or (S) diastereomer separately, or as a mixture of the
two diastereomers. The claim is not specific to the solid state form (crystalline
or non-crystalline) of the compound and thus encompasses both. The claim is
also not specific to the route of administration. In simple terms, claim 1
includes a mixture of the (R) and (S) diastereomers of the L-valganciclovir as
well as the pharmaceutically acceptable salts of these compounds.
Claim
2 covers the compounds of claim 1 (valganciclovir) where the compound contains
equal amounts of the two diastereomers (i.e. 50% of the (R) mono–L-valinate
ganciclovir and 50% (S) mono-L– valinate ganciclovir).
Claim
3 covers the compounds of claim 1 (valganciclovir) but includes only the
hydrochloride or acetate salts of mono-L–valinate ganciclovir.
Claim
4 covers the compounds of claim 1 (valganciclovir) when the compound is in
crystalline form.
Claims
5 and 6 cover the two diastereomers individually. Claim 5 covers the compound
of claim 1 (valganciclovir) but indicates only the (R) diastereomer. Claim 6
covers the compound of claim 1 (valganciclovir) but indicates only the (S)
diastereomer.
Claim
7 covers the compounds of claims 5 or 6 but limits the compounds to the
hydrochloride salt.
Claim
8 covers the compounds of claims 5 or 6 but limits the compounds to the acetate
salt.
Claim
9 covers a pharmaceutical composition (i.e. a mixture of active ingredient and
inactive ingredients to form a drug for administration to a patient) that can
contain any of the compounds of any of claims 1-8.
Claim
10 covers a pharmaceutical composition of claim 9 for intravenous
administration.
Claim
11 covers an intermediate compound of the formula set out in that claim.
Claim
12 and 13 relate to processes for the manufacture of the compound of claims 1-8
(i.e. for the L-valine ester of ganciclovir).
Claim
14 covers the compounds of claims 1-8 as a therapeutically active ingredient
for the treatment of viral diseases.
Claim
15 covers the use of the compounds of claim 11 in the preparation of the
compounds of claims 1-8.
Claims
16 covers the use of a compound of claims 1 to 8 for the preparation of a
pharmaceutical composition.
Claim
17 covers the use of a compound of claims 1 to 8 for the preparation of a
pharmaceutical composition for the treatment of viral diseases.
[98]
There are
several dependent claims, such as claims 2-8, and all are dependent on claim 1.
THE INVENTION
[99]
The
invention, or the inventive concept, is a point of major disagreement between
the parties. The identification of the inventive concept is essential for the
assessment of all the allegations and it should therefore be addressed at the
outset.
[100] The applicant, Roche, submits
that the invention is the identification that valganciclovir has unexpectedly
better bioavailability over the previously known esters of ganciclovir, most
importantly the bis-valine ester (i.e. the EP 329).
[101] Roche submits that the
improvement is over not only the closest prior art (the bis-ester, i.e. EP
329), but also over other known ganciclovir esters and over ganciclovir itself,
the bioavailabilities of which are explicitly compared to L-valganciclovir in
the Patent (the comparisons are set out in Examples 9 and 10 which are first
referred to at page 24 of the Patent).
[102] Apotex submits that the inventive
concept described by Roche cannot be supported because the ‘721 Patent does not
state that valganciclovir is an improvement over the bis-valine ester, rather
that it is an improvement over ganciclovir. Apotex also submits that the
POSITA would not look to Examples 9 and 10 as disclosing the invention.
[103] In addition, the Patent does not
state that the L-valine bis-ester had any shortcomings in terms of oral
bioavailability or that the ‘721 Patent was directed at overcoming such
problems.
[104] Apotex asserts that the invention
as described in the ‘721 Patent is crystalline valganciclovir and its salts
which has the advantage of being a stable prodrug of ganciclovir with low
toxicity, having pharmacopoeial properties that will permit improved
characterization and pharmaceutical processing, and when administered orally, have
better oral bioavailability than ganciclovir.
The Expert Evidence
[105] The experts addressed the issue
of whether the ‘721 Patent claims that the mono-L-valine ester of ganciclovir
(i.e. valganciclovir) is better (improved) than the bis-ester (EP 329) and
other esters of ganciclovir or whether it claims that the mono-L-valine ester
of ganciclovir (valganciclovir) is better (improved) than ganciclovir. The
experts are not ad idem with respect to the inventive concept.
[106] Dr Sawchuk indicated at paragraph
66 of his affidavit that the POSITA would understand that the invention of the ‘721
Patent is the L-mono-valine ester of 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl) methoxy-1,3-propanediol
and its pharmaceutically acceptable salts (i.e. valganciclovir) which has the advantages
of: improved oral absorption and delivery of ganciclovir over the compounds in
the prior art; a low toxicity profile; and, improved stability (which can
include in vivo stability and stability for pharmaceutical processing).
[107] Dr Tsantrizos indicated at
paragraph 39 of her affidavit that the POSITA would understand that the ‘721
Patent relates to the L-valine mono-ester of ganciclovir which is a prodrug
formulation of ganciclovir and has the advantages of a) being stable, b) having
improved oral absorption; and c) having low toxicity.
[108] Dr Tsantrizos also noted that
making L-valganciclovir in the first place is a key inventive step in the ‘721 Patent.
She added that while a chemist may prefer an amorphous or a crystalline
compound (depending on the application) that does not take away from the fact
that it is the compound itself that is the first inventive step; in this case,
L-valganciclovir is the first inventive step.
[109] Dr McGuigan provided a summary of
his opinion at para 31 of his affidavit, “The inventive concept/step of
the claims of ‘721 patent valganciclovir and its salts and that they can [sic] prepared
as crystals.” I note that a verb is missing.
[110] Dr McGuigan conveyed his opinion
on the inventive step in different ways.
[111] At para 299 he notes that “The
inventive concept/step of each claim is clear from the wording of the claims
themselves and relates to the specific compounds claimed therein. Additionally,
the skilled person would understand from the disclosure of the 721 patent that
the aspect of the invention that sets it apart from the prior art, thus
comprising the inventive concept/step, is the crystalline nature of these
compounds.”
[112] Dr McGuigan also noted that the
‘721 Patent distinguishes its invention from those esters prepared in EP 329 by
pointing out that they were non-crystalline in nature and therefore difficult
to process for the manufacture of oral pharmaceutical dosage forms. He noted
that the ‘721 Patent indicates that the crystalline nature of the compounds
provides a decisive advantage over those compounds of the prior art that were
described as non-crystalline. He concluded that the inventive concept of the ‘721
Patent is that which is said to set it apart from the prior art: i.e. the
specific compounds set out in the claims and prepared in crystalline form.
[113] Dr McGuigan indicated that a
medicinal chemist would not understand that the improved bioavailability as
compared to ganciclovir is part of the inventive concept because the ‘721 Patent
is not limited to oral administration and many forms of administration do not
need bioavailability.
[114] I would note that I find it
difficult to reconcile Dr McGuigan’s statement that crystallinity addressed the
problem of processing ganciclovir for oral dosage forms and, hence, this is the
inventive concept, with his opinion that oral bioavailability is not part of
the inventive step because the patent is not limited to oral administration. If
crystallinity is a way to improve oral dosage forms, then it too would only be
an advantage for that mode of administration and not for the other modes, for
example, intravenous or parenteral administration.
[115] The goal was to improve the
bioavailability of ganciclovir for oral administration. All experts agreed that
this was a problem with ganciclovir and also with acyclovir.
[116] Dr Zhanel, in his summary of
opinion at para 34 of his affidavit, indicated that the inventive step is
valganciclovir and its pharmaceutically acceptable salts in crystalline form.
[117] Dr Zhanel indicated at para 177
of his affidavit that, “the skilled pharmacologist would appreciate that the
inventive step/concept of the claims of the 721 Patent was valganciclovir, as
well as its pharmaceutically acceptable salts, which (unlike prior art
compounds) are crystalline. The skilled pharmacologist would understand the
inventive concept to include this crystalline form because it is the only
quality described in the 721 Patent providing a “decisive advantage” over the
prior art compounds.”
[118] He also indicated that increased
bioavailability is not an aspect of the inventive concept because the claims
are not limited to the oral formulation and improved bioavailability is only
achieved upon oral administration.
[119] Dr Boeckman, Dr Steed and Dr
Moreton all shared the view that the advantage was crystallinity for similar
reasons as noted by Dr McGuigan and Dr Zhanel.
[120] Dr Moreton also commented on Dr Sawchuk’s
affidavit noting that the Patent does not say that the inventive concept is the
“improved oral absorption and delivery of ganciclovir over the prior art” (para
111). He asserts that the inventive concept does not relate to bioavailability
and adds that if bioavailability were the inventive concept, the patent is
clear that this is an improvement in bioavailability over ganciclovir, not over
the compounds of the prior art.
[121] He expressed the view that
Examples 9 and 10 should not be relied on as disclosing the advantage over the
compounds of the prior art and that a formulator would expect the inventive
concept to be plainly stated, not based on an inference (para 112).
[122] Again, I would note my difficulty
in reconciling the opinion that oral bioavailability is not part of the
inventive concept because oral administration is not the only mode of
administration with the common general knowledge which recognized the need to
improve the bioavailability of ganciclovir for oral administration. Moreover,
the need to improve the bioavailability of ganciclovir was the motivation for
most of the prior art, including that relied on by the Apotex experts as the
most promising research, notably, acyclovir. Although Dr Moreton conveyed the
opinion that the inventive concept was crystallinity, he indicated that if
bioavailability was the inventive concept, it would be bioavailability over
ganciclovir.
Inventive
concept
[123] Based on my review of the Patent
and of the views of the experts, I find that the ‘721 Patent does not assert
that the invention is an improvement over the bis-ester (EP 329) and other
prior art but only over ganciclovir.
[124] The Patent does not assert that
the invention is an improvement over the bis-ester (EP 329) and other prior art
but only that it is an improvement over ganciclovir. There is no clear
reference to an improvement in bioavailability over the ‘329. All of the
problems which the invention sought to solve related primarily to the oral
bioavailability of ganciclovir. The disclosure does not indicate any problems
associated with EP 329 that would suggest a need for improvement that the
present invention then addressed.
[125] The only reference to improvements
over EP 329 and over the other prior art, including over ganciclovir, is in
Examples 9 and 10. However, even these examples compare the invention of the ‘721
to ganciclovir as the key comparator, although the results of testing of the
other esters are included.
[126] Only through a very creative
interpretation could a POSITA understand that the invention of the mono-L-valine
ester of ganciclovir (i.e. valganciclovir) is that it is an improvement over
the bis-ester (EP 329) and over ganciclovir and other esters.
[127] The Patent refers to the prior
art, including EP 329 which is acknowledged to be the closest prior art, and
which is noted as having “advantageous” bioavailability. The ‘721 indicates
that it has “improved” bioavailability. There is no indication of what the ‘721
is improved from. Roche would argue that the POSITA could deduce that the ‘721
is an improvement over the “advantageous” EP 329 and that the reference to the
examples and deductions to be made from the data support such an interpretation.
However, this is not a clearly stated improvement and all of the examples note
the comparison to ganciclovir.
Not crystallinity
[128] I do not share the view that the
inventive concept is the compound as a crystalline product. The Apotex experts
advanced this opinion but I cannot conclude from the testimony of the experts
and the manner in which they described the crystallinity advantage that the
crystalline product can exist and can have the key advantages of the compound
without first making the compound.
[129] Although crystallinity is
described more clearly as an advantage and it does address an identified
shortcoming in the prior art for oral administration, it should be construed as
an additional advantage rather than the only advantage or the stand-alone advantage.
Crystallinity is not the inventive concept; it is a manner of making the
invention.
[130] The Patent describes how to make
the mono-L-valine ester, outlines several steps, and also describes other
methods of preparation. It then refers to how to manufacture the invention as
crystalline, under a separate heading and after several pages describing the
steps to make the mono-L-valine ester and other methods. The earlier parts of
the disclosure refer to the invention, whether amorphous or not.
[131] Apotex submits that Dr Tsantrizos
agreed on cross-examination that the Patent did not teach amorphous
valganciclovir. This is not an accurate portrayal of her testimony. Dr Tsantrizos
indicated that it was not necessary to teach amorphous valganciclovir. She
expressed the view that the Patent covered both forms and that the inventive
step was the compound which could then be prepared as crystalline.
[132] I have, therefore, concluded that
the inventive concept of the ‘721 Patent is the invention of valganciclovir, a
stable prodrug with low toxicity and improved oral bioavailability over
ganciclovir.
IS IT A SELECTION PATENT?
[133]
To
adopt the words of Justice Layden-Stevenson in Eli Lilly Canada v Novapharm,
2010 FCA 197, [2010]
FCJ 951,
the Court should know “the nature of the beast” when considering allegations
with respect to a patent (para 28). In the present case, the applicant, Roche,
raised the issue that the ‘721 could be a selection patent.
[134] Although it is not
essential that I make a finding that the ‘721 is or is not a selection patent,
as there is no attack on utility, the characterisation as a selection patent
will inform the analysis, particularly with respect to anticipation and
obviousness.
[135] The assertions of the
applicant and respondent and the words of the claims themselves are not
determinative of whether this is a selection patent. The applicant, Roche, over
the course of its oral argument, progressed from submitting that the ‘721 was
probably or likely a selection patent to asserting that it was clearly a selection
patent. Roche submitted that EP 329 disclosed a class that encompassed
valganciclovir (i.e. it disclosed both the mono- and the bis-ester) and that
the ‘721 was a selection from this class.
[136] Roche submitted in its
written argument that EP
329 provides a large class of compounds that include both mono- and bis-amino
acid esters of different nucleosides and their derivatives and would have at
least 500,000 compounds. Roche maintains that EP 329 only specifically
discloses bis-esters and does not disclose any mono-esters,
“although they are encompassed within the disclosed class”. In addition, Roche
referred to the Supreme Court of Canada’s decision in Apotex v Sanofi-Synthelabo,
2008 SCC 61, [2008] 3 S.C.R. 265 [Sanofi], regarding the disclosure
requirements of selection patents.
[137] The respondent,
Apotex, referred to genus and selection patents in its NOA in the context of
setting out the test for anticipation, suggesting that the ‘721 could be so
characterised. Apotex submits that the applicant seeks to retroactively
characterize the ‘721 Patent as a selection patent, which it is not, at least
with respect to oral bioavailability. Apotex maintains that the ‘721 Patent
does not clearly define the bioavailability advantage which Roche asserts as
the basis for the selection nor does it indicate that a significant number of
other esters of ganciclovir would not have oral bioavailabilities comparable to
valganciclovir.
[138]
Apotex submits that the ‘721 did not meet the criteria of a selection
patent as it did not disclose the special advantages of the selected compound.
[139] In addition,
regardless of whether the ‘721 is a selection patent, Apotex asserts that the
advantages claimed were over ganciclovir and not over EP 329. No advantages or
improvements were disclosed over EP 329 other than crystallinity.
[140] A selection patent is
like all other patents; the same principles will apply. However, as noted, the
characterisation will inform the analysis of anticipation and obviousness.
[141] While the applicant,
Roche, sought to draw analogies between the ‘721 Patent and the patent at issue
in Sanofi, such analogies may not be appropriate.
[142] I have, therefore,
considered whether the ‘721 is a selection from EP 329.
