Docket: T-972-12
Citation: 2014 FC 462
BETWEEN:
|
ALCON
CANADA INC., ALCON PHARMACEUTICALS, LTD. and BAYER
INTELLECTUAL PROPERTY GmbH
|
Applicants
|
and
|
COBALT PHARMACEUTICALS COMPANY and THE MINISTER OF HEALTH
|
Respondents
|
REASONS
FOR JUDGMENT
Page
I. INTRODUCTION.. 2
II. BACKGROUND.. 4
III. THE 114 PATENT. 9
A. The Applicants’ Evidence. 10
B. Cobalt’s Evidence. 11
C. Analysis. 12
(1) Person of Skill 12
(2) Claim Construction. 15
(a) Promise of the Patent 18
(3) Sound Prediction and Utility. 23
(a) Moxifloxacin is different from Example 15. 26
(b) Example 15 is not identified as the preferred compound. 27
(c) Disclosure of the 114 Patent 29
(4) Obviousness. 36
(a) Introduction. 36
D. Conclusion. 43
IV. THE 211 PATENT. 44
A. The Applicants’ Evidence. 45
B. Cobalt’s Evidence. 46
C. Points in Issue. 46
D. Analysis. 47
(1) Claim Construction. 47
(2) Skilled Person. 50
E. Common General Knowledge. 51
F. Obviousness. 57
G. Conclusion. 60
V. THE 418 PATENT. 61
A. The Applicants’ Evidence. 62
B. Cobalt’s Evidence. 63
C. Claim Construction. 63
D. Skilled Person. 67
E. Infringement 68
F. Analysis. 73
G. Conclusion. 78
SCHEDULE.. 79
PHELAN J.
[1]
This is an application pursuant to s. 55.2(4) of
the Patent Act and
s. 6 of the Patented Medicines (Notice
of Compliance) Regulations SOR/93-133
by Alcon Canada Inc., Alcon Pharmaceuticals Ltd. and Bayer Intellectual
Property GmbH GP [the Applicants] for an order prohibiting the Minister of
Health from issuing a Notice of Compliance [NOC] to Cobalt Pharmaceuticals
Company [Cobalt] for its generic version of the drug Vigamox. The generic
version is referred to here as the “Cobalt Product”.
[2]
Vigamox is an antibacterial eye drop containing
moxifloxacin hydrochloride, an antibacterial agent belonging to the
fluoroquinolone class. It is covered by Canadian Patents 1,340,114 [the 114
Patent], 2,342,211 [the 211 Patent] and 2,192,418 [the 418 Patent]. Vigamox is
the most commonly used antibacterial eye drop during cataract surgery.
[3]
The 114 Patent claims a class of quinolone
compounds which includes moxifloxacin characterized by a fused pyrrolidine
bicycle at the C-7 position of the quinolone ring. Cobalt admits that its
product will infringe the 114 Patent, but argues the 114 Patent is invalid on
the basis of a lack of sound prediction and utility. Although in written
submissions Cobalt also alleged obviousness, this basis of invalidity was
largely abandoned in oral argument.
[4]
The 211 Patent claims the use of moxifloxacin
hydrochloride in an ophthalmic formulation for the treatment and prevention of
bacterial infections, as well as the formulation itself. Cobalt concedes that
some claims in the 211 Patent will be infringed by its product. It submits that
the patent is invalid on the basis of obviousness and anticipation.
[5]
The 418 Patent claims the monohydrate form of moxifloxacin,
along with the prism crystalline form of the monohydrate. The parties agree
that the Cobalt Product itself will not infringe the 418 Patent, but the
Applicants argue that the process for making the Cobalt Product will infringe.
Cobalt disputes this and alleges that the patent is invalid for obviousness,
lack of sound prediction, ambiguity and inadequate disclosure. Its oral
submissions focused on infringement.
[6]
Quinolones have been known as antibacterial
agents since the 1960s. Quinolones exert their antibacterial effect by interfering
with DNA gyrase so as to prevent bacterial DNA from unwinding and duplicating,
thereby preventing DNA driven processes in the bacteria. Fluoroquinolone are
quinolone compounds which contain a fluorine atom.
[7]
The core structure of the quinolones is:
[8]
The positions numbered on the core are
identified as C-1 to C-8. It is to each of these points that chemical
substituents can be attached. In the present case the position of C-7 is
critical.
[9]
Chemical modifications to the core structure
influence the type and level of antibacterial activity. When new quinolones are
developed by pharmaceutical researchers, they are evaluated for their
antibacterial activity against various bacteria. Bacteria are often classified
as Gram-positive and Gram-negative depending on their response to a procedure
known as Gram “staining” (Gram happened to be the
name of the individual who came up with this process).
[10]
The standard approach to evaluating the
antibacterial activity of an antibacterial agent is to determine the “minimum inhibitory concentration” [MIC] against
bacterial organisms in vitro. The MIC value is the lowest concentration
of a compound that will inhibit the visible growth of bacteria after overnight
incubation. The lower the MIC value, the more potent a compound is in terms of
antibacterial activity. MIC methods are commonly used by medicinal chemists and
microbiologists in comparative testing of new antibacterial agents.
[11]
The first marketed quinolone was nalidixic acid,
which was synthesized in the early 1960s. Nalidixic
acid was active against Gram-positive and Gram-negative bacteria, but its use
was limited by the high incidence of adverse effects. Even today, toxicity
concerns continue to plague the quinolone family and a number of initially
promising quinolone candidates have been abandoned due to toxicity.
Clinafloxacin is one such example.
[12]
Modification of the quinolone structure lead to
the development of ciprofloxacin by Bayer in the early 1980s. There are numerous
cases involving this compound. Ciprofloxacin had strong antibacterial activity
against Gram-negative and Gram-positive organisms, as well as favourable
pharmacokinetics for the treatment of system infections. Compared to other
quinolones, it had relatively low potential for adverse effects. These
advantages lead to ciprofloxacin becoming the industry standard for the
treatment of systemic infections by the late 1980s.
[13]
Ciprofloxacin was licensed from Bayer by Alcon
and incorporated into an antibacterial ophthalmic solution marketed as Ciloxan.
[14]
Following the advance of ciprofloxacin into the
development phase in 1982, Bayer began to search for a successor quinolone.
Researchers at Bayer synthesized new quinolones which were subjected to
microbiological testing. The first stage of the testing involved determining
the minimum inhibitory concentration [MIC] against bacterial organisms in
vitro. Compounds which had positive initial MIC results went on to more
rigorous testing including in vivo, toxicity and pharmacokinetic tests.
[15]
During the course of this research, Bayer
discovered that quinolones with a fused pyrrolidine bicycle at the C-7 position
of the quinolone ring showed promise. In July 1988 Bayer filed a German patent
application in respect of compounds with this substituent. The Canadian
application was filed in July the following year. Moxifloxacin is included in
claimed compounds, specifically claims 8 and 13. It had not been synthesised or
tested at this point and would not be until 1993.
[16]
In 1994 Bayer attempted to develop a tablet
formulation of moxifloxacin hydrochloride and encountered two problems. First,
the material did not “flow”. Second, formulators
were unable to maintain a consistent amount of the active ingredient in the
manufactured tablet. Further investigation revealed that the moxifloxacin
monohydrate was more stable than the anhydrous form, and that the prism
crystalline form of the monohydrate was more free-flowing than the needle
crystalline form. Bayer applied for the 418 Patent in Canada on December 9, 1996, which claimed the moxifloxacin hydrochloride monohydrate having
particular characteristic peaks in the X-ray powder diffractogram [XRPD] and in
solid state NMR testing, along with the prism crystalline form. Bayer went on
to develop a moxifloxacin tablet branded as Avelox for the treatment of
systemic infections.
[17]
By the late 1990s Ciloxan had lost its number
one position in the antibacterial eye drop market due to solubility problems.
While searching for a successor product, Alcon obtained a sample of
moxifloxacin from Bayer in 1999. It incorporated the sample into an ophthalmic
solution which it tested both in vivo and in vitro. The in
vitro testing showed moxifloxacin had strong activity against most of the
tested pathogens, but that it was less active than ciprofloxacin against P
aeruginosa, a particularly devastating Gram-negative bacteria. However, in
vivo testing demonstrated that moxifloxacin’s superior ocular penetration
allowed it to treat P aeruginosa as effectively as ciprofloxacin. The
testing also revealed that moxifloxacin had better ocular penetration than any
other known quinolone and that it posed no toxicity problems in the eye.
[18]
Following the testing Alcon obtained a licence
for moxifloxacin from Bayer and incorporated it into an ophthalmic solution to
be marketed as Vigamox. It applied for the 211 Patent on September 29,
1999. The 211 Patent claims the use of moxifloxacin in a specified
concentration in topical ophthalmic formulations for the treatment of eye infections,
as well as in the use of moxifloxacin for the preparation of pharmaceutical
compositions and the moxifloxacin-containing pharmaceutical composition
itself. Vigamox came on the market in 2003.
[19]
Cobalt has developed a 0.5% moxifloxacin
hydrochloride solution for ophthalmic administration, the Cobalt Product. It
filed an Abbreviated New Drug Submission with the Minister of Health seeking a
Notice of Compliance and compares the Cobalt Product to Vigamox in order to
demonstrate bioequivalence. Cobalt sent a Notice of Allegation on April 2, 2012
to the Applicants, who responded by bringing a Notice of Application in this
Court on May 17, 2012.
[20]
As these Reasons also address two other patents,
the issues and analysis for each is set out separately in these reasons.
[21]
The parties agree that the Cobalt Product
infringes the 114 Patent. Cobalt admits infringement of Claims 8 and 13 which
claim moxifloxacin and its stereoisomers and mixtures thereof. Cobalt also
admits infringement of Claims 17 and 18 which claim the use of the compounds of
the invention in an antibacterial treatment and a medicament containing the
compounds of the invention.
[22]
Cobalt challenges the validity of the 114 Patent
on several grounds. It alleges that the patent has an expansive promise which it
fails to live up to and that the utility of moxifloxacin could not have been
soundly predicted by the disclosure. It also alleges that the choice of a fused
pyrrolidine bicycle substituent at the C-7 position was either obvious or obvious
to try. The Applicants, naturally, disagree.
[23]
With respect to the validity of the 114 Patent,
there are four matters to be addressed in dealing with the patent’s validity:
i.
Person or Ordinary Skill in the Art
ii.
Claim Construction
a. Promise of
the Patent
iii.
Utility and Sound Prediction
a. Disclosure
iv.
Obviousness
[24]
The Applicants tendered Dr Domagala, Dr
Glenschek-Sieberth and Dr Petersen in respect of the 114 Patent.
[25]
Dr Domagala is a medicinal chemist with
extensive experience in quinolone research. He has presented and published many
papers on quinolones, and is co-inventor on multiple patents for new quinolone
antibacterial. He testified with respect to how the Skilled Person would
interpret the 114 Patent and the allegations of invalidity made against it. His
principal conclusions are that Claims 8 and 13 of the 114 Patent claim
moxifloxacin (the S,S enantiomer of the claimed compound); that the Cobalt
Product will infringe the 114 Patent; that the utility of moxifloxacin was
soundly predicted at the time of the 114 Patent and that the inventive concept
of the 114 Patent was not obvious.
[26]
Dr Glenschek-Sieberth is a research chemist at
Bayer Pharma AG. He was trained as a biology laboratory assistant and
conducted antibacterial research for many years at Bayer. He is the custodian
of all the records of microbiological testing of quinolones archived at Bayer.
He provided evidence of Bayer’s internal records corresponding to the Example
compounds, as well as records pertaining to moxifloxacin.
[27]
Dr. Petersen is a synthetic organic chemist
formerly employed by Bayer and one of the inventors of the 114 Patent. He
provided evidence regarding the history and testing of the invention of the 114
Patent.
[28]
Dr Zhanel is a medical microbiologist who researches
antibiotics. He provided evidence with respect to the infringement and validity
of the 114 Patent. His principal conclusions are that that the 114 Patent is
infringed by the Cobalt Product; that the promise of the 114 Patent is that the
compounds have high antibacterial activity in vitro, particularly
against Gram-positive organisms, compared to ciprofloxacin; that the utility of
moxifloxacin was soundly predicted based on the data shown in the 114 Patent
for Example 15 and that the inventive concept was not obvious.
