Date: 20090612
Docket: T-1235-02
Citation: 2009 FC 631
Ottawa, Ontario, June 12, 2009
PRESENT: The Honourable Mr. Justice Kelen
BETWEEN:
APOTEX
INC.
Plaintiff
(Defendant by Counterclaim)
and
PFIZER CANADA INC.,
PFIZER CORPORATION,
HER MAJESTY THE QUEEN
Defendants
(Plaintiffs by Counterclaim)
REASONS FOR ORDER AND ORDER
[1]
This is a
motion by the Pfizer Defendants for summary judgment in an action by the Plaintiff
Apotex seeking to recover damages pursuant to section 8 of the Patented
Medicines (Notice of Compliance) Regulations, SOR/93-133, amended by SOR/98-166 (NOC
Regulations).
Apotex alleges that the Pfizer Defendants’ unsuccessful application for an
order or prohibition delayed the Minister from issuing a Notice of Compliance (NOC)
to Apotex for its product Apo-fluconazole, which this Court found did not
infringe Pfizer’s Canadian Patent 1,181,076 (the ‘076 Patent).
FACTS
The ‘076 Patent
[2]
Pfizer’s
‘076 Patent was issued on January 15, 1985 and expired on January 15, 2002. It
claimed the drug fluconazole (sold in Canada
as DIFLUCAN®), a novel compound used to treat fungal infections. In 1985,
Canadian patent law did not permit product claims. The ‘076 Patent therefore
claimed only the process for preparing fluconazole. If a generic company found
a non-infringing process for preparing fluconazole, it could avoid infringing
the patent.
Legislative Framework
[3]
The Food
and Drug Regulations, C.R.C. 1978, c. 870, require that any person selling
a new drug must first hold a valid NOC issued by the Minister. A drug
manufacturer becomes eligible to receive a NOC by filing a new drug submission
(NDS) with Health Canada. Generic manufacturers
wishing to copy a drug which has already been marketed in Canada may file a specific type of
NDS known as an “abbreviated new drug submission” (ANDS). In this procedure,
rather than showing through clinical studies that the drug is safe and
effective, the generic manufacturer need only show that its drug is equivalent
to a previously-approved “reference product.”
[4]
The
Minister’s policies also permit cross-referenced submissions where everything
about one ANDS is the same as another except for the name of the drug and/or
the name of the manufacturer. In this case, another generic manufacturer,
Nu-Pharm, had first filed an ANDS using Pfizer’s previously -approved
fluconozole drug as a reference product. The plaintiff Apotex then
cross-referenced its own submission to the Nu-Pharm submission. Therefore,
although Nu-Pharm is not a party to this proceeding, its conduct is relevant to
the facts of this case.
NOC Proceedings Relating to the ‘076
Patent
[5]
On March
20, 1992, Nu-Pharm filed an ANDS identifying a particular chemical process, the
“acetate process,” to fabricate fluconazole in bulk. Nu-Pharm subsequently
served an NOA on Pfizer alleging that the acetate process did not infringe the
‘076 Patent. Pfizer initiated prohibition proceedings on June 4, 1993
(T-1352-93).
[6]
On or
about August 16, 1994, Nu-Pharm served an NOA on Pfizer for another process to
manufacture fluconazole known as the “cyclic sulphate process.” In response,
Pfizer initiated prohibition proceedings (T-1299-95). Nu-Pharm did not amend
its ANDS or file a new ANDS relating to the cyclic sulphate process.
[7]
On
September 12, 1994, the plaintiff Apotex submitted an ANDS to the Minister for
Apo-Fluconazole tablets, cross-referencing Nu-Pharm’s ANDS. At this time,
Nu-Pharm’s ANDS did not include the cyclic sulphate process and only contained
information related to the acetate process.
[8]
On May 1,
1995, Nu-Pharm served another NOA on Pfizer alleging that its tablets would be
made using a third process, the “olefin process.”
