Date: 20130812
Docket: T-436-05
Citation: 2013
FC 750
BETWEEN:
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VARCO CANADA LIMITED
VARCO, L.P.
WILDCAT SERVICES, L.P. and
WILDCAT SERVICES CANADA, ULC
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Plaintiffs/
Defendants by Counterclaim
|
and
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PASON SYSTEMS CORP. and
PASON SYSTEMS INC.
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|
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Defendants/
Plaintiffs by Counterclaim
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PUBLIC VERSION OF THE
CONFIDENTIAL REASONS FOR JUDGMENT
TABLE OF CONTENTS
Para.
I. Introduction.........................................................................................................
1
A. Parties/Patent
Ownership............................................................................
7
B. Nature
of Problem to be Solved.................................................................
21
II. History
of Invention............................................................................................
34
A.
Introduction................................................................................................
34
B.
Credibility...................................................................................................
35
C.
Testing........................................................................................................
44
(1) First
Test............................................................................................
47
(2) Second
Test.......................................................................................
51
(3) Third
Test...........................................................................................
54
III. Bates
Letter and File...........................................................................................
67
IV. Pason
Invention...................................................................................................
96
V. Issues................................................................................................................... 143
VI. Analysis............................................................................................................... 144
A.
Claim Construction..................................................................................... 144
(1) Legal
Principles.................................................................................. 148
(2) Person
of Ordinary Skill.................................................................... 158
(3)
“ONLY” re
changes in drilling fluid pressure (Claims 1, 11
and
14)............................................................................................... 164
(4) Inverse
Relationship – Mandatory (Claims 1 and 11)....................... 173
(5) Selecting
Automatic/Manual (Claim 14)........................................... 182
(6) Other
Claims Construction Issues..................................................... 189
B. Infringement............................................................................................... 206
(1) Claim
1............................................................................................... 209
(2) Claim
11............................................................................................. 232
(3) Claim
14............................................................................................. 241
(4) Inducement........................................................................................ 250
(5) Infringement
by Exportation............................................................. 257
C. Validity
of Patent....................................................................................... 267
(1) Anticipation
– Prior Art..................................................................... 268
(a) Brett/Warren
Paper................................................................... 273
(b) Le Compte
Patent..................................................................... 279
(c) The Hobhouse Patent
(#3,550,697).......................................... 285
(2) Anticipation
– Prior Use.................................................................... 289
(3) Obviousness
(Absence of Inventiveness).......................................... 309
(4) Inutility.............................................................................................. 324
(5) Overbreadth....................................................................................... 339
D. Deemed
Abandonment............................................................................... 341
(1) US
Proceeding................................................................................... 345
(2) Re:
European Proceeding.................................................................. 365
(3) Determination.................................................................................... 377
E. Conclusion.................................................................................................. 381
VII. Remedies............................................................................................................. 383
A.
Overview.................................................................................................... 383
B.
Expert
Witnesses........................................................................................ 386
C.
Accounting
for Profits................................................................................ 395
D.
Calculation
of Pason Profit......................................................................... 411
E.
Proper
Approach to Disgorging Profit........................................................ 416
F.
Alternative
Remedies................................................................................. 427
(1) Damages............................................................................................ 428
VIII. Costs.................................................................................................................... 471
IX. Conclusion........................................................................................................... 472
* * * * * *
PHELAN
J.
I. INTRODUCTION
[1]
This
action relates to the infringement of Canadian Patent No. 2,094,313 [the 313
Patent], the rights to which are held by the Plaintiff, Varco L.P. The 313
Patent relates to the braking function in automatic drilling systems used
principally in the petroleum industry. The Patent is more particularly focused
on automatic drilling systems used in drilling rigs to regulate the release of
a drill string during the drilling of a borehole.
[2]
The
Defendants, Pason Systems Corp. and Pason Systems Inc. [collectively “Pason”],
both individually and collectively, make and rent in Canada an automatic
drilling system known as the Pason AutoDriller.
[3]
The
Plaintiffs claim that Pason infringes the 313 Patent by manufacturing, selling,
renting and exporting the Pason AutoDriller as well as inducing Pason’s
customers to use the Pason AutoDriller.
The Plaintiffs
claim damages or an accounting of profits as well as punitive and exemplary
damages.
[4]
Pason
denies infringement and attacks the validity of the Patent on almost as many
grounds as it is conceivable to assert, including some novel twists on known
grounds.
[5]
In
addition to the usual matters of a complex patent trial, this litigation was influenced
by parallel or similar litigation in various US courts, but most particularly
an action in the US District Court in Denver. The most striking influence was
the seepage out of documents in the US processes which were relevant to the
Canadian litigation. As a result, after final argument this litigation had to
be re-opened, evidence taken in the United States and further arguments made on
key aspects of this case.
For ease of understanding
and consistency of findings, the “new evidence” is incorporated into these
reasons as part of the narrative and analysis and not as a stand alone topic.
[6]
The
most relevant portions of the 313 Patent are attached as Schedule A to these
Reasons.
A. Parties/Patent Ownership
[7]
The
Plaintiff Varco L.P. [Varco LP] is a limited partnership organized under the
laws of Delaware, Maryland with its principal office and place of business in Houston, Texas.
[8]
The
Plaintiff, Varco Canada Limited [Varco Canada] is a corporation organized under
the laws of Alberta, having its registered office in Edmonton, Alberta. It is a subsidiary of Varco LP.
[9]
The
Plaintiff Wildcat Services L.P. [Wildcat Services LP] is a limited partnership
organized under the laws of Texas with a principal office in Cypress, Texas. The company and its subsidiary were acquired by Robert Prejean.
[10]
The
Plaintiff Wildcat Services Canada ULC [Wildcat Services ULC] is an unlimited
liability company organized under the laws of Nova Scotia with its registered
office at Halifax.
[11]
Unless
otherwise specified, the Plaintiffs are collectively referred to as Varco.
[12]
The
Defendant Pason Systems Inc. is a corporation organized under the laws of Alberta with its principal place of business at Calgary.
[13]
The
Defendant Pason Systems Corp. is also a corporation organized under the laws of
Alberta with its principal place of business at Calgary. It is a wholly owned
subsidiary of Pason Systems Inc.
[14]
The
Defendants are collectively referred to as Pason unless otherwise specified.
Pason is a Canadian oilfield services company that specializes in developing
software and hardware to improve the drilling process. It designs and
manufacturers integrated systems for data acquisition, well site reporting,
remote communications and internet information management.
[15]
Pason’s
two principal products, at issue in this litigation, are its Electronic
Drilling Recorder [EDR] and the Pason AutoDriller.
[16]
The
313 Patent was issued on August 24, 1999. The first owner, and the inventor of
what is known as the Wildcat autodriller [Wildcat], was Bobbie Bowden [Bowden].
He did business, at the time, under the name Wildcat Speciality.
[17]
On
July 1, 2001, Bowden, doing business as Wildcat Specialty, assigned the Patent
to Wildcat Services LP.
[18]
On
or about March 12, 2003, Wildcat Services ULC, a newly created wholly owned
subsidiary of Wildcat Services LP, became a licensee of the Patent and took
over the business of renting Wildcat Autodrillers in Canada.
[19]
On
June 30, 2004, Wildcat Services LP assigned the Patent to Varco LP as part of
Varco LP’s purchase of all of Wildcat Services LP’s major assets. Thereafter,
Varco Canada became a licensee of the Patent and the sole entity that rented
Wildcat Autodrillers in Canada.
[20]
Varco
LP is the current owner of the 313 Patent.
B. Nature of Problem to
be Solved
[21]
The
experts confirmed that there are basically three types of oil wells: 1)
vertical wells which are drilled straight down; 2) directional wells which are
drilled at an angle from vertical, and 3) horizontal wells – a type of
directional well. The sketch below is an approximate visual representation of
those wells.
Figure
1
(Red shading is Court’s notation
of area of curve)
[22]
Directional
drilling became a popular method of drilling because it could increase the
productivity of a well. Horizontal drilling increased starting in the late
1980s in part due to advances in technology, such as the downhole mud motor.
[23]
In
directional wells, the preferred method of rotating the drill bit was to use a
downhole mud motor (rather than rotating the entire drill string).
[24]
A
downhole mud motor is affixed above the drill bit and drilling mud (a drilling
fluid) is pumped inside the drill pipe from the top of the standpipe down to
the mud motor and back to the top. The circulation of the drilling mud up and
down the pipe causes the drill bit to turn and cut through the formation. The
pressure of the drilling fluid provides the power to the mud motor. A schematic
from Exhibit 521 shows the basics of the rotary bit with mud motor.
Figure
2
[25]
The
pressure of the drilling fluid is directly related to the amount of torque that
the mud motor applies to the drill bit. The greater the drilling fluid
pressure, the greater the torque on the bit – the cutting power. When contact
with the formation is increased, there must be an increase in drilling fluid
pressure to continue the drilling function. The change in pressure is measured
by a pressure gauge on the standpipe at the surface of the rig.
[26]
Vertical
wells generally were drilled using weight on bit [WOB] as the basis to advance
or retard the drill string. WOB is the amount of force between the drill bit
and the formation being drilled. The increase in WOB allows the drill bit to
drill into the formation – akin to the force used to push a home automatic
drill into the drywall in one’s basement.
[27]
In
vertical wells, the WOB is proportional to the weight of the drill string (known
as a “hook load”) as shown on the weight indicator in the driller’s console. In
this type of well, the WOB is the hook load with the bit just off bottom minus
the hook load while drilling where the formation takes some of the hook load.
[28]
In
the 1960s the drilling process of vertical wells was automated. These automatic
drillers worked off the WOB readings and by release of the drill bit to engage
the formation.
[29]
While
the term “release” is often used, it is synonymous with “brake”. Gravity would
pull the bit down the vertical shaft, the driller would regulate the engagement
of the bit with the formation by braking the drill to prevent further downward
movement or releasing the bit to facilitate the downward movement.
There are a
number of WOB autodrillers including “the Satellite” which was covered by a US patent in favour of J.E. Bowden, Bowden’s father – US Patent No. 3,265,359 [the 359
Patent].
[30]
WOB
worked well in vertical wells but were problematic for directional wells.
Because of the curve in a directional well, part of the weight of the drill
rested in the curve which distorted the WOB calculation. Therefore, without the
functionality of WOB autodrillers , drillers in directional wells had to
manually control the drill string brake in response to changes in drilling
pressure.
[31]
Drillers
knew that, in directional wells, drilling fluid pressure generally related to
the torque delivered by a mud motor which related to the contact force between
the bit and the formation.
[32]
For
directional wells, drillers began to look at drilling fluid pressure to
understand what the WOB might be in a directional well.
[33]
Since
autodrillers were generally more efficient, more precise and cost effective
than manual drilling, there developed a need for an automatic drilling system
that worked effectively in horizontal and directional drilling. The expert
evidence which the Court accepts concludes that the 313 Patent was designed to
address this need. The primary improvement of the invention described in the
313 Patent is the ability to automate the drilling process in directional wells
using drilling fluid pressure in conjunction with WOB.
II. HISTORY OF INVENTION
A. Introduction
[34]
The
history of the invention and the patenting of the invention are largely told
through Bowden. The history covers his own development of the device, the
testing of it and the interactions with patent attorney/agents Donald Comuzzi
and Marcus Bates. Some of the pertinent events will be described in other
sections of these Reasons.
B. Credibility
[35]
The
Defendants take issue with Bowden’s story. Although they had little or no
evidence from witnesses which challenged Bowden’s version, they have attacked
Bowden’s credibility and consistency principally through circumstantial
evidence, alternate interpretation of documents, and through cross-examination.
They postulate a different theory of the case which essentially calls Bowden a
liar, a fraudster and one who engaged in substantial skulduggery.
[36]
The
case for invalidity, other than the interpretative aspect of the patent, turns
substantially on whether Bowden’s story is “more probable than not” as the
civil burden of proof is sometimes described. The invalidity attack challenges
Bowden on whether he publicly disclosed the invention more than one year before
the patent filing date. It also challenges how Bowden went about the process of
filing his US patent and Canadian patent applications.
[37]
There
is no doubt that there are gaps in Bowden’s version of the facts. His
forgetfulness about events led this Court to re-open the trial so as to obtain
the complete evidence of the US patenting process. Bowden’s recollection was
subject to the frailties of memory influenced by the length of time between
events and the time he had to testify either in this Court or in similar or
related cases in the United States District Court and state courts in the USA.
[38]
Bowden
was “a marketer” for his invention and remained “a marketer” even on the
witness stand. He also suffered from the not uncommon failing of seeing events
in the most favourable light from his own perspective and dismissing less
favourable matters as unimportant. However, he is not, at least in the evidence
before this Court and in my opinion, any of the things of which the Defendants
accuse him. At the end of the day, his story remained generally consistent,
plausible and credible. While the Court approaches his evidence with caution,
it generally accepts his version of events over the Defendants’ theory, in
large part because the Defendants could only advance a theory (or theories)
attacking Bowden’s evidence.
[39]
The
Defendants’ theory of the case on this point would require a finding that
Bowden lied under oath in US and Canadian court proceedings, misrepresented
facts to numerous people over an extensive period of time, even to the extent
of possibly committing bankruptcy fraud in the United States. There is
insufficient evidence to make that type of finding.
[40]
Bowden
had been around drilling rigs from his earliest years. His father was a driller
who invented a WOB autodriller described in the 359 Patent, which was marketed
as the Satellite driller. Upon returning from the US Navy where Bowden worked
as a machinist’s mate, he returned to his father’s business.
[41]
About
1971, Bowden formed his own company to distribute his father’s autodriller and
to run his own business in the refurbishment of airfield instrumentation
equipment.
[42]
In
late 1991 and early 1992, Bowden conceived of and built his first autodriller.
He conceived the idea because he had seen drillers release the drill string in
directional wells based on indications in a pressure gauge. Since his father
had automated a driller using WOB in vertical wells, Bowden thought he could do
something new – develop an autodriller for directional wells. This would
necessitate using WOB and pressure to regulate the drilling function.
[43]
Work
on a prototype began in that period using his shop, his garage and spare parts
he had from his work in the oil industry. By February 1992 he had built his
initial prototype, but Bowden did not know if it would work on a rig or how it
would function with a mud motor. He had no test facility of his own. The
utility of the prototype needed to be confirmed through testing.
C. Testing
[44]
The
Patterson rig was owned by Union Pacific Resources Corporation [Union Pacific]
or Patterson Drilling (the evidence is not clear) in the Austin Chalk area of Texas. Bowden asked Gene Finney, the Union Pacific drilling foreman, for permission to test
his prototype. To secure permission, Bowden disclosed that his autodriller
worked off both bitweight or pump pressure. There is no evidence that Bowden
disclosed how the device was built or how it worked in any detail.
[45]
The
issue of whether Bowden disclosed his invention during the period when it was
on the Union Pacific rigs is critical to the Defendants’ allegation of
invalidity due to public disclosure.
[46]
There
were no confidentiality agreements or other forms of non-disclosure obligations
created, but rig operators in this business would from time to time allow a
product to be used on a rig before it was fully developed.
(1) First
Test
[47]
Initially
Finney agreed to allow testing on one full well but required that at the end of
testing, Bowden would have to remove the prototype.
[48]
In
the test drilling on the first well there were three employees of Patterson
Drilling, the drilling contractor, and two employees of the mud motor company.
[49]
It
was Bowden’s testimony that he personally did all the drilling using the
pressure mode, that he disconnected the pressure hoses when the drillers used
the prototype in WOB mode and that he locked the prototype so no one could
examine it when he was not on the rig to ensure that no one could examine the
device.
[50]
The
testing on the first well occurred between February 19, 1992 and March 6, 1992.
After the first test concluded, Bowden took the device off the rig and returned
it to his shop where he made improvements to the device. A key change was the
addition of a three-way switch to allow an operator to select pressure or WOB
or a combination of both at the same time.
(2) Second
Test
[51]
Bowden
then tested the device on a second well between March 15, 1992 and April 3,
1992.
[52]
The
test on the second well disclosed a problem with gas pockets which allowed the
brake to be suddenly released, dropping the bit and damaging the motor.
Bowden addressed
this problem by adding a wellhead pump pressure compensating valve. He also
realized that he could set the pump pressure as the primary control and set WOB
as the secondary control and then use the limiter to restrict the fall of the
drill string in pressure pockets.
[53]
Bowden
was not allowed to test his device when the curve was drilled on the second
device. The curve, as shown in Figure 1, is where the use of WOB drilling
becomes problematic as earlier described. To Bowden this was a critical
limitation of the test because drilling the curve was critical to directional
drilling. Bowden felt that he had to do further testing to ensure that his
device would work as he intended. Bowden did admit that by April 13, 1992, the
device “was pretty well perfected”.
(3) Third
Test
[54]
Testing
on the third well occurred between April 13, 1992 and April 27, 1992. Bowden
was now allowed to drill the curve which he did successfully on April 20, 1992.
In Bowden’s opinion this was the proof that the device worked and that testing
was completed. On that same day Bowden and Finney agreed on a daily rental rate
for the autodriller of $48. Finney, according to Bowden, offered to compensate
Bowden for the use of the prototype during the testing phase although that had
not been part of the original testing agreement.
[55]
Thereafter
Bowden started to build and market the autodriller through the summer of 1992.
[56]
I
have concluded that it was on April 20, 1992 that Bowden’s invention was
finally proven and completed. Bowden was clear that until he could test the
device in the curve, he could not know that he had invented a workable device
that solved a problem no one else had solved. It is “20/20 hindsight”, not a
convenient thesis for the Defendants, that the device was in all material
respects complete at some prior date. However, the judgment of the inventor on
this issue is an important factor. The concern Bowden had was significant; it
was of substance, not merely form.