[29]
Cobalt tendered Dr Hoban and Dr Newton as expert
witnesses in respect of the 114 Patent. Dr Hoban is a clinical microbiologist.
His affidavit addresses Cobalt’s allegation of lack of utility of the 114
Patent, including his understanding of the utility promised by the 114 Patent
and the tests, data and information presented in the 114 Patent. His principal
conclusions are that the 114 Patent promises that the claimed compounds (a)
have broad antibacterial spectrum, (b) are useful against resistant bacteria,
(c) are useful in human and veterinary medicine, (d) are useful for the
treatment of bacterial diseases, and (e) are useful for preserving inorganic
and organic materials. He further opined that the utility of the claimed
compounds is not demonstrated by the data disclosed in the 114 Patent; that the
utility of moxifloxacin in particular is not demonstrated, nor is there a basis
for soundly predicting its utility and that the inventors of the 114 Patent
omitted unfavourable MIC data for the claimed compound.
[30]
Dr Newton is a medicinal chemist. His affidavit
addresses Cobalt’s allegations of invalidity of the 114 Patent, including his
understanding of the subject matter disclosed and claimed in the 114 Patent and
obviousness. His principal conclusion is that the inventive concept [the C-7
substituent] was known in the art and obvious.
[31]
All of the experts were well qualified and
adhered to the experts’ undertaking to the Court. However, in regards to the
conflicting expert evidence regarding this 114 Patent, I found the Applicants’
witnesses to be generally preferred. The evidence, both individually and read
as a whole, was more consistent internally and externally. Therefore, except as
stated otherwise, I have accepted the Applicants’ expert evidence over the
Respondent.
[32]
An essential component of a contested patent
analysis is to determine to whom the teachings in the patent are directed and
what level of skill is relevant to an understanding of the patent and related
science and common general knowledge.
[33]
Alcon submits that, based on its experts’
evidence, the 114 Patent is addressed primarily to a medicinal chemist or a
scientist with a medicinal chemistry background having earned at least a
masters degree in a related discipline. The Skilled Person would have at least
five years of post-graduate experience designing and synthesizing new chemical
molecules, at least two years of which relate to working with compounds of the
quinolone class, with knowledge or experience in the evaluation of new
bacterial compounds. The Skilled Person would also be knowledgeable about the
use of SAR studies in the quinolone field and would be familiar with the
literature on quinolones during the relevant time frame. There are also minor
aspects of the 114 Patent directed to a microbiologist.
[34]
Cobalt submitted that the Skilled Person is a
member of a multidisciplinary team that includes medicinal chemists and
microbiologists.
[35]
The medicinal chemist on the team would have a
PhD in chemistry, and at least two or three years of post-graduate experience
or experience working in the pharmaceutical industry. The medicinal chemist
would know how to make modifications to existing molecules to create new
members for any particular family and know the expected physical, chemical and
biological characteristics of such a family. The skilled team would be familiar
and experienced with other formulation, manufacture and testing of
pharmaceutical dosage forms.
[36]
The definition of the Skilled Person is as much
a legal construct as the tort’s “man on the Clapham
omnibus” applied to patent law. None of the experts providing opinions
in this case come close to this Skilled Person; they are so much higher in the
training, experience and education scale.
[37]
Given that this case deals with obviousness and
utility, the Skilled Person (even if an amalgam of talents) is a person who
would work the patent in a real sense.
[38]
The key differences between the parties on the
Skilled Person is (a) the concept of a team; (b) the nature of experience with
Alcon arguing that the medicinal chemist must have experience synthesizing new
chemical molecules in the quinolone class; and (c) the necessity of knowledge
about the use of SAR studies in the quinolone field as well as with quinolones
generally.
[39]
I am persuaded that experience with quinolones
and SAR studies would be important. I do not discount the legitimacy of a team
approach. Therefore, the Skilled Person would be a team led by a medicinal
chemist with a microbiologist. The medicinal chemist would have several years
of post-graduate experience with exposure to chemical molecules and knowledge
of SAR studies in the quinolone field as well as experience generally with
quinolones. The microbiologist would have experience testing new compounds for
antibacterial activity.
[40]
The Court’s approach is similar to that taken in
the parallel action in the United States but with a few differences in the
Skilled Person description (Alcon, Inc v Teva Pharmaceuticals USA, Inc, 664 F Supp 2d 443 at 454-455, (D Del 2009). It is
noteworthy that Dr. Petersen, an Alcon expert and inventor in the 114 Patent,
was a chemist-microbiologist.
[41]
The 114 Patent claims a novel class of
quinolones distinguished by a fused pyrrolidine bicycle at the C-7 position of
the quinolone ring. The class is said to have high antibacterial activity,
particularly against Gram-positive bacteria.
[42]
Moxifloxacin is claimed in Claims 8 and 13 of
the 114 Patent. Claim 8 claims all four stereoisomers of the moxifloxacin
molecule while Claim 13 is restricted to the two “cis”
isomers. Moxifloxacin is the enantiomerically pure S,S compound.
[43]
To show that the claimed compounds have high
antibacterial activity, the 114 Patent discloses the MIC values of several compounds
[the Example compounds] tested against approximately ten bacteria species. MIC
data for ciprofloxacin is also provided for the purpose of comparison. Moxifloxacin
is not an Example compound, although it closely resembles Example 15. The
only difference is that moxifloxacin has a methoxy group at the C-8 position,
whereas Example 15 has a fluorine group in that position.
[44]
The description section of the 114 Patent refers
to a number of aspects which Cobalt contends are essential elements. There is a
single reference to low toxicity, a list of pathogens which the claimed
compounds are said to be active against, and a list of medical conditions which
the compounds are said to be useful in the prevention or treatment thereof.
Cobalt has interpreted these references as establishing essential elements of
the claim, that is to say it is essential that each of the claimed compounds
will have low toxicity, will be active against the named bacterial and will be
useful in the treatment or prevention of the listed conditions. I disagree.
[45]
There is no dispute on the legal principles
applicable to claim construction. It is a matter of law to be performed by the
judge with assistance of the Skilled Person but not dictated by the Skilled
Person or the expert opinions. The words used in a patent must be looked at and
understood “through the eyes and with the common
knowledge of a worker of ordinary skill in the field to which the patent
relates” (Whirlpool Corp v Camco Inc, 2000
SCC 67, [2000] 2 S.C.R. 1067, at para 53 [Whirlpool]; Bell Helicopter
Textron Canada Ltée v Eurocopter, 2013 FCA 219, 449 NR 111, at para 74 [Bell
Helicopter]).
[46]
An informed and purposive construction of claim
language must be made having regard for the patent specification and to the
common general knowledge of the Skilled Person as of the date of publication of
the patent (Whirlpool, at para 48, 52-55; Free World Trust v Électro
Santé Inc, 2000 SCC 66, [2000] 2 S.C.R. 1024, at para 31 [Free World Trust]).
[47]
The key to a purposive construction of patent
claims is the identification by the Court of what the inventor considered to be
the “essential” elements of the invention, while
distinguishing what is non essential (Bell Helicopter at para 84; Whirlpool
at paras 45-47; Free World Trust at para 31).
[48]
On this issue in particular, I have found the
evidence of Dr Domgala and Dr Zhanel, experts for Alcon, to be very helpful. Dr
Domgala is a medicinal chemist with considerable experience with quinolones and
experience working with a competitor of both parties trying to do what Alcon
claims to have done.
Dr
Zhanel is an experienced microbiologist whose views, in conjunction with Dr
Domagala, were clear, concise (as consise as an NOC can be) and cogent.
[49]
Based on the expert evidence, the essential
elements of Claim 1 of the 114 Patent are:
i.
a chemical structure described in Formula (1)
having a fused pyrrolidine bicycle at the 7 position of the quinolone molecule;
and
ii.
a broad spectrum antibacterial activity.
Formula (1) is depicted by the following
structure:
[50]
Claim 1 of the 114 Patent claims quinolone
derivatives of Formula (1) which, Cobalt claims, comprises 111 billion
compounds. Claims 8 and 13 (attached as a schedule to these Reasons) are
directed at compounds having the same structural formula which include the compound
moxifloxacin. These are the claims which Cobalt admits it will infringe. Claim
8 refers to four stereoisomers and Claim 13 refers to two stereoisomers. One of
the compounds covered by each of the claims is moxifloxacin.
Because
Claims 8 and 13 include hydrochloride salts of the compounds claimed in all
hydrate forms, Claims 8 and 13 claim as one of its compounds Moxifloxacin hydrochloride.
[51]
Claim 17 covers the use of any of the compounds
covered in Claims 1 to 13 for treating a bacterial infection in the human or
animal body.
Claim
18 covers any medicament containing any of the compounds of Claims 1 to 13, and
their hydrants and salts, where the medicament also contains a dilutent or a
carrier (i.e. any vehicle or formulation for administering the compound to a
human or an animal, such as a salt).
[52]
The bulk of the 114 Patent relates to the
synthesis of the new compounds of the invention through several examples,
including how to make the C-7 side chains as starting materials and how to
attach them to the quinolone core.
[53]
Much of the argument on the issue of sound
prediction turns on the construction of the promise of the 114 Patent.
[54]
Cobalt argues that the 114 Patent promises that
the claimed compounds will be therapeutically active against a long line of
diseases, while exhibiting low toxicity and a broad spectrum of antibacterial
action against Gram-positive and Gram-negative bacteria when formulated into a
medicament. Cobalt focuses particularly on “low toxicity”
and “high activity”.
[55]
In contrast, the Applicants construe the promise
of the patent as a promise of high antibacterial activity in vitro,
especially against Gram-positive bacteria; nothing more. They submit that the
Skilled Person would not interpret the patent as promising low toxicity based
on a single reference, especially in light of the considerable reputation of
quinolones for toxicity problems. Nor they contend, would the Skilled Person
understand the patent to promise activity against all known bacteria or
resistant bacteria. The references to pharmaceutical use or use as a
preservative would be understood by the Skilled Person as statement as
potential uses or goals, not as promises.
[56]
Both parties rely on Apotex Inc v
Sanofi-Aventis, 2013 FCA 186, 230 ACWS (3d) 851 [Plavix] for the
proposition that if a patent contains a promise, the promise must be explicit
and measurable. If there is no promise, the issue becomes whether there is a
scintilla of utility.
[57]
Cobalt submits that the patent promises that
each of the claimed compounds will:
a.
have low toxicity;
b.
exhibit antibacterial activity against a broad
spectrum of bacteria;
c.
be useful in human and veterinary medicine for
the prevention, treatment and cure of local and systemic infections caused by
bacteria; and
d.
be useful as a preservative for inorganic and
organic materials.
[58]
This construction is based on a single reference
to low toxicity and to use as a preservative, a list of pathogens and medical
conditions and references to medicaments and/or pharmaceutical compositions.
[59]
Cobalt bases its argument that the patent
promises that each of the claimed compounds will exhibit antibacterial activity
against a broad spectrum of bacteria on the following passage:
For example, local and/or systemic diseases
caused by the following pathogens or by mixtures of the following pathogens can
be treated and/or prevented:
Gram-positive cocci, for example Staphylococci
(Staph. Aureus and Staph. Epidermidis) and Streptococci (Strept. Agalactiae,
Strept. Faecalis, Strept. Pneumoniae and Strept. Pyogenes); Gram-negative cocci
(Neisseria gonorrhoeae) and Gram-negative rod-shaped bacilli, such as
Enterobacteriaceae, for example escherichia coli, Haemophilus influenzae,
Citrobacter (Citrob. Freundii and Citrob. divernis), Salmonella and Shigella;
and furthermore Klebsiella (Klebs. Pneumoniae and Klebs. Oxytoca),
Enterobacter(Ent. Aerogenes and Ent. Agglomerans), Hafnia, Serratia (Serr.
Marcescens), Proteus (Pr. Mirabilis, Pr. Rettgeri and Pr. Vulgaris),
Providencia and Yersinia, and the genus Acinetobacter. The antibacterial
spectrum moreover includes the genus Pseudomonas (Ps. Aeruginosa and Ps.