Jurisprudence / Principles
of Selection Patents
[143]
The
Supreme Court of Canada considered the issue of selection patents in Sanofi
and the principles affirmed in that case have been subsequently applied in
several recent cases.
[144] In Sanofi, Justice Rothstein
adopted the conditions that must be satisfied for a selection patent as set out
below by Justice Maugham
in In re I G Farbenindustrie AG’s Patents (1930), 47 RPC 289 (Ch D) [Farbenindustrie]
and which he noted
were a useful starting point for the analysis:
1. There must be a substantial
advantage to be secured or disadvantage to be avoided by the use of the
selected members.
2. The whole of
the selected members (subject to “a few exceptions here and there”) possess the
advantage in question.
3. The
selection must be in respect of a quality of a special character peculiar to
the selected group. If further research revealed a small number of
unselected compounds possessing the same advantage, that would not invalidate
the selection patent. However, if research showed that a larger number of
unselected compounds possessed the same advantage, the quality of the compound
claimed in the selection patent would not be of a special character.
[145] In Eli Lilly Canada
Inc v Novopharm Limited, 2010 FCA 197, [2010] FCJ 951, Justice Layden-Stevenson
held that the failure of a patent to meet the conditions for a selection
patent does not constitute an independent basis for challenge or invalidity,
but informs the analysis of other bases for invalidity:
[27] In my view, a challenge directed to a determination that
the conditions for a selection patent have not been met does not constitute an
independent basis upon which to attack the validity of a patent. Rather, the
conditions for a valid selection patent serve to characterize the patent and
accordingly inform the analysis for the grounds of validity set out in the Act
– novelty, obviousness, sufficiency and utility. In short, a selection patent
is vulnerable to attack on any of the grounds set out in the Act. I
arrive at this conclusion for a variety of reasons.
[28] As noted in Sanofi, the conditions set out in I.G.
Farbenindustrie describe selection patents (para. 9). In other words, the
conditions are akin to a definition. Rothstein J. found I.G. Farbenindustrie
to be a useful starting point for the analysis to be conducted (para. 11). It
only stands to reason that in undertaking an analysis of novelty, obviousness,
sufficiency and utility, one should know the nature of the beast with which one
is dealing.
[146] At para 33, Justice
Layden-Stevenson restated that, “…[a] selection patent
is the same as any other patent. Its validity is vulnerable to attack on any of
the grounds set out in the Act”.
[147] Although there is no
attack on utility in the present case, the principles Justice Layden-Stevenson
noted in that context are helpful to the assessment of whether the ‘721 is a
selection patent:
[78] With respect to selection patents,
the inventiveness lies in the making of the selected compound, coupled with its
advantage or advantages, over the genus patent. The selection patent must do
more, in the sense of providing an advantage or avoiding a disadvantage, than
the genus patent. The advantage or the nature of the characteristic possessed
by the selection must be stated in the specification in clear terms (Sanofi,
para. 114). In other words, the selection patent must promise an advantage in
the sense that, if the advantage is not promised, the patentee will not be able
to rely on the advantage to support the patent’s validity.
[79] However, no specific number of
advantages is required. One advantage may be enough or any number of seemingly
less significant advantages (when considered separately) may suffice when
considered cumulatively, provided that, in either case, the advantage is
substantial. It is also important to appreciate that there is a distinction
between the promised advantage and the data upon which it is based. For
example, in Ranbaxy, the disclosure provided data indicating a ten-fold
increase in activity for the selected compound in a particular test. While the
trial judge in that case held that the data constituted a promise of ten-fold
increase, this Court disagreed and held that the POSITA would not view the data
as a promise, but rather as support for a promise of increased activity
generally (paras. 52-55).
[80] The promise of the patent must be
ascertained. Like claims construction, the promise of the patent is a question
of law. Generally, it is an exercise that requires the assistance of expert
evidence: Bristol-Meyers Squibb Co. v. Apotex Inc., 2007 FCA 378, F.C.J.
No. 1579 at para. 27. This is because the promise should be properly defined,
within the context of the patent as a whole, through the eyes of the POSITA, in
relation to the science and information available at the time of filing.
[148] Justice Layden-Stevenson also
addressed how anticipation and obviousness should be analyzed with respect to a
selection patent, in accordance with the principles set out in Sanofi. These
principles will be considered below with respect to the allegations of anticipation
and obviousness.
[149] The characterisation
of a patent as a novel or original patent as opposed to a selection patent was
addressed in Lundbeck v Canada, 2010 FCA 320, [2010] FCJ 1504 [Lundbeck].
In that case, the claims of the patent referred to the compound, escitalopram,
as selected from the previously patented compound citalopram. The applications
judge found that it was not a selection patent, rather it was an ordinary
patent for an original compound, and that escitalopram did not purport to be more
useful that citalopram and had no special advantages.
[150] After referring to the
principles from Sanofi and Farbenindustrie, the Court of Appeal noted at para 61:
[61] It is apparent from the foregoing that a selection
patent must be preceded by a prior patent – referred to as a genus or
originating patent – which, in the words of Maugham J. in Farbenindustrie,
describes in general terms and claims compounds from which a selection is made.
That the selection is made from compounds generally described and claimed in a
prior patent does not necessarily mean that the selected compound is
anticipated (Sanofi, para. 19). So long as the selected compound is new
– in that it has never been made – and has a special advantage that was not
previously known and that is peculiar to it, patent protection may be available
(Sanofi, paras. 10 and 31). However, a definitive conclusion cannot be
reached absent a complete analysis (Eli Lilly Canada Inc. v. Novopharm
Limited, 2010 FCA 197, paras. 27 to 33 [Eli Lilly]). In this
respect, it is worth repeating that a selection patent does not differ from any
other patent (Sanofi, para. 9).
[151] The Court went on to
note that the first question was to determine if the genus patent described in
general terms and claimed compounds from which escitalopram was selected. This
should be done through the eyes of the person skilled in the art and how they
would have read the claims as of the claims date. The Court noted at para 69:
A selection patent, by definition, is directed at a compound which
comes within those generally described and claimed in a prior patent. What the
Applications Judge found is that escitalopram did not come within such a
description because it was not amongst those previously described and claimed.
[152] Although the patent
claimed a surprising result, the Court noted that the surprise must be in
relation to an advantage over a previously patented compound. The inventor
cannot simply claim a surprise and characterize the invention as a selection
patent. In Lundbeck, the patent did not assert or promise that
escitalopram was better than citalopram. The Court of Appeal agreed that no
special advantage was claimed in express terms in the patent and it was,
therefore, an ordinary patent for an original compound and its validity was to
be assessed on that basis.
[153] Justice Hughes recently
summarized the case law on pharmaceutical claims in Pfizer v Pharmascience,
2013 FC 120, [2013] FCJ 111, and with respect to utility and disclosure noted
at paras 103 to 104 as follows:
[103] The
law is clear that where a new compound, such as a pharmaceutical, is
the invention, the specification must state the utility of that compound so as
to satisfy the definition of “invention” in section 2 of the Patent Act; however, the
utility need not be part of the claim. The claim may be directed simply to the
compound itself. Where, however, the invention lies in the new use of a known
compound, then the claim must include that use (Apotex Inc v Wellcome
Foundation Ltd, [2001] 1 FC 495, at para 81 (FCA); aff’d [2002] 4 S.C.R. 153).
[104] Where
the invention lies in the selection of certain compounds out of a group of
known compounds as being exceptionally useful for the known purpose, the claim
must be clearly directed to those compounds as selected, and all such compounds
should exhibit the exceptional characteristics ( Re I.G. Farbenindustrie, infra.).
[154] Justice Hughes also noted that
the three conditions for selection patents set out in Farbenindustrie (pages
322 to 323), and endorsed by the SCC in Sanofi, reflect the current
doctrine on “selection” patents in Canada.
[155] The jurisprudence has
established that a
valid selection patent must have a substantial advantage, and the patentee must,
“define in clear terms the nature of the
characteristic which he alleges to be possessed by the selection for which he
claims a monopoly” (Farbenindustrie
at page 323).
[156] In GlaxoSmithKline Inc v
Pharmascience, 2008 FC 593, [2008] FCJ 742, Justice Barnes considered
whether the patent for valacyclovir (Canadian Patent ‘083) was a valid
selection patent from the genus ‘493 patent. The generic alleged that the
patent was invalid on several grounds, including that the patent did not
contain or disclose a valid selection from the genus. (Note that valacyclovir
is also a treatment for herpes viruses and more will be said about valacyclovir
later in these reasons).
[157] Justice Barnes found that the
patent was not anticipated, nor obvious; however it failed for lack of utility.
[158] Although lack of utility is not
alleged in the present case, and an allegation of invalidity as a selection
patent is not an independent ground of attack, the words of Justice Barnes are
instructive, given the similarities with the present case:
66
In a
pharmaceutical selection patent, the invention is the discovery of a surprising
or unexpected advantage of the selection over the genus of compounds from which
it was chosen. The utility of such a selection is not found in the fact that it
works to successfully treat some human condition or ailment but rather that
it works surprisingly better than the compounds monopolized by the genus
patent. That is the inventive promise made and the inventive promise that
must be established.
67
In this
case, GSK's 493 Patent claimed a monopoly over several thousand ester compounds
of acyclovir for the treatment of specified viral infections. In other words,
GSK widely cast its net over thousands of ester compounds of acyclovir --
including valacyclovir -- as effective and useful prodrugs. To claim a further
monopoly over valacyclovir it was incumbent upon GSK to establish that
valacyclovir had surprising and unexpected utility over the 493 Patent genus
compounds. It is not enough for GSK to establish that valacyclovir was useful
as a prodrug because it worked better than acyclovir. That claim had already
been asserted in the 493 Patent.
68
All that GSK
did in this instance was select a likely compound from among the many compounds
claimed by the 493 Patent and measure its oral bioavailability properties in
rats against two other esters of acyclovir already exemplified in the 493
Patent. From that analysis GSK obtained data which, at most, allowed for a
qualitative or rank ordering of the compounds tested for human use and which
identified valacyclovir as the best of the three. There is no evidence to
establish or to support a prediction that valacyclovir had a better oral
bioavailability profile than any of the other compounds of the 493 Patent
genus. This was, according to GSK, sufficient to support an inventive
selection. As previously noted above, I do not agree.
69
I have
therefore concluded that the 083 Patent is invalid because GSK has failed to
establish an inventive selection by failing to prove a special advantage or
utility vis-à-vis the genus from which valacyclovir was chosen. Therefore, the
083 patent fails for lack of utility.
Application to the ’721
[159] Based on the foregoing,
can it be said that the ‘721 is a selection patent; i.e. is it a selection from
the class of compounds set out in EP 329, and what special advantages does it
possess and disclose over and above EP 329? As noted in Lundbeck, claiming
a surprising result is not enough.
[160] The considerations relevant to
the determination of whether the ‘721 is a selection patent from EP 329 are
related to the disclosure of the promise of the patent and the identification
of the inventive concept. As noted and considered earlier in these reasons, the
applicant and respondent take divergent views on the inventive concept.
[161] In the claims of the patent there
is no reference to special advantages (as there need not be) and there is no
reference to it as a selection patent.
[162] The specifications of the patent
must be reviewed carefully to determine what the invention is, what the advantages
are, and whether it is derived or selected from a class.
[163] The first paragraph of the
specification of the ‘721 Patent states, “The present invention relates to a
novel antiviral drug, particularly an amino acid ester of a purine derivative,
and most particularly to an ester derived from ganciclovir and L-valine and pharmaceutically
acceptable salts thereof. … More specifically, the invention relates to the
L-monovaline ester derived from 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)methoxy-1,3-propane-diol
and its pharmaceutically acceptable salts.”
[164] The inventors are thus claiming
to have invented a novel compound and that it is derived from the
compound of “L-monovaline ester derived from 2-(2-amino-1,6-dihydro-6-oxo-purin-9-yl)
methoxy-1,3-propane-diol and its pharmaceutically acceptable salts,” which is
the ganciclovir compound.
[165] In Lundbeck, the applications judge rejected
Genpharm’s argument that the ‘452 was a selection patent at para 73, despite
that it was framed as such:
In
this respect, Genpharm points to wording which appears under the heading
"Summary of invention" as follows: "... it was shown to our
surprise that almost all [the activity] resided in [escitalopram]". The
Applications Judge qualified these words as "puffery" after noting
that no promise is made that escitalopram is better than citalopram (Reasons,
para. 59).
[166] As noted above, the Court of
Appeal emphasized that the surprise must be in relation to an advantage over a
previously patented compound. In that case, there was no special advantage
expressly claimed in the patent.
[167] In the present case, Roche’s
contention throughout the proceeding has been that the ‘721 demonstrates
special advantages over the bis-ester compound. As noted previously, I have
found that the inventive concept is valganciclovir, a stable drug with low
toxicity and improved bioavailability over ganciclovir. Contrary to Roche’s
position, the inventors of the ‘721 do not state explicitly that the mono-ester
of ganciclovir is an improvement over the bis-ester of ganciclovir (i.e. EP
329). Roche relies on an interpretation of the Patent that requires
extrapolation from Examples 9 and 10 to describe the improvements of the
invention over the purported genus patent, EP 329, i.e. that the mono-ester of
ganciclovir is an improvement over the bis-ester and over ganciclovir and other
esters. Although the results for other esters such as EP 329 are included, the
examples rely on ganciclovir as the comparator compound.
[168] The inventors of the ‘721 do
assert that the present invention is an improvement. However, the improvement
is more clearly described in relation to the parent compound of ganciclovir and
not in relation to EP 329, which teaches the bis-ester.
[169] According to the ‘721, the
invention relates not to special advantages of a compound selected from a
previous class, but a formulation of a new prodrug that is an improvement over
the previously invented ganciclovir compound, (US Patent 4 355 032, described
at p 1 of the ‘721 Patent). Following the description of the ‘032 ganciclovir
compound, which includes the problems associated with this drug, the inventors
conclude at line 6, page 2 of the Patent: “Therefore it has been highly
desirable to provide ganciclovir with an improved oral absorption profile.” No
problems were identified with respect to EP 329 that the ‘721 (the purported
selection) seeks to overcome and resolve.
[170] Roche asserted in oral argument
that the closest prior art to a “genus” patent in the present case is EP 329.
The ‘721 describes the EP 329 Application as disclosing “prodrug compounds with
the following formula…” and also disclosing “amino acid esters of the compounds
of the formula…” in its specification (pages 3-4 of the Patent). The inventors
then provide the examples of the preferred amino acids, and state: “The amino
acid esters include both, mono and diesters. However, this patent application,
as well as European Patent Application, Publication No. 375 329 and US Patent
No. 5,043,339 do not disclose the preparation of monoesters, much less any data
suggesting their usefulness.” Roche emphasized that the preparation of the mono-amino
acids was not disclosed in EP 329, and the advantages were not known.
[171] In the present case, the ‘721
Patent does not state that EP 329 discloses a class of compounds from which the
‘721 compound is selected. Rather, it appears that the ‘721 is claimed by the
inventors to be an improvement over the parent compound, ganciclovir. EP 329
was also an improvement over the parent compound, ganciclovir.
[172] The inventors of the ‘721 noted
in the specifications of the Patent that the leading drug was ganciclovir;
however, its limited oral bioavailability indicated the need for an oral dosage
with improved bioavailability.