[57]
Pason
contends that Bowden had disclosed his invention prior to April 20, 1992. It
suggests that there was prior disclosure to Finney, that Bowden had trained the
Patterson drilling crew and the mud motor company directional drillers in such
a manner as to disclose the invention; that Bowden was fully paid for the use
of the autodriller during the “supposed” test phase; and that the testing was
part of Bowden and his later associate Prejean’s business model of letting
customers use the device for free for a period and then rent it backdated for
the trial period if they liked it.
[58]
While
Bowden admitted that he told Finney and people on the rig generally what the device
would do, he did not either tell them or show them how the device worked. He
denied that he showed or explained the internal workings of the device.
[59]
There
was no evidence from either Finney or the drillers or anyone else that there
was such prior disclosure. While the Defendants ask that the Court draw an
adverse inference from the Plaintiffs’ failure to call these individuals, prior
disclosure is the Defendants’ allegation to prove and they did not call those
people either.
[60]
It
is not to say that Bowden’s story is trouble free. He outlined a scheme where
he ran the rental payments in 1992 through a company called Lampo’s Steam
Cleaning for obscure reasons of insurance and bookkeeping. This was an
organization that Bowden claimed he knew nothing about, did not know who owned
it, yet gave them approximately 20% of the rental revenue.
[61]
As
troubling as this evidence may be, it does not materially assist on the issue
of prior disclosure. It does touch on Bowden’s own credibility, but not
sufficiently for the Court to reject the core aspects of his evidence.
[62]
Bowden’s
device, the Wildcat, had a number of advantages. It was more efficient,
reliable and cost saving than other drills. Even the Defendants’ own patent
expert acknowledged its qualities.
[63]
The
Wildcat was commercially successful, growing from 40 Wildcats rented in 1999 to
500 by 2004.
[64]
The
business model for Wildcats was described as “try it for a few weeks. If you
like it, then you pay for it”. This was the model used by Bowden and Prejean.
Prejean started in sales and marketing the Wildcat eventually took over ownership
of the company in 2001.
[65]
Between
1999 and March 2003, the Wildcat was marketed and serviced in Canada by Alberta Gauge and Drillers Service Corp. Prejean formed Wildcat Services Canada ULC in
March 2003 and bought out Alberta Gauge and Drillers Service Corp. The impetus
for the “buy out” was Prejean’s concern for Alberta Gauge’s ability to market
and Prejean’s plan to ramp up Wildcat rentals aggressively.
[66]
Having
put 50 Wildcats on rigs in Canada in 2003 and expecting to go to 100, such
plans were impacted when the Defendants started deploying its Autodriller.
III. BATES LETTER AND FILE
[67]
Before
turning to Pason’s AutoDriller and maintaining a general chronological theme to
this Background, it is necessary to address the above topic.
[68]
To
say that the Defendants’ claim Bowden to be a scoundrel, whose evidence is to
be wholly rejected, is an understatement. The Defendants suggest that Bowden’s
evidence is largely a fabrication. A critical aspect of its attack is that
Bowden made public disclosure well prior to April 20, 1992 – even to the
point of suggesting that Bowden had his invention in October 1991 and that the
testing in March-April 1992 was really part of the business strategy of
offering customers a free trial period after which they had to buy the product.
[69]
As
part of these alleged shenanigans, the Defendants contend that Bowden had
received advice from a patent attorney (a patent agent in Canadian terms)
Marcus Bates Sr [Bates] in a letter [Bates Letter] that his invention was not
likely patentable because of prior art. They further alleged that Bowden hid
the letter from his lawyer who prosecuted the patent application [Comuzzi] and
failed to disclose the prior art to the US Patent and Trademark Office [USPTO]
thereby committing fraud on the patent Office (a US legal concept much in
debate) and otherwise engaging in inequitable conduct.
[70]
The
evidence surrounding the pre and post patent search in September 1992 to the
filing of the patent application in April 1993 is at times confusing; both the
oral evidence and document trail is missing critical parts.
[71]
At
the original trial, Bowden outlined a series of events starting with retaining
Bates in September 1991 to do a patent search, having received the Bates Letter
of September 1992, to having retained a patent lawyer Comuzzi in March-April
1993 to prepare the US patent application before the one-year grace period had
expired. Most germane is that Bowden said that he had not described to Bates
the invention or idea in any detail.
[72]
At
trial, the Bates Letter of September 1992 was produced. It identified 29 prior
art references including Le Compte, Dillon and US Patent No. 3,223,183 to
Varney [the Varney Patent]. The Bates Letter also contained a specific
description of Bowden’s embodiment of invention and advice that based on the
prior art, patentability was doubtful.
[73]
While
the Bates Letter was produced at trial, the whole of Bates Sr’s file concerning
Bowden’s invention [Bates File] had never been produced in any of the related
litigation in the US. It appears that all parties assumed that the Bates File
was either lost or destroyed.
[74]
After
this trial had concluded and argument made, but prior to release of a decision,
counsel for the Plaintiffs advised the Court that the Bates File had finally
been located. Counsel also advised that Bowden, having now seen the file,
informed that his recollection has been faulty and that the evidence before the
Court was not entirely accurate. Of particular significance was the record of a
meeting between Bates and Bowden at Bates’ airport home/office on June 19,
1992.
[75]
As
the Court was faced with admittedly inaccurate evidence on what the Defendants
contended was critical evidence, the trial was re-opened to admit evidence
disclosed by the Bates File.
[76]
It
was intended that both Bowden and Bates would given evidence in Austin. It turned out that Bates was unable to testify due to declining health and mental
capacity. However, his deposition recorded on video taken in the parallel US Federal District Court was admitted in evidence. His son Bates Jr testified as to the
authenticity of the file and deciphered some notations but had no other
involvement in this matter.
[77]
Bowden’s
evidence in light of the Bates File was not particularly useful because he had
no independent memory of the meeting on June 19, 1992. He confirmed that the
meeting occurred because his son recalled going to Bates’ home/office – a trip
made memorable to Bowden’s son because he had just received his driver’s
licence.
[78]
There
is no doubt that the Bates File was genuine. It was detailed and well
organized. I do not doubt that the notations reflect Bates’ understandings and
perceptions as well as accurately reflect his own actions.
[79]
With
respect to Bates’ deposition evidence, there is greater reason to be cautious
in accepting it as entirely accurate or complete. On April 11, 2011, when Bates
gave his evidence, he had been suffering diminished mental capacity issues. Bates
Jr said that Bates’ mental capacity was day-to-day but at the time of his
deposition, it was a “good day”.
[80]
Having
reviewed the deposition evidence, it is clear that Bates was struggling with
mental capacity issues in addition to the normal memory difficulties most
witnesses have with events some time past – in this case almost 20 years. For
example, he had trouble recalling his age or remembering that he lived at the
Bates airfield in 1992 or that he had an office there.
[81]
Bates
had no specific memory of many of the key events of his interaction with Bowden
and had obvious inaccurate memory of some events, such as believing that he had
filed Bowden’s patent application.
[82]
These
obvious difficulties, which undermine the reliability of Bates’ evidence, were
confirmed by medical advice. Within a month of his deposition, Bates was
determined to lack medical/legal capacity due to memory loss and dementia.
Within two months thereafter, he was diagnosed with significant progressive
dementia affecting his memory, his behaviour, his reasoning and judgment. These
difficulties were not new; his son referred to his father’s unusual behaviour
as early as US Thanksgiving 2009.
[83]
Against
this sad state of affairs, I have little confidence in the accuracy of Bates’ testimony.
However, his notes and documents in the Bates File have some reliability.
[84]
These
documents show that portions of Bowden’s evidence were inaccurate. He was in
contact with Bates more frequently than just September 1991 when he suggested
that the patent search was ordered. He had the meeting of June 19, 1992 at
Bates’ home/office after which the patent search was ordered. The results of
that search were reflected in the Bates Letter. The documents suggest that it
was Bates who sent Bowden to Comuzzi because Bates did not have the time to
prepare the patent application – rather than Bowden’s evidence that he got
Comuzzi’s name from the Yellow Pages and that he had always wanted to use a
lawyer.
[85]
Bowden
explains his current memory problems as stemming from his evidence in parallel US proceedings. His evidence in those proceedings was the basis of his Canadian evidence
but he gave his US evidence when his wife was in the late stages of a terminal
illness and he was travelling between Denver and his home to attend to his
wife. He says that this stress caused his own confusion.
[86]
The
Defendants’ ask the Court to totally reject Bowden’s evidence because of its
unreliability. While some of the problems of Bowden’s evidence have already
been noted, what is striking from the documents is how consistent the Bates
File is with the core of Bowden’s story.
•
Bates’
notation of the June 19, 1992 meeting refers to the invention having been
reduced to practice four months ago but that the first part was not public
disclosure but testing. Four months from June 19 would be consistent with when
Bowden began his testing. There was even a notation to the date of April 15.
•
There
was a reference to the fact that the patent application had to be filed “about
next April” to avoid the statutory bar. It is unclear to what the bar refers,
but most likely the one-year rule regarding public disclosure.
•
Bates’
checklist (used in all his patent files and reflecting the results of a client
interview intake) recorded that the idea was reduced to practice four months
ago, that it was publicly disclosed two months ago and that the statutory bar
is “about 10 months from now”.
These last two references are to
April 1992 and April 1993 respectively.
[87]
While
none of the notations are particularly specific as to a day in April, they tend
to point to the mid to latter part of April as the time of public disclosure
and time for filing the patent application.
[88]
In
the Bates File there was a memo of March 8, 1992 from Bowden which describes
the invention in patent-type language. Bowden had no recollection of it or the
circumstances of its creation. There is nothing in the Bates File or its
timesheet that assists. It is just one of the many gaps in the documentation.
[89]
As
a result of the re-opened trial and evidence that generally confirmed the core
of Bowden’s story, the Defendants developed a new theory of Bowden’s evidence.
The Defendants contend that Bowden had to rely on a date in late April 1992
because he had declared bankruptcy on April 7. Presumably if the invention had
been developed then, the benefits of the patent would have accrued to his creditors.
[90]
Other
than this bare allegation of a motive for an April 19 date, the Defendants have
produced no real evidence to support this latest theory. It is an allegation at
least bordering on criminal conduct. The Court cannot accept this theory as a
fact without more convincing evidence.
[91]
Flowing
from the re-opened trial, the Defendants raised a new event showing prior
disclosure of Bowden’s invention. In October 1991 at Gonzales, Texas, there was a local parade. Bowden entered a float in the parade with an exhibit which
consisted of a box on which were mounted some gauges and a decal with the name
“Wildcat”.
[92]
Bowden
testified that the box was empty. It is impossible to conclude that the
provision of an empty and unlocked box with some gauges and a decal contradicts
the evidence that Bowden’s story of starting to work on the autodriller began
in January 1992. Nor can I see how the empty box constitutes prior disclosure
of the invention.
[93]
In
the end, the Bates Letter and Bates File did little to advance the Defendants’
defence. The evidence shows the frailties of Bowden’s memory and his tendency
to put things in the most favourable light as referred to earlier in these
Reasons. However, the re-opened trial evidence is more confirmatory than
contradictory of Bowden’s narrative.
[94]
To
round out the facts, Bowden had advised Comuzzi why he did not think the prior
art in the Bates Letter was relevant. In March 1993, Bowden again contacted
Comuzzi and began to work with an associate, Chris Makay, on the patent filing.
Comuzzi informed Makay of the prior art issue and the belief that it was not
relevant. There is nothing to suggest, as the Defendants have, that Bowden
tried to hide the prior art issue from Comuzzi or that somehow Bowden, Comuzzi
and/or Makay planned to hide prior art from the USPTO.
[95]
It
is now appropriate to outline the circumstances of the Defendants’ device which
is said to infringe the 313 Patent.
IV. PASON INVENTION
[96]
Pason,
which was incorporated in 1978, is a Canadian oil field services company that
specialized in developing software and hardware for the drilling process. Jim
Hill, President and CEO of Pason since 1987 when he acquired the company, was
its chief corporate witness.
[97]
As
noted earlier, one of Pason’s principal products was the EDR, the system for
all data capture and monitoring of the equipment at a rig site. It was
introduced to the market in Canada in 1994.
[98]
The
EDR is a computer-based product which collects, stores and displays drilling
rig data. It is connected to rig sensors to measure a variety of drilling
parameters: WOB, speed, torque, drilling fluid pump rate, drilling fluid pump
pressure, rate of penetration and others. The data is processed in a computer,
displayed on the drilling rig floor, networked with other users at the well
site, digitally stored and transmitted to an offsite office.
[99]
The
EDR was successful in Canada. It was employed on 90% of the active drill rigs
in Canada by October 2003.
[100] By
1999, Pason had decided to develop an autodriller which could perform
directional and horizontal drilling. Pason also knew that of the autodrillers
in the market, only the Wildcat was designed for directional and horizontal
drilling. The ability to control the drill using pressure as a parameter was a
critical element of any Pason autodriller.
[101] As a
result of patent searches, sometime in 1999 Pason became aware of Bowden’s
patents both in Canada and the USA. Hill was informed that the Pason device
could infringe the 313 Patent.
[102] Pason
directed its attention at the Wildcat because it was the only autodriller that
used WOB and pressure parameters as Pason intended its device to do. Toward
that end, Pason set up on rigs using the Wildcat system to acquire data on its
operation. Pason was benchmarking against the Wildcat particularly in respect
of the use of pressure. It tested its device at places where Wildcats were
installed to emulate the same results as the Wildcat.
[103] Pason’s
emphasis on pressure as a parameter for horizontal wells was consistent with
all of the industry evidence that the use of pressure as a parameter was
essential for non-vertical drilling.
[104] In
the course of its investigation, Pason retained the services of a Canadian
patent agent Terry Leier. Leier was never called as a witness in this trial despite
being alive and in Canada. The purport of his advice comes from such Pason
witnesses as Hill and Holt (described later) along with letters of advice.
[105] Fairly
summarized, Leier’s advice was:
•
if
the infringing device had all the elements of the patented device and more, the
extra elements did not make it less infringing;
•
infringement
is considered in the context of the purpose of the invention;
•
one
must consider the function of each element of the claim and if it is carried
out by an equivalent apparatus, like software, there can still be infringement;
•
the
Pason system operated within the parameters of Claim 14, at least some of the
time; and
•
Pason’s
software implementation of the elements found in the Wildcat was functionally
equivalent to the elements of Claim 1 of the 313 Patent.
[106] Aside
from the general points on claim construction, on infringement and in respect
of Claim 1, Leier concluded that the Pason system appeared to operate within
the parameters of Claim 14 as well. Leier advised that unless Pason could
invalidate the 142 and 313 Patents, the operation of the Pason system fell
within Claim 14.
[107] Pason
attempted to explain its continued pursuit of its autodriller without
addressing the Wildcat claims as being based on Leier’s advice that the Patent was
overly broad and invalid. The advice on invalidity was based on the “Varney
patent” having anticipated Bowden. However, the Varney patent as a basis for
invalidity was never relied on in this Court.
[108] When
Pason proceeded with its autodriller, it was fully aware of the patented
Wildcat device and its operation. The only conclusion one can draw is that
Pason had been warned that despite the differences between the Wildcat and the
Pason device using software, it was at risk of infringement unless it could establish
invalidity.
[109] The
essential agreed difference between the Pason device and the Wildcat is that
the Pason device is electronic whereas the Wildcat is mechanical – similar to one
is digital, the other analog.
[110] Pason
hired Trevor Holt in 1999, an electrical engineer with experience in
programming computerized control systems in the oil and gas industry. In 2000
he began work on the programming for Pason’s autodriller which was to be
electronic, able to interface with Pason’s EDR and would incorporate multiparameters
including WOB and pressure.
[111] There
were problems developing an algorithm to handle WOB. By 2003 those problems
were solved and Holt then developed an algorithm for the pressure parameter.
The Pason AutoDriller was released to the public in March 2003.
[112] The
Pason Autodriller, as described by Pason, had three major physical components:
(a) The
AutoDriller control box, which includes a microcontroller computer board (on
which the algorithm is installed in memory), and a stepper motor driver;
(b) The
stepper motor; and
(c) The
drawworks drum ticks encoder (a device for measuring the precise movement of a
drawworks drum).
[113] The
Pason AutoDriller control box must be connected to the EDR. The EDR consists of
a number of components connected around the drilling rig, including a number of
sensors (such as sensors for WOB, drilling fluid pump pressure and depth), an
EDR junction box for processing the input from those sensors, a server computer
for logging data, and a dog house computer which provides the user interface
for the EDR and any connected device, including the Pason AutoDriller.
[114] The
stepper motor has a wire rope wrapped around its rotating end. The other end of
the wire rope is connected to the handle of the drum brake typically found on
conventional drilling rigs. As the stepper motor turns clockwise or
counterclockwise, the brake handle will be respectively pulled or released.
[115] The
drawworks drum ticks encoder mounts on the shaft of the drawworks on the rig to
provide to the Pason AutoDriller microcontroller an indication of the movement
of the drawworks.
[116] The
stepper motor driver receives its commands from the Pason AutoDriller
microcontroller. The stepper motor driver can only process two types of
commands:
(a) a
quantity of steps dictating the magnitude of movement of the stepper motor (and
therefore the brake handle to which it is attached). Each step corresponds to a
single unit of rotation of the stepper motor.
(b) direction
instructions, which dictate the direction of movement of the stepper motor. A
“pull” direction will result in the stepper motor turning clockwise, which will
result in pulling up on the brake handle. A “release” direction will result in
the stepper motor turning counterclockwise, which will result in releasing the
brake handle and letting the draw-string run.