[9]
On June
28, 1995, Apotex served an NOA on Pfizer, alleging that its tablets would not
infringe the ‘076 patent on the basis that they would be manufactured using the
olefin process.
[10]
On August
10, 1995, Pfizer commenced prohibition proceedings in response to Nu-Pharm’s
third NOA claiming the olefin process (T-1713-95) as well as Apotex’s NOA claiming
the olefin process (T-1714-95). At this time, Nu-Pharm had not amended its
ANDS to include the olefin process.
[11]
On June
27, 1996, Nu-Pharm sent a letter to the Minister containing process maps of
alternative manufacturing processes for the drug including the olefin process.
No additional correspondence relating to processes for the manufacturing of the
drug was sent to the Minister by either Nu-Pharm or Apotex. The Minister did
not review the letter.
Decisions of the Federal Court Relating
to the ‘076 Patent
[12]
As
described below, this Court found that the acetate process and the cyclic
sulphate process infringed Pfizer’s ‘076 Patent, but that the olefin process
did not infringe the ‘076 Patent.
[13]
On August
18, 1997, this Court issued prohibition Orders in court files T-1352-93 (the
Nu-Pharm proceeding relating to the acetate process), T-1299-95 (the Nu-Pharm
proceeding relating to the cyclic sulphate process) and T-2389-94 (the Apotex
proceeding relating to the cyclic sulphate process). Mr. Justice Richard, as
he then was, found that the allegations that the acetate and cyclic sulphate
processes would not infringe the ‘076 patent were unjustified: Pfizer
Canada Inc. v. Apotex Inc., (1997) 77 C.P.R. (3d) 547, 73 A.C.W.S. (3d) 665.
(These three court files were heard together and the reasons for the decision
applied to all three: see Pfizer v. Apotex, (1997) 77 C.P.R. (3d) 547,
at paras. 10-12).
[14]
On January
30, 1998, the application in T-1714-95 (the Apotex proceeding based on the
olefin process) was dismissed by Madam Justice Reed: Pfizer Canada Inc. v.
Apotex Inc., (1998) 142 F.T.R. 1, 78 C.P.R. (3d) 3. According to
Apotex, Pfizer is liable from the commencement of the prohibition proceeding on
August 10, 1995 up to this date, January 30, 1998.
[15]
At this
time, neither Nu-Pharm nor Apotex had amended its ANDS to include the olefin
process. The Minister did not issue an NOC to Apotex following the dismissal
of file T-1714-95, on the basis that no information about the non-infringing
process was included in Nu-Pharm’s, and therefore Apotex’s, ANDS.
[16]
On March
16, 1998, Apotex commenced an application in this Court (T-429-98) seeking to
compel the Minister to issue an NOC to Apotex for Apo-fluconazole. Neither
Pfizer nor Nu-Pharm was a party to these proceedings. Apotex argued that
Nu-Pharm’s June 27, 1996 letter had constituted the filing of the olefin
process by Nu-Pharm in its ANDS and that, as Apotex’s ANDS cross-referenced
Nu-Pharm’s, it did not need to take additional steps to include the olefin process
in its ANDS. The Minister took the position that any change in the process
needed to be made through a “Supplemental New Drug Submission” or a “Notifiable
Change” as provided in the “Changes to Marketed New Drugs Policy” Guidance
Document published by Health Canada, which was in effect as of
April 4, 1994.
[17]
In June
1998, Apotex, Nu-Pharm and the Minister entered into an agreement whereby
Nu-Pharm and Apotex would submit a notifiable change and supporting
documentation and the Minister would then issue an NOC. The mandamus
application against the Minister was discontinued.
[18]
Nu-Pharm
filed a Notifiable Change Submission with the Minister of June 29, 1998. This
submission was found to be deficient by the Minister and a screening deficiency
notice was issued. The additional information was sent to the Minister by
Nu-Pharm and was approved on October 9, 1998.
[19]
Apotex’s
Notifiable Change Submission was received by the Minister on October 9, 1998
and its ANDS was approved on the same day based on its cross-reference to the
Nu-Pharm ANDS.