[173] The inventors of the
‘721 Patent do not claim to select from a known group of compounds, but
instead claim to create a new compound, which improves specifically over the
existing compound of ganciclovir. The
special advantages advanced in oral argument by Roche are not the special
advantages which are claimed in the ‘721.
[174] While the special advantages of
the ‘721 may in fact be significant, the advantages of this invention over the
purported genus of EP 329 are not sufficiently described to characterize this
as a selection patent. The improved bioavailability over ganciclovir and over
EP 329 is quantified only in Examples 9 and 10. While data is simply supportive
of the promise and does not constitute the promise of the patent (see Eli Lilly, above at para 147), the improved bioavailability,
stability and toxicity are not described as a substantial advantage over EP
329.
[175] I would again note that the
accuracy of the data in Examples 9 and 10 was challenged and the evidence in
the Malcolm Declaration indicated that the results were overstated and provided
a rationale for the overstatement. There was improved bioavailability over
ganciclovir and other esters, but the magnitude of the bioavailability is in
dispute.
[176] In my view, if the ‘721 should be
characterized as a selection patent, it would more likely be a selection from
US Patent ‘032, ganciclovir, which had noted bioavailability problems that were
addressed in both EP 329 and in the ‘721 Patent. The claims of the ‘721 refer
to the compound derived from ganciclovir.
[177] I have concluded that the ‘721 is
an ordinary patent; a novel compound.
[178] However, if I am wrong, and if the
‘721 is a selection patent from EP 329, I would come to the same results with
respect to anticipation and obviousness as determined below.
ANTICIPATION
[179]
The first ground of invalidity alleged by Apotex is that the ‘721
Patent was anticipated by EP 329.
[180] While both the applicant and
respondent agree that the test for anticipation is the refined test as stated
by the Supreme Court of Canada in Sanofi, and includes a two-part
approach of disclosure and enablement, the parties would apply the test differently
and disagree on the extent to which the first branch of the test, that of
disclosure, has changed.
[181] The applicant, Roche,
agrees that in order for a prior art reference to anticipate a claim in a
patent, that reference must disclose and enable the subject matter of the
claimed invention.
[182] Roche submits that prior
disclosure means that the prior art must disclose subject matter which, if
performed, would necessarily result in infringement of that patent. In other
words, the prior art reference must teach a result which inevitably is within
the claims. If other results could occur which would not be within the claims,
it cannot anticipate. Roche submits that the disclosure must be specific and unambiguous
in disclosing each element of the claimed invention. In other words, Roche
submits that if there were other possibilities that would not infringe the
patent, the invention is not disclosed.
[183] Roche took the position that the
‘721 was likely a selection from EP 329, and relied on a passage from Sanofi
at para 31 with respect to the analysis of an allegation of
anticipation:
The compound made for the selection patent was only soundly
predicted at the time of the genus patent. It was not made and its special
advantages were not known. It is for those reasons that a patent should not be
denied to the inventor who made and discovered the special advantages of the
selection compound for the first time.
[184] Roche notes that there is no
dispute that the mono-L-valinate ester was not made in an example in EP 329.
The ‘721 is a different compound than the EP 329 because the ‘721 claims only
the mono-L-valinate ester.
[185] Roche submits that a person could
practice the teachings of EP 329 without infringing the ‘721 Patent. Roche’s
expert, Dr Sawchuk, indicated that several million compounds were disclosed.
Apotex’s expert, Dr Boeckman, indicated on cross-examination that approximately
500,000 compounds would not be valganciclovir.
[186]
Roche takes
the position that there is no disclosure of the special advantages of the ‘721
in EP 329 and therefore, it is not anticipated and the issue of enablement need
not be addressed. It bears repeating that Roche’s
position is that the ‘721 has improved bioavailability over ganciclovir and
over EP 329 and other esters and, therefore, EP 329 does not anticipate because
it does not specifically disclose or make the mono-ester and it does not
describe the comparative oral bioavailability of valganciclovir over other
esters.
[187] Apotex acknowledged that the law
prior to Sanofi established a very stringent test and required that the
disclosure had to be an exact description. Pursuant to the old test, if the
prior art or genus patent disclosure allowed for anything other than the
invention, there was no anticipation.
[188] Apotex argues that in this case,
the skilled person would read the disclosure with common general knowledge and
put it into practice with routine experiments and would arrive with ease at valganciclovir
and its hydrochloride salts.
[189] Apotex asserts that
the two part test in Sanofi has now established a less stringent test
for disclosure. The
anticipatory reference need not be an exact description. If the invention
disclosed is capable of being performed and is performed, and in doing so, the
patent is infringed, it is anticipated.
[190] Apotex submits that
EP 329 disclosed the compounds, the compositions and the uses of what is now
claimed in the ‘721 and if any enablement was required, only routine steps
would be needed to make the invention and to infringe EP 329.
[191] Apotex pointed to
various references and disclosures in EP 329, including that the amino acid
esters of cystosine and ganciclovir are preferred for their improved
bioavailability, that the amino acids include valine, and that the L-amino
acids, including both mono- and bis-esters, are most preferred. In addition, EP
329 disclosed that the compounds have advantageous bioavailability when
administered orally. Apotex submitted that the skilled person would understand
that the mono-L-valine ester of ganciclovir is disclosed among the preferred
compounds of EP 329 to improve bioavailability over ganciclovir.
[192] Apotex also maintains
that the inventive concept in the ‘721 is crystalline valganciclovir and
submits that, although EP 329 describes the compounds as non-crystalline, the
POSITA would have wanted and sought to produce crystalline valganciclovir as
part of a routine purification step to improve the physicochemical properties
of the pharmaceutical product.
[193] Apotex does not agree
with the position taken by Roche that the ‘721 is a selection patent as it does
not clearly disclose or identify a previously unrecognized advantage of the
previously disclosed class (i.e. EP 329). Regardless, Apotex submits that a
selection patent must be analyzed like other patents and must fully disclose
something new.
[194] Both parties noted
the expert evidence on the issue of disclosure and, in the case of Apotex, of
enablement.
The Jurisprudence / General Principles
[195] In Abbott
Laboratories v Canada (Minister of Health), 2008 FC 1359, [2009] 4 FCR 401
aff’d 2009 FCA 94, 73 CPR (4th) 444, Justice Hughes distinguished anticipation
and obviousness, at para 59:
… In brief, anticipation and obviousness are both questions
of fact, prior art may be considered in respect of both, but the tests are to
be used differently. In anticipation, a single document or, for post
October 1989 patents, a single disclosure, is to be considered as it would have
been considered by a person skilled in the art as of the relevant date to
determine if the claimed invention would have been disclosed and enabled to
such a person at that time. If so, the claimed invention was anticipated. With
respect to obviousness, if there are differences between what was disclosed,
was there room left for a person to make an inventive contribution. If
what was not disclosed was something that a person skilled in the art as of the
relevant date would have been expected to do without exercising invention
ingenuity, hence the claimed invention is obvious.
[196] With respect to
anticipation, Justice Hughes noted at para 76 that “The claimed
invention must be kept clearly in mind since it must be the invention, as
claimed, that is to be the subject of the anticipation inquiry.”
[197] As found earlier in these
reasons, the inventive concept is valganciclovir, a stable prodrug with low
toxicity and with improved bioavailability over ganciclovir.
[198] The applicant referred
to the pre-Sanofi law as set out by the Supreme Court of Canada in Free World Trust v Électro Santé
Inc, [2000] 2 S.C.R. 1024, 2000 SCC 66,
at para 26, which adopted the test for anticipation described in Beloit
Canada Ltd v Valmet OY (1986), 8 C.P.R. (3d) 289 (FCA), at p. 297:
One must, in effect, be able to
look at a prior, single publication and find in it all the information which,
for practical purposes, is needed to produce the claimed invention without the
exercise of any inventive skill. The prior publication must contain so
clear a direction that a skilled person reading and following it would in every
case and without possibility of error be led to the claimed invention.
[199] The pre-Sanofi
law set a stringent test for anticipation and was interpreted as requiring an
exact description of the invention in the prior art.
[200] The applicant in the present
case suggested that the first part of the anticipation test, as refined by Sanofi,
was not significantly different and still requires that the prior publication
would lead the skilled person to “necessarily infringe”.
[201] Despite the extensive
case law which has applied the Sanofi test for anticipation, it is
helpful to refer directly to the words of Justice Rothstein in Sanofi
and to the case law since Sanofi.
[202] In rejecting the
stringent test which required that the exact invention had already been made
and disclosed, Justice Rothstein referred to the 2005 UK decision of Lord
Hoffman which established the two-part test (at para 25-26):
[25] He explains that the requirement of prior
disclosure means that the prior patent must disclose subject matter which, if
performed, would necessarily result in infringement of that patent, and states,
at para. 22:
If I may summarize the effect of
these two well-known statements [from General Tire and Hills v. Evans],
the matter relied upon as prior art must disclose subject matter which, if
performed, would necessarily result in an infringement of the patent. . . . It
follows that, whether or not it would be apparent to anyone at the time,
whenever subject matter described in the prior disclosure is capable of being
performed and is such that, if performed, it must result in the patent being
infringed, the disclosure condition is satisfied.
When considering the role of the
person skilled in the art in respect of disclosure, the skilled person is
“taken to be trying to understand what the author of the description [in the
prior patent] meant” (para. 32). At this stage, there is no room for
trial and error or experimentation by the skilled person. He is simply
reading the prior patent for the purposes of understanding it.
[26] If the disclosure requirement is satisfied,
the second requirement to prove anticipation is “enablement” which means that
the person skilled in the art would have been able to perform the invention
(para. 26). Lord Hoffmann held that the test for enablement for purposes
of anticipation was the same as the test for sufficiency under the relevant United Kingdom legislation. (Enablement for the purposes of sufficiency of the patent
specification under the Canadian Patent Act, s. 34(1)(b) of the
pre-October 1, 1989 Act, now s. 27(3)(b), is not an issue to be decided in
this case and my analysis of enablement is solely related to the test for
anticipation. The question of whether enablement for purposes of
sufficiency is identical in Canada is better left to another day.)
[203] The Court further noted
at paragraph 29 that, although it was dealing with a selection patent, its
discussion of anticipation and obviousness applied to patents generally,
subject to the limitations of the Patent Act.
[204] In Abbott Laboratories v
Canada (Minister of Health), 2008 FC 1359 at para 75, [2009] 4 FCR 401 aff’d 2009 FCA 94, 73
CPR (4th) 444,
Justice Hughes summed up the test as established in Sanofi at para 30-32,
reiterating that two separate requirements are necessary for there to be
anticipation; prior disclosure and enablement.
[205] He stated:
[67] Prior disclosure means that the prior patent (publication,
use or other disclosure) must disclose subject matter which, if performed,
would necessarily result in infringement of the patent (claim at issue).
The person skilled in the art looking at the disclosure must be taken to be
trying to understand what the prior patent (or other disclosure) meant.
There is no room for trial and error, the prior art is simply to be read for
the purposes of understanding.
[68] The second requirement is that of enablement which means
that the person skilled in the art would have been able to perform what had
been disclosed. At this stage the person skilled in the art is assumed to
be willing to make trial and error experiments to get it to work. …
[206] Justice Hughes also
noted the non-exhaustive list of factors set out in Sanofi to be
considered in determining enablement. For example, the patent must provide
enough information to allow the invention to be performed without undue burden;
if inventive steps are required, the prior art will not be considered as
enabling. Routine trials are acceptable and would not be considered an undue
burden, but prolonged or arduous trial and error would not be considered
routine.
[207] Given that Roche
argued, in essence, that the first part of the anticipation test was not
significantly different from the pre-Sanofi law, it is helpful to
consider the evolution of the new test, as described by Justice Hughes in his
consideration of its practical application:
[69] To this analysis by the Supreme Court should be added
comments by Floyd J. of the English Chancery Court, Patents Division, in a
recently decided case, June 30, 2008, Actavis UK Limited v. Janssen
Pharmaceutica N.V., [2008] EWHC 1422 (Pat). He was applying the law
established in Synthon, supra. He was considering an
argument to the effect that the prior art must disclose something that, if
carried out, must “inevitably result” in what is claimed in the patent at issue
and, if there was any room for doubt, then there is no anticipation.
Floyd J. rejected that argument, the Court, he held, is required to consider
the evidence on the normal civil burden of “balance of probabilities” and not on
a “quasi-criminal standard”. He wrote at paragraph 85:
85. Is that finding good enough for an inevitable result?
The legal requirement is that this feature of the claim be the inevitable
result of carrying out the prior teaching. Does that mean that if there
is something (sic) other possibility, even a fairly remote one, that some other
result would follow, I should conclude the result is not inevitable? Or
am I concerned to establish what, on the balance of probabilities would in fact
occur? In my judgment, it is the latter approach which is correct. The
inevitable result test does not require proof of individual facts to a
quasi-criminal standard. It may be impossible to establish the relevant
technical facts to that standard. It is another matter if the
evidence establishes that sometimes one result will follow and sometimes
another, depending on what conditions are used. But there is nothing of
that kind suggested here. It is simply a question of what occurs in fact.
(my emphasis)
[208] Justice Hughes also
noted that the Supreme Court of Canada in F H v McDougall, 2008
SCC 53, [2008] 3 S.C.R. 41 emphasized that there is only one standard of proof in
civil proceedings, which is the balance of probabilities.
[209] In conclusion,
Justice Hughes provided a helpful summary of the law governing anticipation,
which has been cited in several subsequent cases (see Lundbeck Canada Inc v
Canada (Minister of Health), 2009 FC 146 at para 44, 46; Eli Lilly
Canada Inc v Novopharm Limited, 2009 FC 301 at para 67; Schering-Plough
Canada Inc v Pharmascience Inc, 2009 FC 1128 at para 87; AstraZeneca
Canada Inc v Apotex Inc, 2010 FC 714 at para 122; Merck & Co v
Canada (Minister of Health), 2010 FC 1042 at para 24):
[75] To summarise the legal requirements for anticipation as
they apply to the circumstances of this case:
1. For there to be anticipation there
must be both disclosure and enablement of the claimed invention.
2. The disclosure does not have to be an
“exact description” of the claimed invention. The disclosure must be
sufficient so that when read by a person skilled in the art willing to
understand what is being said, it can be understood without trial and error.
3. If there is sufficient disclosure,
what is disclosed must enable a person skilled in the art to carry out what is
disclosed. A certain amount of trial and error experimentation of a kind
normally expected may be carried out.
4. The disclosure when carried out may be
done without a person necessarily recognizing what is present or what is
happening.
5. If the claimed invention is directed
to a use different from that previously disclosed and enabled then such claimed
use is not anticipated. However if the claimed use is the same as the
previously disclosed and enabled use, then there is anticipation.
6. The Court is required to make its
determinations as to disclosure and enablement on the usual civil burden of
balance and probabilities, and not to any more exacting standard such as
quasi-criminal.
7. If a person carrying out the prior
disclosure would infringe the claim then the claim is anticipated.
(my emphasis)
[210] In the present case,
the applicant, Roche, suggested that a word had been inadvertently left out of
#7 above and that it should read: “If a person carrying out the prior
disclosure would necessarily infringe the claim then the claim is
anticipated”.