[117] The
commands ultimately sent to the stepper motor driver are the result of data processing
performed by a software algorithm stored on the microprocessor, which is used
to calculate the precise motion needed to be applied at the brake handle. This
calculation is performed 50 times per second (i.e. every 1/20th of a
second).
[118] The
stepper motor driver takes the direction and steps information and in turn
energizes the stepper motor to cause it to move the prescribed number of steps
and direction over the next 1/20th of a second. This turning motion
pulls or releases the brake handle by the number of steps calculated by the
algorithm.
[119] Varco
and its experts contend, as discussed later, that despite the differences between
the Wildcat mechanical system and the Pason AutoDriller electronic system, the
critical elements of the 313 Patent are performed by the Pason AutoDriller.
[120] In
countering the infringement claim, Pason says that if its first algorithm [Old
Version] infringes, its second algorithm [New Version] does not. Varco’s
counter through its experts is the colloquial equivalent of “one can dress up a
pig but it is still a pig” – the Pason AutoDriller still does what the 313
Patent teaches. However there is no serious disagreement of how the Pason
AutoDriller or the algorithms function.
[121] The
following description of the two algorithms is set out from the evidence of
Holt. The description of the Old Version is extensive so one can contrast it
with the New Version.
[122] The
Old Version of the algorithm was used in Pason AutoDrillers from 2003 until
2008 in the United States, and from 2003 to September 2009 in Canada and elsewhere.
[123] [Redacted
by Court Order due to claim of trade secret]
[124] [Redacted
by Court Order due to claim of trade secret]
[125] [Redacted
by Court Order due to claim of trade secret]
[126] [Redacted
by Court Order due to claim of trade secret]
[127] [Redacted
by Court Order due to claim of trade secret]
[128] [Redacted
by Court Order due to claim of trade secret]
[129] When
the Pason AutoDriller was operated using the Old Version of the algorithm, the
stepper motor driver signals were not representative of any one of the measured
parameters of WOB, pressure or any other parameter. Although the system
measured drilling fluid pressure and considered it (depending on the setpoints
selected by the user), due to the influence of the many other measured
parameters and values used by the algorithm, the resulting stepper motor driver
signals never represented the change in drilling fluid pressure.
[130] It is
clear that the Pason AutoDriller used more parameters than the Wildcat but this
is not determinative of infringement nor does it uncut the essential parameters
of WOB and pressure.
[131] The
New Version was deployed in 2008 on Pason AutoDrillers in the United States, and in September 2009 in Canada and the rest of the world. It is currently in use
worldwide.
[132] [Redacted
by Court Order due to claim of trade secret]
[133] [Redacted
by Court Order due to claim of trade secret]
[134] The
issue of infringement will be addressed again later; however, Pason continued
to sell its AutoDriller in the face of the Wildcat. It held out to customers
that the Pason AutoDriller controlled drilling based on pressure differential,
that it also used WOB and that it could use both pressure and WOB at the same
time.
[135] Pason
had a considerable marketing advantage over others in the autodriller market.
It had a significant presence in the drilling market because of the strength of
its EDR product. Because of this market strength, it was able to add its Pason AutoDriller
to the suite of products it offered to rig operators who already used the EDR.
[136] The
advantage Pason enjoyed is that it could offer, particularly for those rigs
with the EDR performing electronic data recording and with Wildcats doing the
drilling, an easy way to consolidate drilling and recording under Pason
products. Pason experienced rapid growth in 2003 (81 rigs) to 2004 (431 rigs)
and thereafter.
[137] The
effect of Pason’s introduction of its AutoDriller on Prejean/Varco was
significant. The Plaintiffs did not have the opportunity to deploy its product
as expected despite being able to meet the Canadian demand for its product.
[138] The
evidence establishes that had Pason not brought its Pason AutoDriller to
market, the Plaintiffs could have serviced the entire Canadian market for this
type of product, and invested further to meet any expanding demand. There is no
evidence of other serious competition in Canada between autodrillers capable of
vertical/horizontal/directional drilling than the Wildcat and the Pason
AutoDriller.
[139] As a
result of the existence of the Pason AutoDriller, the Plaintiffs were forced to
cut prices in the face of an expanding market.
[140] Pason
also had foreign subsidiaries in the USA, Mexico and Australia. It sells
critical components of its Pason AutoDriller to these subsidiaries prior to May
2007. It claims that since May 2007, it has not assembled the individual
components together in Canada prior to export.
[141] Following
export of the components, these foreign subsidiaries rent the Pason
AutoDriller/components to customers in those countries.
[142] Pason
earns revenue from these foreign subsidiaries through (a) mark-up on
components, and (b) a share in the Pason AutoDriller royalties/rentals paid to
the foreign subsidiaries.
V. ISSUES
[143] There
are five issues to be determined; some issues having several subparts:
1. The
proper construction of the 313 Patent in particular Claims 1, 11 and 14.
2. Whether
the Defendants infringed Claims 1, 11 or 14, either/or as made and used in Canada or in the export of components.
3. Whether
Claims 1, 2, 3, 4, 9, 10, 11, 13, 14 or 15 are invalid by reason of
anticipation (prior art or public use more than one year before the priority
date), obviousness, lack of utility and overbreadth.
4. Whether
the application for the 313 Patent should be deemed abandoned for failure to
respond in good faith to the Canadian Intellectual Property Office [CIPO]
examiner.
5. The
appropriate monetary remedy – damages or an accounting of profits.
VI. ANALYSIS
A. CLAIM CONSTRUCTION
[144] The
parties agree only in part with respect to the crucial issues in the claim
construction of Claims 1, 11 and 14 of the 313 Patent.
[145] The
relevant claims are set out below:
Claim 1. An automatic drilling system
for automatically regulating the release of the drill string of drilling rig
during the drilling of a borehole, comprising:
a drilling fluid pressure sensor;
a drilling fluid pressure
regulator coupled to said drilling fluid pressure sensor, said drilling fluid pressure
regulator measuring changes in drilling fluid pressure and outputting a signal
representing those changes;
a relay coupled to said drilling
fluid pressure regulator, said relay responsive to the output signal of said
drilling fluid pressure regulator to supply a drill string control signal at an
output thereof; and
a drill string controller coupled
to said relay wherein a decrease in drilling fluid pressure results in said
relay supplying a drilling string control signal that operates said drill
string controller to effect an increase in the rate of release of said drill
string and an increase in drilling fluid pressure results in said relay
supplying a drill string control signal that operates said drill string
controller to effect a decrease in the rate of release of said drill string.
Claim 11. A method for automatically
regulating the release of the drill string of a drilling rig drill, comprising
the steps of:
measuring drilling fluid pressure;
producing a signal in response to
changes in drilling fluid pressure, said signal representing the changes in
drilling fluid pressure;
relaying said signal to a drill
string controller; and
controlling said drill string
controller to increase the rate of release of said drill string when said signal
represents a decrease in drilling fluid pressure and to decrease the rate of
release of said drill string when said signal represents as increase in
drilling fluid pressure.
Claim 14. A method for automatically
regulating the release of the drill string of a drilling rig drill, comprising
the steps of:
measuring drilling fluid pressure
and bit weight;
producing a first signal in
response to changes in drilling fluid pressure, said first signal representing
the changes in drilling fluid pressure;
producing a second signal in
response to changes in bit weight, said second signal representing the changes
in bit weight;
selecting any one of said first
signal, said second signal, and both said first and said second signals to
control the release of said drill string; and
relaying said selected signal or
signals to a drill string controller which regulates the release said drill
string in response to said selected signal or signals.
[146] The
Plaintiffs say that the issues of claim construction are:
1. Whether
the “signal representing these changes” (Claim 1) and the “signal representing
changes in drilling fluid pressure” (Claims 11 and 14) must represent changes only
in drilling fluid pressure;
2. Is
the inverse relationship between changes in drilling fluid pressure and the
rate of release string mandatory/essential?
3. What
is the meaning of “selecting” in Claim 14 (is it manual or automatic)?
[147] The
Defendants add to the above issues:
1. What
is the meaning of “drilling fluid pressure regulator”?
2. Are
the claims in the 313 Patent restricted to conventional drilling rigs having a
gravity-fed drill string that is controlled by a friction brake?
(1) Legal
Principles
[148] There
is no basic disagreement between the parties as to the legal principles of
Claim Construction. Before dealing with either infringement or validity, the
claims must be construed by the Court as of the date of publication of the
Patent (October 20, 1994). (Free World Trust v Électro Santé Inc, 2000
SCC 66, [2000] 2 S.C.R. 1024 [Free World]; Whirlpool Corp v Camco Inc,
2000 SCC 67, [2000] 2 S.C.R. 1067 [Whirlpool])
[149] The
claims are to be construed purposively which is an objective exercise as to
what a “person skilled in the art” [Skilled Person] would have understood the
inventor to mean by the words of the claim (Whirlpool at paras 45-47).
[150] It is
settled law that a patent must be read by a mind willing to understand, not by
a mind desirous of misunderstanding. Such willing mind plays close attention to
the purpose and intent of the author (Whirlpool at para 49(c)).
[151] The
313 Patent describes an automatic driller that can be used to drill directional
holes with a mud motor that accounts for changes in drilling fluid pressure
that occur as drilling fluid passes through a mud motor. The invention automates
the process of controlling the rate of release of the drill string, something
which previously had to be done manually.
[152] The
invention relates to an automatic drilling system that controls the rate of
release of the drill string in vertical, directional and horizontal drilling in
response to any one of or any combination of bit weight, drilling fluid
pressure, drill string torque and drill string RPM.
[153] The
issues of claim construction as well as many of the issues in validity and
infringement are dependent on the expert evidence. In this case, the Plaintiffs
put forward Gary Wooley; the Defendants’ principal expert was Tommy Warren.
[154] Both
of these experts were well qualified. Their reports were generally clear and
they genuinely tried to help the Court. However, as in many of these cases, the
Court must accept one expert’s opinion over the others as the Court is in no
position to form its own technical opinion.
[155] Gary
Wooley is a PhD in mechanical engineering and has worked in drilling on-site
and in directional drilling. He has provided research and engineering support
to those in the field. After leaving the oil company ARCO, he was a consulting
engineer in drilling and software development and licensing. Subsequently, he
established his own engineering consulting company dealing with a multitude of
drilling issues and writing software programs. He has also been accepted as an
expert witness in numerous US cases.
[156] Tommy
Warren has an equally impressive CV and qualifications. For much of his career,
he was in the research area at Amoco Technology Center or in research at Tesco
Corporation. He has published numerous articles in the field of drilling. He is
also the holder (with others) of a number of US patents in drilling apparatus.
He has not previously appeared as an expert witness.
[157] As a
general rule, the Court finds Wooley’s evidence more clear, consistent and
persuasive. Wooley’s advantage of both practical and academic experience, which
is more closely related to these types of products, is preferred over Warren’s more research-based experience.
(2) Person of
Ordinary Skill
[158] There
are areas of agreement between Wooley and Warren as to the Skilled Person and
some areas of disagreement.
[159] As to
the areas of agreement, the Skilled Person would have several years of
experience in the oil and gas drilling business and have a good understanding
of the basic drilling process and the use of drilling equipment. This would
include (but not be limited to) the following types of persons: drilling
engineers, on site drilling representatives of oil and gas companies, tool
pushers (supervisors of the drilling crew), drillers (persons operating drill
rig and directing efforts of the floor hands), floor hands, directional
drillers (drillers with special skills and equipment for directional drilling
wells), contractors with special drilling skills and others involved in the
drilling business.
[160] Where
the two experts part company on this issue is in respect of the knowledge and
experience of the Skilled Person. Warren opines that the Skilled Person should
have either a bachelor’s degree in Mechanical or Petroleum Engineering with
five years’ experience in drilling rig control systems or little to no formal
education but at least 10 years of practical experience in using and servicing
autodrillers and associated drilling rig equipment.
[161] Wooley’s
opinion is that a person with somewhat lesser education or experience would
constitute a Skilled Person. That person’s education level would vary from
engineers with college or university degrees to field hands who did not
graduate high school but who had substantial experience in the field.
[162] To
the extent that there is a significant different between the two experts, Warren emphasizes education while Wooley focuses on experience. Wooley, by his own
qualifications, encompasses both education and experience whereas Warren is more research-focused.
As said
previously, the Court prefers Wooley’s evidence generally and in this regard
the Court accepts the more practical/experiential emphasis of Wooley without
the limiting requirement of advanced education or necessarily a fixed number of
years of experience established by Warren.
[163] Therefore,
the Skilled Person is as defined by Wooley.
(3) “ONLY” re
changes in drilling fluid pressure (Claims 1, 11 and 14)
[164] The
Defendants’ position is that the signal output from the drilling fluid pressure
regulator is a signal representing changes in drilling fluid pressure only.
The Defendants’ expert reaches that conclusion by reading in limitations in
dependent Claims 2 and 5 to Claim 1, an unsound approach to claim construction
(see Eli Lilly and Co v Apotex Inc, 2009 FC 991, 351 FTR 1).
[165] Warren has
read in the word “only” to Claims 1, 11 and 14, a word that does not appear in
any of the claims.
[166] As
Wooley points out in discussing these dependent claims, a “regulator” is a
device for controlling or limiting something or maintaining a designated
characteristic by receiving or sensing a signal, processing or producing a
response. In this case the response is to effect an increase in the rate of
release of the drill string or to effect a decrease in the rate of release of
the drill string.
[167] There
is no limitation in the 313 Patent as to the type of device that could be a
regulator. The type of regulator in the preferred embodiment was a pneumatic
device but Wooley confirmed that Claim 1 is not so limited; the regulator could
be hydraulic, electrical, mechanical or electronic.
[168] The
preferred embodiment (313 Patent at 7-8) refers to measuring pressure, bit
weight and torque. Considering Claim 12, for example, it is clear that a signal
can represent more than one parameter.
[169] In
the end, the issue is resolved by reference to what a Skilled Person would
understand. It is appropriate for the Court to use such evidence in its
determination of the claim language (Whirlpool at para 48).
… In Catnic, as in the earlier case law, the
scope of the monopoly remains a function of the written claims but, as before,
flexibility and fairness is achieved by differentiating the essential features
(“the pith and marrow”) from the unessential, based on a knowledgeable reading
of the whole specification through the eyes of the skilled addressee rather
than on the basis of "the kind of meticulous verbal analysis in which
lawyers are too often tempted by their training to indulge" (Catnic,
supra, p. 243).
[170] As
Wooley testified, a Skilled Person would not read the limitation of “only” into
the Claims.
[171] Warren’s
evidence to support his interpretation was strained and not persuasive. While
first admitting that a signal (in Claims 11 and 12) could represent multiple
parameters, he then concluded that the Patent did not teach how a conflict
between one parameter above its set point (the value or number set for a
parameter to trigger a response) would be resolved if the other parameter was
below its set point. However, he conceded that the conflict he saw was resolved
in the preferred embodiment.
[172] By
reference to the preferred embodiment and construing the claims with the mind
of a Skilled Person willing to understand, the signal representing changes in
drilling pressure does not mean a signal representing only changes in
drilling fluid pressure nor is there any conflict in operation of two or more
parameters.
(4) Inverse
Relationship – Mandatory (Claims 1 and 11)
[173] The
“inverse relationship”, as it has been described at trial and in Claims 1 and
11, describes the relationship between changes in drilling fluid pressure and
the rate of release of the drill string where an increase/decrease in one
results in a decrease/increase in the other.
[174] Claim
1 describes it as “… a decrease in drilling fluid pressure …”.
Claim 11
describes it as “… to increase the rate of release of said drill string …”.
[175] The
Defendants claim that this inverse relationship is an essential feature of
Claims 1 and 11 and therefore is mandatory in the sense that every time
the pressure reaches above the set point, there must be a decrease in the rate
of release of the drill string – that the relationship is always followed,
without exception.
[176] Both
experts agree that the inverse relationship is an essential feature of the
invention. The evidence is that if in normal operations the equipment was not
operating in that way – as pressure decreased, the drill string would advance
so drilling could continue against the underground wall, meaning that the
Patent would not have much utility.
[177] The
Defendants’ position has the advantage to them, particularly in terms of
infringement, that the Pason Autodriller algorithm measures pressure every 1/50th
of a second and therefore leaves open the possibility that there could be a point
in each 1/50 of a second when the relationship did not exist.
[178] This
is a strained interpretation of the Claims which must firstly be considered on
the basis of normal operations. The whole purpose of the invention is to set
up, on an automatic basis, the relationship of a decrease in one or more
parameters (pressure, bit weight, etc.) resulting in the release of the drill
string to continue drilling operations.
[179] Further,
both experts cite instances of exceptions to the inverse relationship. Wooley
lists instances of an exceptional nature, such as a low setting for the air
flow regulator so that there is no reaction from the regulator.
[180] Warren
admitted that Claim 1 covers the preferred embodiment and that in the preferred
embodiment there are instances where the inverse relationship is not observed.
[181] In
any event, applying a purposive interpretation to the Claims in light of the
purpose of the invention and the realities of operation, the inverse
relationship, while important, is not mandatory at all times but is normal and
to be expected.
(5) Selecting
Automatic/Manual (Claim 14)
[182] The
Defendants’ position is that the selecting step in Claim 14 (see underlined
portion below) is a manual operation.
Claim 14. A method for automatically regulating
the release of the drill string of a drilling rig drill, comprising the steps
of:
measuring drilling fluid pressure
and bit weight;
producing a first signal in
response to changes in drilling fluid pressure, said first signal representing
the changes in drilling fluid pressure;
producing a second signal in
response to changes in bit weight, said second signal representing the changes
in bit weight;
selecting any one of said first
signal, said second signal, and both said first and said second signals to
control the release of said drill string; and
relaying said selected signal or signals
to a drill string controller which regulates the release said drill string in
response to said selected signal or signals.