ISSUE
[20]
The
issue in this proceeding is whether Apotex’s Statement of Claim fails to
disclose a genuine issue for trial so that summary judgment should be granted;
in particular, whether Pfizer’s application for an order of prohibition caused
any of the damages allegedly suffered by Apotex, such that Pfizer is liable
under s. 8 of the NOC Regulations. Apotex submits that it would have
received a NOC for the olefin process much earlier “in the absence of the NOC
Regulations”, i.e. if Pfizer had not commenced prohibition proceedings
against Apotex on August 10, 1995 with respect to the olefin process.
RELEVANT LEGISLATION
[21]
The
parties agree that section 8 in the NOC Regulations, as amended by
SOR/98-166 applies. It provides:
8. (1) If an application made under subsection 6(1) is
withdrawn or discontinued by the first person or is dismissed by the court
hearing the application or if an order preventing the Minister from issuing a
notice of compliance, made pursuant to that subsection, is reversed on
appeal, the first person is liable to the second person for any loss suffered
during the period
(a) beginning on the date, as certified by the
Minister, on which a notice of compliance would have been issued in the
absence of these Regulations, unless the court is satisfied on the evidence
that another date is more appropriate; and
(b) ending on the date of the withdrawal, the
discontinuance, the dismissal or the reversal.
(2) A second person may, by
action against a first person, apply to the court for an order requiring the
first person to compensate the second person for the loss referred to in
subsection (1).
(3) The court may make an order under this section without regard to whether
the first person has commenced an action for the infringement of a patent that
is the subject matter of the application.
(4) The court may make such order for relief by way of damages or profits as
the circumstances require in respect of any loss referred to in subsection
(1).
(5) In assessing the amount of
compensation the court shall take into account all matters that it considers
relevant to the assessment of the amount, including any conduct of the first
or second person which contributed to delay the disposition of the
application under subsection 6(1).
|
8. (1) Si la demande
présentée aux termes du paragraphe 6(1) est retirée ou fait l’objet d’un
désistement par la première personne ou est rejetée par le tribunal qui en
est saisi, ou si l’ordonnance interdisant au ministre de délivrer un avis de
conformité, rendue aux termes de ce paragraphe, est annulée lors d’un appel,
la première personne est responsable envers la seconde personne de toute
perte subie au cours de la période :
a) débutant à la date, attestée par le ministre, à
laquelle un avis de conformité aurait été délivré en l’absence du présent
règlement, sauf si le tribunal estime d’après la preuve qu’une autre date est
plus appropriée;
b) se terminant à la date du retrait, du désistement ou du
rejet de la demande ou de l’annulation de l’ordonnance.
(2) La
seconde personne peut, par voie d’action contre la première personne,
demander au tribunal de rendre une ordonnance enjoignant à cette dernière de
lui verser une indemnité pour la perte visée au paragraphe (1).
(3) Le
tribunal peut rendre une ordonnance aux termes du présent article sans tenir
compte du fait que la première personne a institué ou non une action pour
contrefaçon du brevet visé par la demande.
(4) Le
tribunal peut rendre l’ordonnance qu’il juge indiquée pour accorder
réparation par recouvrement de dommages-intérêts ou de
profits à l’égard de la perte visée au paragraphe (1).
(5) Pour déterminer le montant de l’indemnité à
accorder, le tribunal tient compte des facteurs qu’il juge pertinents à cette
fin, y compris, le cas échéant, la conduite de la première personne ou de la
seconde personne qui a contribué à retarder le règlement de la demande visée
au paragraphe 6(1).
|
ANALYSIS
The test for Summary Judgment
[22]
Rule 216(1) of the Federal
Court Rules provides that summary judgment should be granted where there is
no genuine issue for trial.