[211] I do not share the
view that the word “necessarily” was inadvertently omitted and that it should
be read into the principle. As noted by Justice Hughes, the civil burden of
proof on a balance of probabilities applies. The “would necessarily infringe”
standard is arguably not different from “would infringe” given that the civil
standard of proof on a balance of probabilities applies. It is clear that Justice
Hughes is providing guidance in #7 that if the person carrying out the
disclosure, which need not be an exact description, would infringe the claim on
a balance of probabilities, then the claim is anticipated.
[212] Many cases have cited
Justice Hughes’ principles and have also referred to the first branch of the
anticipation test as requiring that it “necessarily infringe” or “inevitably
result” in infringement, yet have applied the test on a balance of
probabilities to determine whether the claim has been disclosed in the prior
art.
The Expert Evidence
[213]
The
experts for both Roche and Apotex provided evidence with respect to whether the
prior art, in particular EP 329, disclosed the invention of the ‘721. The
experts for Apotex also provided evidence with respect to whether the
disclosure was enabling.
[214] With respect to disclosure, Dr
Tsantrizos indicated in her affidavit that “because neither the L-valine
monoester of ganciclovir nor its hydrochloride salt are mentioned or made in
any of the examples of the ‘329 Application, it cannot be said that they are
disclosed in the ‘329 Application” (para 42).
[215] She added that EP 329 “does not
teach the L-valine mono-ester of ganciclovir or that the L-valine mono-ester of
ganciclovir is a stable prodrug of ganciclovir with improved oral absorption
and low toxicity. In fact, there is really no teaching of mono-esters in the
‘329 Application at all, other than that they can be made” [emphasis in
original]. She then goes on to say that any reader of the ‘329 “would recognize
that while the broad general formula disclosed in the ‘329 Application includes
both mono- and bis-esters, the ‘329 Application does not provide any indication
that a mono ester should be preferred over the bis-ester. Indeed, by reason of
the focus on only bis-esters in the examples, a person of ordinary skill
reading the ‘329 Application would understand that the bis-esters are preferred
over the mono-esters” (paras 44 and 45).
[216] Dr Tsantrizos later referred to
the six examples of EP 329 and stated that two examples are for bis-valinate,
the others are for other esters which are also bis-esters, and concluded that
there is no specific example of making a mono-ester. However, she later
acknowledged that Example 6b of EP 329 teaches that the L-alanine mono-ester of
ganciclovir is difficult to prepare and can only be obtained as a minor
component (10%) in a mixture with the major product, the L-alanine bis-ester of
ganciclovir (paras 49-50).
[217] Dr Tsantrizos also noted that EP 329
does not provide any biological data to support the statement of improved
bioavailability.
[218] Dr Sawchuk also indicated that
all of the examples made were bis-amino acid esters of ganciclovir and that no
mono-amino acid esters were tested, or even made, except as a by-product in one
example. In a footnote to his affidavit, on the issue of the inventors’
statements that the preferred compounds are mono- and diesters, he noted at
para 76: “These examples include only bis-ester compounds”
[emphasis in original]. He concluded that the preferred compounds were the bis-L-amino
acid esters. He further stated at para 78 that “there are several million
compounds that a POSITA could possibly create with this disclosure. The POSITA
would not be moved to try any mono-esters however, based upon what the
inventors have exemplified as the most preferred compounds, all of which
are bis-esters” [emphasis in original].
[219] Dr McGuigan expressed the
contrary opinion that “… EP 329 discloses the L-valine monoester of
ganciclovir, among other compounds, as a preferred pro-drug that will improve
the oral bioavailability of ganciclovir” (para 169).
[220] Unlike Roche experts, Dr McGuigan
did not focus on the examples, but rather on the specifications where the
invention, its formula, its uses, and its compounds are discussed. He also
commented that the claims of EP 329 define the compounds as including the mono-
and bis-esters, and that the inventers state at line 11 at page 3: “The
above-defined amino acid esters of formula (I) and their salts which are
hereinafter referred to as the compounds according to the invention, are
especially useful for the treatment of prophylaxis of virus infections,
especially herpes infections…and particularly cytomegalovirus, in humans or
non-human animals.”
[221] As a response to what the
inventors claim in the ‘721 (in relation to what is disclosed in EP 329), Dr
McGuigan stated in his affidavit that:
…
the medicinal chemist would not agree with this characterization of EP 329.
Rather, as noted above, EP 329 does indeed identify the monoester and how to
make it (which in any event would not be difficult for the medicinal chemist),
and EP 329 states that all of its compounds have advantageous bioavailability
when administered orally, resulting in high levels of the parent compound (including
ganciclovir) in the body (para 255).
[222] Dr McGuigan also expressed the
opinion that the invention of the ‘721 was the crystalline valganciclovir.
[223] With respect to what was
disclosed in EP 329, he stated:
As
discussed above, EP 329 is a patent application published June 27, 1990 that
discloses, among other things, valganciclovir and its salts and the fact that
these compounds have potent antiviral activity and are especially useful for
the treatment or prophylaxis of viral infection, especially herpes infections
such as herpes simplex, VZV, HCMV, and EB in humans or non-human animals (p. 3,
ln. 11-20). EP 329 also discloses that valganciclovir and its salts
“surprisingly have advantageous bioavailability when administered by the oral
route, resulting in exceptionally high levels of [ganciclovir] in the body.
This enables less drug to be administered while still providing at least
equivalent drug levels of the parent compound in the plasma (para 305).
[224] He also noted that the medicinal
chemist would understand that valganciclovir and its salts are among the most
preferred compounds and that these preferred salts would include the
hydrochloride salt, as listed at lines 8-10, p 3 of EP 329.
[225] Dr Boeckman also noted that EP
329 disclosed both mono- and diesters but found that the examples in EP 329
focus on the preparation of the diester derivatives of ganciclovir (para 50)
and that EP 329 “discloses the possible formation and utility of the monoesters
and one such monoester of ganciclovir derived from alanine was exemplified as
the minor component admixed with the related bis-alaninate ester (example 6).”
[226] With respect to enablement, Dr
McGuigan acknowledged that EP 329 does not teach the preparation of the mono-ester
as in valganciclovir. He indicated that with common general knowledge, this
teaching would have been “straightforward and easy”, or routine according to
the enablement stage of the anticipation test.
[227] Dr McGuigan stated that “…the
medicinal [sic] would have applied the common general knowledge, using known
protection/deprotection chemistry, to arrive at a monoester. Starting from
amino-protected ganciclovir, it would have been straightforward and easy to
obtain the L-valine monoester of ganciclovir as a mixture of diastereomers.
This mixture could then have been separated to isolate each of the
diastereomers, if desired” (para 309).
[228] Dr Boeckman also expressed the
view that a synthetic chemist would have been able to isolate each of the
diester and mono-ester from the mixture noting that whether the mono-ester or
diester is formed depends on the stoichiometry of the L-valine used and that a
synthetic chemist would have known that the process and stoichiometry could be
similarly altered to arrive at the monoester of ganciclovir (para 52).
[229] In summarizing his opinion, Dr
Boeckman stated at para 86:
As
I stated above in my review of the EP 329, it was my view upon reviewing the EP
329 initially that the patent taught the preparation and use of both the
diester and monoester of ganciclovir, including the valine amino acid esters
and the hydrochloride salt thereof, and that the synthetic chemist would be
capable of making the diester and monoester of ganciclovir without undue
hardship, but using only routine chemistry.
Analysis: Has the test for
anticipation been met?
[230]
In
the present case the issue is whether the prior art, EP 329, although not an
exact description of the invention, would have been sufficient so that the
POSITA, willing to understand it, would understand what was invented, without
trial and error? Would this disclosure have enabled the POSITA to carry out
what was disclosed, based on their common general knowledge, and make the
invention, valganciclovir, with some routine trial and error or
experimentation? Would this result in infringing the claims of the ‘721
Patent, on a balance of probabilities?
[231] Not surprisingly, the expert
evidence varies. However, all the experts are in agreement that EP 329
discloses both the mono- and bis-ester, although it did not make the mono-ester.
All of the examples, except for Example 6b, focus on the bis-esters, and Example
6b refers to the L-alanine mono-ester of ganciclovir (not the mono-L-valine
ester) which is only 10% of the mixture with the L-alanine bis-ester of
ganciclovir. Therefore it is fair to say that EP 329 only made bis-esters.
[232] As noted previously, according to
Dr Sawchuk, a POSITA could create several million compounds with the disclosure
of EP 329. In his cross-examination, Dr Boeckman agreed that EP 329 disclosed
at least 500,000 compounds that were not valganciclovir.
[233] On the other hand, Apotex points
to specific references in the disclosure of preferred compounds and elements
that, if chosen and prepared, would result in the preparation of the invention.
On a balance of probabilities, and with the common general knowledge of the
skilled person, would this disclosure be sufficient for a POSITA to understand
what was the invention?
[234] Applying the Sanofi test
and the principles set out by Justice Hughes in Abbott, I find that EP
329 did disclose the invention claimed in the ‘721, which is the mono-L-valine
ester of ganciclovir (valganciclovir). EP 329 discloses both the mono- and bis-ester,
although it prefers and exemplified only the bis-esters. On a balance of
probabilities, the POSITA would read EP 329 and understand that it was teaching
both mono- and bis-esters with both promising improved bioavailability over
ganciclovir.
[235] With this disclosure, the skilled
person would engage in routine chemistry, as noted by the Apotex experts. No
further inventive step would be required as all the compounds were disclosed,
the preferred L-valine ester was noted, and the advantages of improved
bioavailability were promised.
[236] Roche did not address enablement
given its position that there was no disclosure in EP 329, and its position
that the ‘721 was likely a selection patent.
Anticipation if a
Selection patent
[237]
As
noted, the patent at issue in Sanofi was a selection patent, however,
the Supreme Court of Canada noted that the refined test for anticipation (and
for obviousness) applied to patents in general. In Eli Lilly Canada v Novopharm,
2010 FCA 197, [2010]
FCJ 951 [Eli Lilly], Justice Layden-Stevenson
confirmed that a selection patent is like any other patent (para 33).
[238] Although I have found
that the ‘721 was not a selection patent from the genus of EP 329, it is worth
considering whether the test for anticipation would be applied differently if
it were a selection patent.
[239] Recall that in Sanofi,
Justice Rothstein said, with respect to the disclosure part of the test, “[i]f in reading the genus
patent the special advantages of the invention of the selection patent are not
disclosed, the genus patent does not anticipate the selection patent” (para
32).
[240] In the present case,
the applicant submits that the ‘721 is a selection patent and emphasizes that
while the mono- and bis-esters were disclosed in EP 329, only the bis-esters
were made and the improved bioavailability of the invention of the ‘721 over
that of EP 329 and over ganciclovir was not disclosed. These advantages could
not be discovered until the invention was made; therefore, it was not
anticipated by EP 329.
[241] If the ‘721 were a
selection patent from the genus, EP 329, and if the advantages over EP 329 had
been noted in the ‘721, the anticipation argument would likely follow Sanofi
and Eli Lilly. However, in this case, the invention of the ‘721 was the
improved bioavailability over ganciclovir. If it were a selection patent, it
would have been anticipated by EP 329 which disclosed the compounds and those
same advantages.
Conclusion re anticipation
[242]
I
find that the invention of the ‘721 was disclosed in EP 329 and enabled. The
POSITA would understand the invention and make it without extensive efforts and
with no additional inventive step, and in so doing, would on a balance of
probabilities infringe the patent.
OBVIOUSNESS
[243] The second ground of invalidity
asserted by Apotex is that the ‘721 Patent is obvious by virtue of EP 329 and 24 additional
publications as set out in the NOA, including Schedule B, focussing on the
question of whether making the mono-ester instead of the bis-ester would have
been obvious.
[244] The positions of the parties,
stated simply, follow. The applicant, Roche, submits that there was no
indication in the prior art that what the inventors were attempting would work
as the prior art focused on bis-esters and pointed away from the mono-ester. As
a result, the invention of the ‘721 was not obvious to try and it was not clear
that improved bioavailability would result. Roche submits that the Apotex
experts ignored the closest art which was EP 329 and did not address the
question whether the mono-ester would work better than the bis-ester. Roche
also notes that the improvements of the invention were only discovered after
the compound had been made and tested, referring to Examples 9 and 10 which
provide data on the oral bioavailability of ganciclovir, EP 329, other
esters of ganciclovir and the invention. As of July 1994, a POSITA without
access to the ‘721 Patent would not know that L-valganciclovir (a mono-ester)
had improved oral bioavailability over the bis-ester of ganciclovir.
[245] Apotex submits that the skilled
person would recognize the need to improve the oral bioavailability and would
look to the research regarding improvements in the bioavailability of
acyclovir, another leading drug for the treatment of herpes. Apotex notes that
by 1994 this research would have trumped all other research with respect to
improving the oral bioavailability of the compound while maintaining stability
and low toxicity. Apotex asserts that adding the L-valine ester to acyclovir,
resulting in valaciclovir, would have been the clear direction or path and it
provided the motivation to do the same with ganciclovir to result in
valganciclovir. In addition, the skilled person would have taken ordinary steps
to crystallize valganciclovir. In short, Apotex submits that the invention was
obvious.
[246] Apotex maintains that the
inventive concept of the ‘721 Patent is crystallinity. Apotex submits that if
it is not crystallinity, then the inventive concept of any claim is that
valganciclovir has higher oral bioavailability than the bis-ester or other
ester. Apotex submits that the claims would remain obvious.
[247] The parties agree on the
applicable law with respect to obviousness, but disagree on how it should be
applied, particularly with respect to the parameters of the “obvious to try”
test. As previously noted, the parties also disagree on the inventive concept.
[248] The highly qualified
and reputable experts for Apotex disagree with the highly qualified and
reputable experts for Roche, and the Apotex experts have also commented on
specific aspects of the evidence of the Roche experts. All the experts were
cross-examined rigorously. I have carefully considered the extensive expert
evidence.
[249] In doing so, I have
observed that the same expert testimony varies in some respects from issue to
issue. For example, the Apotex experts maintain that oral bioavailability
cannot be said to be the inventive step because oral administration is only one
method of administration and that stability and toxicity cannot be regarded as
advantages. Yet, in pointing to the research on acyclovir, which is also used
to treat herpes, and which the experts describe as the lazer beam or clear path
for improving ganciclovir, these same properties are held out as desirable and
necessary and expected from the addition of the mono-ester.
[250] Apotex submits that
the only advantage of the ‘721 over the prior art is its crystallinity, which
Apotex asserts is the inventive step. However, Apotex also submits that the
skilled person would recognize the need to improve the oral bioavailability of
ganciclovir. Apotex’s expert evidence with respect to obviousness focuses on
the addition of the mono-ester to improve bioavailability, and to either
improve or ensure stability and low toxicity. The formulation as a crystalline
product is also noted as desired and routine but, in the context of
obviousness, appears to be characterised as an additional rather than primary advantage
as the compound must first be made.
Jurisprudence / General
Principles
[251] The Supreme Court of Canada established
the law on obviousness in Canada in Sanofi. With respect to obviousness
Justice Rothstein wrote:
67
It will be useful in an obviousness inquiry to follow the four-step
approach first outlined by Oliver L.J. in Windsurfing International Inc. v.