[Emphasis added by
Court]
[183] One
of the difficulties with the Defendants’ position is that Claim 14 is a “method
for automatically regulating the release of the drill string …”. There is nothing
in the wording of Claim 14 to suggest manual operation or selection.
[184] Wooley’s
opinion is that the “selecting” step is done after the parameters have been set
and the selecting as between two signals is done automatically.
[185] The
Defendants rely on a portion of the Specification (313 Patent at 4, first
paragraph) to support their position of manual selection.
Each of the regulators attaches to a relay which is
responsive to that regulator output signal to supply a drill string control
signal to a drill string controller. The relays connect in series so that all
the regulators may be utilized concurrently to provide a drill string control
signal to the drill string controller via their respective relays. Furthermore,
the relays attach to relay selectors which switch the relays on and off to permit
an operator of the automatic driller to select which one of or which
combination of the regulators are to control the drilling operation.
[Emphasis added by
Court]
[186] Wooley
explained that the selecting step referred to in the Claim is not the manual selecting
done by the user before the device is put into operation – the step of
establishing the set points.
[187] Wooley’s
opinion is consistent with the United States Court of Appeals for the Federal
Circuit’s decision in Varco, LP v Pason Systems USA Corp, 436 F (3d)
1368 (Fed Cir 2006) [Varco, LP]. That Court held that the drilling
system automatically selects between the primary and secondary controls during
operations.
To clarify this setup procedure, the specification
explicitly states that this initial setup occurs “before the [selected]
regulator . . . will automatically regulate” the release of the drill
string. ’142 patent, col. 8, II. 57-61 (emphasis added). The district court
relied on this portion of the specification to support its requirement of manual
operation. To the contrary, this portion of the specification sets forth an
initial setup or calibration step that precedes the claimed selecting step. In
effect, the district court erred by reading the initial setup or calibration
step into the claimed selecting step.
(Varco, LP at 9)
With this initial adjustment in place, the drilling
system then automatically selects between the primary and secondary
controls during operation. Thus, the prosecution history confirms that
selecting in claim 14 does not encompass the initial setup or calibration of
the drilling system, but rather the conflict resolution process between primary
and secondary controls during operation.
(Varco, LP at 10-11)
[188] Fairly
and purposively read, Claim 14 makes clear that the selecting of the signal to
control the drill string is done automatically.
(6) Other
Claims Construction Issues
[189] The
three previous claims construction issues were at the heart of this litigation.
The Defendants have raised two subsidiary issues.
[190] The
issue of whether a drilling fluid pressure regulator can receive only a single
input has been previously addressed.
[191] As
indicated earlier, on the issues of claim construction which are the purview of
the Court, Wooley’s input has been of greater assistance and the Court accepts
his evidence on this issue that a Skilled Person would understand that the
claims contain no such limitation.
[192] Lastly,
the Defendants say that the Patent is intended to cover any drilling rig that
lowers a drill string whereas the Plaintiffs argue that the Patent is
restricted to conventional drilling rigs having a gravity-fed drill string that
is controlled by a friction brake.
[193] The
issue turns on the word “release” as used in the Claims. Wooley opined that a
Skilled Person would understand this to mean, in the context of the Patent,
reducing brake friction on a conventional brake controlled drilling rig which
would have the effect of increasing the rate at which the drill string is
lowered.
[194] Warren, on
the other hand, opined that the term “release” would cover any “advancement” of
the drill string. It is unclear what type of advancement he had in mind other
than a system that drives the drill string. His reliance on the second
embodiment is misplaced as its description never uses the word “release”.
[195] The
invention considered as a whole is based on releasing a brake that lowers the
drill string. It was admitted that the second embodiment was an afterthought
and Wooley opined that it was not covered by the Claims.
[196] In
the Patent the related art which discussed control of the rate of release of
the drill string referred to releasing or applying a brake handle.
[197] The
word “control” in the context of the Patent’s prior art meant applying the
brake. The words “control” and “regulating” are used in the context of
releasing the drill string in response to changes in one or more parameters.
[198] The
Defendants’ position is not persuasive. The Patent is limited to conventional
brake-controlled drilling rigs that release a brake and allow the drill string
to fall under the force of gravity.
[199] Lastly,
with respect to Claims 1, 11 and 14, the further issue is whether the drilling control
signal can only be responsive to one parameter, pressure. While the relay is to
be responsive to the signal from the drilling fluid pressure regulator, the
Claim does not say that the relay to the controller can only be responsive to
the pressure signal.
[200] For example, Claim 12, dependent on Claim 11,
shows that the relaying of the “said signal” to the controller represents changes
in two parameters, pressure and torque.
[201] Lastly, the Defendants allege
that a purposive construction necessitates a finding that reference to “release
of the drill string” includes a conventional drilling rig having a gravity-fed
drill string that is controlled by a friction brake, a drilling rig having a
drill string in the form of a hydraulically driven coil tube with a drill bit,
and any other rig that lowers a drill string.
[202] The purport of the
Defendants’ submission is that the patent is broader than Varco’s position that
the 313 Patent is restricted to conventional rigs having a gravity-fed drill
string that is controlled by a friction brake. The argument depends to some
extent on the second embodiment’s reference to the invention being configured
to regulate a coil tubing drilling rig.
[203] Wooley was of the view
that while Bowden might have tried to broaden the patent that way, he could not
agree that that was how the patent should be interpreted. The background of the
Figure 14 and the coil tube was that it was a last minute add-in after the real
purpose and descriptions of the patent had been drafted.
[204] The whole basis of the
patent application was the control of the drill string. I concur with the
limitation Varco says should be understood in the patent as being more
consistent with the inventor’s intent and the purpose of the invention.
[205] Having interpreted the principal claims
and the issues arising, the Court is next required to address the infringement
issue.
B. INFRINGEMENT
[206] The
basic principles on the law of infringement are not seriously in issue. Section
42 of the Patent Act, RSC 1985, c P-4 [Patent Act or the Act],
sets out the right of the patent holder to exclude others, for the term of the
patent, from making, constructing or using the claimed invention or selling it
to others to be used.
[207] The
Plaintiffs claim that Pason infringed Claims 1, 11 and 14 of the 313 Patent a)
by the manufacture, use and rental of the AutoDriller in Canada and b) by exporting the Pason AutoDriller, manufactured in Canada, to foreign countries for
use in those foreign countries.
[208] The
burden of proof on this issue rests with the Plaintiffs. As held in Free
World, infringement arises if the offending item takes all of the essential
elements of a claim in the invention. As referred to earlier, the addition of
features does not avoid infringement if all the elements of a claim have been
adopted.
(1) Claim
1
[209] Claim
1 consists of the following four elements:
•
a
drilling fluid pressure sensor;
•
a
drilling fluid pressure regulator;
•
a
relay; and
•
a
drill string controller.
[210] In
concluding that Pason has infringed the Patent, I have relied significantly on
the expert evidence of Wooley.
[211] The Pason
AutoDriller has a drilling fluid pressure sensor in the form of the pressure
transducer and EDR J Box.
[212] It
also has a drilling fluid pressure regulator in the form of the
microcontroller. It performs the function of a regulator in Claim 1 because the
microcontroller receives the data that comes from the drilling fluid pressure
sensor, processes it and then outputs a signal representing the changes in
drilling fluid pressure to a stepper motor driver.
[213] The
algorithm generates the output from the microprocessor. The microcontroller
interprets the parameter (WOB/pressure) and if more or less braking is required
to maintain the set points, it sends a signal to the stepper motor to move the
brake handle as necessary.
[214] As
held in the Claim Construction section of these Reasons, Warren’s
interpretation that the Patent’s regulator is restricted to only one parameter
has not been accepted.
[215] The
Court concludes that the microcontroller in the Pason AutoDriller is a
regulator that measures changes in drilling fluid pressure and outputs a signal
representing those changes.
[216] The
Pason AutoDriller has a relay in the form of the stepper motor. The stepper
motor converts the signal from the microprocessor and passes it on to the
stepper motor. Even Warren admits that the stepper motor receives a signal and
outputs another signal. As concluded by Wooley, there is no requirement that
the signals be based on the same parameter. The fact that the signal received
by the stepper motor relates to multiple parameters is not material to this
issue.
[217] The
last element in the claim is the drill string controller which regulates the
release of the drill string. The stepper motor in the Pason AutoDriller directs
the action of the brake handle in response to the signal from the stepper motor
driver.
[218] In
the context of this case, the term “regulate” is synonymous with “control”. I
accept Wooley’s opinion as well that the stepper motor in the Pason AutoDriller
performs the function of the controller in the Patent.
[219] The
Defendants contend that the Pason AutoDriller does not rely on the inverse
relationship referred to in the Claim Construction section of these Reasons. It
was their position that since the inverse relationship was mandatory under the
Patent, the Pason AutoDriller did not infringe because its operation, by virtue
of the algorithms, was not always dependent on the inverse relationship.
[220] The
Court’s conclusion on Claim Construction is sufficient to dispose of this
alleged distinction. However, there are further reasons that undermine the
Defendants’ position.
[221] Both
devices follow this inverse relationship the overwhelming majority of the time.
If they did not, neither device would function as intended or have much value.
Momentary disconnects from this relationship are not a basis for distinguishing
the devices. As Wooley explained, both the Pason AutoDriller and the Patent’s
preferred embodiment have this disconnect from the inverse relationship
periodically.
[222] Pason
witnesses concede the normal existence of this inverse relationship. This is
also consistent with the Defendants’ evidence in US proceedings.
[223] The
Defendants place reliance on the algorithms as negating the inverse
relationship – if not in the Old Version, then in the New Version.
[224] The
evidence with respect to the algorithms is not persuasive. Pason’s evidence
lacked explanations and detail when contrasted with that of Wooley who looked
at the details of the computer codes and related material.
[225] Pason
relied on demonstrative evidence rather than a detailed explanation of the
various steps in the code. The demonstrative evidence contained one admitted
fundamental error.
[226] There
is little evidence to support Pason’s opinion that the Old Version did not
maintain the inverse relationship. The Plaintiffs’ evidence effectively rebuts
Pason’s position.
[227] In
maintaining that the New Version did not maintain the inverse relationship, the
Defendants relied on diagnostic data from a single rig. Over the course of the
proceedings, this data was manipulated, altered and replotted by the
Defendants’ experts and did not stand up under cross-examination.
[228] In my
view, this evidence was too unreliable for the Court to draw very much relevant
assistance. It did not establish the Defendants’ proposition.
[229] It is
also relevant that the New Version arose after an adverse (to the Defendants)
verdict in the USA. Pason ultimately promised to modify its Pason AutoDriller.
The algorithm appears to be an attempt to get around the US judgment.
[230] There
is no evidence that the New Version is materially different from the Old
Version. The New Version may be slightly different but it still performs the same
function in essentially the same way.
[231] It
remains a critical feature of the Pason AutoDriller that it can operate using
pressure only as the controlling parameter by simply adjusting the set points
of the other parameters high enough that they are of no relevance.
(2) Claim
11
[232] Claim
11 has four elements/steps in its method for “automatically regulating the
release of the drill string”:
•
measuring
drilling fluid pressure;
•
producing
a signal in response to changes in drilling fluid pressure;
•
relaying
said signal to a drill string controller; and
•
controlling
a drill string controller to increase the rate of release of the drill string
when a signal represents a decrease in drilling fluid pressure and to decrease
the rate of release of the drill string when the signal represents an increase
in drilling fluid pressure.
[233] The
Defendants rely on their arguments regarding Claim 1 as the basic reasons for
arguing that the Pason AutoDriller lacks the essential elements of Claim 11.
For largely the same reasons as the Court found Claim 1 to be infringed, Claim
11 is likewise infringed.
[234] The Pason
AutoDriller used in conjunction with its EDR performs a method for
automatically regulating the release of the drill string. Pason admitted to
this, both with respect to Claims 1 and 11.
[235] The Pason
AutoDriller used with the EDR measures drilling fluid pressure. The Defendants’
arguments about measuring only changes in pressure and the “always on”
inverse relationship have already been disposed of.
[236] The
microcontroller performs the function of producing a response to changes in
pressure in much the same way as the microcontroller performs the function of a
regulator.
[237] The
stepper motor driver performs the function of relaying the signal produced by
the microcontroller to a drill string controller – the stepper motor in much
the same way as the stepper motor driver performs the function of a relay.
[238] The
stepper motor in the Pason AutoDriller performs the function of controlling a
drill string controller in much the same manner that the stepper motor performs
the function of a controller.
[239] The
issues of inverse relationship and versions of algorithms have already been
dealt with.
[240] The
Court concludes that Pason has infringed Claim 11.
(3) Claim
14
[241] The Pason
AutoDriller, when used in conjunction with the EDR, performs a method of
automatically regulating the release of the drill string which is the method
described at the beginning of Claim 14.
[242] This
Claim has five elements:
•
measuring
drilling fluid pressure and weight bit;
•
producing
a first signal in response to changes in drilling fluid pressure, which signal
representing the change in drilling fluid pressure;
•
producing
a second signal in response to changes in bit weight, such second signal
representing changes in bit weight;
•
selecting
any one of said first signal, said second signal or both to control the release
of the drill string; and
•
relaying
the selected signal or signals to a drill string controller which regulates the
release of the drill string in response to the selected signal or signals.
[243] The Pason
AutoDriller, when used in conjunction with the EDR, measures drilling fluid
pressure and bit weight.
[244] Consistent
with Claim 14 and Wooley’s opinion, the microcontroller in the Pason AutoDriller
performs the function of producing a first signal in response to changes in
drilling fluid pressure.
[245] The
microprocessor receives the bit weight signal from the bit weight sensor of the
EDR, processes this data according to the Pason AutoDriller software and
produces a response in the form of a signal representing those changes in bit
weight. The microcontroller performs the function of producing a second signal
in response to changes in bit weight.
[246] While
Wooley opined that the microcontroller performed the function of selecting
either or both of the first and second signals, the Defendants contested that
description. They still resist this point despite Holt’s admissions at trial
that the selecting step occurs in the Pason AutoDriller, the existence of
Holt’s e-mails confirming this selection process and even Warren’s concessions
on cross-examination.
[247] The
weight of the evidence confirms that the Pason AutoDriller performs the step of
selection of a pressure signal or WOB signal to control the release of the
drill string.
[248] Lastly,
the stepper motor driver in the Pason AutoDriller performs the function of
relaying the selected signal or signals produced by the microcontroller to a
drill string controller – the stepper motor in the Pason AutoDriller. The
stepper motor performs the function of a drill string controller by controlling
the brake handle and thereby regulating the release of the drill string.
[249] The
Court concludes that the Defendants have infringed Claim 14.
(4) Inducement
[250] A
subsidiary issue in view of the finding of direct infringement of both the
product and method claims is Pason’s inducement of third parties to infringe
the Patent.
[251] As
held in Weatherford Canada Ltd v Corlac Inc, 2011 FCA 228, 95 CPR (4th)
101, a determination of inducement requires the application of a three-prong
test:
•
the
act of infringement must have been completed by the direct infringer;
•
the
completion of the acts of infringement must be influenced by the acts of the
alleged inducer to the point that, without the influence, direct infringement
would not take place; and
•
the
influence must knowingly be exercised by the inducer.
[252] The
Defendants do not appear to seriously dispute this issue except in the context
of foreign sales and operations which they say are beyond the protection of a
Canadian patent and any award of damages. On the issue of damages, the
Defendants earned the amounts from foreign operations in Canada.
[253] The
primary means of inducement exercised by Pason is through the instructions it
gives to purchasers as to the operation of the Pason AutoDriller. Instructions
to complete an act of infringement is one form of inducing infringement, as
held in Windsurfing International Inc v Trilantic Corp (1985), (sub nom Windsurfing
International Inc v Bic Sports Inc) 8 CPR (3d) 241 at 263-268, 63 NR 218
(FCA) [Windsurfing].
[254] Pason
provides numerous manuals to its customers and field technicians on how to
assemble, install and operate the Pason AutoDriller. The manuals are accurate
and Pason expects them to be followed. In addition to manuals, Pason ensures training
of employees on the assembly, installation and operation in its foreign
subsidiaries.
[255] Given
the sales of the Pason AutoDriller, both domestic and foreign, it is more
likely than not that such customers assembled and/or used the Pason AutoDriller,
that the customers were influenced by Pason’s manuals, instructions and
training, and that Pason knew (indeed expected) that customers would act in
accordance with what Pason supplied.
[256] Even
if the assembly of the Pason AutoDriller is not done by customers or
technicians on their behalf, the operation of the Pason AutoDriller infringes
Claims 11 and 14 and Pason is liable for inducing that infringement by others.
The acts of inducement occur at least in part in Canada for which Pason is
liable.
(5) Infringement
by Exportation
[257] It is
agreed that the Pason AutoDriller is manufactured in Canada and that Pason does
not manufacture in any other country. The issue in this section is Pason’s
claim that since it ships to outside Canada all of the Pason AutoDriller parts but
in unassembled form, there is no infringement and they are permitted to retain
the revenues earned from an activity which, if performed in Canada, would be infringement.
[258] Pason
has subsidiaries in the United States, Mexico and Australia. As referred to
earlier, Pason earns revenues from those subsidiaries, both on the mark-up on
sales of the Pason AutoDriller as well as a share in rental royalties paid to
the foreign subsidiaries.
[259] In South America, Pason operates through an agent. Pason retains ownership in its Pason AutoDriller
which are shipped to the agent for rental to customers. Pason receives a share
of rental revenue paid to the agent.