Maltophilia) as well as strictly anaerobic bacteria, such as, for example,
Bacteroides fragilis, representatives of the genus Peptococcus, Peptostreptococcus
and the genus Clostridium; and furthermore Mycoplasma (M. pneumoniae, M.
hominis and M. urealyticum) and Mycobacteria, for example Mycobacterium
tuberculosis.
[60]
That argument cannot be sustained. The word “example” in the above passage is sufficient to show
that not every claimed compound is promised to be effective against all the
list pathogens or in relation to all the listed diseases. The most that can be
said is that all of the claimed compounds have some degree of antibacterial
activity but not against all listed pathogens.
[61]
I am not persuaded by Dr Hoban’s attempt to
inject a meaning that the compounds would kill all the listed bacteria, some
unlisted, and therefore eliminate virtually all bacteria. This is an unduly
broad and unnecessary reading of the words undermined by Dr Hoban’s lack of
experience reading and interpreting patent claims. Dr Hoban stands alone in his
approach.
[62]
Given Alcon’s expert evidence, it is more
reasonable to interpret “broad spectrum” to mean
that the compound hits some Gram-positive and some Gram-negative bacteria
across a range of bacteria. I therefore reject Cobalt’s interpretation.
[63]
Cobalt has also argued that the 114 Patent
promises that each of the claimed compounds will have low toxicity. It bases
its argument of promise of low toxicity on the following single reference to
low toxicity in the patent:
“The compounds according to the invention,
while having a low toxicity, exhibit a broad antibacterial spectrum against
Gram-positive and Gram-negative germs.”
[64]
In my view, if it was intended to make a promise
of low toxicity, the patent would have been drafted to make the promise more
explicit. Even the use of “a low toxicity” suggests a potential characteristic or attribute.
However, the phrase is used as a comparator and there is no indication of “low toxicity” in comparison to any other toxicity.
[65]
The notion of toxicity relates to safety and
potential commercial success; not patentability. As held in Apotex Inc v
Wellcome Foundation Ltd, 2002 SCC 77, [2002] 4 S.C.R. 153 [AZT], proof
of lack of toxicity at this stage of analysis is not necessary to show utility.
[66]
I reject Cobalt’s characterization of the
promise of the patent. It is based in large part on the affidavit of Dr Hoban,
who stated that reading patents was “quite new” to
him. I prefer the evidence of Dr Domagala who, in addition to being very
familiar with the quinolone field, is co-inventor of a number of patents
himself and therefore familiar with their interpretation. Dr Domagala testified
that the Skilled Person would interpret the 114 Patent to promise only that “the new quinolone compounds have potent antibacterial
activity in vitro against a broad spectrum of bacterial organisms, and
in particular against Gram-positive bacteria.” The
references to low toxicity, pharmaceutical use and use as a preservative are
descriptions of hopes or potential uses, not promises.
[67]
Given the care with which most patents are
drafted, it is difficult to conceive of the inventors as intending to make a
promise on such generalized words appearing but once in the patent. If it was
intended to be a promise, it was made without the required supporting data.
There is no suggestion that any data was inadvertently omitted.
[68]
In light of the finding in Consolboard Inc v
MacMillan Bloedel (Saskatchewan) Ltd, [1981] 1 S.C.R. 504, and more recently
in Plavix that there is no requirement to make a promise, but if made
the patentee is held to it, there is no evidence of advantage to making a
promise. To read in a promise in these circumstances would be to inject meaning
for the purpose of defeating the 114 Patent.
[69]
Therefore, I have rejected Cobalt’s arguments on
claim construction and the interpretation of the promise of the patent.
[70]
Cobalt asserts that the 114 Patent is invalid
because its utility was not demonstrated and could not be soundly predicted as
of the date on which it was filed, July 13, 1989.
[71]
Much of Cobalt’s submissions on the issue of
utility are premised on an erroneous construction of the promise. As discussed
above, I reject Cobalt’s construction of the promise. To the extent the patent
promises anything, it is limited to a promise that the class as a whole will
have in vitro activity against a broad spectrum of bacteria. Accordingly,
based on Plavix the question becomes whether there is a scintilla of
utility.
[72]
The question of utility, as raised in the NOA
and as argued in this Court, are:
i.
Could the utility of the moxifloxacin be soundly
predicted on the basis of Example 15?
ii.
Was the disclosure adequate?
[73]
As moxifloxacin was not synthesized or tested
until December 1993, the Applicants have conceded that its utility was not
demonstrated at the filing date.
[74]
The issue therefore turns on sound prediction.
The test for sound prediction was set in AZT at para 70. To paraphrase
Justice Binnie at paragraph 70, the doctrine of sound prediction has the
following three components:
a.
There must be a factual basis for the
prediction;
b.
The invention must have at the date of the
patent application an articulable and sound line of reasoning from which the
desired result can be inferred from the factual basis; and
c.
There must be proper disclosure, which is to say
that the patent must provide a full, clear and exact description of the nature
of the invention and the manner in which it can be practiced.
[75]
In Apotex Inc v Sanofi-Aventis, 2013 FCA
186, 447 NR 313, the Court of Appeal set out a useful summary of the principles
at play in an allegation of inutility.
46 A patent holder whose patent is
challenged on grounds of lack of utility must be able to show that, at the time
of the patent was applied for, the utility of the invention could either be
demonstrated or soundly predicted: see AZT, at paragraph 46. The
sticking point, in this case as in others, is to determine what it is that must
be demonstrated or soundly predicted. This is where the notion of the promise
of the patent comes into play.
47 The promise of the patent is the
standard against which the utility of the invention described in the patent is
measured. The source of the concept is found in the decision of the Supreme
Court of Canada in Consolboard:
There is a helpful discussion in
Halsbury's Laws of England, (3rd ed.), vol. 29, at p. 59, on the meaning of
"not useful" in patent law. It means "that the invention will
not work, either in the sense that it will not operate at all or, more broadly,
that it will not do what the specification promises that it will do".
Consolboard, cited above at p. 525
48 While an inventor need not describe the
utility of his invention in his patent, if he does so, he will be held to the
promise which he has made. This was set out as follows in Olanzapine,
cited above, at paragraph 76:
Where the specification does not promise
a specific result, no particular level of utility is required; a "mere
scintilla" of utility will suffice. However, where the specification
sets out an explicit "promise", utility will be measured against that
promise: Consolboard; Pfizer Canada Inc. v. Canada (Minister of Health), [2009] 1 F.C.R. 253, 2008 FCA 108 (Ranbaxy). The question is
whether the invention does what the patent promises it will do.(emphasis in the
original)
49 If the inventor does not make an
explicit promise of a specific result, the test for utility is a "mere
scintilla" of utility. If, on the other hand, the inventor makes an
explicit promise of a specific result, then utility will be assessed by
reference to the terms of the explicit promise.
50 When this Court said at paragraph 80 of Olanzapine,
cited above, that the promise of the patent must be ascertained, it should not
be taken to have assumed that every patent contains an explicit promise of a
specific result since, subject to what is said below with respect to selection
patents, there is no obligation on the part of the inventor to disclose the
utility of his invention in the patent. In Olanzapine, the Court was
simply indicating that the firs step in assessing utility was to determine the
standard against which utility will be measured. This requires the Court to
construe the patent to determine if a person skilled in the art would
understand it to contain an explicit promise that the invention will achieve a
specific result. If so, the inventor will be held to that promise. If there is
no explicit promise of a specific result, then a mere scintilla of utility will
do.
[76]
Cobalt submits that moxifloxacin’s utility could
not have been soundly predicted based on Example 15 as claimed by the
Applicants for two reasons. Firstly, moxifloxacin differs from the Example 15
compound in the substituent at the C-8 position.
[77]
Secondly, Example 15 is not identified in the
patent as the preferred compound. The 114 Patent did not identify Example 15 as
preferred over the other tested compounds; in Cobalt’s submission, this results
in a lack of proper disclosure of the factual data relied on by the patentee,
the third part of the sound prediction test set in AZT.
[78]
The basis for the prediction of utility of
Claims 8 and 13 is the MIC test results in the patent for Example 15. Example
15 is structurally very similar to the compounds of Claims 8 and 13. The only
difference is in the substituent at position C-8.
[79]
Moxifloxacin differs from Example 15 only in
respect of the C-8 substitutent; moxifloxacin has a methoxy group at that
position, while Example 15 has a fluorine. The Applicants submit that it was
common general knowledge that compounds with a methoxy group at the C-8 position
were active. They rely on European Patent Application No 0 241 206 [Sankyo] and
European Patent 0 230 295 A2 [Kyorin] as examples of prior art teaching that
compounds with a methoxy group at the C-8 position had good activity. The
inventors therefore had a sound basis to predict that substituting a methoxy
group at that position for the fluorine in Example 15 would either enhance or
not hinder the high antibacterial activity demonstrated by Example 15.
[80]
The Applicants further submit that the data
disclosed for Example 15 provided a basis to soundly predict the activity of
the individual enantiomers. They rely on prior art by Matsumoto and Domagala to
the effect that chirality which is further from the quinolone core has little
effect on activity. Therefore, the prediction of good activity is sound for all
the enantiomers
[81]
The Applicants rely on Fournier Pharma Inc v
Canada (Minister of Health), 2012 FC 740, 413 FTR 239, for the proposition
that a patentee is not limited to specific compounds that he or she has
actually made and tested prior to filing for patent protection, so long as what
is claimed is based on a sound prediction. Quoting from Justice MacTavish in Aventis
Pharma Inc v Apotex Inc, 2005 FC 1283, 278 FTR 1, at para 156, Justice Zinn
wrote at para 148:
The law is clear that a patentee is not to be
limited to specific compounds that he or she has actually made and tested prior
to filing for patent protection. A patentee is able to claim more broadly, so
as to cover a class of compounds, as long as the claim is based upon a sound
prediction.
[82]
They submit that the Skilled Person would have
readily observed that Example 15 was the most active of the tested compounds.
They submit that the Skilled Person would have considered the panel of
organisms tested to be a well-chosen and representative sample of common and
clinically important bacteria, with varying susceptibility to ciprofloxacin.
The MIC test method reported in the 114 Patent was and remains a well-accepted
method for determining whether a compound has antibacterial activity. Cobalt’s
expert Dr Hoban admitted this in cross examination.
[83]
It is noteworthy that Example 15 had lower MIC
values than ciprofloxacin against certain bacteria. However, not all MIC test
results were better than ciprofloxacin but there is no evidence that they were
not effective as compared to some other Example compounds.
[84]
Cobalt argues that the 114 Patent promises that
the claimed compounds will have superior activity to ciprofloxacin. As found
earlier, there is no such promise but by expanding the promise Cobalt gains the
advantage that there was no sound basis to predict. The theory is that the
greater the promise, the weaker the sound prediction.
[85]
However, if there is a promise, it is more
limited than suggested. Further, I accept the expert evidence that low MIC
scores is an indicator that the compounds would be effective in vivo;
that a Skilled Person would have a sound basis for prediction and that if there
was a promise, the tests would be sufficient to demonstrate any promise based
on the MIC data provided for Example 15.
[86]
I approach Dr Hoban’s evidence with some
caution. He appears to have approached the task of comparison only as against ciprofloxacin
(known for high Gram-negative activity) rather than examining the test MIC
values. Dr Hoban looked at additional MIC data to support his opinion that one
could not predict antibacterial effectiveness but did not opine that one could
not predict if the compounds in Claims 8 and 13 would have high activity
especially against Gram-positive bacteria based on the data in the patent for
Example 15 or the additional data.
In
substance, Dr Hoban did not put himself in the position of a Skilled Person.
[87]
I accept the Applicant’s submissions and find
that the utility of moxifloxacin was soundly predicted based on the data
disclosed in the 114 Patent. The disclosure in the 114 Patent demonstrates that
the Example compounds perform their promised utility by having high
antibacterial action. I accept Sankyo and Kyorin as evidence that the art
taught that the methoxy substitution at C-8 was not expected to decrease the
compounds’ activity, as well as the Matsumoto and Domagala evidence with
respect to the comparative activity of enantiomers where the chirality is
further from the quinolone core. I note as well that the promised utility is
simply of high antibacterial activity, particularly in the Gram-positive
region, in vitro. There is no need to predict that moxifloxacin would
have had better or comparable activity to the Example compounds, provided its
activity could still be described as “high”.