Tabur Marine (Great Britain) Ltd., [1985] R.P.C. 59 (C.A.). This approach
should bring better structure to the obviousness inquiry and more objectivity
and clarity to the analysis. The Windsurfing approach was recently updated by
Jacob L.J. in Pozzoli SPA v. BDMO SA, [2007] F.S.R. 37 (p. 872), [2007] EWCA
Civ 588, at para. 23:
In
the result I would restate the Windsurfing questions thus:
(1)
(a) Identify the notional "person skilled in the art";
(b)
Identify the relevant common general knowledge of that person;
(2)
Identify the inventive concept of the claim in question or if that cannot
readily be done, construe it;
(3)
Identify what, if any, differences exist between the matter cited as forming
part of the "state of the art" and the inventive concept of the claim
or the claim as construed;
(4)
Viewed without any knowledge of the alleged invention as claimed, do those
differences constitute steps which would have been obvious to the person
skilled in the art or do they require any degree of invention?
It
will be at the fourth step of the Windsurfing/Pozzoli approach to obviousness
that the issue of "obvious to try" will arise.
i.
When Is the "Obvious to Try" Test Appropriate?
68
In areas of endeavour where advances are often won by experimentation,
an "obvious to try" test might be appropriate. In such areas, there
may be numerous interrelated variables with which to experiment. For example,
some inventions in the pharmaceutical industry might warrant an "obvious
[page294] to try" test since there may be many chemically similar
structures that can elicit different biological responses and offer the
potential for significant therapeutic advances.
ii.
"Obvious to Try" Considerations
69
If an "obvious to try" test is warranted, the following
factors should be taken into consideration at the fourth step of the
obviousness inquiry. As with anticipation, this list is not exhaustive. The
factors will apply in accordance with the evidence in each case.
1.
Is it more or less self-evident that what is being tried ought to work? Are
there a finite number of identified predictable solutions known to persons
skilled in the art?
2.
What is the extent, nature and amount of effort required to achieve the
invention? Are routine trials carried out or is the experimentation prolonged
and arduous, such that the trials would not be considered routine?
3.
Is there a motive provided in the prior art to find the solution the patent
addresses?
[252] Justice Rothstein also noted that
other factors may be relevant including the history of the invention, whether
the inventor arrived at the invention quickly and easily based on the prior art
and common general knowledge, and the inventors’ particular expertise compared
to that of the skilled person (para 70 -71).
[253] To put to rest any concern in
this case that the Court would be open to a “worth a try” test, I am mindful of
the decision of the Federal Court of Appeal in Apotex Inc v Pfizer Canada
Inc, 2009 FCA 8, [2009] FCJ No 66, that held that possibility and
speculation is not the test; more or less self-evident is the test. Justice Noël
wrote at paragraphs 28 to 30:
28
I take it from this that the test adopted by the Supreme Court is not
the test loosely referred to as "worth a try". After having noted
Apotex' argument that the "worth a try" test should be accepted (para.
55), Rothstein J. never again uses the expression "worth a try" and
the error which he identifies in the matter before him is the failure to apply
the "obvious to try" test (para. 82).
29
The test recognized is "obvious to try" where the word
"obvious" means "very plain". According to this test, an
invention is not made obvious because the prior art would have alerted the
person skilled in the art to the possibility that something might be worth
trying. The invention must be more or less self-evident. The issue which must
be decided in this appeal is whether the Federal Court Judge failed to apply
this test.
30
In my respectful view, he did not. While the Federal Court Judge does
not use the phrase "obvious to try", his reasons show that he
conducted his analysis along the dividing line drawn in Sanofi-Synthelabo.
Specifically, he rejected the contention that the invention was obvious based
on mere possibilities or speculation and looked for evidence that the invention
was more or less self-evident.
[254] The respondent, Apotex, submits
that the recent decision of Justice Near in AstraZeneca Canada Inc v Teva
Canada Ltd, 2013 FC 246, [2013] FCJ 242, provides the modern
application of the “obvious to try” test demonstrating the flexibility which
was the goal of the restated test in Sanofi. I observe however, that in
applying the test, Justice Near assessed the four factors set out in Sanofi
to determine if the invention was “obvious to try”.
[255] At paras 36-37, Justice Near
stated the following:
[36] The parties are, however, divided about the parameters of
the “obvious to try” test. AstraZeneca focuses on the results of
experimentation, maintaining that it must be obvious that successful results
will be achieved before any experimentation is carried out. Teva, for its
part, offers a less stringent proposition, contending that a patent will be
obvious if it was more or less self-evident, in the words of Sanofi, to
“try to obtain the invention” or, in Teva’s words, to conduct routine
experimentation with a fair expectation of success.
[37] I find that Teva’s interpretation is more apt on the
facts of this case. Lord Justice Lewison recently remarked that in many
“obvious to try” cases, it is the idea of trying that constitutes the inventive
step (Medimmune Ltd v Novartis Pharmaceuticals UK Ltd & Ors [2012]
EWCA Civ 1234 at para 184, cited with approval in Pfizer Canada Inc v
Pharmascience Inc, 2013 FC 120, [2013] FCJ No 111 at para 189).
AstraZeneca’s point might have been better received were the invention in this
case the idea of trying to obtain a sustained release formulation of
quetiapine. However, as already established, the inventive concept in our
case is the end product – a physical sustained release formulation of
quetiapine. Lord Justice Lewison approved of the notion that “obviousness
connotes something which would at once occur to a person skilled in the
art who was desirous of accomplishing the end” (Medimmune, above, at
para 184, emphasis Lord Justice Lewison’s). I find that this is entirely
in accord with the Canadian elaboration in Sanofi that a patent may be
found obvious if it is more or less self-evident to try to obtain the invention
(Sanofi, above, at para 66). Of course, the jurisprudence is
wary of the expansion of this notion, and thus narrowed the scope of cases that
might fall into this category by enumerating the non-exhaustive factors of the
“obvious to try” test, to which I now turn. In my view, motivation is the
key factor in this case.
[256] In
this case, Apotex submits that it was more or less self-evident to try to
obtain valganciclovir.
[257] Roche submits that a mere
possibility that something might turn up is not sufficient. Rather, the skilled
researcher must know before carrying out any experiments that the subject
matter claimed in the patent (valganciclovir) "ought to work" so as
to solve the problem that the claimed invention purports to solve. Roche notes
that the test of “more or less self evident”, or
obvious, means “very plain”: Apotex Inc v Pfizer Canada Inc, 2009 FCA 8, [2009] FCJ No 66, at para 29.
Application of the Sanofi test to
this case
[258] The four-part Sanofi test,
including the “obvious to try” test and relevant factors, have been considered and
applied to the evidence in this case as follows.
The notional “person skilled in
the art”; POSITA
[259] As previously determined, the person
skilled in the art in the mid-1990s to whom the ‘721 Patent would be addressed
is a composite person or team of persons with expertise in medicinal chemistry,
solid state chemistry, synthetic chemistry, pharmaceutical formulation,
pharmacology and pharmacokinetics at the Masters or PhD level.
The common general knowledge
[260] The relevant common
general knowledge would be the knowledge of the POSITA at the relevant time -
in this case July 27, 1994. This would include published and non-published
knowledge. The common general knowledge
would include the patents, patent applications and publications set out at page
1 of the '721 Patent. The POSITA would also be aware of other publications and
research with respect to ganciclovir and acyclovir.
[261] The ‘721 Patent identifies
several other patents, patent applications and published research including the
following with respect to ganciclovir:
US
Patent 4 355 032, published in 1982, which discloses ganciclovir and notes that
it is highly efficacious against viruses of the herpes family (e.g. herpes
simplex and cytomegalovirus); however, it has a relatively low rate of
absorption when administered orally.
European
Patent Application 375 329 (EP 329), published in 1990, which discloses prodrug
compounds described as having advantageous bioavailability when administered by
the oral route resulting in high levels of the parent compound in the body.
Jensen
et al, Acta Pharm Nord 3(4), published in 1991, which discloses diester
prodrugs of ganciclovir described as a promising prodrug to enhance its
delivery characteristics, for example, for parenteral administration (which
means not by the GI system).
Martin
et al (1987) J Pharm Sci 76(2), which discloses the mono- and diacyl esters of
ganciclovir and indicate that the dipropionate ester is about 42% more
bioavailable than ganciclovir.
[262] There are also several references
to patent applications and research regarding acyclovir:
British
Patent (BP) 1 523 865, published in 1978, which describes derivatives, including
acyclovir which has been found to have good activity against herpes simplex and
is very effective upon topical or parenteral administration but only moderately
absorbed upon oral administration.
Maudgal
et al, Arch Ophthalmol (1984), which discloses the glycine and other esters of
acyclovir and the advantages of the glycine ester for particular types of the
herpes virus.
Colla
et al, J Med Chem (1983), which discloses several water soluble ester
derivatives of acyclovir and their salts as prodrugs of acyclovir. The authors
suggest that these acyclovir esters should be more practical for clinical use
than the parent compound (acyclovir) for topical treatment as eye drops and for
the treatment of herpes virus infections that respond well to intravenous
acyclovir treatment.
European
Patent Application 308 065, published in 1989, which discloses the valine and
isoleucine esters of acyclovir, preferably in the L-form, as showing a large
increase in absorption from the gut after oral administration when compared with
other esters and acyclovir.
Beauchamp
et al, Antiviral Chemistry and Chemotherapy (1992), which
discloses 18 amino acid esters of acyclovir and their efficiencies as prodrugs
and indicates that the L-amino acid esters were better prodrugs than the corresponding
D-, or D, L-isomers, suggesting the involvement of a stereoselective
transporter. According to the authors, the L-valyl ester of acyclovir was the
best prodrug, in terms of bioavailability, of the esters investigated.
[263] There were 25
publications referred to in the NOA of Apotex, several of which were referred
to in the disclosure of the ‘721 as noted above, which would be within the
knowledge of or accessible to the POSITA. Although the Patent does not refer
to the publication “Acyclovir Prodrugs: The Road to Valaciclovir”, Beauchamp
and Krenitsky, Drugs of the Future (1993), it was referred to by the
experts for both Roche and Apotex. In the introduction, the authors note that
a more oral bioavailable form of acyclovir is desired. They indicate that “[s]ince
studies in our laboratories with different formulations did not result in a
compound with improved oral bioavailability, achieving this objective fell to
the medicinal chemists.” The report indicates that the best prodrug was the
ester of the branched chain amino acid L-valine, and reveals the results of the
clinical trials conducted. The authors conclude that the extensive clinical and
toxicological evaluations of the L-valyl ester of acyclovir (valaciclovir) will
further test the validity of the results noted by the researchers.
[264] The Apotex experts emphasize that
by 1994 the POSITA would know that valaciclovir, a
prodrug of acyclovir, improved the oral bioavailability of acyclovir while
maintaining its low toxicity, and would thus focus almost exclusively on
it. The Roche experts noted that there would have
been a range of approaches, including prodrugs, to improve on oral
bioavailability.
[265] I conclude that the POSITA would
have all the knowledge noted above, including about valaciclovir, given that
the Beauchamp 1992 publication noted that the
L-valyl ester was the best prodrug in terms of oral bioavailability of
acyclovir and that this was specifically disclosed in the ‘721 Patent. The Beauchamp and Krenitsky 1993 publication also noted that
the L-valyl ester was the best prodrug of acyclovir and that further clinical
evaluations were ongoing. The state of the art was that both ganciclovir and
acyclovir were known to be effective treatments for herpes viruses but that
both had low bioavailability when administered orally, and that prodrugs had
shown improved bioavailability with stability and low toxicity in both
ganciclovir and acyclovir.
What
is the inventive concept in the claims?
[266] As noted earlier in these
reasons, the inventive concept was a major point of disagreement and it was
necessary to determine the inventive concept in the context of the construction
of the claims. The considerations related to the inventive concept are set out
at (paragraphs 99-132).
[267] The parties’ disagreement on the
inventive concept has resulted in a “satellite debate”. As noted in AstraZeneca,
where the inventive concept is not discernible from the claims because they
present a bare chemical formula, the inventive concept must be determined from
reading the specification as a whole.
[268] In Pozzoli SPA v BMDO SA &
Anor, [2007] EWCA Civ 588, the advice given by Justice Lewison is to move
past disputes about the inventive concept and focus on the differences between
what is claimed and the prior art.
[269] As discussed at length above at
paragraphs 99-132, I have found that the inventive concept is valganciclovir,
a stable prodrug with low toxicity and improved oral bioavailability over
ganciclovir.
What are the differences between
the “state of the art” and the inventive concept?
[270] As noted above, the state of the
art was that both ganciclovir and acyclovir were known to be effective
treatments for herpes viruses but that both had low bioavailability when
administered orally and that prodrugs had shown improved bioavailability with
stability and low toxicity in both ganciclovir and acyclovir.
[271] The inventive concept was the
addition of the mono-L-valine ester to ganciclovir (i.e. valganciclovir) which
results in stability and low toxicity and improved bioavailability.
Do these differences constitute steps that would
have been obvious to the person skilled in the art or do they require any
degree of invention; that is, would it have been obvious to add the mono-L-valine
ester?
[272] Given the state of the art, it is
apparent that many possible compounds were being developed and would require
experimentation. The “obvious to try” test comes into play in this case along
with the consideration of the factors that inform that test.
[273] As noted by Justice Snider in Laboratoires Servier v Apotex Inc, 2008 FC 825, [2008] FCJ No 1094 (aff’d 2009 FCA 222) at
para 254:
[254] […]
a mosaic of prior art may be assembled in order to render a claim
obvious. Even uninventive skilled technicians would be presumed to read a
number of professional journals, attend different conferences and apply the
learnings from one source to another setting or even combine the sources.
However, in doing so, the party claiming obviousness must be able to
demonstrate not only that the prior art exists but how the person of ordinary
skill in the art would have been led to combine the relevant components from
the mosaic of prior art. […]
[274] The issue in this case at this
step is whether it was more or less self-evident that if the skilled person
added the mono-L-valine ester to ganciclovir, the resulting compound would have
improved bioavailability and stability and low toxicity over ganciclovir.
The expert evidence regarding
“obvious to try”
[275] Before turning to each of the
factors to assess if the invention would have been obvious to try, the views of
the experts on the issue of obviousness have been considered. As with the other
issues, the experts are not in agreement. The Apotex experts focus on the 1994
research with regard to acyclovir, with much less attention to other prior art.
The Apotex experts express the opinion that the acyclovir research would direct
the skilled person to follow the acyclovir model which would lead directly to
the invention of valganciclovir.
[276] The Roche experts note the range
of prior art and express the view that adding the mono-L-valine ester to
ganciclovir would not be obvious given that the prior art pointed away from
mono-esters, that acyclovir and ganciclovir are different compounds, albeit
with some similarities, and that improved bioavailability would not be
predicted or expected without testing.
[277] Dr Sawchuk summarized the
differences between the common general knowledge and the inventive concept of
the ‘721 Patent by indicating that it was not known that one would want to make
the mono-L-valine
ester of ganciclovir
and it was not known that if one made the mono-L-valine ester of ganciclovir, the compound
would have the benefits disclosed in the ‘721 Patent of improved oral
absorption and delivery of ganciclovir over the compounds of the prior art with
a low toxicity profile and improved stability (para 67).
[278] Dr Sawchuk also noted that the
publication of the ‘721 Patent was the first time that data regarding the
making and testing of the mono-L-valine ester of ganciclovir would have been publicly available
to a POSITA (para 68).