[260] It is
well established in decisions such as JM Voith GmbH v Beloit Corp, (sub
nom Benoit Canada Ltd v Valmet-Dominion Inc) [1997] 3 FC 497, (sub nom Voith
(JM) GmbH v Beloit Corp) 73 CPR (3d) 321 (FCA) and Windsurfing that
simply separating the parts of a device and shipping the parts for later
integration and assembly does not avoid the liability for infringement. The
Court of Appeal commented “[t]o suggest that a patent infringement suit can be
successfully avoided by selling parts as components of a kit in
contradistinction to their sale assembled, is […] errant nonsense” (ibid
at 265).
[261] In Windsurfing,
the sailboard came as a kit consisting of several components for later
assembly. The assembly did not have to occur in Canada. The important feature
was that the sale was made in Canada.
[262] Prior
to 2007, Pason shipped its Pason AutoDrillers in kits so that a field
technician, either in Canada or elsewhere, could install the Pason AutoDriller.
After May 2007 Pason stopped shipping kits. Thereafter, when a subsidiary or
agent needed a Pason AutoDriller, it ordered the component parts. These parts
were boxed and shipped to the subsidiary or agent who then has all the parts
necessary to assemble the Pason AutoDriller.
[263] The
change in 2007 is one of form not substance. The change was made to facilitate
customs processing and inventory tracking; not to substantially change the way Pason
AutoDrillers were shipped outside Canada. The revenue continued to flow to
Pason in the same manner.
[264] The
reality is that the shipment of parts, along with the relatively simple later
assembly, is the shipment from Canada of Pason AutoDrillers.
[265] The
Defendants correctly point out the territorial limitations of the Canadian Patent
Act and of this Court’s jurisdiction to enforce patent protection. The
method claims, Claims 11 and 14, are infringed outside of Canada and are not directly protected by this Court’s jurisdiction.
[266] However,
the product claim is protected because the sale of the infringing product
occurs, at least for purposes of this case, in Canada where Pason is paid for
the goods and shipments.
C. VALIDITY OF PATENT
[267] Having
found that the Defendants have infringed the 313 Patent, the Defendants raise
several issues attacking the validity of the Patent. The grounds advanced, as
referred to earlier are:
•
anticipation
by means of prior disclosure in the prior art and by Bowden’s public use at
Union Pacific prior to April 19, 1992;
•
obviousness;
•
inutility;
•
overbreadth;
and
•
deemed
abandonment/bad faith.
(1) Anticipation
– Prior Art
[268] Section
28.2(1) of the Patent Act provides the basis for the grounds of
invalidity:
28.2
(1) The subject-matter defined by a claim in an application for a patent in Canada (the “pending application”) must not have been disclosed
(a) more than one year
before the filing date by the applicant, or by a person who obtained
knowledge, directly or indirectly, from the applicant, in such a manner that
the subject-matter became available to the public in Canada or elsewhere;
(b) before the claim
date by a person not mentioned in paragraph (a) in such a manner that
the subject-matter became available to the public in Canada or elsewhere;
(c) in an application
for a patent that is filed in Canada by a person other than the applicant,
and has a filing date that is before the claim date; or
(d) in an application
(the “co-pending application”) for a patent that is filed in Canada by a
person other than the applicant and has a filing date that is on or after the
claim date if
(i) the co-pending application
is filed by
(A) a person who has, or whose
agent, legal representative or predecessor in title has, previously regularly
filed in or for Canada an application for a patent disclosing the
subject-matter defined by the claim, or
(B) a person who is entitled to
protection under the terms of any treaty or convention relating to patents to
which Canada is a party and who has, or whose agent, legal representative or
predecessor in title has, previously regularly filed in or for any other
country that by treaty, convention or law affords similar protection to
citizens of Canada an application for a patent disclosing the subject-matter
defined by the claim,
(ii) the filing date of the
previously regularly filed application is before the claim date of the
pending application,
(iii) the filing date of the
co-pending application is within twelve months after the filing date of the
previously regularly filed application, and
(iv) the applicant has, in
respect of the co-pending application, made a request for priority on the
basis of the previously regularly filed application.
|
28.2
(1) L’objet que définit la revendication d’une demande de brevet ne doit pas
:
a) plus d’un an avant
la date de dépôt de celle-ci, avoir fait, de la part du demandeur ou d’un
tiers ayant obtenu de lui l’information à cet égard de façon directe ou
autrement, l’objet d’une communication qui l’a rendu accessible au public au
Canada ou ailleurs;
b) avant la date de la
revendication, avoir fait, de la part d’une autre personne, l’objet d’une
communication qui l’a rendu accessible au public au Canada ou ailleurs;
c) avoir été divulgué
dans une demande de brevet qui a été déposée au Canada par une personne autre
que le demandeur et dont la date de dépôt est antérieure à la date de la
revendication de la demande visée à l’alinéa (1)a);
d) avoir été divulgué
dans une demande de brevet qui a été déposée au Canada par une personne autre
que le demandeur et dont la date de dépôt correspond ou est postérieure à la
date de la revendication de la demande visée à l’alinéa (1)a) si :
(i) cette personne, son agent,
son représentant légal ou son prédécesseur en droit, selon le cas :
(A) a antérieurement déposé de
façon régulière, au Canada ou pour le Canada, une demande de brevet
divulguant l’objet que définit la revendication de la demande visée à
l’alinéa (1)a),
(B) a antérieurement déposé de
façon régulière, dans un autre pays ou pour un autre pays, une demande de
brevet divulguant l’objet que définit la revendication de la demande visée à
l’alinéa (1)a), dans le cas où ce pays protège les droits de cette
personne par traité ou convention, relatif aux brevets, auquel le Canada est
partie, et accorde par traité, convention ou loi une protection similaire aux
citoyens du Canada,
(ii) la date de dépôt de la
demande déposée antérieurement est antérieure à la date de la revendication
de la demande visée à l’alinéa a),
(iii) à la date de dépôt de la
demande, il s’est écoulé, depuis la date de dépôt de la demande déposée
antérieurement, au plus douze mois,
(iv) cette personne a présenté,
à l’égard de sa demande, une demande de priorité fondée sur la demande déposée
antérieurement.
|
[269] There
are two requirements for the assertion of anticipation – there must be
disclosure and a Skilled Person would have to be able to perform the invention
on the basis of that disclosure.
[270] The
law on these points is well set out in Apotex Inc v Sanofi-Synthelabo Canada
Inc, 2008 SCC 61, [2008] 3 S.C.R. 265 [Sanofi], at paragraphs 25 and
37.
25 He explains that the requirement of prior
disclosure means that the prior patent must disclose subject matter which, if
performed, would necessarily result in infringement of that patent, and states,
at para. 22:
If I may summarise the effect of these two
well-known statements [from General Tire and Hills v. Evans], the
matter relied upon as prior art must disclose subject matter which, if
performed, would necessarily result in an infringement of the patent... . It
follows that, whether or not it would be apparent to anyone at the time,
whenever subject matter described in the prior disclosure is capable of being
performed and is such that, if performed, it must result in the patent being
infringed, the disclosure condition is satisfied.
When considering the role of the person skilled in
the art in respect of disclosure, the skilled person is “taken to be trying to
understand what the author of the description [in the prior patent] meant”
(para. 32). At this stage, there is no room for trial and error or
experimentation by the skilled person. He is simply reading the prior patent
for the purposes of understanding it.
37 Drawing from this jurisprudence, I am of the
opinion that the following factors should normally be considered. The list is
not exhaustive. The factors will apply in accordance with the evidence in each
case.
1. Enablement is to be assessed having regard to the
prior patent as a whole including the specification and the claims. There is no
reason to limit what the skilled person may consider in the prior patent in
order to discover how to perform or make the invention of the subsequent
patent. The entire prior patent constitutes prior art.
2. The skilled person may use his or her common
general knowledge to supplement information contained in the prior patent.
Common general knowledge means knowledge generally known by persons skilled in
the relevant art at the relevant time.
3. The prior patent must provide enough information
to allow the subsequently claimed invention to be performed without undue
burden. When considering whether there is undue burden, the nature of the
invention must be taken into account. For example, if the invention takes place
in a field of technology in which trials and experiments are generally carried
out, the threshold for undue burden will tend to be higher than in
circumstances in which less effort is normal. If inventive steps are required, the
prior art will not be considered as enabling. However, routine trials are
acceptable and would not be considered undue burden. But experiments or trials
and errors are not to be prolonged even in fields of technology in which trials
and experiments are generally carried out. No time limits on exercises of
energy can be laid down; however, prolonged or arduous trial and error would
not be considered routine.
4. Obvious errors or omissions in the prior patent
will not prevent enablement if reasonable skill and knowledge in the art could
readily correct the error or find what was omitted.
[271] In
respect to anticipation by publication/prior art, Justice Binnie in Free
World outlines that the test is a difficult one because of the benefits of
hindsight. After the invention, it is too easy to say it was already “out
there” and tie together various bits and pieces of prior art to show that the
essence of the invention was already know. Justice Binnie’s comments at
paragraphs 25 and 26 set out the relevant framework:
25 Anticipation by publication is a difficult
defence to establish because courts recognize that it is all too easy after an
invention has been disclosed to find its antecedents in bits and pieces of
earlier learning. It takes little ingenuity to assemble a dossier of prior art
with the benefit of 20-20 hindsight. …
26 … A signpost, however clear, upon the road to
the patentee's invention will not suffice. The prior inventor must be clearly
shown to have planted his flag at the precise destination before the patentee.
…
[272] The
Defendants rely on three pieces of prior art:
•
1990
Brett/Warren Paper
•
Le
Compte patent
•
The
Hobhouse Patent (#3,550,697)
(a) Brett/Warren
Paper
[273] I
accept Wooley’s opinion that the Brett/Warren Paper [the Paper] does not anticipate
the Patent. The Paper is directed at a computer control as the following
diagram from the Paper evidences. It is also focused on vertical drilling, not
directional.
Figure
3
[274] The
Paper does not discuss, even obliquely, an automatic driller which uses
pressure as a parameter. It describes the use of a hydraulic cylinder with a
piston – there is no drill string nor a rate of release nor a control of the
rate of release.
[275] While
the Paper tangentially mentions a manual control and Warren points to this as
anticipatory of Bowden’s device, the 313 Patent is based on an automatic
drilling system. Claim 1 refers to an automatic drilling system and Claim
11 refers to automatically regulating the release of the drill string. The
Paper does not disclose the patented invention.
[276] Even
if there was such disclosure, it does not meet the requirement of enablement.
The Paper does not provide all the information which, for practical purposes,
is needed to produce the claimed invention without the exercise of any inventive
skill – the requirement laid down in Beloit Canada Ltd v Valmet Oy
(1986), 8 CPR (3d) 289 , 38 ACWS (2d) 415 (FCA).
[277] Not
only are there no details of a functional automatic drilling system, the Paper
discourages the pursuit of the automatic control of the drilling process. It
refers to the problems of such automatic control and the inutility of the work
done in the Paper. It speaks to the hope that some of the problems identified
in the Paper will be solved someday.
[278] The
Paper neither addresses nor solves the problem of controlling the directional
drilling nor does it reference the important parts of the Patent. There is no
convincing evidence that the Paper anticipated the Patent.
(b) Le
Compte Patent
[279] The
purpose of the Le Compte patent, as the Defendants’ expert Warren conceded, is
to maintain a constant weight on bit, by isolating the lower portion of the
drill string from the upper portion of the drill string.
[280] Wooley’s
explanation of the Le Compte patent is that it includes a telescoping joint
that collapses, causing an increase in the drilling fluid pressure inside the
telescoping member. This increase in drilling fluid pressure is used as a
warning system to the driller – the creation of a warning system being an
admitted purpose of that patent.
[281] By
maintaining a constant weight on bit, the Le Compte patent does the opposite of
what the 313 Patent tries to do, which is to cause a direct effect on the drill
bit when the drill string is released.
[282] The
Le Compte patent cannot be used in directional drilling because the drilling
fluid pressures needed to drive the mud motor would interfere with Le Compte’s
drilling fluid warning system. The Le Compte patent did not solve the problem
of the drill string lying on its side in a directional hole. The Le Compte
patent deals with vertical drilling.
[283] The
Defendants engage in that cobbling together of bits and pieces that Justice
Binnie warned about (although in the context of different pieces of prior art).
The parties trade on snippets of admissions (so called) to suggest that an
expert has conceded a point. The fact is that Wooley and Warren have different
opinions, neither conceded to the other. I find Wooley’s more persuasive as it
focuses on what the two inventions were intended to do.
[284] The
“proof of the pudding is in the eating” so to speak. The Le Compte patent has
been around since 1932 and no one has seen it as a springboard to the problem
that the 313 Patent addressed. If it had been such a disclosure, it has not
enabled anyone to solve the problem that the 313 Patent did.
(c) The
Hobhouse Patent (#3,550,697)
[285] The
Hobhouse patent likewise does not anticipate the 313 Patent. In some ways it is
similar to the Brett/Warren Paper in its reliance on a hydraulic cylinder and
piston system to raise and lower drill pipe into the hole. The Hobhouse patent
describes something completely different from the Patent.
[286] There
is no controlled rate of release of a drill string. Wooley reviewed the patent
in detail; Warren’s review was more cursory.
[287] There
is no evidence that Hobhouse was enabling or solved the problem addressed in
the Patent.
[288] In
summary, no prior art cited to this Court met the test of either disclosure or
enablement referred to earlier in this section.
(2) Anticipation
– Prior Use
[289] Paragraph
s 28.2(1)(a) of the Patent Act deals with anticipation by prior
disclosure to the public. Paragraph s 28,2(1)(b) deals with anticipation/lack
of novelty.
[290] April
19, 1992 is the governing date for anticipation by public disclosure one year
prior to the relevant US patent filing date of April 19, 1993.
[291] The
Defendants contend that Bowden disclosed the invention more than one year prior
to the patent filing date. The facts surrounding this alleged disclosure have
been substantially described, as this Court finds them, in the Background of
these Reasons. The prior use argument deals both with anticipation by
disclosure and obviousness by disclosure.
[292] To
reiterate, to succeed the Defendants must prove that there was disclosure of
the invention and that the disclosure was sufficiently enabling for a Skilled
Person to practice the invention without the exercise of inventive skill.
[293] It is
the Defendants’ burden to establish on the balance of probabilities – more
likely than not – that Bowden made an enabling disclosure, in this case, in
relation to the Union Pacific wells.
[294] The
Defendants have to establish that Bowden’s evidence is, at minimum, misleading
but in reality a complete lie. They have tried to do so through accusations,
suspicions, innuendo, claims of improbability and some adverse comments by Warren. What they have not done is put in direct evidence from persons who were at the well
sites that challenge Bowden’s evidence. The Court is being asked to reject
sworn evidence which stood up reasonably well on cross-examination in exchange
for very little real opposing evidence. No one has come forward to testify that
Bowden disclosed the invention or that what Bowden told them was enough for a
Skilled Person to recreate the invention.
[295] This
is not to say that the evidence is always crystal clear. There are some
puzzling points and gaps; some due to the passage of time, memory lapses or in
the case of the arrangement with Lampo Steam Cleaning, difficult to understand.
However, weighing all in the balance, I find that the Defendants have not
convinced me that Bowden’s core narrative is untrue or unlikely.
[296] I
accept that what Bowden did is what any inventor on his/her own would do – come
up with the idea; built a model or prototype; ensure that it operates; and
having no lab or other test facility, determine a way to test the prototype to
see if it works as intended; make adjustments and test until the inventor is
reasonably satisfied that the invention works as planned.
[297] There
is no evidence that seeing the Wildcat metal box or even the dials for WOB and
pressure would disclose sufficient information for a Skilled Person to know how
the device controlled the drill string and reacted to the two parameters.
Access to the inner workings was precluded by Bowden locking the device in his
absence.
[298] The
evidence disclosed in the re-opened trial does not materially alter the core of
Bowden’s original trial testimony. The existence of the steel box with some
gauges and a sign Wildcat posted on it showing up in parade photographs from
October 1991 is not sufficient basis to determine that there had been enabling
disclosure of the invention.
[299] There
is no substantial evidence that a visual inspection of the Wildcat steel box
would itself enable a Skilled Person to describe how the invention works.
[300] Both
parties refer to the decision in Wensel Downhole Tools Ltd v
National-Oilwell Canada Ltd, 2011 FC 1323, 401 FTR 74. This case
establishes that where a member of the public could inspect and analyze an
invention, the patent maybe anticipated. Whether that possibility exists
depends on what information was available; the number of times, and the nature
of, the inspections; the availability of someone prepared to describe the
invention; and the opportunity to inspect the inner workings. Even Warren admitted that merely seeing the steel box did not allow one to know its inner
workings.
[301] Bowden
testified that the box was locked, that he disconnected hoses, and that it was
not possible to see inside the device or observe its inner workings. While he
explained the operation generally to Union Pacific to obtain their consent to
testing the invention, there is no evidence that it was anything more than a
general description. Wooley confirmed that nothing Bowden said or did would
have enabled a Skilled Person to know how the invention worked.
[302] There
was no unconditional sale of the product prior to the relevant date. Nothing
contradicts Bowden’s evidence that the agreement with Union Pacific was to test
the device and that only after it was tested did Union Pacific agree to pay for
the use during the test period. An ex post facto payment without prior
obligation to pay is not sufficient to constitute a sale before the relevant
date.
[303] It is
well established that prior use that is experimental is not prior use (Conway
v Ottawa Electric Railway Co (1904), 8 Ex CR 432 at 442-443 (Ex Ct Can)).
[304] Even
the Defendants’ own witnesses acknowledge that testing was necessary to
determine if the invention worked. The absence of a confidentiality agreement
with Union Pacific is not fatal. Although there was no evidence as to either
industry practice or corporate understanding, Bowden’s actions to keep the
invention from being observed or disclosed is consistent with his intent to
keep it confidential. There is no suggestion that Union Pacific thought that
the testing was not confidential nor is there evidence of enabling disclosure
during the test period.