Where no genuine issue
for trial
216. (1) Where on a motion for summary judgment the Court is
satisfied that there is no genuine issue for trial with respect to a claim or
defence, the Court shall grant summary judgment accordingly.
|
Absence de véritable question litigieuse
216. (1) Lorsque, par
suite d’une requête en jugement sommaire, la Cour est convaincue qu’il
n’existe pas de véritable question litigieuse quant à une déclaration ou à
une défense, elle rend un jugement sommaire en conséquence.
|
[23]
Rule 216(2) provides that the Court may grant summary judgment
where the only genuine issue is a question of law:
Genuine
issue of amount or question of law
(2) Where on a motion for summary
judgment the Court is satisfied that the only genuine issue is
…
(b) a
question of law, the Court may determine the question and grant summary
judgment accordingly.
|
Somme d’argent ou point de droit
(2) Lorsque, par
suite d’une requête en jugement sommaire, la Cour est convaincue que la seule
véritable question litigieuse est
…
b) un
point de droit, elle peut statuer sur celui-ci et rendre un jugement sommaire
en conséquence.
|
[24]
Subsection (3) of Rule 216 provides that the Court may grant
summary judgment in certain circumstances where a genuine issue exists :
Summary
judgment
(3) Where on a motion for summary judgment the Court decides that there
is a genuine issue with respect to a claim or defence, the Court may
nevertheless grant summary judgment in favour of any party, either on an
issue or generally, if the Court is able on the whole of the evidence to find
the facts necessary to decide the questions of fact and law.
|
Jugement de la Cour
(3) Lorsque, par suite d’une requête en jugement
sommaire, la Cour conclut qu’il existe une véritable question litigieuse à
l’égard d’une déclaration ou d’une défense, elle peut néanmoins rendre un
jugement sommaire en faveur d’une partie, soit sur une question particulière,
soit de façon générale, si elle parvient à partir de l’ensemble de la preuve
à dégager les faits nécessaires pour trancher les questions de fait et de
droit.
|
[25]
In Rachelex Holdings Inc. v. W & M Wire and Metal Products
Ltd., 2007 FC 502, 15 A.C.W.S. (3d) 629, I set out the test for summary
judgment at para. 8 (citing my decision in Spenco Medical Corp. v. Emu
Polishes Inc., 2004 FC 963 at paras. 6-8):
...The
Court is not to grant summary judgment
where it is shown that there is a genuine issue for trial. However, Rule 216(3)
specifically permits this Court to grant summary judgment even where there is a
genuine issue for trial so long as the Court "is able on the whole of the
evidence to find the facts necessary to decide the questions of fact and law"
…
[26]
In Granville Shipping Co. v. Pegasus Lines Ltd. S.A.,
[1996] 2
F.C. 853 (F.C.T.D.),
Madam Justice Tremblay-Lamer set out the general principles applicable to a
motion for summary judgment at
paragraph 8:
¶8 I
have considered all of the case law pertaining to summary judgment and I summarize the general
principles accordingly:
1.
the purpose of the provisions is to allow the Court to summarily dispense with
cases which ought not proceed to trial because there is no genuine issue to be
tried (Old Fish Market Restaurants Ltd. v. 1000357 Ontario Inc. et al., [1994]
F.C.J. No. 1631, 58 C.P.R.
(3d) 221 (T.D.));
2.
there is no determinative test [...] but Stone J.A. seems to have adopted the
reasons of Henry J. in Pizza Pizza Ltd. v. Gillespie [(1990),
75 O.R. (2d) 225 (Gen. Div.)]. It is not whether a party cannot
possibly succeed at trial, it is whether the case is so doubtful that it does
not deserve consideration by the trier of fact at a future trial;
3.
each case should be interpreted in reference to its own contextual framework
[...];
4.
provincial practice rules (especially Rule 20 of the Ontario Rules of Civil
Procedure, [R.R.O. 1990, Reg. 194]) can aid in interpretation [...];
5.
this Court may determine questions of fact and law on the motion for summary judgment if
this can be done on the material before the Court [...];
6. on
the whole of the evidence, summary judgment
cannot be granted if the necessary facts cannot be found or if it would be
unjust to do so [...] ;
7.
in the case of a serious issue with respect to credibility, the case should go
to trial because the parties should be cross-examined before the trial judge
[...] The mere existence of apparent conflict in the evidence does not preclude
summary judgment; the
court should take a "hard look" at the merits and decide if there are
issues of credibility to be resolved.