[88]
Cobalt also submits that the public’s right to
proper disclosure was denied in the 114 Patent.
[89]
Cobalt attacks the disclosure in the 114 Patent
by characterizing it as similar to that in Teva Canada Ltd v Pfizer Canada
Inc, 2012 SCC 60, [2012] 3 S.C.R. 625 [Sildenafil]. The patent in that
case was for the new use of an existing class of compounds, one of which was
sildenafil. The evidence at trial established that, at the time of the patent
application, Pfizer had conducted tests that demonstrated that sildenafil was
effective for the treatment of erectile dysfunction, while none of the other
claimed compounds had been shown to be similarly effective. The Supreme Court
invalidated the patent on the basis that Pfizer had not complied with the
disclosure requirement, as it was not clear from the patent which of the
claimed compounds was effective. The Skilled Person therefore could not make
the same use of the invention as the inventors without further extensive
testing. A key finding of fact was that Pfizer had the information needed to disclose
the useful compound and chose not to release it.
[90]
Cobalt submits that, like the Sildenafil
patent, the 114 Patent claims millions of compounds but obscures the identity of
the compound that is the subject of this proceeding.
[91]
Sildenafil is
distinguishable from the case at hand in several important respects. Firstly,
in that case only sildenafil of the many claimed compounds had been shown to
have the promised effect in the treatment of erectile dysfunction. In the case
at hand, all of the Example compounds have the promised high antibacterial
activity to some degree. More importantly, in Sildenafil there was
evidence of bad faith; Pfizer was aware there was only one effective compound
and hid it within a larger class in order to mislead. This is similar to the
condemned conduct described in Eurocopter v Bell HelicopterTextron Canada Ltée, 2012 FC 113, 404 FTR 193 (aff’d on other grounds, 2013 FCA 219). Justice
Martineau wrote at para 313:
The first goal of the description is to allow
the POSITA to produce the invention, once the term of the patent has expired.
In light of this fact, the inventor is obliged to correctly and fully describe
his invention, as of the priority date. If the inventor omits information in
order to retain an advantage, misleads the public, or does not communicate the
full scope of his knowledge, the description is insufficient.
[emphasis added]
[92]
There is no evidence in this case that the
inventors excluded this information for any improper purpose.
[93]
Cobalt’s suggestion is a reference to the
Example Compound “Report Cards” produced in this
litigation in the affidavit of Dr. Glenschek-Sieberth. The Report Cards detail
the testing conducted on the Example Compounds. A comparison between the Report
Cards and the data disclosed in the 114 Patent shows that the Example Compounds
were tested against bacterial strains and the results of these tests were not
disclosed in the patent. The Report Cards also show that in vivo and
toxicity tests were also conducted on some of the Example Compounds; this data
was not disclosed in the patent.
[94]
Cobalt imputes some dark motive for the
exclusion of such data without putting the issue to Dr. Petersen.
[95]
Further, Cobalt suggests that since Domagala
never saw the excluded data, saw only the 114 Patent data, his opinion on
predictability/utility is weakened. However, Domagala was never confronted with
the Petersen data. Without necessarily invoking Browne v Dunn (1893), 6
R 67 (HL), the notion of fairness (a part of the principle of that case)
required that Domagala be accorded an opportunity to address the issue before
this Court before his credibility is discounted.
[96]
Zhanel saw the excluded data and never said nor
was he asked whether that data would change his opinion.
[97]
I find insufficient basis to conclude that Bayer
intentionally included data from the 114 Patent so as to present a misleading
picture of predictability and utility of the 114 Patent. There is no basis for
me to conclude that the 114 Patent MIC data was flawed or that one could not
predict the utility because the data disclosed in the 114 Patent was flawed.
[98]
Cobalt invites the Court to infer that the data
was excluded in order to mislead the public because it undermined the promised
utility. I found Cobalt’s allegations to be very dubious. There is no evidence
that this excluded test data was unfavourable or that it was even of the same
nature as the disclosed data. The Bayer test data which was excluded was of 20
bacterial strains covering 10 species whereas the 114 Patent reported 10 of
these strains covering 7 species, which included all 5 strains of Gram-positive
data Bayer tested. Cobalt has not provided any evidence interpreting the
excluded data or substantiating its assertion that the data was unfavourable to
the inventors. In the absence of such evidence, I decline to make that
inference. The patent is not invalid for inadequate disclosure.
[99]
There are some minor discrepancies between the
data provided for the Example compounds in the 114 Patent and in the Example
compound Report Cards. These are not sufficient to invalidate the patent. In Mylan
Pharmaceuticals ULC v Pfizer Canada Inc, 2012 FCA 103, 430 NR 326, the
Federal Court of Appeal held that three bona fide minor data reporting
errors, which did not materially change the results reported in the patent, nor
affect the inference which a person skilled in the art would reasonably draw
from the reported results, were not material. At para 46 Justice Mainville
wrote:
Therefore, the three data discrepancies that
Mylan invokes are not material. The expert evidence in the record is
overwhelming in this regard. The minor bona fide
data reporting errors do not materially change the results reported in the
patent, nor do they affect the inference which a person skilled in the art or
science to which the invention pertains would reasonably draw from these
reported results. The data in the '808 Patent
informs the skilled person that donepezil is a compound that inhibits AChE and
can be soundly predicted to treat Alzheimer's disease.
[emphasis added]
[100] The situation at hand is analogous. There is no evidence that the
discrepancies were made in bad faith, and they are of such a minor nature that
they cannot be said to affect the inference which the Skilled Person would draw
from the data.
[101] Not all of the testing which is listed on the Report Cards is
disclosed in the 114 Patent. The Report Cards show the Example compounds were
tested against additional bacterial strains and species. They also show that some
of the Example compounds (including Example 15) were subjected to toxicity and in
vivo testing prior to the Canadian filing date. This data was excluded from
the 114 Patent.
[102] Given the three components governing the principle of sound
prediction, I conclude that the requirements of factual basis, line of
reasoning and level of disclosure seen through the eyes of a Skilled Person
have been met.
[103] The factual basis consisted of:
•
MIC data for nine representative samples and ciprofloxacin
data as a comparator;
•
the method of using MIC data was well accepted
method for determining antibacterial activity;
•
Example 15 was the most potent compound (better
than ciprofloxacin against certain Gram-positive bacteria). The fact that it
was ultimately proven toxic does not undermine its usefulness in the line of
reasoning;
•
the use of comparative data gives reliability
and predictability of activity without requiring that utility be measured as
being superior to ciprofloxacin;
•
based on Example 15 (the closest example to
Claims 8 and 13), there was a valid basis to predict that the compounds in
Claims 8 and 13, including moxifloxacin, would have high antibacterial activity
against a broad spectrum of bacteria;
•
the excellent activity exhibited by Example 15
would lead a Skilled Person to predict that this activity would be retained
when the methoxy group was substituted in the 8 position and that single enantiomer
including moxifloxacin and its hydrochloride salt would have high antibacterial
activity especially against Gram-positive bacteria; and
•
the common general knowledge on the methoxy
group at the 8 position provided a sound basis to predict substituting methoxy
for the fluorine found in Example 15 at the 8 position would lead to this high
antibacterial activity.
[104] As the expert opinion established, generally good activity in
vitro more likely than not leads to good activity in vivo. There was
extensive history of the antibacterial effectiveness of quinolones (so much so
that Cobalt relies on it to say the patent was obvious). There was a basis for
a reasonable inference of utility.
[105] The fact that there was good in vitro activity is sufficient.
There was no claim to in vivo activity but that does not mean there is
inutility. In vivo activity at a minimum points to topical use or use as
a preservative.
[106] In summary, I conclude that;
•
there was a factual basis for the prediction;
•
as of the date of the patent application there
was an articulate and sound line of reasoning from which the desired result
could be inferred from the factual basis. The fact that further testing was
required confirms that there is an air of uncertainty. If that were not the
case, it would not be prediction but certainty and possibly obvious; and
•
there was proper disclosure in the detailed
description of the fused pyrrolidine bicycle, its synthesis and how to attach it
to the quinolone molecule.
[107] Therefore, the allegation of inutility is dismissed.
[108] The parties agree that the inventive concept of the 114 Patent is
the claimed compounds’ unique fused pyrrolidine bicycle at the C-7 position of
the quinolone ring and accompanying high antibacterial activity. The
obviousness allegation was largely abandoned in oral argument, but I will
address the parties’ written submissions briefly.
[109] Cobalt has made two principal allegations with respect to
obviousness. First, the choice of modifying the C-7 position of the quinolone
was obvious. Second, the choice of a fused pyrrolidine bicycle substituent was
obvious.
[110] With respect to obviousness, the Supreme Court of Canada in Apotex
Inc v Sanofi-Synthelabo Canada Inc, 2008 SCC 61, [2008] 3 S.C.R. 265 [Sanofi],
set out a four-step approach:
i.
identify the notional “person
skilled in the art”, and identify the relevant common general knowledge
of that person;
ii.
identify the inventive concept of the claim in
question, or if that cannot be readily done, construe it;
iii.
identify what, if any, difference exists between
the matter cited as forming part of the “state of the art”
and the inventive concept of the claim or the claims as construed; and
iv.
viewed without any knowledge of the alleged
invention as claimed, do these differences constitute steps which would have
been obvious to the person skilled in the art or do they require any degree of
invention?
[111] The test for obviousness is difficult and a high standard. The
standard was described in Beloit Canada Ltd v Valmet Oy, [1986] FCJ No
87, 64 NR 287 at para 18:
The test for obviousness is not to ask what
competent inventors did or would have done to solve the problem. Inventors are
by definition inventive. The classical touchstone for obviousness is the technician
skilled in the art but having no scintilla of inventiveness or imagination;
a paragon of deduction and dexterity, wholly devoid of intuition; a triumph of
the left hemisphere over the right. The question to be asked is whether this
mythical creature (the man in the Clapham omnibus of patent law) would, in the
light of the state of the art and of common general knowledge as at the claimed
date of invention, have come directly and without difficulty to the solution
taught by the patent. It is a very difficult test to satisfy.
[emphasis added]
[112] If the inventive concept was not obvious, the next issue is whether
it was “obvious to try”. In Sanofi at paragraph
69, Justice Rothstein set out the approach and only after the first three facts
are considered does one move to the consideration of whether it was “obvious to try”.
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?
[113] Justice Noel at para 29 of Pfizer Canada Inc v Apotex Inc,
2009 FCA 8, [2009] 4 FCR 223 [Pfizer] , clarified how “obvious” the attempt must be:
The test recognized is "obvious to
try" where the word "obvious" means "very plain".
According to this test, an invention is not made obvious because the prior art
would have alerted the person skilled in the art to the possibility that
something might be worth trying. The invention must be more or less
self-evident. …
[114] Particularly germane to this analysis is the Skilled Person’s
knowledge of the field of quinolones and the chemical structure which is
understood by knowledge of the history of SARs of the quinolone class.
[115] With respect to the first allegation that the choice of modifying
the C-7 position of the quinolone ring was obvious or obvious to try, Cobalt
relies on the evidence of Dr Newton, who in turn relied on the Koga paper
(1980) and the Domagala paper (1996). Ultimately these do not support the
conclusion that the substituents at the other positions of the quinolone
molecule were “set”. The Koga paper presents
quinolone compounds with modifications at the C-6, C-7 and C-8 positions. The
Domagala paper endorsed the choice of fluorine at the C-8 position, which is
different from the methoxy group used at that position in moxifloxacin.
[116] The Applicants have provided numerous other pieces of prior art
showing that researchers were actively investigating substitutions at other
positions along the quinolone ring, notably N1, C2 and C5. The Schentag paper
(1984), Chu paper (1985) and European Patent Application No 0 191 185 A1, for
example, showed modifications being made at the N1 position. British patent GB
2 190 376 disclosed substitutions at the C2 position. The Applicants’ expert Dr
Domagala was actively searching for new quinolones during the period, and
testified that researchers in his group were working on modifications at the C5
position. US Patent No 4,657,913 taught a fluorine substitution at C5. The
Applicants also rely on the evidence of Dr Petersen, one of the inventors of
the 114 Patent, who testified that during the course of the invention he and
his team introduced compounds with substitutions at all of the positions of the
quinolone ring except for C4.