[305] The
Defendants advance the theory that testing ended on either March 6 or April 15,
1992. The March 6 theory is unsupported by facts and does not appear in any
contemporaneous documents, such as the Bates File, as a date of any
significance.
[306] The
April 15 date is an arbitrary choice by the Defendants because it benefits
them. The Bates File, as noted earlier, refers to “about April 15” and “about
two months ago” (written June 19, 1992). Bowden’s evidence is that April 19 is
the end date for testing and other than the Defendants’ allegation that this
date was picked to avoid the consequences from a bankruptcy, there is
insufficient evidence to undermine Bowden’s evidence on this point.
[307] The
Defendants claim that the invention became obvious by virtue of the limited
disclosure made by Bowden to the supervisors and drillers at the test sites.
There is no evidence that these people found the invention to be obvious. One
may ask rhetorically, if it was so obvious, why companies like Union Pacific
did not build their own device and not pay for the rental of the Wildcat?
[308] Therefore,
I find that the Defendants have not established anticipation by prior
disclosure nor obviousness on the same basis.
(3) Obviousness
(Absence of Inventiveness)
[309] Section
28.3 of the Patent Act provides for the requirement that patent not be
obvious:
28.3
The subject-matter defined by a claim in an application for a patent in Canada must be subject-matter that would not have been obvious on the claim date to a
person skilled in the art or science to which it pertains, having regard to
(a) information
disclosed more than one year before the filing date by the applicant, or by a
person who obtained knowledge, directly or indirectly, from the applicant in
such a manner that the information became available to the public in Canada
or elsewhere; and
(b) information
disclosed before the claim date by a person not mentioned in paragraph (a)
in such a manner that the information became available to the public in Canada or elsewhere.
|
28.3
L’objet que définit la revendication d’une demande de brevet ne doit pas, à
la date de la revendication, être évident pour une personne versée dans l’art
ou la science dont relève l’objet, eu égard à toute communication :
a) qui a été faite,
plus d’un an avant la date de dépôt de la demande, par le demandeur ou un
tiers ayant obtenu de lui l’information à cet égard de façon directe ou autrement,
de manière telle qu’elle est devenue accessible au public au Canada ou
ailleurs;
b) qui a été faite par
toute autre personne avant la date de la revendication de manière telle
qu’elle est devenue accessible au public au Canada ou ailleurs.
|
[310] Obviousness
through public use has been dealt with in the earlier section on Anticipation.
The present issue is that the 313 Patent lacked inventiveness. The relevant
date for this consideration is April 19, 1992 – one year prior to the
filing/claim date.
[311] The test
for obviousness, as laid down in Sanofi at paragraph 67 is as follows:
67 It will be useful in an obviousness inquiry
to follow the four-step approach first outlined by Oliver L.J. in Windsurfing
International Inc. v. Tabur Marine (Great Britain) Ltd., [1985] R.P.C. 59
(C.A.). This approach should bring better structure to the obviousness inquiry
and more objectivity and clarity to the analysis. The Windsurfing
approach was recently updated by Jacob L.J. in Pozzoli SPA v. BDMO SA,
[2007] F.S.R. 37 (p. 872), [2007] EWCA Civ 588, at para. 23:
In the result I would restate
the Windsurfing questions thus:
(1) (a) Identify the notional “person skilled in
the art”;
(b) Identify the relevant common general knowledge
of that person;
(2) Identify the inventive concept of the claim in
question or if that cannot readily be done, construe it;
(3) Identify what, if any, differences exist between
the matter cited as forming part of the “state of the art” and the inventive
concept of the claim or the claim as construed;
(4) Viewed without any knowledge of the alleged
invention as claimed, do those differences constitute steps which would have
been obvious to the person skilled in the art or do they require any degree of
invention? [Emphasis added.]
It will be at the fourth step of the Windsurfing/Pozzoli
approach to obviousness that the issue of “obvious to try” will arise.
[312] At
paragraphs 68-69 of Sanofi, the Supreme Court discussed the “obvious to
try” factor as part of the fourth step in the inquiry.
i. When Is the “Obvious to Try” Test Appropriate?
68 In areas of endeavour where advances are
often won by experimentation, an “obvious to try” test might be appropriate. In
such areas, there may be numerous interrelated variables with which to
experiment. For example, some inventions in the pharmaceutical industry might
warrant an “obvious to try” test since there may be many chemically similar
structures that can elicit different biological responses and offer the
potential for significant therapeutic advances.
ii. “Obvious to Try” Considerations
69 If an “obvious to try” test is warranted, the
following factors should be taken into consideration at the fourth step of the
obviousness inquiry. As with anticipation, this list is not exhaustive. The
factors will apply in accordance with the evidence in each case.
1. Is it more or less
self-evident that what is being tried ought to work? Are there a finite number
of identified predictable solutions known to persons skilled in the art?
2. What is the extent, nature
and amount of effort required to achieve the invention? Are routine trials
carried out or is the experimentation prolonged and arduous, such that the
trials would not be considered routine?
3. Is there a motive provided
in the prior art to find the solution the patent addresses?
[313] The
Supreme Court added to the inquiry, at paragraphs 70-71, that the history of
the invention, the time, money and effort in research are elements to also be
considered.
[314] The
inventive concept of Claims 1 and 11 of the 313 Patent is the automatic control
of the rate of release of the drill string in a directional well based on
changes in drilling fluid pressure. Claim 14’s inventive concept is the
combination of drilling fluid pressure and weight on bit as control parameters
such that either or both can be used to control the rate of release of the
drill string. This is largely admitted by the two experts. The different
between the two experts is whether it was obvious given the prior art to modify
the devices in the existing art (the Satellite patent or the Bear device and
Robinson patent) to become a pressure-sensing automatic driller.
[315] The
Defendants postulate that a Skilled Person would be motivated to merely add to
the operation of the existing Satellite Autodriller (patent of Bowden’s father
using WOB), the drilling fluid pressure parameter.
[316] A
significant difficulty with the “obviousness” analysis is that it is so easy in
hindsight to find an invention obvious. Such analysis invites the question – if
it was so obvious, why was it not done before?
[317] As
discussed earlier, the prior art cited did not anticipate the 313 Patent.
Likewise, in regard to obviousness, the prior art was completely different from
the inventive concepts of Claims 1 and 11.
[318] There
is no reference in Bowden Sr’s patent or the Robinson patent of a replacing WOB
sensor with some other sensor much less any reference to using a fluid pressure
parameter.
There is nothing
in the Brett/Warren Paper, the Le Compte patent, the Hobhouse patent or the
Dillon patent suggesting or pointing to creating an automatic driller which
responds to drilling fluid pressure from a mud motor. References to pressure
and mud pumps do not point the way to the invention.
[319] Despite
the existence of these patents for some considerable time, for example, the
Dillon patent since 1935, no one did or even came close to what Bowden
invented. It is difficult to see how the Bowden invention could have been so
obvious in light of what actually happened rather than what could have
happened.
[320] In
much the same way, the prior art is different from the inventive concept of
Claim 14. The differences between the Brett/Warren Paper and the Hobhouse
patent have already been discussed. I cannot see how Warren could rely on such
prior art as a basis for concluding that the Patent was obvious. In fairness, Warren admits to the need for the invention and that Bowden provided the first commercial
solution for a need that everyone acknowledged – to have such automatic control
of drilling directional wells. Even Warren, who worked in the field, researched
and prepared learned papers on the subject, did not come up with the 313 Patent
invention.
[321] Given
the need and the commercial advantage of the invention, if it was so obvious in
a field as rich and energetic as oil production with so many well-trained
people, it is strange that it was not invented before.
[322] I
accept Wooley’s evidence on the issue and the evidence of history and reality
(rather than hindsight) to conclude that the Defendants have not made out the
allegation of obviousness. The success of the Wildcat (and even Pason’s
success) supports the conclusion that the invention was not so obvious that a
Skilled Person could readily have developed the patented invention.
[323] Lastly
on this issue, the Defendants claim obviousness on other Claims but these
Claims are dependent on Claims 1, 11 and 14. Since the controlling Claims are
not obvious, the dependent claims are likewise not obvious.
(4) Inutility
[324] By
definition, s 2 of the Patent Act, an invention is “any new and useful
art”. Section 27(3) of that Act stipulates the patent specification
requirements and provides that the patent specification must “correctly and
fully describe the invention and its operation or use as contemplated by the
inventor”.
[325] The
late Justice MacKay in Wellcome Foundation Ltd v Apotex Inc (1991), 47
FTR 81, 39 CPR (3d) 289 (FCTD), held that there may be inutility where the
patent claims (1) a process that does not in fact work in accordance with the
promise made in the specification or (2) a process that would work but has no
reasonable prospect of commercial or industrial application.
[326] Given
the evidence as to the operation of the Wildcat and the Pason AutoDriller, and the
finding of infringement, the challenge of “inutility” has a false ring.
[327] There
are two specific areas of inutility claimed, the second being the more serious.
The first is that in respect of Claims 2, 3, 4, 9, 10, 12, 13, 14 and 15, there
is a conflict in the Claims because there is no description of how to resolve conflicting
signals from the parameters and a failure to state that the connections in the
Patent should be in series.
[328] Wooley
opines that there is no such conflict or absence of description. More
particularly, a Skilled Person would be able to resolve any conflict and that
the preferred embodiment shows how any conflict is resolved. Warren essentially
agrees. Therefore, this challenge of inutility is not made out.
[329] The
second aspect of the inutility challenge is the confusion in Claims 9 and 10
between increase and decrease in pressure and the response thereto inhibited by
the drill string controller. As described, Claim 9 (and its dependent Claim 10)
will not work.
Claim 9 reads:
9. An automatic drilling system for
automatically regulating the releasing of the drill string of a drilling rig
during the drilling of a borehole, comprising:
a drilling fluid pressure sensor;
a bit weight sensor;
a drilling fluid pressure regulator
responsive to changes in drilling fluid pressure for outputting a signal representative
of those changes;
a bit weight regulator responsive to
changes in bit weight for outputting a signal representative of those changes;
a first relay connected to said drilling
fluid pressure regulator, said first relay responsive to the output signal of
said drilling fluid pressure regulator to supply a first drill string control
signal at an output thereof;
a second relay connected to said bit
weight regulator, said first relay responsive to the output signal of said bit
weight regulator to supply a second drill string control signal at an output
thereof;
a relay selector connected to said first
and second relay to select any one of said first drill string control signal,
said second drill string control signal, and both of said first and second
drill string control signals to control the release of said drill string; and
a drill string controller coupled to
said first and second relays wherein when said first drill string control
signal represents a decrease in drilling fluid pressure, said drill string
controller increases the rate of release of said drill string controller and
when said first drill string control signal represents an increase in drilling
fluid pressure, said drill string controller increases the rate of release of
said drill string, and further wherein when said second drill string control
signal represents a decrease in bit weight, said drill string controller
decreases the rate of release of said drill string and when said second drill
string control signal represents an increase in bit weight, said drill string
controller decreases the rate of release of said drill string.
[330] The
problem is that the word “increased” appears where the word “decreased” should
have been used and vice versa. There is no issue that if the correct term
was inserted, there would be no allegation of inutility.
[331] The
troubling aspect of the issues surrounding Claims 9 and 10 were touched on by
Justice Hughes in Pason Systems Corp v Canada (Commissioner of Patents),
2006 FC 753, 54 CPR (4th) 40 where he granted judicial review of the
Commissioner of Patent’s decision to permit amendment to these Claims to
correct the erroneous words. The application to the Commissioner for amendment
came during the course of this litigation when the Defendants squarely put this
matter of inutility on this specific grounds. The Plaintiffs proceeded by way
of ex parte application to the Commissioner. The Defendants point to the
Plaintiffs’ action, both as an admission of inutility and as improper conduct
potentially disentitling the Plaintiffs from equitable relief. Justice Hughes
was highly critical of the Plaintiffs.
[332] I
share Justice Hughes’ “criticism of Plaintiffs’ counsel’s conduct”. In the
midst of litigation, to proceed ex parte to undermine another party’s
allegation is deserving of this Court’s criticism.
[333] The
difference between this Court’s situation and that of Justice Hughes is that
this Court has to decide on the merits of the inutility argument and in that
regard it has expert evidence not available to Justice Hughes.
[334] On
the merits, both parties acknowledge that the slip in language easily occurs.
Indeed each side, both in writing and orally, made the slip of “increase” for
“decrease” and vice versa. Experts made the error, knowledgeable corporate
witnesses did too.
[335] However,
the issue is not whether the slip is understandable from time to time but
whether a Skilled Person would be misled or confused by the admitted error in
Claims 9 and 10.
[336] Wooley
opined that a Skilled Person would see the error and make the necessary
corrections; and would not be confused or misled. Warren all but admitted the
same. Even a judge hearing this case could see the error and make the
correction.
[337] Therefore,
there is no basis established for a finding of inutility on this ground.
[338] As to
the suggestion that there should be some further consequences because of
counsel’s attempt at ex parte amendment. I note that counsel on both
sides are of high reputation and among the finest in their fields. Litigation
is neither a stroll in the park nor a dash down a dark alley in a sketchy
neighbourhood. It was inappropriate to proceed as was done but I see no merit
in dealing further with counsel’s role on this issue or on others which may
have occurred on both sides.
(5) Overbreadth
[339] A
patent cannot claim more than what was invented. Also, a patent cannot claim
more than what was disclosed in the specification.
[340] The
Defendants’ allegation of overbreadth in respect of Claims 14 and 15 are the
same as the allegation of conflict as made in respect of Inutility.
For the same
reasons, the Defendants have not made out this allegation.
D. Deemed Abandonment
[341] The
principal point alleged by the Defendants is that the Patent is invalid and
void having been deemed permanently abandoned pursuant to s 73(1)(a) of
the Patent Act by reason of the failure to reply in good faith to the
CIPO Examiner’s requisition. That requisition of June 9, 1998 issued pursuant
to Rule 29 of the Patent Rules, SOR/96-423 [Patent Rules or the
Rules], which reads:
an identification of any prior art cited in respect
of the corresponding United States and European patent applications and the
patent numbers, if granted.
[342] David
Aitken, Canadian counsel on the 313 Patent prosecution and an experienced
intellectual property lawyer, responded on September 17, 1998:
In response to the requisition pursuant to Section
29 of the Patent Rules, Applicant advices that the corresponding United
States case has issued as U.S. 5,474,142. We enclose a copy of the computer
database printout for this patent showing the references cited. A corresponding
EPO case has been filed but no action has yet been taken and no search report
received.
[343] The
printout referred to listed the references cited by the USPTO. The Defendants
claim that the references cited to the USPTO were not complete and did not
comply with US disclosure requirements.
[344] The
Defendants further contend that the phrase “no search report received” in
respect of the European patent application was not correct. On September 30,
1994, an international search report [ISR] was generated and sent by the USPTO
to the European Patent Office [EPO] for purpose of the Patent Cooperation
Treaty [PCT] application underlying the European patent application. The ISR
referred to 11 documents considered to be relevant to the PCT application.
(1) US
Proceeding
[345] US law
requires, on a continuing basis, disclosure to the USPTO of all information
known to be material to patentability. The Defendants say that because Bowden
intentionally violated this obligation and because CIPO relies on these US
disclosure requirements in examining the corresponding Canadian patent
application, by the failure to disclose known prior art to the USPTO, there was
a failure to reply in good faith to the Canadian examiner.
[346] The US law is Rule 56 of the Consolidated Patent Rules, 37 CFR § 1.56 (2013) USPTO Rules and the
interpretation of US law is supported by Professor Lisa Dolak (the Defendants’
expert):
§ 1.56 (portions)
(1)(a) […] Each individual associated with the
filing and prosecution of a patent application has a duty of candor and good
faith in dealing with the Office, which includes a duty to disclose to the
Office all information known to that individual to be material to patentability
as defined in this section …
(b) […] information is material to patentability
when it is not cumulative to information already of record or being made of
record in the application, and
(1) It establishes, by itself or in combination with
other information, a prima facie case of unpatentability of a claim; or
(2) It refutes, or is inconsistent with, a position
the applicant takes in:
(i) Opposing an argument of unpatentability relied
on by the Office, or
(ii) Asserting an argument of patentability.
[347] The
US law is that failure to disclose material prior art references in violation
of the disclosure obligation, combined with intent to deceive, can have severe
consequences including patent invalidity and disciplining proceedings against
practitioners.
[348] The US law and its high controversial concept of “fraud on the patent office” needs to be
contrasted with the Canadian law. Section 73 of the Canadian Patent Act
requires a good faith response to a requisition from one examiner, rather than
the free standing duty as described in US law.
[349] It is
not accurate to say or suggest that Canada does not have a duty of candor – it
is just not of the same nature as the US principle. The question is “good faith
in respect of what?” In Canada the good faith and duty of candor is in response
to a question or inquiry. The response has to be fair and responsive, but it
need not respond beyond that which is requested (see GD Searle & Co v
Novopharm Ltd, 2007 FC 81, 56 CPR (4th) 1 and Lundbeck Canada Inc v
Ratiopharm Inc, 2009 FC 1102, 79 CPR (4th) 243).
[350] In Bourgault
Industries Ltd v Flexi-Coil Ltd (1999), 86 CPR (3d) 221, 87 ACWS (3d) 355
(FCA), the Court rejected the concept that the duty of candor goes beyond
compliance with the Patent Act.