[27]
The Federal Court of Appeal affirmed this test in ITV
Technologies Inc. v. WIC Television Ltd., 2001 FCA
11, [2001]
F.C.J. No. 400 (F.C.A.), and quoted it with approval in MacNeil
Estate v. Canada (Indian and Northern Affairs Department), 2004 FCA 50, 316
N.R. 349, wherein the Court provided the guidelines specifically with respect
to the application of Rule 216(3) at paras. 32-29. I summarized these
guidelines in Rachelex Holdings, supra, at para. 8 as follows:
1. where
an issue of credibility arises from evidence presented, the case should not be
decided on summary judgment
under rule 216(3) but rather should go to trial because the parties should be
cross-examined before the trial judge (see paragraph 32 of MacNeil
Estate);
2.
under rule 216(3), motions judges can only make findings of fact or law
provided the relevant evidence is available on the record and does not involve
a "serious" question of fact or law which turns on the drawing of
inferences (see paragraph 33 of MacNeil Estate);
3.
Rule 216(3) permits a judge on a motion for summary judgment, after finding that a
"genuine issue" exists, to conduct a trial on the affidavit evidence
with a view to determining the issues in the action. However, this is not
always possible, particularly where there are conflicts in the evidence, where
the case turns on the drawing of inferences or where serious issues of
credibility are raised (see paragraph 46 of MacNeil Estate);
4. Parties
responding to a motion for summary judgment
do not have the burden of proving all of the facts in their case; rather ...
responding parties have only an evidentiary burden to put forward evidence
showing that there is a genuine issue for trial ... (see paragraph 25 of MacNeil Estate).
[28]
Apotex
submits that matters relating to s. 8 of the NOC Regulations have not
been granted summary judgment in the past because s. 8 is a complex regulatory
scheme involving legal issues not suitable for resolution on a summary basis.
Apotex relies on several cases referred to below.
[29]
These
cases involved the construction of s. 8 to answer questions of law raised by
the parties. In the present case, as I discuss below, Apotex submits that this
motion raises serious issues of law requiring statutory interpretation. Although
Rule 216(2) of the Federal Court Rules, supra, provides that the
court may grant summary judgment where the only genuine issue is a question of
law, I agree that where there are difficult legal questions requiring the legal
construction of a complex statutory framework, summary judgment is not
appropriate. I will deal with this issue in greater detail in addressing
Apotex’s submissions in relation to the issues of law raised by this motion
below.
Is there a genuine issue for trial?
[30]
Pfizer
submits that it did not cause any damages to Apotex. According to Pfizer, a
NOC could not be issued to Apotex until it amended its ANDS (i.e., until
Nu-Pharm amended its ANDS, and Apotex’s cross-referenced ANDS) to include the
only non-infringing process, the olefin process. The NOC was issued after
Apotex filed its Notifiable Change Submission adding the olefin process to its
ANDS. Pfizer’s submission, therefore, is that it is not responsible for any
portion of the delay between Apotex’s ANDS filing and the issuance of the NOC
almost four years later.
[31]
Pfizer
argues that Apotex cannot establish any causal relationship between the damages
it alleges and the NOC proceedings in T-1714-95 (the proceeding relating to the
olefin process). Pfizer submits that where a plaintiff cannot establish a
causal relationship between the damages it alleges and the conduct of the
defendant, summary judgment is appropriate.
[32]
Apotex
submits that this motion should be denied for a number of reasons including:
1. Apotex submits it would have
received the NOC on June 27, 1996, or at least well before January 30, 1998
[33]
The
earliest possible date that the olefin process, the only non-infringing
process claimed by Apotex, can possibly be found to have been included in
Apotex’s ANDS is June 27, 1996, when Nu-Pharm sent a letter to the Minister
containing information about the olefin process. According to Apotex, this
letter constituted inclusion of the olefin process in Nu-Pharm’s (and consequently,
its own) ANDS. However, the undisputed evidence is that the Minister did not
consider this letter to have amended Nu-Pharm’s ANDS to include the olefin
process. This conduct of the Minister is unrelated to any action by Pfizer.