[279] Dr Sawchuk’s position was that
there remained many options but that the POSITA would have looked at the bis-substitutions
rather than the mono-substitutions. He stated that “Even if one focussed
specifically on ester prodrug development, one would be faced with a myriad of
options in preparing such candidate prodrugs. In any event, virtually any
prodrug design that a POSITA would have considered for ganciclovir would likely
have resulted in the selection of bis (not mono) substitutions on the
propanediol. Indeed, even if the POSITA were to limit his or her selection to
L-valine esters, he or she would have concluded that the bis-L-valinate ester
would have been a more desirable prodrug of ganciclovir, since it is more
lipophilic than the corresponding mono-ester” (para 73).
[280] Dr Sawchuk summarized all the
references referred to in Apotex’s Notice of Allegation noting that GB 2,140,070,
EP 0,099,493, US 4,556,659, EP 0,186,297, and E J Benjamin et al (1987) either do
not address the mono-L-valine ester of ganciclovir or ganciclovir at all. Dr
Sawchuk commented on all of the prior art, and I have summarized his findings with
respect to the three Beauchamp references as follows:
1.
Beauchamp ‘329 Application (June 27, 1990) indicates that no mono-amino acid
esters were tested or made (except “as a by-product in one example” and that
there are several million compounds that a POSITA could possibly create with
this disclosure. The POSITA would not be moved to try any mono-esters however,
based upon what the inventors have exemplified as the most preferred
compounds, all of which are bis-esters” (para 78) [emphasis in
original].
2.
Beauchamp
et al (1992) publication does not mention ganciclovir. In addition, ganciclovir and
acyclovir have different physicochemical and biological properties, and their
amino acid derivatives would also be expected to have different properties. It
is unclear why the NOA would suggest that the Beauchamp 1992 would “teach a
POSITA that a parallel change in the structure of ganciclovir (the preparation
of a mono-ester) would also result in increased bioavailability.” This
publication would not teach a person of skill in the art anything about the
absorption of amino acid esters of ganciclovir in rats, or in any animal,
including humans. The bis-L-valinate ester would be predicted to be better
absorbed than the less lipophilic mono-L-valinate ester, i.e., it would
exhibit better bioavailability and greater AUCs of ganciclovir (para 85).
3.
Beauchamp and Krenitsky (1993) publication would not have pointed one of skill
in the art to consider the development of a mono-L-valyl ester of ganciclovir
as a prodrug of this antiviral agent. Even if one were to limit the development
of a prodrug of ganciclovir to a path that considered amino acid esters, and
further focus on the use of L-valine, one would have concluded that the
bis-L-valinate ester would have been a more desirable prodrug of ganciclovir,
since it is more lipophilic than the corresponding mono-ester” (para 90).
Although the mono-ester prodrug delivered more acyclovir to the bloodstream
than that following oral dosing of the parent acyclovir itself, the calculated
average bioavailability of valaciclovir of only about 29% is “not very
impressive, nor is it substantially greater than that of the parent drug,
acyclovir, as cited above”. A person of skill in the art, seeking to develop a
well absorbed oral prodrug of ganciclovir with a good toxicity profile, would not
be persuaded to follow this avenue – i.e., the preparation of an amino
acid mono-ester of ganciclovir. Rather other approaches, including the
preparation of bis-esters of ganciclovir would be considered (para 93).
[281] Dr Sawchuk also addressed whether
the differences between the common general knowledge and the inventive concept
of the ‘721 claims require any degree of invention. In his opinion, the outcome
required effort, the results were not predictable and there was no motivation
to pursue this invention.
[282] Dr Sawchuk agreed that there was
motivation to look for prodrugs to address the low bioavailability of
ganciclovir but that there was no motivation to prefer any particular approach.
In his view, there would be many strategies.
[283] Dr Sawchuk focused on the
lipophilicity factor and noted that “…looking at which prodrug would be more
lipophilic and therefore be likely to deliver more ganciclovir to the systemic
circulation to enhance bioavailability, I would have favored the bis-L-valinate
ester of ganciclovir over the mono-L-valinate ester of ganciclovir” (para 134).
[284] With regard to whether it was
more or less self-evident that the invention ought to work or predictable, Dr
Sawchuk noted that “…even if a POSITA had been motivated to try a pro-drug
approach with esters, it would have been impossible for that POSITA to predict
the properties of any compound without first making the compound and then
testing it” (para 135).
[285] He concluded by noting that even
if literature had disclosed the mono-ester as the avenue to pursue, the POSITA
would have expected the mono-L-valinate ester to provide some advantage over
ganciclovir, but not over the bis-L-valinate ester of ganciclovir. However, the
mono-ester would be less lipophilic and therefore less desirable (para 136).
[286] Dr Sawchuk did agree in his cross-examination
that persons
skilled in the art, from 1994, would view valaciclovir as generating
substantially higher plasma levels than acyclovir.
[287] With respect to the extent,
nature, and amount of effort required to achieve the invention, Dr
Sawchuk emphasized that the research and development that led to the invention
of the ‘721 Patent required time, effort, and resources, and was labor
intensive (para 141). He stated that “First, the inventors had to determine
which prodrug derivatives to consider and how to make them for testing” (para
142); and “…if the inventors decided, for some reason, to concentrate on the
development of ester prodrugs of ganciclovir, they first had to synthesize a
series of derivatives, which may or may not have included the mono-L-valinate
ester of ganciclovir depending on the criteria selected for developing a
prodrug category. Second, the inventors then had to isolate the test compounds
and purify them, determine their physicochemical and biological properties…”
(paras 148-149). Third, “…the inventors then had to put the prodrug into
pharmaceutically acceptable formulations” (para 150). Finally, “the inventors
then had to administer the compounds to animals in studies designed to assess
the extent of delivery (bioavailability) of ganciclovir itself, as well as
other potential prodrug candidates. Only then, after substantial and
unpredictable research and development, were the inventors able to arrive at
the invention” (para 151).
[288] Dr Tsantrizos summarized her views
on obviousness at para 20(b) of her affidavit, indicating that: “Apotex has not
employed a valid scientific approach in assessing whether it was obvious that
advantages such as improved bioavailability would result with L-valganciclovir.
In any event, none of the art advanced by Apotex teaches or suggests that the
mono-substituted ester of L-valganciclovir should be made or that it has
advantages over ganciclovir. On the contrary, the art suggests that, if
anything, bi-substituted esters of ganciclovir are the preferred route to
explore with respect of ganciclovir analogues (if one is adopting to follow an
ester pro-drug approach at the sugar equivalent moiety which is found in the
nucleoside).”
[289] She expressed the view that there
would be no reason for a skilled medicinal chemist making antiviral prodrugs to
have thought to make L-valganciclovir (as opposed to any other form of
ganciclovir) with the expectation that L-valganciclovir would have an improved
bioavailability profile over ganciclovir. She agrees with Dr Sawchuk that there
would be no motivation to make the L-valine mono-ester of ganciclovir (para
65), and given the available knowledge in 1994, a person looking to make an
ester of and ganciclovir would have made a bis-ester (para 66).
[290] Dr Tsantrizos also indicated that
L-valganciclovir had to be made and tested in order to discover the desired
properties described by the ‘721 Patent. Without the disclosure of the ‘721
there was no teaching that would lead the inventors to make and test
L-valganciclovir (para 67 and 79).
[291] After reviewing the prior art, Dr
Tsantrizos concluded that a skilled medicinal chemist reading EP 329 and
reading the article, “Amino acid ester prodrugs of acyclovir”, would assume
that Dr Beauchamp and her co-workers, who had the full knowledge that ganciclovir
was a more potent drug than acyclovir and that L-valine ester prodrugs could
possibly improve oral bioavailability, would conclude that making the L-valine
mono-ester prodrug of ganciclovir was not worthwhile in providing
any therapeutic advantages over the parent drug or the bis-ester. She noted
that if it had been obvious to make the mono-ester, one would wonder why Dr
Beauchamp’s team had not made or tested the compound (para 78).
[292] Dr McGuigan expressed the
view that the medicinal chemist would prepare the mono-L-valine ester of
ganciclovir, valganciclovir, in the ordinary course of improving upon
ganciclovir. He noted that there would be motivation to do so and it would have
been obvious. He stated, “The medicinal chemist also would know how he or she
could synthesize valganciclovir. The medicinal chemist would prepare this
compound, take the necessary steps to prepare crystals of the compound, and
prepare formulations of the compound. The medicinal chemist would strongly
expect that the resulting formulation would function to deliver ganciclovir to
the body and work as an antiviral compound” (para 317).
[293] Dr McGuigan noted that even if
the desired characteristics of the ‘721 were those stated by the Roche experts
(i.e. improved bioavailability over the bis and other esters), there would
still be no difference between the state of the art and the inventive step. He
stated at para 318 of his affidavit:
The
medicinal chemist would also have expected the administration of the mono-L-valine
ester of ganciclovir to result in increased bioavailability as compared to
ganciclovir. Further, stability and lo toxicity (or at least toxicity similar
to gancyclovir) would have also been expected, especially in light of the
experience with respect to valaciclovir. The L-valine ester of acyclovir was
found to be stable, and more stable than simpler amino acid esters (Beauchamp
(1992)). Compared to the toxicity of the free nucleoside, the toxicity of the
pro-drug itself may be neglected in the case of the readily cleavable amino
ester pro-drugs of these open-chain nucleosides. This was the experience with valacyclovir.”
[294] Dr McGuigan generally indicated
that the work of the ‘721 Patent was not difficult or inventive.
[295] With respect to acyclovir, Dr
McGuigan noted that it is very close to ganciclovir structurally and in terms
of its biological effect and that the medicinal chemist would have been aware
that this L-valine ester prodrug approach proved to be successful for improving
the water solubility and oral bioavailability of acyclovir, including in
humans. Therefore, the medicinal chemist would not have had to start from
scratch, and consider every possible option for improving oral bioavailability.
He would look to the closest prior art, namely, acyclovir and its L-valine
ester, valaciclovir, given its clinical testing and encouraging results which
showed substantial increases in oral bioavailability.
[296] Dr McGuigan acknowledged that the
success of doing the same with ganciclovir could not be predicted with absolute
reliability, but noted that the preparation of L-amino acid esters of
ganciclovir, especially a mono-L-valinate ester, would be based on solid
chemical reasoning and would have been expected to work. He noted several times
that medicinal chemistry relies on analogies, as with acyclovir / ganciclovir
and ganciclovir / valganciclovir.
[297] Dr McGuigan also disagreed with
the evidence of Dr Sawchuk in several respects. On the issue of whether prodrug
design would have resulted in the selection of the bis-ester, he noted:
I
disagree that the medicinal chemist would have selected the bis valinate ester
over the mono valinate ester. First of all, the mono L-valinate ester would be
more analogous to the successful pro-drug that resulted of acyclovir, valacyclovir,
than the bis ester. Both involve the addition of only one ester functionality,
while adding a second L-valine ester would result in a much larger compound
with significantly more bulk than the mono ester (para 348).
[298] He also noted that Dr Sawchuk had
a simplistic view of lipophilicity which was later clarified to explain that
bioavailability depended on several factors, not only lipophilicity. Lipophilic
was defined by the experts as meaning “fat loving”. It refers to molecules that
are soluble in lipids and poorly soluble in water. The lipophilicity of a
molecule is commonly measured by determining its partition coefficient (P).
The higher the partition coefficient, the greater the lipophilicity. Molecules
(drugs or prodrugs) with log P values generally enter lipid membranes easily
and diffuse passively through them with little difficulty. Dr Sawchuk
indicated that there is a correlation between the partition coefficients of a
series of compounds and their ability to permeate through biological membranes.
[299] Dr McGuigan generally disagreed
with Dr Sawchuk and indicated that although acyclovir and ganciclovir are two
different compounds, they are chemically so related that any analogy with
respect to common derivatives is chemically sound and common practice in
medicinal chemistry. He noted that analogous considerations of structurally
similar compounds are the predominant paradigm and strategy in medicinal
chemistry (para 358).
[300] Dr Zhanel indicated that
there is no inventive effort involved in identifying valganciclovir and its
salts as a useful prodrug of ganciclovir. He indicated that while the “desired
characteristics” described in the patent are not part of what he would describe
as the inventive concept, there would be no inventive difference between the
prior art and realizing that valganciclovir hydrochloride and its salts would
have these desired characteristics. He indicated that the skilled
pharmacologist would have expected that valganciclovir and its salts would be
stable and have the same toxicity as ganciclovir. The skilled pharmacologist
would construct the compounds and test them in routine experiments to verify
the expectations (para 181).
[301] On the acyclovir/ganciclovir
comparison, he noted that in 1994 the skilled pharmacologist was aware that
ganciclovir was commonly used and effective in intravenous dosage for the
treatment, prevention and suppression of herpes virus infections. Ganciclovir
had an advantage over acyclovir, as it was very active against cytomegalovirus
(CMV) both in vitro and in vivo (para 182).
[302] Dr Zhanel indicated that by 1994,
the skilled pharmacologist knew that the world leaders working on acyclovir had
been faced with the same problem as ganciclovir and had solved the acyclovir
bioavailability problem making an L-valyl ester prodrug of acyclovir
(valaciclovir). He stated that the skilled pharmacologist would be pointed to
the L-valyl ester as it offered improved solubility in water, stability both in
vitro and in vivo, and rapid and virtually complete conversion of
the prodrug to the active compound (para 187).
[303] Dr Zhanel also commented that the
valaciclovir testing against herpes viruses occupied the “same market” as “…IV
ganciclovir and provided an added incentive to quickly develop a ganciclovir
product with improved bioavailability, but with no additional toxicity” (para
190).
[304] Dr Zhanel agreed with Dr McGuigan
that the similar chemical structure and pharmacokinetics of ganciclovir and
acyclovir would lead the skilled pharmacologist to expect the same results;
since the human body processes acyclovir and ganciclovir in a similar fashion,
it would also process their amino acid derivatives (valaciclovir and
valganciclovir) in a similar fashion (para 193).
[305] Dr Boeckman noted that the
synthetic chemist would have strong motivation to make valganciclovir and its
hydrochloride salt given the common knowledge that the L-valine salt had
improved the bioavailability of acyclovir. He also noted that EP 329
encompassed the use of the compound in a pharmaceutical composition or
formulation with suitable excipients to treat herpes virus infections. Based on
this, he indicated that he would also have arrived at the crystalline valganciclovir
hydrochloride (para 106). Although no example of valganciclovir hydrochloride
and the making of the crystalline form had been disclosed, he noted that this
would not be a barrier to the synthetic chemist and would not require
invention.
[306] Like the other Apotex experts, Dr
Boeckman agreed that acyclovir is an “analogous” compound to ganciclovir. He
referred to the influence of earlier work on acyclovir which resulted in EP 329
and the amino acid ester of ganciclovir as prodrugs of ganciclovir, including
the diesters and the mono-esters as well as the valine ester in particular, and
the hydrochloride salts thereof.
[307] He also commented that the
earlier research on acyclovir by Burroughs Wellcome [now GlaxoSmithKline
(GSK)], that prepared the valine ester of acyclovir (valaciclovir) and which
had significant improvement in oral bioavailability over acyclovir, prompted
the same chemists to investigate a similar approach to improving the
bioavailability of ganciclovir. This result was the EP 329. This, combined
with the more recent research and encouraging results of valaciclovir, would
have taught the skilled person that the valine ester was likely a viable
solution to increasing bioavailability and absorption (para 110).
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?