[351] The
Court has considerable difficulty with the Defendants’ premise underlying its
allegation of breach of the s 73(1)(a) good faith obligation. The
Defendants rely on the theory that Bowden was acting dishonestly, fabricating
dates of use and hiding public disclosure. A part of the theory is that Bowden,
having received the Bates Letter and knowing Bates could not file a US patent application because of the questions raised by the Bates Letter, then went off to
retain Comuzzi to prosecute the patent and hide the Bates Letter. The
Defendants have not been able to establish this theory of the case.
[352] There
is no finding by a US court that there has been any failure to disclose which
results in invalidity of the US patent. Absent such a finding, it is not for
this Court to make a finding of that nature except in accordance with Canadian
legal principles.
[353] The
Defendants’ allegation is also dependent on the theory that the CIPO depended
on the USPTO prior art disclosure. The Defendants’ expert in this area Peter
Ebsen (a retired CIPO examiner) produced internal CIPO flow charts to establish
this dependency. He also spoke to the necessity of reliance on the US
disclosure due to inadequate government funding of CIPO to be able to carry out
the necessary work to examine prior art, hence the reliance on the USPTO.
[354] Ebsen’s
evidence was significantly undercut by two very experienced witnesses – Robert
Mitchell, a patent and trade mark agent of considerable experience in private
patent practice and Peter Davies, a senior official at CIPO and subsequently
the Chair of the Patent Appeal Board. Where their evidence conflicts with
Ebsen’s, I prefer their evidence as it is forthright, understandable, broadly
based, experiential and more consistent with the legislation and rules and
regulations governing Canadian patents. Ebsen relied on a number of facts to
support his opinion, many of which were not established.
[355] The
legislation and rules and regulations (including the Manual of Patent Office
Practice) do not contemplate this extra-territorial reliance. Davis, who was in
a position to know, had never even heard of the flow charts on which Ebsen
relied.
[356] The
manner in which a Canadian examiner cites prior art against an application is
through an office action. The term “cited against an application” means cited
in an office action. The experts agree on this point.
[357] As
Mitchell confirmed, the term “prior art cited”, as used in the examiner’s
requisition, meant the prior art reviewed by an examiner and applied against a
foreign application. It does not mean any prior art listed in a search report;
nor does it mean all the prior art of which an applicant is aware. Davies
confirmed that in Canada an examiner is not permitted to ask an applicant for
all such prior art.
[358] This
expert evidence sets the context in which to assess Aitken’s response to the
examiner. Aitken provided the examiner with exactly what was requested – the
identification of the prior art cited in respect of the corresponding US application.
[359] Mitchell
confirmed that Aitken’s response was appropriate and accurate. Even Ebsen
finally had to admit that the response was complete and accurate. It should be
made clear that the issue was never Aitken’s good faith or honesty – that was a
given – it was rather the good faith of the ultimate client in the US that was a concern.
[360] Therefore,
it is difficult to see any merit to the Defendants’ complaint that there had
been a breach of the Canadian legal requirements of the Act or Rules. There is
no requirement to go beyond answering that which is asked or requested.
[361] The
above conclusion is sufficient to dispose of the allegation of improper
disclosure with respect to the US proceeding. The US doctrine of fraud on the USPTO
or inequitable conduct is not relevant here. There were US proceedings on this
issue but they do not govern this Court’s conclusions.
[362] The
Defendants led the evidence of Professor Dolak on US law, specifically
disclosure obligations and inequitable conduct as well as on USPTO
administrative procedure. With respect, the evidence was not generally helpful
because the relevant context is Canadian procedure. The application of US law was largely irrelevant.
[363] Professor
Dolak was not able to address the specifics of the materiality of prior art.
Her evidence did not and could not touch on Canadian law and practice. Her
evidence was based on a number of assumed facts which were not proven including
that Comuzzi did not have the Bates Letter. It was in fact faxed to him during
the course of patent application preparation and this fact alone put paid to
the Defendants’ thesis.
[364] Despite
the not so veiled invitation of the Defendants to have this Court go down the US route of “inequitable conduct”, I will not do so. The Canadian legislation is clear, the
obligation is to respond directly and honestly. The US principle is highly
unsatisfactory, not supported by Canadian principles or practice, and has been
described by US witnesses as a “mess”.
(2) Re:
European Proceeding
[365] Pason
also alleges that the response to the Canadian examiner was inaccurate in
respect of the EPO “… no action has yet been taken and no search report is
received”. The resolution of this issue is tied into the arcane world of
international patent practice.
[366] The
operative date for consideration of the good faith response is Aitken’s letter
of September 17, 1998. By that time, the following relevant events had
occurred:
•
A
PCT application – April 19, 1994;
•
ISR
regarding the PCT application mailed by the USPTO – September 30, 1994 (this
document was prepared by the same US examiner handling the Bowden patent
application);
•
Pro
forma letter from the EPO re PCT application – November 29, 1994;
•
International
Preliminary Examination Report [IPER] issued – January 5, 1995; and
•
European
application came into existence – October 5, 1995.
[367] In
response to the Canadian examiner’s requisition, Makay (Comuzzi’s associate
handling the Bowden patent application) examined his files. There was no
examination by a European patent examiner, no search report and to Makay’s
knowledge, no search had been conducted by the EPO.
[368] Makay
did not search for the ISR concluding that nothing in the PCT file was beyond
what was in the US case which was handled by the same examiner. Nothing was
added to the prior art. The EPO pro forma letter did not trigger, at least in Makay,
a need to search the PCT file.
[369] Makay
believed that his response to Aitken, which was passed on to the Canadian
examiner, was accurate.
[370] The
evidence is that Aitken understood that there was no report issued by the EPO
based on a search conducted by an EPO examiner. Makay had not seen nor was
there any EPO search report citing prior art.
[371] Aitken
testified that he did not know about the ISR. However, the issue is not based
on his personal good faith but on that of his client. More germane is Aitken’s
evidence that had he known of the ISR, he would not have considered it a
European search report. Further, it is a report that does not cite prior art
which was the subject matter of the requisition.
[372] The
pertinent issue is not just whether Makay or Aitken intended to mislead but
whether given the documents available, they ought to have produced them or
ought to have known to produce them.
[373] The
resolution of that issue lies in the expert evidence. Ebsen takes the same far
reaching approach to disclosure that he took in respect of the US prior art disclosure. For the same reasons, that opinion is not accepted.
[374] Varco’s
experts, Mitchell and Davies, opine that the response in respect of the
European proceedings was also accurate and complete. Mitchell conceded that he
might have provided the prior art citations in the ISR.
[375] The
real issue is whether there was an absence of “good faith” in responding to the
examiner. This is both a subjective and an objective evaluation. There is
nothing in the evidence to suggest that either Makay or Aitken personally and
subjectively acted contrary to the good faith obligation.
[376] Although
some may argue that more information should have been provided, I am not
convinced, based on the context of the requisition (prior art cited) and the
weight of the opinion evidence, that objectively the response to the Canadian
examiner was inaccurate.
(3) Determination
[377] Whatever
the perspectives, there was no absence of good faith in the response to the
requisition. The most that could be said is that there was disagreement about
how much information should have been provided.
[378] Pason’s
premise is that Bowden was on a deliberate path to mislead and that those
working with him, either knowingly or otherwise, participated in that
misleading. That premise has not been established.
[379] Any
issues of non-compliance with foreign laws should be resolved in those
jurisdictions, particularly where there is, as here, compliance with Canadian
law.
[380] On
this ground, I find no basis to conclude that the 313 Patent is invalid by
reason of abandonment.
E.. Conclusion
[381] As is
apparent, this Court concludes:
(a) that
the Defendants infringed the Plaintiffs’ 313 Patent; and
(b) that
the 313 Patent is valid.
[382] As a
result, the Plaintiffs are entitled to remedies as discussed in the following
section.
VII. REMEDIES
A. Overview
[383] The
Plaintiffs have claimed various remedies for infringement:
•
interim,
interlocutory and permanent injunction to enjoin infringement, and/or enjoin,
inducing or procuring others to infringe and enjoining the manufacture, the
use, the exportation, the distribution, the offer for sale and sale, and the
offering for rent and renting of the Pason AutoDriller;
•
an
order for the delivery up or destruction of all infringing products under the
Defendants’ possession, custody or control;
•
damages
or an accounting of profits made by the Defendants in Canada and other countries – the Plaintiffs elect on accounting;
•
pre-judgment
and post-judgment interest;
•
costs;
and
•
further
and other relief.
[384] The
Supreme Court in Monsanto Canada Inc v Schmeiser, 2004 SCC 34, [2004] 1
SCR 902 at paragraph 100 [Monsanto], outlined the basic approach for
compensation in a patent infringement case; damages or an accounting of profits:
100 The Patent Act permits two alternative types
of remedy: damages and an accounting of profits. Damages represent the inventor’s
loss, which may include the patent holder’s lost profits from sales or lost
royalty payments. An accounting of profits, by contrast, is measured by the
profits made by the infringer, rather than the amount lost by the inventor. …
[385] The
Plaintiffs calculate the compensation as follows:
•
Disgorgement
of Pason’s profits = 52,881,374
•
Plaintiffs’
lost profits/reasonable royalty = 20,641,463
•
Reasonable
royalty only = 16,600,276
The Defendants,
on the other hand, say:
•
Disgorgement
= 0 (equitable remedy should not be granted)
•
Cost
profits/reasonable royalty = 2,268,000 to 1,409,000 (with approximately 400-300
thousand added for foreign sales)
•
Reasonable
royalty = 851,000 to 658,000
B. Expert Witnesses
[386] Before
turning to the specific heads of relief, it is necessary to comment on the
expert evidence presented and more particularly on the experts themselves.
Unlike the experts on the liability phase who were credible and acted in
accordance with the experts’ obligation to assist the Court (although the Court
preferred Wooley over Warren, this is no adverse reflection on Warren as an
expert), the Court was faced with a very different situation in respect of the
financial experts.
[387] David
Hall, the Plaintiffs’ lead financial expert, was the managing director of the Denver office of Alvarez & Marsal with 22 years’ experience in forensic accounting. He
has been involved in the companion US case. I found Mr. Hall to be credible,
diligent and independent. His testimony was forthright, non-argumentative, and
objective. His opinion evidence was of considerable help to the Court. I
preferred his opinion and his background work to that of the Defendants’ two
experts, William Dovey and Brian Van Uden.
[388] Dovey’s
evidence was in marked contrast, in quality, to that of Hall. While a court
should be cautious in being influenced by other court’s comments on an expert’s
work in unrelated cases, it is telling that Dovey has earned qualitative
criticism from the Federal Court, the Ontario Superior Court of Justice and the
Alberta Court of Queen’s Bench (see Dableh v Ontario Hydro (1993), 67
FTR 241, 50 CPR (3d) 290 (FCTD); PreMD Inc v Ogilvy Renault LLP, 2010
ONSC 7141, 90 CPR (4th) 344; Deer Creek Energy Ltd v Paulson & Co,
2008 ABQB 326, 170 ACWS (3d) 66).
[389] While
the applicable judges’ comments speak for themselves, those observations are
consistent with what I observed in this case. Despite the comments in the Canadian
Institute for Chartered Accountants [CICA] document “Standard Practices for
Investigative and Forensic Accounting Engagement” [Standards Practice Document]
that practitioners should obtain independent legal advice on the state of the
law and that practitioners should evaluate the reasonableness and consistency
of all estimates and assumptions, Dovey did none of this to any real extent.
[390] The
same criticisms of Dovey’s approach in the other cases can be made in the
present case. Dovey did not do what practitioners should, failed to maintain
independence and failed to put forward evidence which could materially assist the
Court.
[391] The
Court’s concern for Van Uden’s evidence is not nearly as serious as its
concerns about Dovey. However, a significant part of Van Uden’s evidence
related to the royalty rate which should be used in the hypothetical
negotiation of a royalty as a basis for a damages award. In that regard, Van
Uden relied on a US theory that the starting point should be a 25% rate from
which he discounted various factors to arrive at a “royalty rate”.
[392] What
was troubling is that Van Uden did not refer in his written or oral evidence to
a decision of the United States Court of Appeals for the Federal Circuit, Uniloc
USA Inc et al v Microsoft Corporation, 632 F (3d) 1292 (2011) which not
just undercut , but destroyed this 25% rule at paragraph 14:
This court now holds as a matter of Federal Circuit
law that the 25 percent rule of thumb is a fundamentally flawed tool for
determining a baseline royalty rate in a hypothetical negotiation. Evidence
relying on the 25 percent rule of thumb is thus inadmissible under Daubert
and the Federal Rules of Evidence, because it fails to tie a reasonable royalty
base to the facts of the case at issue.
[393] It is
not just that the 25% rule is not sustainable – a decision this Court would
reach on its own – it is that the rule was a central plank in Van Uden’s
evidence, that he continued to rely on it in direct evidence. Only when
challenged, did he acknowledge that the legal basis for the rule had been
reversed. He knew about the decision; his counsel knew, opposing counsel knew
(even this Court knew about the decision) but Van Uden failed to disclose this
material fact until forced. He in fact hung on to the 25% rule even after its
destruction in law.
[394] The
absence of candor with this Court, the use of a legally infirm rule and the
continued reliance on it, significantly impairs the witness’ credibility and any
weight which can be given to his evidence.
C. Accounting for Profits
[395] The
Court has a discretion to award either damages pursuant to s 55 of the Patent
Act or an accounting for profits pursuant to s 57.
[396] The
premise for an accounting of profits is that a defendant, due to its wrongful
conduct, has improperly received profits which should accrue to the plaintiff.
[397] There
are several objectives which are served by this particular remedy. It restores
the plaintiff to the position “but for” the infringement; it deprives the
wrongdoer of its ill-gotten gains; it deters the defendant and, potentially as
important, it deters others from infringement, both specifically and generally.
On this last point, this remedy makes the “risk-reward” calculation of knowing
(or ought to know) infringement more risk oriented and serves the purpose of
preservation of the purposes of the Patent Act.
[398] The
equitable remedy acts as a deterrence tool and a mechanism for restorative
justice in the commercial world.
[399] In
this regard, I adopt the reasoning of Justice Zinn in Monsanto Canada Inc v
Rivett, 2009 FC 317, [2010] 2 FCR 93 [Rivett], both in regards to
the proper principles and purposes of this equitable remedy as well as the
method of calculation to be used.
[400] The
deterrent effect of disgorgement over the usual remedy of damages is clearly
highlighted in this case. Accepting the Plaintiffs’ figures (as I do), the
Defendants would keep $30,000,000 (approximately) in profit which they would
never have earned except for the infringement. There would be little or no
deterrent effect if all that an infringer had to do was pay damages and pocket
the remainder of profits. The risk/reward calculation would emphasize the reward.
[401] As
held in Laboratoires Servier v Apotex Inc, 2008 FC 825, 332 FTR 193, a
plaintiff has to show some basis for the exercise of this equitable relief. It
must be more than bare infringement (see Janssen-Ortho Inc v Novopharm Ltd,
2006 FC 1234, 57 CPR (4th) 6 at 55).
[402] In
this case, I find that the Plaintiffs have shown a significant basis for this
relief for the reasons in the following paragraphs.
[403] There
has been no inequitable conduct by the Plaintiffs sufficient to disentitle them
to equitable relief. The amendment to Claims 9 and 10 have been dealt with
earlier. The response to the CIPO requisition has been found to comply with
Canadian law. The US law suit is irrelevant to the availability of the
equitable relief. The Plaintiffs did nothing to delay or frustrate this trial.
[404] This
case involves just two competing products. The Defendants admit that without
these features of the Pason AutoDriller (which the Court has found are
infringing), it would not have any such sales. The weight of the evidence is
that each Pason sale is one that would, in all probability, have gone to the
Plaintiffs. Any customer seeking the same directional drilling capability would
have bought one or other of the parties’ products. Therefore, there is no other
market distractions (packaging, brand recognition, etc.) which make this relief
difficult or unworkable.
[405] There
is no customer evidence that the choice of the Pason AutoDriller was driven by
those features that distinguish Pason, its product and its service from that of
the Plaintiffs. This is not a consumer product where functionality is not
necessarily the controlling purchase factor. This is equipment which is either
needed or not and if needed, there were only two real sources of supply.
[406] The
Defendants deliberately targeted the Wildcat product. It modelled some of its
outputs on Wildcat data as earlier described. It pursued the fulfilment of the
same market demand from the same customer base.
[407] In so
doing, Pason also knew that it was at patent risk. It had been warned by its
Canadian patent agent Leier that there was a significant risk of patent
infringement and that only a defence of invalidity would save it. Yet Pason did
not even inquire further as to infringement or invalidity nor did it attempt to
negotiate some arrangement with the patent holder.
[408] It
knew or ought to have known of the risk of infringement and of the potential
disgorgement remedy. It took the calculated business risk to proceed in any
event. Having taken the risk, it is only equitable that it face the full
consequences.
[409] When
Pason commenced its infringement, the Plaintiffs, run by Prejean, was a much
smaller organization compared to Pason. The prospect of Pason knowing that it
had this market power and that it could “steamroll” over its competition cannot
be discounted.
[410] As
said above, the Defendants took a business risk – one which they have lost. It
would be inequitable for it to be allowed to profit from its calculated
misdeeds.
Therefore, the
remedy of disgorgement of profits is the appropriate remedy in this case.
D. Calculation of Pason Profit
[411] The
calculation of Pason’s profit has been made easier by the parties’ agreement as
to Pason’s revenues and Pason’s incremental profit margins. The calculation of
Pason’s rental revenues (gross rental revenues) from rentals in Canada is $61,721,183. The parties settled on a profit margin for in Canada Pason AutoDriller
rentals of 73.5% to produce net profit of $45,365,070.