[34]
Apotex
submits that in the absence of the NOC Regulations, if the Minister had
required a notifiable change, there is evidence that the dispute between Apotex
and the Minister would have taken place starting in July 1996, rather than
after January 30, 1998 when the Federal Court dismissed the Pfizer application
for prohibition with respect to the olefin process. Apotex submits that in this
scenario, given that the dispute with the Minister took nine months to resolve,
Apotex would have been issued an NOC nine months later. Dr. Bernard Sherman,
the Chairman and CEO of Apotex, testified that the dispute with the Minister
would have been resolved earlier had it not been for Pfizer’s application
(Transcript of the cross-examination of Bernard Sherman, Exhibit DP-1, Affidavit
of Denise Pope, Tab 17-A, Q. 128 at p. 510) :
… if Pfizer had
not brought the prohibition application, then the Notice of Compliance would
have issued years earlier and/or the delay occasioned by the Minister would
have occurred much earlier and been over much earlier. I think that even the
delay caused by the Minister might be attributable to Pfizer, in that had
Pfizer not brought the prohibition application, none of this would have
happened and the Notice of Compliance would have been issued years earlier.
2. Apotex submits that there are issues
of credibility warranting a trial
[35]
Apotex
submits that the evidence supporting its position (namely that the Minister
would not have required a Notifiable Change Submission or, in the alternative,
that the dispute with the Minister would have been resolved earlier),
demonstrates serious factual questions as to what would have occurred in the
absence of the Regulations. Apotex submits that, at a minimum, the
evidence in its favour raises issues of credibility sufficient to defeat a
motion of summary judgment.
[36]
The
Court accepts that there is a genuine issue for trial with respect to whether a
Notice of Compliance would have been issued in the absence of these Regulations
at an earlier date. The statutory obligation of the Court under paragraph
8(1)(a) of the NOC Regulations is to review the evidence and determine
if the Court is satisfied that the NOC would have issued on an earlier date but
for the commencement of the prohibition application by Pfizer against Apotex
with respect to the olefin process. This evidence must be weighed by the Court,
including an assessment of its credibility.
3. Apotex submits that the
proper interpretation of section 8 of the NOC Regulations and the facts
warrant a trial
[37]
In Apotex
Inc. v. Merck & Co., 2008 FC 1185, 335 F.T.R. 225, Justice Hughes
stated at para. 86:
¶
86 The object of the PM(NOC) Regulations …is to create a kind of
“balance” between the rights of patentees and access by the Canadian public to
affordable drugs…A person having certain kinds of patents relating to medicines
is given a right to delay and possibly preclude a generic from getting rather
easy access to the market by copying and referencing a patentee’s innovations
and testing, the generic is given a right, section 8, to compensation if the
delay is unwarranted.
[38]
Apotex
has raised issues relating to the construction of s. 8, namely the meaning of
the phrase “in the absence of these Regulations.” In particular, Apotex
argues that Pfizer is liable under s. 8 if the Minister would have
hypothetically issued the NOC earlier “but for” the prohibition proceeding.