[308]
In
the present case, it is this branch of the obvious to try test that is
significant among the various factors.
[309] Roche maintains that an invention
is only “obvious to try” when it is very plain and more or less self-evident
that what is being tested is the next logical step for a skilled but
uninventive researcher to carry out. Further, the skilled researcher must know
or must predict with almost certainty before carrying out any experiments that
the invention claimed “ought to work”. The mere possibility that something
might turn up is not enough.
[310] Roche submits that there were
countless research directions that could have been pursued and the prior art
pointed away from mono-esters. Roche argues that it
was not the common general knowledge that mono-substituted esters would achieve
the desired effect of stability, improved bioavailability, low toxicity, and
crystallinity. The favoured approach was bis-substitution. The metaphors
of the flagstone path were used to emphasize that, in this case, there was no
single path, but the most preferred path would have more likely been that of the
bis-esters.
[311] Without access to the ‘721
Patent, the improved bioavailability of L-valganciclovir (a mono-ester) could not
be determined without conducting research, and such research had not been
conducted with respect to ganciclovir before 1994. While the POSITA would
expect the addition of the mono-ester to show improvement over ganciclovir,
there would be no such expectation to show improved bioavailability over EP
329. Moreover, EP 329 pointed toward bis-esters as the best approach.
[312] With respect to Apotex’s focus on
acyclovir and valaciclovir, Roche submits that even if acyclovir is considered
as a proxy of ganciclovir, it is not predictable that the ganciclovir
mono-ester would be better than the bis-ester.
[313] Roche also points to the results
of the improved bioavailability of valaciclovir over acyclovir noting that
while it showed a significant improvement in bioavailability, it was far less
significant than the improvements in bioavailability that resulted in the
addition of the bis-ester to ganciclovir (EP 329). Roche submits that the
literature reported a threefold improvement in the oral bioavailability of
valaciclovir over acyclovir in rats, whereas the bis-valinate ester of
ganciclovir provided a six-fold improvement in oral bioavailability in rats, as
disclosed in the examples of the ‘721 Patent. Roche, therefore, submits that
the mono-ester would not be the direction to take, as the skilled person would
conclude that the bis-esters had shown the greater improvement.
[314] As I have previously noted, there
was evidence on the record to indicate that the results disclosed in Examples 9
and 10 of the ‘721 Patent may have been overstated. That evidence does support
the improved bioavailability of the ‘721 over ganciclovir and the bis- and
other esters, but the magnitude of that improvement is in dispute.
[315] Roche also submits that the
greater bioavailability of the ‘721 could not have been predicted without
research.
[316] Apotex submits that
the POSITA would have arrived at the invention without the need of any
inventive ingenuity or prolonged and arduous effort. It was more or less
self-evident that the effort ought to work. The fact that there may have been
different approaches or “multiple pathways” to achieve the desired result does
not mean that the invention was not obvious.
[317] Apotex relied on Shire
Biochem v Canada (Minister of Health), 2008 FC 538, [2008] FCJ 690 [Shire Biochem] and noted that the
state of the art and the common general knowledge could fill in the gaps for
the POSITA in the event that the invention was not anticipated.
[318] In Shire Biochem,
Justice Hughes noted the difference between the concepts of novelty and obviousness when
discussing the validity of a patent. He referred to Rothmans, Benson &
Hedges Inc v Imperial Tobacco Ltd, [1993] FCJ No 135, 47 CPR (3d) 188 [Rothmans]
which noted the test applicable at that time as set out in Beloit and
went on to note that anticipation must be found in a single patent but
obviousness is assessed in the light of the state of the art and of
common general knowledge as at the claimed date of invention. At paragraph 76,
Justice Hughes cites the following passage from pages 197-199 of Rothmans:
Anticipation must
therefore be found in a single document which already gives a skilled person
what is claimed and which teaches it all. In the case of obviousness, however,
"the prior art should be reviewed and its cumulative effect considered".
Thus the "mosaic of extracts".
Both are questions of
fact.
[319] Justice Hughes then
noted with respect to the patent at issue in that case, at para 78, that “…if
something is found to be lacking in considering anticipation, the gaps are
readily filled when considering obviousness”.
[320] Apotex argues that as of July 28, 1994, the skilled
person would be aware of the need for improvement of the oral bioavailability
of ganciclovir and the skilled person would conduct their research and be led
to the range of references noted in the NOA and in the patent. Apotex submits
that there is no requirement that the skilled person “know” the result of the
experiment before it is undertaken; only a fair expectation of success is
required.
[321] By July 1994, the research (i.e.
Beauchamp and Krenitsky, The Road to Acyclovir) was focused on valaciclovir and
this would have dominated the field making the other prior art, which Apotex
described as failures, far less relevant. Apotex described the research
on valaciclovir as the ‘Holy Grail’ due to the clinical trials that were being
conducted on humans. As noted above, all of the Apotex experts supported the
view that valaciclovir pointed the way and, in the words of Dr Zhanel, pointed
a ‘laser beam’.
[322] The Apotex experts indicated that
acyclovir and ganciclovir are very similar in structure, activity, and
bioavailability. Therefore the success of adding a single L-valine ester to
acyclovir to make valaciclovir was the clear path and motivation to add a
single L-valine ester to ganciclovir to make valganciclovir in order to improve
the oral bioavailability of ganciclovir.
[323]
Apotex and
its experts indicated that valaciclovir had significantly greater oral
bioavailability compared to acyclovir and the best bioavailability among the numerous
prodrugs tested, as well as improved water solubility, stability in vitro
and in vivo, rapid and virtually complete conversion of the prodrug to
the active parent compound and comparable safety to acyclovir.
[324] Dr McGuigan noted that the
medicinal chemist would have known that valaciclovir was the L-valine amino
acid ester of acyclovir, and that it had been demonstrated that valaciclovir
could be dosed orally with improved bioavailability. The POSITA would have
understood that the transporter mechanism on valaciclovir selectively increased
the absorption of esters of amino acids in the natural L-configuration in the
body, and that the L-valine ester was the best of the acyclovir amino acid
ester prodrugs. In his view, the medical chemist would prepare the mono-L-valine
ester of ganciclovir with the expectation that this drug would function as a
prodrug in humans and would improve the oral bioavailability of ganciclovir.
[325] Dr McGuigan noted that valaciclovir
had the best bioavailability to date, as well as improved water solubility, and
the prodrug was rapidly and completely converted into the desired compound,
producing no toxicity. Valaciclovir had also been demonstrated in humans and
more clinical trials were underway.
[326] With the knowledge that the prodrug
resulted in improved absorption, Apotex submits it would have been obvious to
try the mono-ester substitution on the ganciclovir, resulting in
L-valganciclovir.
[327] Further, Apotex submits that
routine chemistry would have led the skilled person to prepare valganciclovir.
Given its reliance on crystallinity as the inventive concept, Apotex also notes
that the skilled person would have taken the ordinary steps to crystallize
valganciclovir with the expectation of achieving such crystallization.
[328] As noted above, Apotex
alternatively submits that if the inventive concept of any claim is that
valganciclovir has higher oral bioavailability than the bis- or other esters,
the claims are obvious.
[329] The evidence led by both parties
established that, while the bis-ester may be more lipophilic than
valganciclovir in its neutral forms, it would not necessarily have been
absorbed better. Apotex maintains that the skilled person would prefer the
mono-ester for improving the bioavailability of ganciclovir since it is more
similar to valaciclovir than the bis-ester.
[330]
On the issue
of lipophilicity, the expert evidence indicated that this was only one factor
among several bearing on bioavailability. Apotex experts indicated that
lipophilicity does not drive bioavailability; rather the stereochemistry does.
[331] In Apotex Inc v Pfizer Canada
Inc, 2009 FCA 8, [2009] FCJ No 66, the Federal Court of Appeal made it
clear that “obvious to try” does not include a situation where a POSITA would
have been alerted that something might be worth trying. The invention must be
more or less self-evident.
[332] In AstraZeneca, Justice
Near (as he then was) expressed the test as follows:
[41] Pfizer Canada Inc v Apotex Inc, 2009 FCA 8, [2009]
FCJ No 66 [Pfizer v Apotex] intends that “fair expectation of success”
is the standard to be adopted by the Court. The Federal Court of Appeal,
at para 44, described that “predictable”, and therefore obvious, solutions are
equivalent to “solutions that provide ‘a fair expectation of success’” (Pfizer
v Apotex, above). This Court has also adopted this standard. In
Pfizer Canada Inc v Ratiopharm Inc, 2010 FC 612, [2010] FCJ No 748, for
example, the Court decided that it was self-evident or plain that the drug in
that particular case had a fair expectation of success based on the prior art
to achieve the solution the patent addressed (see para 171).
[333] The Apotex experts were emphatic
that valaciclovir was the laser beam that directed all persons skilled in the
art to add the mono-L-valine ester to ganciclovir.
[334] The experts for Roche, on the
other hand, noted that there was a range of prior art including both acyclovir
and ganciclovir and other similar compounds.
[335] I do not agree with Apotex that
because all of the prior art was a “failure” it would have been ignored by the
POSITA and that only the 1993 research on acyclovir and valaciclovir would be
considered. Not all the prior research was a failure. For example EP 329, the
previous year, in 1992, was certainly not a failure in improving the oral
bioavailability of ganciclovir. However, the state of the art in 1994 included
the prior art up to EP 329 plus the research on valaciclovir. EP 329 and
valaciclovir provided a limited number of predictable solutions to improve the
bioavailability of ganciclovir.
[336] The acyclovir research was highly
relevant and persuasive. While it did not conclude that valaciclovir would
have improved bioavailability over other esters of ganciclovir,
including over EP 329, it clearly indicated that valaciclovir had
increased bioavailability over acyclovir. The research also indicated that
further clinical tests would be pursued to confirm the encouraging results that
had been obtained at that time.
[337] The 1993 publication, “Acyclovir
Prodrugs; The Road to Valaciclovir”, Beauchamp and Krenitsky, Drugs of the Future
(1993), indicates at page 627:
These initial studies show that oral valaciclovir is
well absorbed, quickly and efficiently converted into acyclovir, resulting in
drug levels that are significantly higher than after the oral administration of the parent drug.
[338] And in the summary:
With
the acyclovir prodrugs, the physical properties such as water or lipid
solubilities (log P) are not major determinants of the most efficient
bioavailability. The structure-activity relationship of the amino acid esters
suggests the involvement of a stereospecific (L- vs D-) transport process. The
common branched chain amino acids, L-valine and L-isoleucine, are favored by
this proposed transporter.
The
extensive clinical and toxicological evaluation that the L-valyl ester of
acyclovir (valaciclovir) is undergoing will further test the validity of these
conclusions.
[339] As noted, the test is not whether
the prior art would have alerted the POSITA to the possibility that the
invention may be worth trying. If so, there would be no doubt that adding the
mono-ester was worth trying.
[340] The encouraging results of
valaciclovir would have led the inventor to try to do the same for ganciclovir
to improve its bioavailability while maintaining its other advantages. This research
would have been combined with the knowledge of EP 329 which disclosed both the
mono- and bis-esters, and although it only exemplified or tested the bis-esters,
it had shown increased bioavailability over ganciclovir. There were two paths
to pursue. Given that EP 329 had taken the bis and mono path and claimed
improved bioavailability, and the acyclovir research had taken the mono path
with strongly encouraging results of improved bioavailability, it would have
been more or less self-evident that adding the mono-L-valine ester to
ganciclovir would also result in increased bioavailability over ganciclovir.
[341] With the encouraging results of
valaciclovir and the commitment of further clinical trials, it was more than
mere speculation to pursue the same approach to improve ganciclovir and to add
the mono-L-valine ester to ganciclovir to obtain improved bioavailability, even
over the bis-esters, although that is not the inventive concept, while
maintaining stability and low toxicity.
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?
[342]
Roche
submits that more than routine experimentation was required to arrive at
the invention. This included making the compounds and testing the compounds in
vivo with no expectation that it would result in greater bioavailability of
success. The prior art or research included many examples that did not yield
improvements.
[343] Dr Sawchuk’s evidence was that
the research and development that led to the invention required time, effort
and resources, and was labor intensive. He noted that the inventors first had
to determine which prodrug derivatives to consider and how to make them for
testing, and this may have included synthesizing a series of derivatives, which
may or may not have included the mono-L-valinate ester of ganciclovir. Then the
inventors would need to isolate the tested compounds, purify them, and
determine their physicochemical and biological properties. The inventors would
then have to put the prodrug into pharmaceutically acceptable formulations. The
last step would be to administer the compounds to animals in studies designed
to assess the extent of delivery (bioavailability) of ganciclovir itself, as
well as other potential prodrug candidates.
[344] Dr McGuigan and Dr Zhanel
expressed the view that the skilled medicinal chemist and skilled
pharmacologist would know how to synthesize valganciclovir and with routine
experiments, would test their expectations. In addition, it would be routine to
prepare the crystalline product.
[345]
With respect
to Roche’s contention that the art pointed away from mono-esters and toward bis-esters,
Apotex’s expert noted that even if the POSITA intended to prepare the bis-ester,
valganciclovir would also be formed and would be isolated and evaluated in
parallel. Dr. McGuigan’s evidence was that the synthesis of the bis-esters
would likely give a mixture of the mono- and bis-esters. He indicated that the
skilled medicinal chemist would not discard the mono- ester but would separate
the two components and continue with the development and testing of both.
[346] Apotex also submitted that given
that the applicant, Roche, offered no evidence on the history of the invention
or the efforts of the inventors, an adverse inference should be drawn.
[347] While I am not drawing an adverse
inference, I would note that this information would have been helpful.
[348] I would also note that there
appeared to be a good deal of progress over a short period of time in
addressing the bioavailability problems for oral administration. In 1992, EP
329 disclosed both mono- and bis-esters and indicated improved oral
bioavailability, but tested and preferred the bis-ester. In 1993, the research
on valaciclovir demonstrated the promise of the mono-ester and indicated the
results of clinical testing and planned more testing. In 1994, the ‘721 Patent
was filed. Had there been a need for long and arduous testing and research, it would
likely have taken a lengthier period of time to discover the advantages of the
‘721 and to pursue the Patent.
Was there a motive provided in the prior art to find the solution
the patent addresses?
[349] Roche submits that
following the publication
of EP 329, there was no motivation to explore making other esters of
ganciclovir. The Roche experts expressed the opinion that Dr Beauchamp, who
was the leader in this field, exemplified and preferred the bis-valinate ester
as one of the best compounds to improve oral bioavailability and there would,
therefore, be no motivation for others to look for other approaches.
[350] The motivation factor looks to
whether there was good reason in the prior art to find the solution the ‘721 Patent
addresses (i.e. valganciclovir with improved bioavailability over ganciclovir).
Given the ongoing research on prodrugs in general, the disclosure of EP 329 and
the research on acyclovir, it cannot be said that there was no motivation to continue
to improve the bioavailability of ganciclovir. It appears that all the experts
agreed that improved bioavailability was a continuing goal and there was
ongoing research coupled with competition among drug developers and
manufacturers. As I have noted above, the Apotex experts focused on improvements
over ganciclovir. The extent of the improvement was not identified as being
over the other esters, including the bis-ester (i.e. EP 329). However, I
agree that there was motivation to improve ganciclovir to the greatest extent
possible, including over EP 329, even if that was not the intention (and even
though it is not the invention).