[412] As
indicated earlier, Pason earned revenue from its foreign subsidiaries in the nature
of mark-up on sales of the Pason AutoDriller and a share in Pason AutoDriller
rentals paid to its foreign subsidiaries. The mark-up in place from 2003 to end
of 2007 was 40% after which Pason AutoDrillers were shipped to subsidiaries at
cost. The total of mark-ups on sales to the USA, Australia and Mexico was $2,514,860.
[413] The
share of rentals from its Mexican and Australian subsidiaries was $64,073 and
$81,864 respectively. There is no claim for damages or profits from rentals in
the USA.
[414] With
respect to South America, the rental revenues to Pason from 2004 to 2009 were
$6,069,385 to which is applied the agreed profit margin in this instance of
80%.
[415] Therefore,
Pason’s profits from its exports to the USA, Mexico, Australia and South America is $7,516,305 which is to be added to the $45,365,070 in paragraph 411.
E. Proper Approach to
Disgorging Profit
[416] As
Justice Zinn held in Rivett, the proper approach in this type of
circumstance is the “differential profit approach” which requires the Court to
compare the profits made by the infringer that are attributable to the
invention and the profits that the infringer would have made if he had used the
best non-infringing option.
[417] This
approach requires the Court to look at six (6) factors:
(1) Causal
connection: there must be a causal connection between the profits made and the
infringement;
(2) Gross
profits from infringement: this is based on calculating the gross revenues from
infringement and deducting the incremental costs of earning that revenue;
(3) Non-infringing
option: whether such option exists;
(4) Disgorgement:
absent a non-infringing option, the gross profits as per (2) are paid to the
patentee;
(5) Gross
profits from non-infringement: this factor is only relevant if there is a
non-infringing option.
(6) Disgorgement
(net): this factor is only relevant where there is a difference between the
gross profits of infringement and the gross profits of non-infringement.
[418] Applying
these factors to the facts of this case:
(1) There
is a clear causal connection between the Defendants’ infringement and its
profits. The Court has found, and the Defendants largely admit (assuming that
the Pason AutoDriller infringes), that but for the infringing portions of the Pason
AutoDriller, there would have been no product and more importantly no profit.
It was the infringement which gave Pason a product which it could sell – it was
the sine qua non of Pason’s profits from its AutoDriller.
(2) The
gross profits from infringement are largely agreed to (except regarding foreign
revenues) and are $52,881,374.
(3) There
is no non-infringing option. The Court has found that the Pason AutoDriller
with either algorithm infringes. The changes to Algorithm 2 were immaterial in
terms of distinguishing between the AutoDriller first offered and the
AutoDriller using the second algorithm. Therefore, there is no non-infringing
product either by Pason or anyone else.
(4) Disgorgement:
based on the above, the gross profits from infringement are to be paid over to
the Plaintiffs.
[419] The
Defendants advance, through Dovey, the theory that between factors 2 and 3, one
adds in “apportionment” which generally acts as a reduction in the gross profit
calculation by adding in non-infringing features to the calculation. On Dovey’s
theory one adds in (a) market related factors (size and presence in the
market), (b) service related factors (strength of repair and customer service),
(c) performance related factors (details of various performance parameters),
and (d) other product related factors.
[420] Dovey
justifies this novel approach on the basis of his reading of Rivett,
which he says he followed. In reaching this conclusion, he sought no legal
advice despite the provisions of the CICA Standard Practices Document directing
practitioners to do so. Even if the document had not done so, any careful
expert would have done so since the expert is not qualified to deal with
matters of law.
[421] The
proper place to consider non-infringing features is in the analysis of “causal
connection” because the Supreme Court of Canada in Monsanto has stated
that “the inventor is only entitled to that portion of the infringer’s profit
which is causally attributable to the invention” (ibid at para 101).
[422] The
determination of this causal connection depends on the facts of each particular
case. In the present case, there has been no evidence that anyone acquired the Pason
AutoDriller due to the factors which Dovey says should reduce the amount of
profit attributable to the invention. The weight of the evidence is that “but
for” the infringing qualities of the Pason AutoDriller, Pason would have earned
nothing.
[423] Dovey’s
approach leads to the bizarre result that, according to Dovey, only 5% of the
profits from the Pason AutoDriller were caused by the invention. The conclusion
is so inconsistent with the overall evidence in this case that the Court can
attribute no credibility to this conclusion or the manner in which Dovey
reached the conclusion.
[424] Dovey’s
approach to apportionment is inconsistent with the purposes of the equitable
principles underlying disgorgement in that it undermines any deterrent effect.
His approach is tantamount to rewarding the person who unlawfully uses an item
for its stellar unlawful use – one keeps the bulk of the ill-gotten gains
because they did it so well; the bank robber is rewarded for the heist because
he used a high end getaway car or invested the money more effectively.
[425] Dovey’s
analysis of the factors which he used in his apportionment exercise ignores the
“but for infringing, no sales” element; does not consider the Plaintiffs’
service factors; was not based on objective evidence from third parties and
relied exclusively and without critical analysis on what he was told by the
Defendants.
[426] Therefore,
the Plaintiffs will be entitled to an order for disgorgement of profits of
$52,881,374 as well as any additional profits earned since the calculation was
made.
F. Alternative Remedies
[427] The
Court, having concluded that disgorgement of profits is the appropriate remedy,
will briefly address the other compensation theories advanced.
(1) Damages
[428] There
is no question that, having found infringement of a valid patent, the
Plaintiffs are entitled, at a minimum, to damages. The Plaintiffs have advanced
two theories of damages:
(1) profit
on lost sales it would have earned had there not been infringing sales by the
Defendants plus a royalty on the infringing sales that the infringer made which
the patent holder would not have made (see AlliedSignal Inc v Du Pont Canada
Inc (1998), 142 FTR 241, 78 CPR (3d) 129 (FCTD) [AlliedSignal], and Jay-Lor
International Inc v Penta Farm Systems Ltd, 2007 FC 358, 59 CPR (4th) 228)
[Jay-Lor]).
(2) receipt
of a reasonable royalty only on all sales made by the infringer.
[429] There
are four issues between the parties in respect of this form of compensation:
(1) the
sales which would have been achieved by Varco (the Plaintiffs’ position is that
this is based on 77,979 rental days versus the Defendants’ estimate of 27,465
rental days);
(2) the
relevance of price erosion;
(3) the
reasonable royalty rate – (the Plaintiffs advance 20% versus the Defendants’ 4%);
and
(4) the
applicability of apportionment.
[430] In
estimating the Plaintiffs’ lost profit from lost rental days, Hall’s opinion
was based on the following facts or assumptions which are supported by the
facts established in this case:
•
the
Wildcat is the commercial embodiment of the 313 Patent;
•
there
is a strong demand for the patented features, particularly the ability to
control the drill string based on pressure;
•
customers
demanded the patented featured automatic driller because it increases the
effectiveness and efficiency of the drilling process over WOB drillers;
•
Varco
had the ability to manufacture additional Wildcats to meet significant
additional demand;
•
many
of the Pason AutoDriller customers were also customers who rented the Varco
Wildcat; and
•
much
of the Pason AutoDriller revenue was generated as a result of the market share
of EDRs on drilling rigs.
[431] In
calculating Varco’s “but for” rental days, Hall assumed that the market was a
two-supplier market for multi-parameter autodrillers; a fact found by the
Court.
[432] Hall
recognized that due to Pason’s EDR, it had a certain marketing advantage. As
such, he assumed that Varco would not have achieved the same number of rentals
as Pason. This in no way detracts from the notion that every sale/rental by
Pason is an infringing sale/rental which would not have been achieved but for
infringement.
[433] What
Hall recognized is that, absent infringement, Varco’s sales would have
continued to increase at a compound annual rate of 73% from 2004 to 2006 after
which it reached a “steady state” reflective of the total autodriller rental
market (Varco/Pason Canadian rental days for the period of 2007 to September
2010).
[434] I
accept Hall’s conclusion that the Wildcat sales in the early years to 2001 when
Prejean turned his attention to the Canadian market should be discounted from
any assumptions as to the market. Those early years are not a valid starting
point from which to establish a steady market.
[435] The
calculations of Varco’s lost profits from lost rental days and the calculations
are set forth in Exhibits 583 and 579. It is not the Court’s intention to
quibble with the calculations (that lie in the hands of the expert and have not
been shown to be erroneous). The real issue is the methodology used.
[436] The
Court finds the methodology used to be reasonable, more reasonable than that
used by Dovey. The Defendants cross-examined around the edges but did not
undermine the basis of Hall’s work. It must be borne in mind that these figures
are estimates and the Court takes a broad view of them. The estimates are
reasonable and therefore sufficient for the purposes of calculating damages.
[437] The
Defendants estimates suffer the problems already outlined with respect to
Dovey’s opinion. He relied on numbers not proven and on assumptions not
supported by the facts.
[438] The
accuracy of some of Dovey’s underlying data was never proven. For example, he
calculated the parties’ relative share of the Canadian market based on
information from Pason’s annual reports without establishing the accuracy
thereof or doing any due diligence in this regard.
[439] Dovey,
in estimating Varco’s “but for” rental days, assumed that the Wildcat had no
competitive advantage over WOB only autodrillers. This assumption is so
inconsistent with the evidence that this error, compounded with the other
problems the Court has found with Dovey’s expert opinion, significantly
undermines any opinion given.
[440] The
Court, faced with the contrasts between the two expert opinions, must accept
that Hall is more reasonable, more consistent with the evidence and therefore
is to be preferred.
[441] The
issue of price erosion is based on the notion that a patentee in response to
infringement by its competitor will lower its own prices to address the
infringing competition. AlliedSignal confirms that a patentee is
entitled to the profit it lost, both on the sales it actually made and on the
sales it would have made at the selling price it would have charged “but for”
the infringing product.
[442] Hall calculated
Varco’s lost profits arising from price erosion at $3,584,037. In so doing, he
relied on three assumptions clearly established in the evidence:
•
Varco
lowered its price to retain and attract customers in response to the Pason
AutoDriller competition;
•
rental
rates were an important factor for customers; and
•
Varco’s
bundling strategy lowered its effective autodriller system rate 10% to 20% on
some of its rentals.
[443] The
bundling strategy was an offering whereby the Wildcat was included with other
products/services; sometimes at a rate less than a stand alone rental of the
Wildcat. The Court has some concern that while some element of bundling might
have occurred in any event as a marketing tool (bundling as a marketing tool is
sufficiently public and notorious for a court to acknowledge its existence
generally), there is no evidence to rebut the reasonableness of Hall’s
assumption. Dovey offered no opinion on the average rental price Varco would
have charged. The Court therefore accepts it as a reasonable assumption in
these circumstances.
[444] In
addition to the lost profit on sales the Plaintiffs would have made, the
Plaintiffs claim a reasonable royalty on sales which it would not have made, or
alternatively in the royalty stand alone scenario, the Plaintiffs would have
been entitled to a reasonable royalty on all sales made by Pason.
[445] As
held in AlliedSignal at paragraph 199:
199 A reasonable royalty rate is “that which the
infringer would have had to pay if, instead of infringing the patent, [the infringer]
had come to be licensed under the patent”: … The test is what rate would result
from negotiations between a willing licensor and a willing licensee.
[446] In AlliedSignal,
the reasonable royalty was calculated on the basis of the plaintiff’s
incremental profits before tax. However, in Jay-Lor, Justice Snider
rejected AlliedSignal, and found that the anticipated profits approach
was to be preferred.
[447] In
the present case, Hall concludes that the reasonable royalty rate is 20%
whereas the Defendants’ experts (Dovey and Van Uden) settle on 4%.
[448] The
problem presented for the Court is that Hall largely followed the AlliedSignal
factors and approach whereas the Defendants’ Van Uden (the substantive expert
on royalty calculations) did not apply the Jay-Lor anticipated profits
approach but utilized the 25% Rule (earlier mentioned) and his “analytical
approach”.
The Court is in
no position to embark on an anticipated profits consideration in accordance
with Jay-Lor as there is no evidentiary basis for it.
[449] Therefore,
the Court must choose between the two experts’ approaches. For the following
reasons, the Court accepts the Plaintiffs’ approach and the 20% royalty rate as
the most reasonable rate on the evidence before it.
[450] The
exercise of the “royalty rate” is a hypothetical assumption of a negotiation
between willing parties. The premise is flawed, particularly in this case,
because there are only two parties, direct competitors and no evidence of what
advantage the Plaintiffs would see in negotiating a rate, when, but for
infringement, the Defendants would have no competing product. There is an air
of unreality in the whole exercise.
[451] In
considering the competing expert evidence, the Court has already commented on
its general preference for Hall’s expertise and opinions. In the present
exercise, Hall analyzed the issue from the perspective of each party. He
recognized Pason’s market strength and the reliance the Plaintiffs had on this
single product. His conclusion that the Plaintiffs would need a substantial
royalty before it would conclude an agreement is entirely reasonable.
[452] Hall
considered what incremental profit rate the Plaintiffs would likely need and
that a 20% royalty fell within a reasonable range.
[453] In
considering Pason’s position in any negotiation, Hall factored in the
substantial profits it earned from the Pason AutoDriller and the importance
that the infringing product played in Pason’s world. He considered Pason’s
public statements as showing a focus on generating revenue through additional
products. He considered the additional profits Pason could expect to earn from
other products over and above operating margins. Hall concluded that at a 20%
royalty, Pason was splitting its 39% excess profit on Pason AutoDriller rentals
which he considered a reasonable course of action.
[454] Hall
also took into account the 13 factors affecting a reasonable royalty set out in
AlliedSignal. These factors, combined with analysis of the profit
differential Pason would have achieved, showed that a 20% royalty rate was a
reasonable result.
[455] Hall
then applied the rate to international sales.
[456] Finally,
Hall examined the impact of that royalty rate on Pason’s operating margin and
noted that Pason would still have an incremental profit of 53% and a 19%
increase in profit over Pason’s 34.8% operating profit.
[457] The
Court concludes that Hall’s approach, the factors he considered and his
ultimate conclusions are reasonable in the circumstances and more reasonable
than those of the Defendants’ experts.
[458] A
fundamental and overriding flaw in the Defendants’ experts’ opinion (Van Uden)
is the use of the 25% Rule. The 25% Rule was the starting point for the
analysis of the royalty rate. It is a Rule developed by Robert Goldscheider, an
academic in the United States.
[459] Van
Uden accepted the premise and validity of the 25% Rule without establishing
before this Court why it was an acceptable rule of any sort, much less why it
should be a starting point in this case. On that basis alone, the Court would
have rejected Van Uden’s opening premise.
[460] The
US Court of Appeals for the Federal Circuit has rejected the validity of the
25% Rule. There is no reason for this Court to adopt this American academic
premise when the American courts have rejected it for good reason.
[461] Despite
the Defendants’ submissions, the Federal Court has never considered, much less
adopted, the Rule. Neither AlliedSignal nor Jay-Lor considered
the 25% Rule.
[462] This
Court does not accept the 25% Rule. Its validity was not established in
evidence here; the Rule does not consider the circumstances of each case and is
simply an arbitrary number. The Court need not comment further on the merits of
how the Rule was applied.
[463] Having
started from an unsustainable starting point, the rest of the Defendants’
expert evidence and conclusions fall apart. The Court is not prepared to accept
the Defendants’ thesis of the royalty rate nor the rate itself.
[464] Finally,
the Defendants claim that some form of apportionment should be made. While
apportionment may be a relevant factor in considering lost profit, there is an
insufficient evidentiary basis to apply it in this case, as referred to earlier
in these Reasons.
[465] The
overwhelming evidence is that “but for” the infringement, Pason would not have
had any sales of the Pason AutoDriller. Advantages in market factors, service
and performance factors or any other factors do not overcome or diminish the
centrality of infringement.
[466] In
addition, apportionment, as applied by the Defendants’ experts, leads to the
ludicrous result that only 4% of Pason’s AutoDriller profits was caused by the
infringement.
[467] Therefore,
there is no basis for reducing the compensation due to the Plaintiffs by reason
of some application of the apportionment factors relied on by the Defendants’
expert.
[468] Therefore,
in the alternative, the Plaintiffs should be awarded loss profits/reasonable
royalty of $20,641,463 or as further alternative, a reasonable royalty of
$16,600,276.
[469] The
Plaintiffs asked for exemplary/punitive damages. Had the remedy been restricted
to normal damages, I would have awarded exemplary/punitive damages because of
the deliberate infringement carried out in the face of advice from Leier and
recklessness as to the consequences.
[470] However,
exemplary/punitive damages are equitable relief. The equitable principles have
already been embodied in the disgorgement of profits remedy and further
equitable relief is unwarranted.
VIII. COSTS
[471] In
awarding costs to the Plaintiffs, the Court has taken account of the difficulty
of the case, its complexity and length. It is particularly mindful of the
Defendants’ shifting theories adding complexity and the Defendants’ allegations
against the Plaintiffs and some of their witnesses that they were deceitful,
dishonest and had engaged in various forms of mischief and skulduggery. Such
unsubstantiated allegations are deserving of the Court’s censure in the form of
costs.
IX. CONCLUSION
[472] The
Plaintiffs are entitled to:
(a) a
declaration that the Defendants have infringed the Plaintiffs’ valid 313
Patent;
(b) an
order for an accounting of and disgorgement of profits currently set at $52,881,374;
(c) a
permanent injunction and other injunctive relief on terms to be addressed in
separate submissions;
(d) an
order directing the delivery up to the Plaintiffs or the destruction upon oath
of all infringing products in the possession, custody or control of the
Defendants on further terms to be addressed in separate submissions;
(e) pre
and post judgment interest to be calculated; and
(f) costs
of this action pursuant to Column V of the Court’s Tariff.
“Michael
L. Phelan”
Ottawa, Ontario
August 12, 2013
SCHEDULE A