[117] Dr Domagala, who was at Warner Lambert, was deeply involved for this
company in that search. His evidence in this regard is highly persuasive because
it is based on his knowledge of the activities in this particular field. Although
likely more expert than the skilled person, Dr Domagala provides useful
evidence with respect to the relevant state of the art. Cobalt’s witness Dr
Newton conceded as much in cross-examination :
Q 197: You know that researchers in the field
in the 1980s were in fact examining changes at more than just the C-7 position.
Correct?
A: Oh, yes. Well, I mean, there’s Domagala’s
work, Koga’s work and so on.
Q 198: So if Dr Domagala tells you that people
in the field at the time were not limiting their work at C-7 but were looking
at other groups, you would have no reason to disagree with that?
A: No, I wouldn’t have any reason to disagree
with that.
[118] In designing new compounds, all the positions on the quinolone core
were available. I do not accept that all research in the field was being
focused on new substituents for C-7s. Even Dr Newton admitted that C-7 was not
the only position of interest to researchers who were looking for latter
activity. Cobalt puts undue attention on research on C-7 when research was
conducted over several other positions as explained in the Sanchez Paper
co-authored by Domagala.
[119] Given my conclusion that the choice of the C-7 position as a
starting point was not obvious or obvious to try, it is not necessary to
consider whether the particular fused pyrrolidine bicycle substituent at that
location was obvious or obvious to try. I am nonetheless satisfied on the
evidence that the choice of a fused pyrrolidine bicycle as a substituent was
neither obvious nor obvious to try.
[120] The state of the art also tended to point away from the creation of
the ring. European Patent 0 131 845 A2 and a related abstract (Matsumoto),
European Patent 0 241 206 (Sankyo) and 0230 295 showed that adding elements to
the 3-aminopyrrolidine had little advantage. Even the precursor steps to making
that ring resulted in a decrease in activity is at best no gain.
[121] The art taught away from alkalating the 3-aminopyrrolidine to make
it longer. Other research with additional components on different quinolone
core showed loss of activity.
[122] There were no advantages to a diazabicyclic side chain and examples
of bicyclic C-7 grounds showed reduced activity therefore teaching away from
the invention. I accept the opinion evidence that the fused pyrrolidine bicycle
at the C-7 position was not obvious. There is nothing in the art suggesting
that a fused pyrrolidine bicycle conferred enchanced antibacterial activity.
[123] If the inventive step was so obvious, given the work in the field,
one may ask why it took so long to find what was so obvious and so
advantageous. The evidence that other major competitors were likewise engaged
in search for new quinolones without success strongly suggests that it was not
obvious to try because others would have tried.
[124] In applying the facts to the legal test, there is no dispute that
the inventive concept in the claims is the unique fused pyrrolidine bicycle
substituent at the C-7 position. Cobalt’s position is that the high
antibacterial activity conferred by the new C-7 substituent, particularly
against Gram-positive bacteria, is included in the inventive concept. This
position is not accepted as it goes against the bulk of the credible expert
evidence.
[125] A Skilled Person would not have considered the fused pyrrolidine
bicycle as an obvious variation of any of the structures already known.
[126] With respect, Dr Newton took a narrow approach, possibly because the
facts are now known and because he had no experience with quinolone research.
He focused only on C-7 substituted pyrrolidine and did not consider SAR data.
[127] Dr. Domagala, on the other hand, was more experienced; he focused on
additional relevant prior art that he found (as contrasted with Newton who considered only what he was given by counsel), and considered SAR teachings that
were part of the common general knowledge. He also had experience in the area.
[128] While the state of the art considered monocyclic compounds superior,
the existence of bicyclic rings was also known. There was nothing in the art to
motivate a Skilled Person to increase bulk because to do so decreased activity.
Only hindsight showed that the fused pyrrolidine bicycle at C-7 would be more
active and have high Gram-positive activity.
[129] Even if it can be said that the prior art would have alerted a
Skilled Person to the possibility that something might be worth trying. As held
in Pfizer, an invention is not made obvious because the prior art would
have alerted the Skilled Person in the art to the possibility that something
might be worth trying. The invention has to be more or less self-evident.
[130] The testing in the 114 Patent process was not routine. It involved
substantial testing of a large number of antibiotics before determining that
the chosen compounds satisfied the criteria of high antibacterial activity.
[131] The actual work done starting in 1982 after ciprofloxacin was put
into development phase to the final invention shows that the solution was not
obvious. This work included making 180-220 compounds annually; modifications at
nearly all positions; other extensive piperazine modifications at C-7; the
discovery of clinafloxacin which showed great promise but turned out to have
unacceptable toxicity.
[132] This evidence of actual work is more persuasive than the theoretical
evidence and legal argument of “obviousness”.
[133] Therefore, this Court concludes that the matter of obviousness has
not been made out.
[134] For all these reasons, this application for a prohibition order is
granted. The Minister will be prohibited from issuing a NOC to the Respondent
for its proposed moxifloxacin hydrochloride product until after the expiry of
Canadian Patent No 1,340,114.
[135] The 211 Patent claims the use of moxifloxacin in a concentration of
between 0.1 to 1.0 wt % [Specified Concentration] as an antibiotic agent in a
pharmaceutical composition for use in the treatment and prevention of
ophthalmic infections. It further claims the pharmaceutical composition itself,
and the use of the composition for topically treating or preventing ophthalmic
infections.
[136] The 211 Patent contains additional claims relating to the
incorporation of anti-inflammatory agents, viscosity enhancing agents or
surfactants. The Cobalt Product does not contain these additional agents, and
therefore these particular claims are not infringed by the Cobalt Product.
[137] The parties agree that the Cobalt Product infringes the three
independent claims (as well as their dependent claims) of the 211 Patent, being
Claims 1, 35 and 61 at least in so far as the claimed use of moxifloxacin
relates to the intended use.
[138] The issue in this proceeding is the validity of the 211 Patent. In
particular Cobalt alleges that it is invalid due to obviousness and
anticipation/lack of novelty.
[139] For the reasons to follow, the Court has concluded that the 211
Patent relates to the known compound moxifloxacin being used for a known use
(treating and preventing ophthalmic infection) at a concentration known to be
effective (0.1 to 1.0 wt %). Therefore, it would have been obvious or obvious
to try to use moxifloxacin in eye drops particularly given Alcon’s success with
the predecessor drug ciprofloxacin.
[140] The Applicants have tendered evidence from Dr Arshinoff, Dr Cagle
and Dr George Zhanel in respect of the 211 Patent.
[141] Dr Arshinoff is an ophthalmologist. He provided evidence regarding
the eye and bacterial eye infections, as well as methods of treatment in 1998
and the impact of the introduction of Vigamox. His principal conclusions are
that in 1998 there was concern about bacterial resistance to quinolones and
that Vigamox represented a significant advance in antimicrobial therapy for
ophthalmologists.
[142] Dr Cagle is one of the co-inventors of the 211 Patent and a former
employee of Alcon. His affidavit describes the background of the invention of
the 211 Patent and attaches a report documenting the testing performed by Alcon
on moxifloxacin prior to the Canadian filing date.
[143] Dr Zhanel is the microbiologist who gave evidence with respect to
the 114 Patent. With respect to the 211 Patent, his affidavit addresses claim
construction and infringement as well as the allegations of anticipation and
obviousness. His principal conclusions are that the 211 Patent is infringed by
the Cobalt Product; that the invention is novel and not disclosed in the 517
Patent or 942 Patent and that the inventive concept of the 211 Patent was not
obvious.
[144] Cobalt has tendered evidence from Dr Lightman in respect of the 211
Patent. Dr Lightman is a clinical ophthalmologist. Her affidavit addresses
claim construction as well as obviousness and anticipation. Her principal
conclusions are that the inventive concept of the 211 Patent is the use of
moxifloxacin in a topical ophthalmic formulation to treat or prevent ophthalmic
infections wherein the concentration of moxifloxacin are from 0.1 to 1.0 wt%;
the choice of moxifloxacin to treat ophthalmic infections was obvious to try;
there is nothing inventive in determining the antibiotic concentration and that
the 211 Patent is merely a collection of publicly available information on
moxifloxacin.
[145] Cobalt’s primary attack on the 211 Patent is on the basis of
obviousness. It has also made submissions with respect to anticipation which
lend themselves equally well to the obviousness analysis.
[146] Cobalt submits that there is no inventive concept in the 211 Patent,
as there is nothing within it that is not disclosed in the prior art. In this
regard it relies on US Patents No 942 and No 517. These patents are related and
their disclosure is essentially identical. Cobalt submits that both of these
patents disclose:
a.
a group of antibacterial compounds that include
moxifloxacin;
b.
the use of these compounds to treat a number of
conditions, including eye infections; and
c.
pharmaceutical formulations and dosage form in
the range of 0.1 to 99.5% of the active ingredient.
[147] As the elements of the 211 Patent fall within the above disclosure,
Cobalt submits there is no difference between it and the state of the art.
[148] The Applicants argue that the US 942 and 517 patents disclose a
large class of compounds for the treatment of an extensive list of diseases.
Moxifloxacin is a claimed compound and eye infections are included on the list
of conditions; however, there is no teaching in the patent that any particular
compound is suitable for any particular use. The Skilled Person would not be
directed to select moxifloxacin from the many compounds for the treatment of
eye infections in particular. Further, the dosage range disclosed in the US 942 and 517 patents is very large (0.1 – 99.5 wt %) such that the Skilled Person would
not arrive at the specified concentration.
[149] The three independent claims at issue – Claims 1, 35 and 61 read as
follows:
1. A use of moxifloxacin, or a pharmaceutically
useful hydrate or salt thereof in preparation of a pharmaceutical composition
for topically treating or preventing an ophthalmic infection, wherein the
moxifloxacin or the hydrate or salt thereof is at a concentration of 0.1 to 1.0
wt. %.
35. A use of moxifloxacin, or a
pharmaceutically useful hydrate or salt thereof for topically treating or
preventing an ophthalmic infection for topical administration in a composition
comprising the moxifloxacin or the hydrate or salt thereof and a pharmaceutically
acceptable vehicle, wherein the moxifloxacin or the hydrate or salt thereof is
at a concentration of 0.1 to 1.0 wt. %.
61. A pharmaceutical composition
comprising moxifloxacin or a pharmaceutically useful hydrate or salt thereof
and a pharmaceutically acceptable vehicle therefor for topically treating or
preventing an ophthalmic infection, wherein the moxifloxacin or the hydrate or
salt thereof is at a concentration of 0.1 to 1.0 wt. %.
[150] Claim 1 relates to the use of a pharmaceutical composition containing
0.1 to 1.0 wt % of moxifloxacin or a pharmaceutical useful salt or hydrate
thereof for topically treating or preventing opthalmic infections. Alcon submits
that “ophthalmic infection”
includes surface and intraocular infection.
[151] However, the pertinent disclosure in the 211 Patent raises
moxifloxacin in use for otic (ear) and nasal use as well as for the eye. Alcon
placed great emphasis in this litigation on the antibacterial resistance of
bacteria in the eye, particularly P aeruginosa. This emphasis is not
evident in the patent.
[152] Claim 35 relates to the use of moxifloxacin or a pharmaceutically
useful hydrate or salt thereof along with a pharmaceutically acceptable vehicle
in treating or preventing ophthalmic infections. The moxifloxacin is at a
concentration of between 0.1 to 1.0 wt %.
[153] Claim 61 claims the pharmaceutical composition itself which is
comprised of moxifloxacin in the prescribed concentration and a
pharmaceutically acceptable vehicle for ophthalmic use.
[154] Claims 2-34, 36-60 and 62-90 are dependent claims and further define
the pharmaceutical composition.
[155] The principles of claim construction have been discussed in respect
of 114 Patent and need not be reviewed here.