[351] Dr Zhanel noted that the
valaciclovir testing against herpes viruses occupied the “same market” as “…IV
ganciclovir and provided an added incentive to quickly develop a ganciclovir
product with improved bioavailability, but with no additional toxicity” (para
190).
[352] The competition among drug makers
is a factor to be considered in assessing motivation. Given the prior art which
disclosed research on both ganciclovir and acyclovir and the acknowledgement
that these drugs were the “go to” drugs for treating herpes viruses, with
ganciclovir being more effective for particular strains of the virus, the
motivation would be strong for competitors to improve ganciclovir.
Conclusion on Obviousness
[353] The four-part test to determine
whether the invention is obvious, including the factors to be considered to
determine whether it was “obvious to try” the invention, all point in the same
direction. All of the factors that apply in the present case point to the
conclusion that the invention was obvious to try. There was a clear motivation
to pursue the invention. There were a limited number of predictable solutions
to pursue. The addition of the mono-L-valine ester to ganciclovir to improve
its bioavailability was more than mere speculation; it was self-evident that it
ought to work based on the acyclovir research and on the prior art. While
testing and research would be required, it would not be long or arduous for the
skilled person armed with the common general knowledge of the day.
[354] As a result, I find that the
invention was obvious. The applicant has not established on the balance of
probabilities that the allegations are not justified.
CLAIMS
BROADER THAN THE INVENTION MADE OR DISCLOSED
[355] The third ground of invalidity
alleged by Apotex is that claims 1-3, 5-10, 14 and 16-17 (to the extent that
they are dependent on claims 1-3 or 5-8) are insufficient and are broader than
the invention made. Apotex argues that these claims include crystalline and non-crystalline
(amorphous) compounds and are, therefore, invalid as not being limited to the
essential feature of crystallinity.
[356] Apotex also alleges that claims
14 and 17 are broader than the invention made or described because they claim
use in the treatment of viral diseases generally. The description and the
general knowledge indicate that the invention is useful for herpes simplex
viruses and particularly cytomegalovirus infections. The compounds of the
invention are not effective against viral diseases generally and, therefore,
claims 14 and 17 are invalid for claiming more than what was invented.
[357] The latter argument regarding
claims 14 and 17 was not pursued in oral argument. I would note that the Patent
specifications indicate that the term “disease” is to be interpreted as those
diseases treated by ganciclovir, which would limit the treatment to herpes
related viruses.
[358] In alleging overbreadth, Apotex
maintains its position that crystallinity is the inventive concept and that amorphous
valganciclovir was not taught or made and, therefore, the Patent claims more
than its invention.
[359] Apotex pointed to the US priority application underlying the ‘721, which became US Patent 6 083 953 and its
history and noted that it was amended to limit the invention to the crystalline
form.
[360] Roche also provided evidence
regarding the US Patent. Although the US Patent may have been amended to limit
it to crystalline material, the evidence of Mr Killworth, a US Patent Attorney,
was that this was a strategic choice or compromise on the part of the inventor
to obtain the US Patent and was common practice, and that the inventors
reserved their right to obtain another patent for the non-crystalline material.
Mr Killworth indicated that this compromise should not be considered as an
admission that the invention was limited to crystalline material.
[361] The law is well-settled that the
inventor cannot hold a monopoly for more than he invented and he may not claim
more than the invention as described in the specifications (e.g. Pfizer
Canada v Pharmascience, 2013 FC 120, Eli Lilly Canada Inc v Apotex Inc,
2008 FC 142 at paras 180 to 182; and Biovail Pharmaceuticals Inc v Canada
(Minister of National Health and Welfare), 2005 FC 9, at paragraphs 59 to 61.
[362] As previously found, the
inventive concept was not crystallinity. The claims as construed include both
amorphous and crystalline valganciclovir. The crystalline product is one method
of preparing the compound. Crystallinity is an additional advantage and is
specifically claimed in claim 4.
[363] The Patent claims and discloses
both amorphous and crystalline valganciclovir for the treatment of herpes
viruses. The Patent does not claim more than the invention.
[364] I find that Apotex’s allegations
of overbreadth ; i.e. that claims 1, 2, 3, 5, 6, 7, 8, 9, 10 of the '721 Patent
are invalid as being broader than the invention made or disclosed, are not
justified.
INFRINGEMENT
[365] Although I have found that the
allegations of anticipation and obviousness are justified, I have nonetheless
considered the allegations of non-infringement.
[366] To avoid the awkward use of
double negatives, the issue is whether Roche has established that Apotex has
infringed the Patent by making or constructing its own valganciclovir (the
Apotex product) which Apotex claims to be amorphous only (i.e. not
crystalline).
[367] The claims of the ‘721 Patent
include both amorphous and crystalline valganciclovir. There is, therefore, no
dispute that Apotex would infringe all valid claims other than claim 4 in the
production of its amorphous product.
[368] The only issue with respect to
infringement, if the claims of the patent are found to be valid, is with
respect to the production of crystalline valganciclovir (claim 4).
Jurisprudence / principles
regarding infringement
[369] The applicable burden of proof
was canvassed earlier in these reasons at paragraphs 57-64.
[370] Apotex’s allegations of
non-infringement are presumed to be true; it is entitled to the presumption
that its valganciclovir (the Apotex product) will not be crystalline and will
contain a mixture of the (R) and (S) forms of valganciclovir. The applicant,
Roche, must rebut the allegations that the claims of the ‘721 will not be
infringed by the making, constructing, using or selling the Apotex product. A
possibility of infringement, i.e. that the Apotex product could or might
generate crystals is not enough to rebut the presumption (Novopharm Limited v Pfizer Canada Inc, 2005 FCA 270, 42 CPR (4th) 97, at para 24).
The expert evidence
[371] Roche relies on the evidence of
its experts, including Dr Manthorpe, who conducted experiments to model the
Apotex process as described in the Apotex Abbreviated New Drug Submission [ANDS].
The material produced was crystalline, according to the evidence of Dr
Korobkov, a crystallographer, who analyzed the results.
[372] Dr Tsantrizos expressed the
opinion that the process described in the ANDS would involve the formation of
crystalline valganciclovir as part of the purification process.
[373] Dr Tsantrizos indicated that it
would be hard to conceive that the Apotex product would only be amorphous at
all points in its manufacture. She indicated that without purification by
crystallization, it would be more expensive and difficult to manufacture the
bulk product to meet the high purity standards required. She also stated that
crystalline material is more desirable because it is more stable. [Redacted]
[374] [Redacted]
[375] [Redacted]
[376] [Redacted]
[377] [Redacted]
[378] Roche submits that based on an
analysis of all of the expert evidence, it has rebutted the presumption of
non-infringement and has established that the Apotex process would result in a
crystalline product.
[379] Apotex submits that Dr Manthorpe,
who developed and conducted the experiments for Roche, made errors and skipped
steps in modeling its process and because he began with a crystalline product,
a crystalline product was found in the end result.
[380] Apotex submits that Dr
Manthorpe’s experiment cannot be relied on for several reasons including that
Dr Manthorpe began at Step 9 of the process and used a sample provided by Roche
which could have been pure and crystalline. Apotex submits that if the material
had been crystalline it could provide the seed for the creation of crystalline
material.
[381] Dr Steed indicated that the
presence of crystalline material in a laboratory is known to make it difficult
to prepare material that is not in this same format. Therefore, if Roche’s
crystalline valganciclovir was present in Dr Manthorpe’s laboratory, it would
be difficult to avoid the distribution of particles and this would have
affected his experiments (para 189).
[382] In other words, those crystals
remain and could taint other experiments due to seeding and could result in
crystalline products even though unintended.
[383] Dr Steed indicated that there is
no conversion of amorphous valganciclovir hydrochloride to crystalline
valganciclovir hydrochloride over the course of the manufacturing process. [Redacted]
[384] Dr Boeckman indicated that Dr
Manthorpe’s experiments did not model the Apotex process and, as a result, the
analysis conducted by Dr Korobkov cannot be relied on to determine if Apotex’s
process creates crystalline valganciclovir. He stated that there is nothing in
the documents provided by Apotex that indicate that the product is anything
other than amorphous. [Redacted]
[385] Dr Steed also examined the PXRD
and indicated that the patterns were abnormal and did not indicate the presence
of crystals (para 199).
[386] The Apotex experts were generally
critical of the experiments of Dr Manthorpe, including its small scale. Dr
Steed indicated that the smaller scale of the process (by a factor of 1000) has
significant consequences and affects the crystallization behaviour (para 183).
Dr Boeckman referred to the Apotex process as an industrial scale whereas the
process of Dr Manthorpe was a “very small bench top scale” (para 206). He
explained how those differences could have an effect on crystallinity. Dr
Manthorpe agreed in his cross-examination that his process was at a 1000 times
smaller scale and noted that he was trying to model the system “using
facilities at my disposal” (para 160).
Alleged Deficiencies in the
Notice of Allegation
[387] In the context of the allegations
of non-infringement, Roche submits that the Court should draw an adverse
inference against Apotex because its NOA was deficient and because Apotex did
not provide its product samples for testing. In addition, Roche submits that
the failure of Apotex to provide the requested samples gives rise to a common
law presumption that its product would infringe claim 4.
[388] Roche also suggests that the
failure of Apotex to provide samples could shift the burden of establishing non-infringement
to Apotex.
[389] I have addressed Roche’s
submissions about the deficiency in Apotex’s NOA regarding the crystallinity of
its product earlier in these reasons and have found that there was no such deficiency.
[390] I also noted that Roche obtained
an Order to compel Apotex to provide all the information in its ANDS related to
the process to prepare its valganciclovir hydrochloride and that this was provided.
[391] Apotex did not provide samples to
Roche (and was not required to do so as the ANDS did not include samples). [Redacted]
[392] The issues now raised by Roche
were canvassed in Pfizer Canada v Apotex Inc, 2003 FC 1428, [2004] FCJ
No 326, (2004) 31 CPR (4th) 214, aff’d 2004 38 CPR (4th)
400 (FCA). After reviewing the legal and evidential burdens applicable and the
requirements of the NOA, Justice Snider noted at para 10-11:
[10]…It is clear that Apotex has an evidential burden to 'put into
play' the issue of non-infringement by issuing a NOA and detailed statement to
Pfizer and the Minister. Whether these documents contain a sufficient amount of
detail is considered later. What needs to be made clear at this point, however,
is that these documents, if determined to be adequate, will satisfy the
evidential burden on a Respondent. Apotex has the opportunity, but not the
obligation, of filing further evidence in support of its detailed statement.
Thus, if it is determined that the NOA and detailed statement are not
deficient, it can be said that Apotex has discharged its evidential burden.
This is logical, given that a detailed statement by its nature is intended to
substantiate the allegations put into play in the NOA. Conversely, if an
Applicant fails to provide sufficient information, it does so at its own peril,
as the Applicant could discharge its legal burden by proving that the NOA is
defective. (Bayer AG v. Canada (Minister of National Health
and Welfare) (1995), 60 C.P.R. (3d) 129 at 134; Procter & Gamble
Pharmaceuticals Canada, Inc. v. Canada (Minister of Health)
(2001), 15 C.P.R. (4th) 496 at 504 (F.C.T.D.), aff'd (2000) 20
C.P.R. (4th) 1 at 10 (F.C.A.)).
[11] Pfizer seems to be arguing that,
once it put Apotex on notice that it was vexed by Apotex's failure to disclose
actual bulk and tableted samples of its azithromycin, Apotex's evidential
burden became weightier, meaning it had to disclose the requested samples or
else this burden would not be discharged. I do not agree. I read Justice Strayer's
decision to mean that the Notice of Application is intended to inform the
Respondent of the issues that the Applicant will raise and the reasons for
which it believes that an order of prohibition should issue. I do not read
Justice Strayer's comments as permitting an applicant to expand the evidential
burden on the Respondent at its whim. Further, it would be nonsensical to allow
one party to state what vexes it, thereby putting an issue into play, and then
determine that the other party has the burden of providing evidence in support
of such vexation. If Pfizer believes that the samples are necessary for it to
discharge its legal burden, it must convince this court of this, as it has put
this very issue into play.
[393] Roche also submits that the
common law presumption should apply; that where a party fails to lead evidence
of facts that it is in a better position to establish, the court will infer
that the facts are adverse to the party’s interest. In this case, Roche takes
the view that Apotex led no sufficient evidence that its API was not
crystalline and that I should, therefore, infer that it was crystalline.
[394] Justice Snider also dealt with
this issue in Pfizer (above) noting that to fall within such a
presumption, the applicant must show that the information was not adduced in
evidence by the respondent and that the applicant had no other means of
accessing it.
[395] In analogous circumstances,
Justice Snider noted at para 17:
[17]
What Pfizer really seems to be saying is that it requires the samples to prove
conclusively whether they contain the dihydrate. This is not the information
that is required in this proceeding. The purpose of this proceeding is not to
determine conclusively whether Apotex's clinical trial product infringes
Pfizer's '876 patent. Rather, the purpose of this proceeding is to determine
whether Apotex is justified, on a balance of probabilities, in alleging that
its product will not infringe the '876 patent. This is not an infringement
action. Because of the purpose of this proceeding and the applicable standard
of proof, the samples do not, on the facts of this case, fall within the
meaning of "required information". Given the disclosure of the ANDS,
it is not manifestly beyond the power of Pfizer to determine on a balance of probabilities
whether Apotex's product will contain the dihydrate. For these reasons, the
common law presumption is not available to Pfizer.
[396] As noted above, I do not find the
NOA to be deficient. Roche sought and obtained an order of production of the
ANDS and other information. Roche then conducted experiments to model the
Apotex process in an attempt to demonstrate that it produced a crystalline
product.
[397] There are no adverse inferences
to be drawn.
Finding re Non-Infringement
[398] I am not persuaded by the evidence
of Roche’s experts that the Apotex product is crystalline. The Apotex experts
provided evidence that the product was not crystalline valganciclovir
hydrochloride and pointed to the frailties in the experiments conducted by Dr
Manthorpe on behalf of Roche. Roche has not rebutted the presumption that the
Apotex product is, as Apotex claimed it to be, amorphous and non-crystalline.
[399] In the event that the claims of
the patent are found to be valid, I would find that the allegation of
non-infringement of claim 4 is justified.
CONCLUSIONS AND COSTS
[400] I appreciated the assistance of
counsel and the thoroughness and clarity of their submissions on the law, their
responses to questions as they arose, and for their well-organized evidence in
the form of day books and compendia.
[401] I have found the allegations as
to invalidity on the grounds of anticipation and obviousness to be justified.
The allegations of overbreadth are not justified. With respect to the
allegations of non-infringement of any valid claims, the allegation of
non-infringement of claim 4 is justified. The allegations of non-infringement
of all other valid claims is not in dispute.
[402] In the result, the application
for prohibition is dismissed.
[403] With respect to costs, the
respondent, Apotex, is entitled to costs to be assessed at the middle of Column
IV of Tariff B.
JUDGMENT
THIS
COURT’S JUDGMENT is that:
1. The applicant’s application for
an order prohibiting the Minister of Health from issuing a notice of compliance
to Apotex for the Apotex product (Valganciclovir hydrochloride tablets for oral
administration in a dosage strength of 450mg) until the expiry of Canadian
Patent ‘721 on July 28, 2014 is dismissed.
2. The respondents shall
have their costs of the application.
"Catherine M. Kane"