[156] I accept Cobalt’s submissions with respect to the essential elements
of the independent claims:
A) Claim 1 has the following essential
elements:
a) the
use of moxifloxacin or a pharmaceutically useful hydrate or salt thereof, in
preparation of
b) a
pharmaceutical composition:
i for
topically treating or preventing an ophthalmic infection; and
ii comprising
0.1 to 1.0% wt % moxifloxacin or a pharmaceutically useful hydrate/salt
thereof.
B) Claim 35’s essential elements are:
a) the
use of moxifloxacin or a pharmaceutically useful hydrate or salt thereof for
topically treating or preventing an ophthalmic infection.
b) in
a composition, comprising moxifloxacin or the hydrate or salt thereof in a
concentration of 0.1 to 1.0 wt % and a pharmaceutically acceptable vehicle.
C) Claim 61’s essential elements are:
a) a
pharmaceutical composition comprising
i. Moxifloxacin,
a hydrate or salt thereof, at a concentration of 0.1 to 1.0 wt % and
ii a
pharmaceutically acceptable vehicle.
b) for
topically treating or preventing an ophthalmic infection.
[157] There is no substantial dispute as to the issue of the “Skilled Person”. It is a person who had medical
training (medical doctor or medical microbiologist/clinician) and is
knowledgeable about ocular infections. The only point of disagreement is
whether the Skilled Person has training or experience in treating ophthalmic
infections in patients, as suggested by Cobalt.
[158] Given that the Skilled Person is knowledgeable about the treatment
and prevention of ocular infections, it does not seem to be critical that such
knowledge be gained directly in treatment so long as the Skilled Person has the
knowledge.
[159] The Skilled Person is therefore a person with medical training
(medical doctor or medical microbiologist/clinician) who is knowledgeable about
ocular infections, their treatment and prevention.
[160]
Alcon submits that at the relevant time the
common general knowledge indicated uncertainty and fear in respect of the use
of quinolones in treating eye infections. Quinolones as a class were said to be
very toxic; ciprofloxacin and ofloxacin were considered exceptions.
[161] Alcon put considerable emphasis on the importance of any new
ophthalmic formulation being able to effectively treat the most feared pathogen
(a Gram-negative organism) P aeruginosa. P aeruginosa can destroy
an eye in 24‑48 hours.
[162] This emphasis is undermined by the fact that in Claim 89 (which
Alcon claims that the case turns on), there is no discussion of P aeruginosa.
A review of the 211 Patent does not exhibit an overarching concern for P
aeruginosa. Indeed Claim 94 which addresses P aeruginosa
specifically is not alleged to be infringed.
[163] The emphasis on P aeruginosa, as if the 211 Patent was
dealing with a problem outside of the State of the Art, is not supported by the
overall thrust of the evidence.
[164] As of September 30, 1998, the 211 Patent priority date, the weight
of the expert evidence is that a Skilled Person would have knowledge of:
•
the anatomy and physiology of the eye, diseases
of the eye and treatments of these diseases;
•
anatomy and physiology as disclosed in general
textbooks;
•
the concentration of a drug in ophthalmic
solutions is generally less than 2.5 to 3.0%;
•
conditions affecting the eye including
conjunctivitis, keratitis, blepharitis, dacyrocystitis, hordeolun and corneal
ulceration;
•
new antibacterial compounds were being developed
and tested, including moxifloxacin;
•
the antimicrobial activity of moxifloxacin had
been compared to other antibiotics against a broad scope of microbial pathogens
as disclosed in such papers on the in vitro efficacy of moxifloxacin compared
to other antibiotics in such papers as Fass, Woodock and Bauernfiend;
•
various bacterial pathogens were associated with
ocular infections as examined in such articles on the use of fluoroquinolones
in the treatment of ocular infections as Shungu, Goldstein and Osato;
•
conjunctivitis can be caused by bacteria;
•
the formulation of ophthalmic solutions,
including general considerations regarding the manufacture of ophthalmic
formulations;
•
toxicity and pH were two generally specified
characteristics in ophthalmic solutions;
•
inactive additives were routinely added to
ophthalmic solutions to adjust characteristics and they were familiar with the
inactive ingredients typically used for this purpose;
•
there is a range of acceptable pH values
although a pH of 7.4 is ideal for ophthalmic solutions;
•
ophthalmic solutions tend to be formulated to be
isotonic;
•
the physiologically suitable ranges of tonicity;
and
•
quinolone antibiotics such as ciprofloxacin were
widely used to treat ophthalmic infections.
[165] In addition, the Prior Art contained the following publications:
a.
US Patents 517 (February 5, 1991) and 942 (March
4, 1997) being patents in the same family as the 114 Patent and disclosed the
following:
•
a group of antibacterial compounds that include
moxifloxacin;
•
the chemical structure of moxifloxacin;
•
the group of compounds to which moxifloxacin
belongs could treat or prevent local or systemic diseases caused by various
Gram-positive and Gram-negative bacteria;
•
eye infections were one disease which could be
prevented, alleviated or cured by the group of compounds to which moxifloxacin
belonged;
•
opthalmological formulations and eye solutions
for local therapy;
•
active compounds could be included in
formulations at a concentration of 0.1 – 99.5 wt %; and
•
formulations could comprise a fraction or a
multiple of an individual dose.
b.
Three abstracts presented at the 8th
European Congress on Microbiology and Infectious Diseases (May 25-28 1997) discussed
the pharmacokinetics safety and tolerability of different dosages of moxifloxacin;
and
c.
Five posters presented at the 36th
Interscience Conference on Antimicrobial Agents and Chemotherapy (Sept 15-18,
1996) discussed moxifloxacin’s activity, microbiological profile and Phase 1
pharmocokinetics.
[166] There were other Prior Art references that also pointed the way to
the 211 Patent including a 1990 European patent application dealing with other
quinolone antibiotics, the methods for use, dosage range and formulation.
Ciprofloxacin was sold commercially in solution for the treatment and prevention
of ocular infections caused by pathogens including P aeruginosa. Other quinolones
such as ofloxacin were also being used for against same or similar bacteria in
the eye.
[167] I am not persuaded by the Applicants’ evidence with respect to
motivation. The evidence they rely on undercuts their assertion that
moxifloxacin was regarded as a poor candidate. For example, the Dalhoff poster
from the 36th Interscience Conference on Antimicrobial Agents and
Chemotherapy [ICAAC] taught that moxifloxacin had “significantly
better” antibacterial activity against Gram-positive bacteria than
ciprofloxacin. The Fass article (1997) relied on by the Applicants does
establish that moxifloxacin had poor activity in vitro against P
aeruginosa compared to ciprofloxacin. The Woodock article (1997) noted the
same but nonetheless teaches that moxifloxacin had “considerable
clinical potential in a wide range of infections”.
[168] While I accept the Applicant’s evidence that P aeruginosa is
destructive and feared, I do not accept that it was so important that a
compound would not be developed if it demonstrated poor in vivo activity
against it. I note, for example, that the Fass article teaches ofloxacin
(another fluoroquinolone) has comparable activity against P aeruginosa
to moxifloxacin and yet it was nonetheless developed into a commercial product
marketed as Ocuflox. Ocuflox is identified in the 211 Patent as the current
state of the art; the comparatively poor in vitro activity of ofloxacin
did not impede its successful commercialization. Further, moxifloxacin had better
activity than ofloxacin against other bacteria.
[169] In respect of toxicity, the Applicants submit that prior art such as
the Vohr abstract from the 36th ICAAC (1996) which found that
moxifloxacin “was not phototoxic at all” is
irrelevant because that study involved oral and not topical administration of
moxifloxacin. They also seek to distinguish the Staβ Schuhly abstract
presented at the 8th European Congress of Microbiology and
Infectious Diseases (1997) which concluded that “due
to the excellent S [safety], T [tolerability] and favourable PK
[pharmacokinetics] … [moxifloxacin] is an excellent drug candidate” on the same basis. While perhaps not establishing that
moxifloxacin would not be toxic in the eye, the Vohr poster and Staβ Schuhly
abstract indicate that despite the toxicity concerns regarding quinolones as a
class, there was a basis to believe it would not be a concern for moxifloxacin.
[170] The Applicants’ argument with respect to the formulation is
principally that the inventors did not know about moxifloxacin’s excellent
ocular penetration until they had formulated it. I accept this, but nonetheless
for the reasons that follow find that it was obvious to try to use moxifloxacin
in an ophthalmic formulation. Arriving at the actual formulation did not
require any inventive steps either.
[171] Obviousness must be assessed as of the patent priority date from the
perspective of a Skilled Person. To the extent that Alcon relies on post
priority data evidence, it is not appropriate (see Janssen- Ortho Inc v
Novopharm Ltd, 2006 FC 1234 301 FTR 166 at paras 57-58,
aff’d 2007 FCA 217 366 NR 290). The 211 Patent priority date is September 30,
1998.
[172] The inventive concept of Claims 1, 35 and 61 is a pharmological
composition for topically treating or preventing an ophthalmic infection, which
comprises 0.1 to 1.0 wt % moxifloxacin. It is the choice of moxifloxacin and
its specific concentration that drives Claims 1, 35 and 61.
[173] The patent did not discuss, as Alcon relies on here, toxicity,
penetration, lipophilicity/hydrophilicity, effectiveness against P
aeruginosa, pharmacology or molecular units.
[174] In light of the common general knowledge set out above, I find that
the use of moxifloxacin in an topical ophthalmic formulation for the treatment
of bacterial infections was obvious or obvious to try.
[175] In the face of the strong evidence detailed above that moxifloxacin
would have been obvious to try, the Applicants submit that this evidence is
outweighed by moxifloxacin’s comparatively poor in vitro activity
against P aeruginosa. As indicated earlier, the emphasis on and
importance of treating P aeruginosa is overstated. The 211 Patent was
not focused on P aeruginosa; it was focused on the treatment of a range
of pathogens, all well known. Moxifloxacin’s comparatively poor in vitro
activity against P aeruginosa does not teach away from the choice of it
for a topical ophthalmic formulation.
[176] I also find that the formulation of the moxifloxacin-containing
ophthalmic formulation was obvious. It is similar to the formulation of other
quinolone ophthalmic solutions such as Ciloxan and Ocuflox.
[177] Although the Applicants’ expert Dr Zhanel testified that he was
unaware of any data available in September 1998 teaching the formulation of an
ophthalmic solution containing moxifloxacin, he had previously referenced the
Petersen Poster from the ICAAC. The Petersen Poster taught the solubility, pKa
value and partition coefficients of moxifloxacin; this data is three of the
four pieces of data Dr Zhanel testified were required to determine ocular
penetration (the fourth was molecular weight). Cobalt relies on the Bauernfiend
and Fass articles as teaching that 0.1 to 1.0 wt% of moxifloxacin inhibited
growth of the tested bacteria, including P aeruginosa. The issue
becomes, given the common general knowledge on State of the Art, was the
invention obvious.
[178] In reaching a conclusion on this issue, the Court was particularly
influenced by the evidence of Dr Lightman. It was clear, cogent, objective and
consistent with the objective evidence of the State of the Art.
[179] Dr Lightman was herself an ophthalmologist. Her Skilled Person was
slightly more qualified than the Skilled Person found by the Court but the
differences are immaterial. She outlined some critical facts in her evidence:
•
by 2000 ciprofloxacin had been widely used in
clinical practice for about a year. It had very broad action against a wide
variety of bacteria and was used to treat a variety of infections and there was
little bacterial resistance;
•
ciprofloxacin was available in eye drops (Ciloxan)
by 2000 and was being used to treat bacterial infections of the keratitis,
conjunctivitis and blephartis;
•
the absence of instruction in the patent on how
to determine the appropriate concentration of moxifloxacin meant that it could
be determined by routine experimentation and that there was nothing inventive
in determining the appropriate concentration; and
•
as of September 30, 1998, moxifloxacin was a
known quinolone. It was known that quinolones were used to treat ophthalmic
bacterial infections. MIC values for moxifloxacin against various bacterias of
ocular infections were known.
[180] Dr Lightman’s conclusion was that the 211 Patent was “in one sense” a mere collection of publicly available
information on moxifloxacin. There was no difference between the state of the
art as of September 30, 1998 and the inventive concept of the 211 Patent
claims.
[181] In light of the circumstances and state of the art, it was obvious
to try to treat ophthalmic infections with moxifloxacin. The claims of the 211
Patent were directed to a known compound being used for a known use in a
concentration known to be effective.
[182] There was obviously contrary evidence by accepted experts. In
placing greater weight on Dr Lightman’s evidence, the Court is not suggesting
that these other experts were not honest in their work and opinions nor that
they may have had long associations with their client which disqualified their
independence. However, Dr Lightman’s evidence, where it conflicted with Alcon’s
experts, was more persuasive against the backdrop of the state of the art.
[183] For these reasons, the Court concludes that Cobalt has established
that Moxifloxacin was obvious or obvious to try and that the 211 Patent is
invalid for reasons of obviousness. It is not necessary to deal with the issue
of anticipation.
[184] In regard to 211 Patent, the Applicant’s application for a prohibition
order is dismissed with costs.
[185] The central issue with respect to this patent is infringement. The
issue of validity is secondary to the conclusion that Alcon has not established
that Cobalt will infringe the 418 Patent either as the product or in the
process of making the Cobalt Product.
[186] The 418 Patent claims the monohydrate form of moxifloxacin having
two characteristic peaks, which is said to have improved stability over the
anhydrous form. It also claims the prism crystal form of moxifloxacin
monohydrate, which is said to be more free-flowing than the needle crystal
form. The patent teaches that the anhydrous form was hygroscopic, meaning it
absorbed water from the air under adverse storage conditions. This resulted in
impaired dosing accuracy and preparation quality. The claimed monohydrate is
said to overcome these problems.
[187] The 418 Patent also discloses that prisms are the preferred
crystalline form of the monohydrate. Prisms do not mat and are significantly
more free-flowing than needles, a second crystalline form of the monohydrate.
[188] The Cobalt Product is a solution and thus does not contain any
crystals. The parties agree that the product itself does not infringe the 418 Patent.
The issue is whether the Cobalt process of making the Cobalt product uses the
monohydrate form of CDCH.
[189] Alcon asserts that the 418 Patent describes a novel monohydrate of
1-cyclopropyl-7-([S,S] – 2, 8 diazabicyclo - [4.3.0] non – 8 – yl) 6 – fluoro –
1, 4-dihydro – 8 methoxy – 4 – oxo – 3 – quinolene carboxylic acid
hydrochloride (fortunately abbreviated to “CDCH”).
“CDCH” is the term used in this patent but it is
common ground that this refers to the compound otherwise known as moxifloxacin.
[190] The Applicants have tendered Dr Bosché and
Dr Matzger in respect of the 418 Patent. Dr. Bosché has
a Ph.D. in pharmacy. He worked for Bayer from 1994 to 2003, during which time
he was one of the co-inventors of the 418 Patent. His affidavit describes the
work which resulted in the invention. He explains that he was asked to develop
a solid pharmaceutical formulation of moxifloxacin suitable for use in clinical
trials. In the process he encountered two problems. First, the material did not
flow. Second, they were unable to maintain a consistent amount of active
ingredient in the tablets. With the help of a colleague Dr Grunenberg who ran
the Polymorphism Laboratory, Dr Bosché determined that
the monohydrate form of moxifloxacin is more stable than the anhydrous form,
and that the prism crystal form of the monohydrate flows better than the needle
form.
[191] Dr Matzger is a Chemistry professor currently researching solid
state organic materials, including crystalline polymorphs. He provided expert
evidence with respect to Cobalt’s allegations of non-infringement of the 418
Patent as well as a scientific background in respect of crystalline polymorphs.
His principal conclusions are that the 418 Patent is infringed by the Cobalt
Process; that the invention of the 418 Patent is not obvious; that its utility was
demonstrated and that the patent is not ambiguous.
[192] Cobalt has tendered evidence from Dr Harris in respect of the 418
Patent. Dr. Harris is a Research Professor in Chemistry. His research focuses
on crystal structure determination, fundamentals of crystallization processes
and development of techniques for studying crystalline solids, particularly
powder X-ray diffraction and solid state MNR. He presents himself as an expert
in solid state chemistry and crystallography. His affidavits address Cobalt’s
allegations of non-infringement and invalidity of the 418 Patent, including
insufficient specification, ambiguity and lack of utility. His principal
conclusions are that the inventive concept of the 418 Patent was obvious; that
the disclosure in the patent is insufficient to support its claims; that the
patent lacks utility; that the patent is ambiguous and in any event that it is
not infringed by the Cobalt Process.
[193] In the prior art, the form of CDCH was anhydrous. The 418 Patent
identifies problems associated with the prior art. In particular, the anhydrous
form is hygroscopic and absorbs water under adverse storage conditions and
during pharmaceutical processing, resulting in impaired dosing accuracy and
preparation quality. The invention of the CDCH monohydrate with improved
stability overcame this problem.
[194] The 418 Patent discloses that the preferred embodiment of CDCH
monohydrate is in crystal prisms not needles. Prisms do not mat and are
significantly more free flowing than the needle form. Prisms provide better
dosing accuracy, improved safety and minimize patient risk.
[195] The 418 Patent contains one independent claim and thirteen dependent
claims. Only Claims 1, 2, 8-10, 12 and 14 are at issue in this proceeding.
Claim 1 is the critical claim because it claims the inventive concept of the
Patent.
[196] Claim 1 reads:
A monohydrate of CDCH, of the formula [Formula
(I)]…which has a characteristic peak at 168.1 ppm in the 13 C-NMR spectrum and
a band at 2Θ=26.7 in the X-ray diffractogram.
[197] Claim 1 of the 418 Patent has three essential elements:
a.
the compound is moxifloxacin monohydrate;
b.
the compound displays a characteristic band in
the powder X-ray diffractogram at 2Θ=26.7; and
c.
the compound displays a characteristic peak in
the 13C-NMR spectrum at 168.1 ppm.
[198] Cobalt submits that elements (b) and (c) are conjunctive; both must
be established. In contrast, the Applicants submit that elements (b) and (c)
are redundancies and it is only necessary to determine that a substance is the
CDCH monohydrate and displays either the characteristic band or peak.
[199] Cobalt’s position is made out on the language of the patent. The use
of the conjunctive “and” in Claim 1 linking the
peak and band requirements makes it clear that the substance claimed in the 418
Patent must display both the characteristic peak and the characteristic band.
[200] Claims 2-14 are dependent on Claim 1 and incorporate these elements.
Absent any one of these elements, there is no infringement.
[201] Any issue as to whether increased stability is also an essential
element is a secondary issue. Given the Court’s ultimate conclusion, it is not
necessary to find on this point.
[202] 13C-NMR spectroscopy is a method of
analytical chemistry used to characterize a sample by measuring characteristic
frequencies associated with transitions between nuclear spin states in a
magnetic field in order to observe the chemical environment of the 13C
nucleus. Theses transitions are depicted in terms of a chemical shift range
measured in parts per million (ppm). It is a common technique used to
characterize organic molecules and to understand the crystalline state. Dr
Matzger testified that the Skilled Person would know that only 13C-NMR
spectroscopy can provide information relating to the physical structure of the
compound in the crystalline state.
[203] X-ray powder diffraction [XRPD] is another method of analytical
chemistry used to characterize a sample. Dr Harris and Dr Matzger explained
that in XRPD analysis, a sample is illuminated by an X-ray source and the
intensity of X-rays reaching a detector is observed. By measuring the various
angles of incidence of the diffracted X-rays (represented by 2Θ, or twice
the angle of incidence) from the incident beam to the detector, a characteristic
pattern specific to the particular crystalline material can be observed. Dr
Matzger testified that the peak positions measured in the diffractogram can be
diagnostic of the presence of a particular crystal type in either pure form or
in a mixture. Dr Harris testified that a three-dimensional picture of the
crystal structure of a compound can be ascertained by measuring and analysing
the directions and intensities of all the diffracted beams.
[204] Both the CDCH monohydrate and anhydrous form have crystal forms. Dr Harris
gave evidence that in crystalline compounds, atoms or molecules are arranged in
a repeating pattern in three dimensions. XRPD can be used to establish the
internal structures of these materials by determining the relative positions of
the atoms or molecules and the symmetry of the structure.
[205] Claim 1 also refers to CDCH monohydrate in solid crystalline forms.
Claim 2 claims CDCH monohydrate from Claim 1 in prismatic crystal form whose
external shape is prism shaped. Claim 8 claims a medicament comprising the CDCH
monohydrate together with a pharmaceutically acceptable diluertor carrier while
Claim 9 claims this medicament for use in the treatment of bacterial
infections. Claim 10 claims an antibacterial composition or CDCH monohydrate
together with a suitable diluent or carrier. Claim 12 claims the use of the
CDCH monohydrate for treatment of bacterial infections and Claim 14 claims the
use of CDCH monohydrate in the preparation of a medicament for the treatment of
bacterial infections.
[206] Therefore, Claims 2, 8-10, 12 and 14 all include the limitation of
CDCH monohydrate having the particular characteristics of the Peak and the
Band. To the extent that increased stability over anhydrous CDCH is an
essential element, they include that limitation.
[207] The parties are in substantial agreement on this issue. They agree
that the Skilled Person would have the following qualifications:
•
a graduate degree in chemistry or a related
field (chemical engineering, pharmacy);
•
experience with polymorphs; and
•
some practical experience.
[208] The parties disagree about whether the Skilled Person has direct
experience with crystallography; as asserted by Cobalt and about which Alcon is
silent. This latter point is of little moment as Alcon’s position that the
Skilled Person be able to understand data from 13C‑NMR
spectroscopy and X-ray powder diffraction is consistent with Cobalt’s position.
[209] Therefore, the Skilled Person is a person with the following
qualities:
•
a graduate degree in chemistry or a related
field such as chemical engineering, pharmacy and the like;
•
experience with polymorphs;
•
a minimum of 1-2 years practical experience in
the production of pharmaceutical compounds;
•
ability to understand data from 13C-NMR
spectroscopy and X-ray powder diffraction; and
•
familiarity with crystallography.
[210] As explained above, there are three essential elements of the 418
Patent: (a) a monohydrate, (b) a characteristic peak at 2Θ=26.7 of the
XRPD, and (c) a characteristic peak at 168.1 ppm of the 13C-NMR. The
Applicants must establish that each element is made out in order to establish
infringement.
[211] Alcon claims that the CDCH monohydrate covered by Claim 1 is used in
the Cobalt process despite not appearing in the Cobalt Product.
[212] The parties agree that the 418 Patent is not infringed by the Cobalt
Product, which is a solution comprising moxifloxacin hydrochloride. Cobalt
submits that each of the second and third essential elements of the patent
require that moxifloxacin monohydrate be a crystalline solid form. As crystals
exist only in solid form, by their definition they cannot exist in a
homogeneous liquid solution; accordingly the Cobalt Product (which is a liquid
solution) does not infringe the 418 Patent. Further, the description portion of
the patent refers to a number of pharmaceutical formulations, but solutions –
such as the Cobalt Product – are excluded. The Applicants have taken no
position with respect to whether or not the second and third elements require
the compound to be in solid form, but concede that the Cobalt Product does not
infringe. Given the consensus on this point, the only remaining issue is
whether the 418 Patent is infringed during the process used to make the Cobalt
Product [the Cobalt Process].
[213] The Applicants’ infringement argument is based on their assessment
of the data provided in Cobalt’s ANDS. To establish that the process uses
moxifloxacin monohydrate, the Applicants rely on the results of other testing
such as differential scanning calorimetry [DSC] which measures heat given off
or taken up by a sample, and thermogravimetric analysis [TGA] which measures
sample weight as the sample is heated. The Applicants argue that the TGA and
DSC data generated during the Cobalt Process corresponds with the presence of
the monohydrate. Based on this evidence, the Applicant’s expert Dr Matzger
testified that the data “suggests” or provides “clues” that moxifloxacin monohydrate is used. His
affidavit reads:
65 The Cobalt Process provides some
additional information suggesting that moxifloxacin hydrochloride monohydrate
is present in the Cobalt Process…
66 Additional clues to the presence of
moxifloxacin hydrochloride monohydrate in the Cobalt Process can be found in
the analytical data provided regarding the Cobalt pharmaceutical substance
[214] Cobalt, for its part, disputes that the DSC and TGA data indicate
the presence of a monohydrate. They submit that the ANDS data corresponds to
the data for the anhydrous form disclosed in the 418 Patent. Both sets of data
indicate the presence of small amounts of water, although neither infringes the
patent.
[215] Cobalt’s ANDS productions contain XRPD data which the Applicants
submit indicates an XRPD peak at approximately 2Θ=26.7. Without disputing
that the XRPD data shows a peak at 2Θ=26.7, Cobalt argues that this peak
is not characteristic and that other peaks in the region of 2Θ=10 are
better indicators of the presence of monohydrate. Cobalt’s submissions with
respect to an alternative characteristic peak are irrelevant at this stage of
the analysis.
[216] As regards the third element, no 13C-NMR data is available
regarding the Cobalt Process. The Applicants invite the Court to infer that it
would indicate a peak at 168.1 ppm on the basis that the other essential
elements have been met, that no other moxifloxacin hydrates are known and that
Cobalt has failed to produce any 13C-NMR data to rebut the
inference. Cobalt, naturally, argues against this inference.
[217] The presence of a peak at 168.1 ppm of the 13C-NMR
spectrum is an essential element of the patent which has not been established
on the evidence. I decline to make the inference sought by the Applicants;
there is nothing, other than the 418 Patent itself, which supports the argument
that if moxifloxacin monohydrate has a peak at 2Θ=26.7 of the XRPD
spectrum, it will necessarily have a characteristic peak at 168.1 ppm of the 13C-NMR.
There is no evidence that 13C-NMR values can be obtained as a
function of XRPD values. There is no prior or subsequent art attesting to the
fact that where the XRPD peak is present in the monohydrate, the 13C-NMR
peak will necessarily follow. In the absence of such corroborating evidence, I
decline to infer that the 13C-NMR peak is present.
[218] Alcon relies on a number of points in support of its claim; however,
none of their data comes from actual analysis of a Cobalt Process which is said
to create the infringement. That evidence is:
•
CDCH monohydrate had an endothermic event around
T=110°C. The assertion is that anhydrous CDCH would not have a peak within this
temperature range;
•
Alcon says that the Cobalt DSC data shows the
presence of endothermic events at approximately 90-120°C and that the
observable dips in the baseline are consistent with solvent being driven out of
the sample. They ask the Court to infer that the solvent is water;
•
the TGA data in the 418 Patent shows anhydrous
CDCH having a pronounced mass loss only at approximately 250°C whereas the
monohydrate form has the mass loss/water loss at approximately 150°C. The TGA
thermograms of the Cobalt Product have a higher loss than the anhydrous forms;
said to be consistent with monohydrate;
•
the Cobalt XRPD data indicates the peak around
2Θ=26.7. There was considerable efforts to explain away small
inconsistencies with the Alcon theory and fine points of analysis of graphs
influenced largely by the scale of the graphs used;
•
since hydrogen chloride in water is part of
Cobalt’s production process, Alcon says that the water present during the
process would result in the formulation of CDCH monohydrate;
•
the Raw Material Certificates of Analysis for
Cobalt’s API contains as much as 0.5% - 0.6% water. Cobalt’s ANDS stated that
the acceptable amount of water in the drug substance is 1%. Dr Harris admitted
that, if Cobalt’s API has 1% water, as much as 25% of the API could be CDCH
monohydrate; and
•
since Cobalt did not produce any C-NMR data and
did not produce any samples of its product, Alcon asks the Court to “assume Cobalt’s API would have a C-NMR peak at 168.1
ppm”.
[219] Cobalt has an answer for the assertions either individually or
collectively:
•
The Cobalt Product is a liquid solution,
therefore the crystals which are part of essential elements of CDCH monohydrate
cannot exist in the Applicants’ Vigamox;
•
The Cobalt process uses CDCH anhydrate which is
part of the prior art;
•
The solid form of CDCH used in the Cobalt
Process does not exhibit the mass loss of 3.9% characteristic of CDCH
monohydrate. The loss in the Cobalt Process (0.3%) is identical to the mass
loss in anhydrous CDCH described in the 418 Patent; and
•
The solid form of the CDCH used in preparing the
Cobalt Product exhibits a peak XRPD value of 2 Θ = 10.2 which the 418
Patent (Figure 4) acknowledges is characteristic of the anhydrous form of CDCH.
A peak at 2Θ= 26.7 on the other hand is said to be characteristic of CDCH
monohydrate.
[220] Alcon’s ultimate answer to the issue is encapsulated in Dr Matzger’s
conclusion that it is “likely” that the CDCH
monohydrate is used in the manufacture of the Cobalt Product based on his
review of Cobalt’s pharmaceutical development report, rather than on any review
of the actual manufacturing process. This is hardly a ringing attestation that
the manufacturing process itself contains an infringing act.
[221] There is no dispute that the Cobalt Product in its finished form
does not infringe the 418 Patent. The Cobalt Product is a solution, which, by
its very definition, does not contain any crystals.
[222] The central issue is whether the production process relies on CDCH
monohydrate such as it infringes the patent. It is inaccurate to say, as does
Alcon, that there is “no doubt” that the CDCH
monohydrate is used in the production of the Cobalt Product. The best that
Alcon has shown is that there is a possibility that such is the case.
[223] I reject the Applicants’ argument that the inference is justified
based on the failure of Cobalt to produce 13C-NMR data.
[224] Cobalt relies on SmithKline Beecham Inc v Apotex Inc, [1999]
FCJ No 533, 166 FTR 67, [SmithKline] for the proposition that when a
first person alleges that a crystal form will be present at some point in a
second person’s manufacturing process, it must prove that this actually occurs
rather than merely raising it as a possibility. That case involved the patent
of a hemihydrate form of a medicinal compound. Apotex sought an NOC for a drug
containing the medicinal compound in anhydrous form, which it submitted would
not infringe the patent. SmithKline Beecham submitted that the Apotex product
could not be made without the medicinal compound converting to the hemihydrate
during production. Justice McGillis found that the evidence relied on by SmithKline
to prove that conversion would occur was inconclusive and found that
infringement had not been made out. She wrote at paras 39 – 40:
Apotex has alleged in its notice of allegation
that its tablets will not infringe the '060 patent. That allegation is presumed
to be true, "...except to the extent that the contrary has been
shown..." by SmithKline. [See Merck Frost Canada Inc. v. Canada (1994), 55 CPR (3d) 302 at 319 (F.C.A.)]. In my opinion, the evidence adduced
by SmithKline, including the two experiments, raises no more than a possibility
of infringement by Apotex, and does not establish, on a balance of
probabilities, that Apotex's allegation of non-infringement is not justified.
I am also satisfied that the evidence of Apotex's witness Mr. Petrov does not
advance the case for SmithKline, as suggested by its counsel. In my opinion,
Mr. Petrov simply confirmed that he agreed with the conclusions of Dr. Apperley
and Mr. Ward in the context of the experiments conducted by them.
I have therefore concluded that Apotex
should not be prevented from taking its anhydrate tablets to market on the
basis of a potential conversion to hemihydrate at some undisclosed and
imprecise time in the future. In the event that Apotex's anhydrate tablets
do convert to hemihydrate, in whole or in part, it will face "very
grave" consequences at that point in time. [See Hoffman-LaRoche Ltd. v.
Canada (Minister of National Health and Welfare) (1996), 70 CPR (3d) 206
at 213 (F.C.A.); Zeneca Pharma Inc. v. Canada (Minister of National Health
and Welfare) (1996), 69 CPR (3d) 451 at 452 (F.C.A.)].
[emphasis added]
[225] I agree with Cobalt’s submission that based on Justice McGillis’
decision in SmithKline, where the allegation is that a form of crystal
will be present at some point in the manufacturing process, it must be proven
that this actually occurs rather than merely raising it as a possibility.
[226] A possibility of infringement is not enough to rebut the presumption
of truth of the allegations contained in an NOA (Novapharm Ltd v Pfizer
Canada Inc, 2005 FCA 270, 341 NR 330).
[227] Alcon’s burden of proof is to establish that all three essential
elements of the claims at issue occur during that production process. It has
not met this burden.
[228] In the present case, Alcon never sought or obtained an order
permitting it to review or test Cobalt’s process to establish whether an
infringing act occurs during the production process.
[229] Dr Matzger acknowledges that he was never asked to do any testing to
confirm the infringement in the process. He also admits that he could have done
tests to confirm the infringement; that his lab had the capabilities. His
answer was a little more equivocal in that he did not have available certain
test capabilities but he does not suggest that the tests he could do would not
have been useful or valid.
[230] Whatever the criticism of Cobalt for not producing 13C-NMR
data, it was Alcon’s burden to do as much as reasonably possible to establish
infringement. In my view, they did not do so and did not advance a good reason
for not putting forward the best evidence.
[231] I adopt Justice Barnes’ reasoning on this point in his decision, Bristol-Myers
Squibb Canada Co v Mylan Pharmaceuticals ULC, 2012 FC 1142, in particular
at paragraphs 129-138. Like Justice Barnes, I am not prepared to accept “assumptions” even from experts when better objective
evidence could have been produced (or if not produced, a reasonable explanation
is available).
[232] In my view, Justice Barnes’ comments at paragraphs 136-138 are
particularly apt in this case:
136 I also do not agree
with BMS that its infringement allegation can be supported by the drawing of an
adverse inference from Mylan's refusal to disclose. That refusal was upheld by
the Prothonotary and sustained on appeal. Furthermore, as stated above, BMS had
the ability to make and to test Form [omitted]. It chose not to do so and,
instead, had Dr. Myerson base his opinion on an unwarranted assumption. This is
not a situation where all of the information necessary to prove infringement
was particularly within the knowledge of Mylan or manifestly beyond the power
of BMS to ascertain. It is not a requirement in these proceedings that
conclusive evidence be produced to meet the burden of proof on this point: see Pfizer
Canada Inc. et al v Apotex Inc. et al (2004), 31 CPR (4th) 214 at paras 15
to 17. I am not prepared to draw an adverse inference in a situation where BMS
made a strategic choice not to pursue evidence that might have satisfied its
burden of proof. Because BMS carries the ultimate burden of proof, the absence
of evidence of infringement leads necessarily to a finding that its allegation
has not been proven to be justified.
137 Because BMS has failed
to establish that Mylan's allegation of non-infringement is not justified no
order of prohibition will issue with respect to the 198 Patent.
138 I would be remiss if I
did not add a comment about the strategic manoeuvring that was apparent around
this issue. The judicial process may not be well-served by strategies that fail
to put the best available evidence before the Court. That is particularly true
in proceedings of this type where evidentiary limitations are already built-in.
The danger, of course, is that inconsistent outcomes may arise if and when a
later action is brought forward for infringement on the strength of evidence
deliberately withheld in an earlier NOC proceeding.
[233] Therefore, Alcon has not established that the allegation on
non-infringement is not justified. I am persuaded that its evidence is
sufficient to do more than raise a possibility of infringement.
[234] Having found against Alcon on the issue of infringement, it is not
necessary to make any comment on validity other than that it was an assumed
state in the infringement analysis. The parties argued the 418 Patent matter
almost exclusively on the basis of infringement and there is little utility in
the Court engaging further on any validity issue.
[235]
For these reasons, the application prohibiting
the issuance of an NOC in respect to the 418 Patent is dismissed with costs.
"Michael L. Phelan"
Ottawa, Ontario
May 14, 2014
8. The
compound of the formula (I) according to Claim 1 in which X1
represents fluorine, X2 represents hydrogen, R1
represents cyclopropyl, R2 represents hydrogen, R3
represents a group of formula
A represents a
group C-R8 and R8 represents methoxy.
13. The compound
1-cyclopropyl-7- (cis-2, 8-diazabicyclo-[4.3.0]non-8-yl)-6-fluoro-8-methoxy-1,
4-dihydro-4-oxo-quinoline-3-carboxylic acid of the formula
or an addition product thereof with water,
an acid or an alkali.