[39]
Apotex
submits that matters relating to s. 8 of the NOC Regulations have not
been granted summary judgment in the past because s. 8 is a complex regulatory
scheme involving legal issues not suitable for resolution on a summary basis. Pfizer
confirms that this Court has never granted summary judgment on a damage claim
pursuant to section 8 of the NOC Regulations. Apotex points to Apotex
Inc. v. Eli Lilly and Co, 2004 FCA 358, 36 C.P.R. (4th) 111,
wherein the Federal Court of Appeal found that whether a “first person” within
the meaning of section 8 can include a parent corporation directing an action
in the name of its subsidiary was a legal question requiring a trial, per Evans
J.A. at paras. 13-16; Apotex v. Merck & Co., 2004 FC 314, 248
F.T.R. 82, wherein Snider J. considered the interpretation of s. 8, and in
particular whether a party can bring a claim for unjust enrichment under s. 8,
stating at para. 17 that “on no less than 11 occasions, this Court and the
Federal Court of Appeal have concluded that issues of interpretation of s. 8
should proceed to trial” and at para. 20 that s. 8 is a “complex regulatory
regime”; Apotex Inc. v. Canada, 2003 FCT 414, 25 CPR (4th)
479, wherein Russell J. considered the availability of “first person profits”
in a s. 8 claim, stating at para. 28 that such “complex
and far-reaching issues require a more thoroughgoing contextual explanation of
the meaning and purposes of section 8 than was placed before me on this motion
and are the proper domain of the trial judge”; .Apotex Inc. v. Syntex
Pharmaceuticals International Ltd., 2004 FC 38,129 A.C.W.S. (3d) 1200,
wherein Hugessen J. cited the decisions of Russell J. in Apotex v. Canada, supra,
and Snider J. in Apotex v. Merck, supra, declining to grant summary
judgment and stating at para. 1 that “it would take strong reasons to justify”
departing from their exercise of discretion in declining to grant summary
judgment where issues of law are raised; and Apotex Inc. v. Merck & Co. (2005)
44 C.P.R. (4th) 423, per Gauthier J. at paras. 21-28.
[40]
These
cases involved the construction of s. 8 to answer questions of law raised by
the parties. In the present case, Apotex submits that the dispute between the
parties raises a question of law as to the meaning of the phrase “in the
absence of the Regulations” in s. 8. Specifically, Apotex makes the
following submissions:
i.
whether a
consideration of what would have transpired in “the absence of [the] Regulations”
permits the Court to consider the outcome of any proceedings, including
successful proceedings, under the NOC Regulations, i.e. whether the
Court can consider the impact of the prohibition proceedings relating to the
acetate and olefin cases in determining causes for delay; and
ii.
whether the Court
can find that the Minister would have engaged in “conduct that is unlawful”
i.e. whether Pfizer must establish that the Minister would have imposed the
same requirements if Pfizer had not commenced prohibition proceedings.
[41]
The
Court finds that the dispute between Pfizer and Apotex is based on two
differing interpretations of section 8 of the NOC Regulations. Pfizer
submits that the delay was not caused by Pfizer’s prohibition proceedings
relating to the olefin process. This is shown by the fact that even when the
prohibition application was dismissed by the Federal Court on January 30, 1998,
the Minister found that Apotex had not provided the Minister with the required
information for the Minister to grant the NOC. This was finally resolved after
Apotex filed a Notifiable Change submission and provided further information in
response to a “screening deficiency notice”. As a result, the Minister issued
the NOC to Apotex on October 9, 1998, more than nine months after the Federal
Court dismissed the prohibition application by Pfizer against Apotex.
[42]
Apotex
submits that the proper interpretation of section 8 is that “in the absence of
the Regulations”, Pfizer would not have filed the prohibition application, and
the Minister of Health would have hypothetically issued the NOC to Apotex much
sooner, and sometime after the June 27, 1996 date when Nupharm provided Health
Canada with information regarding the olefin process. Moreover, Apotex submits
that the Minister would not have been so stringent in the Minister’s
requirements from Apotex if the prohibition proceeding had not been commenced
by Pfizer.
[43]
There
is strong support in the case-law for the proposition that, where a question of
law in relation to s. 8 is raised in relation to the facts, summary judgment is
not appropriate. On this basis, I find that summary judgment is not
appropriate in this case.
[44]
For
these reasons, the Court finds that this motion for summary judgment by the
Pfizer defendants must be dismissed.
ORDER
THIS COURT ORDERS that:
This motion by the Pfizer defendants for
summary judgment is dismissed with costs in the cause.
“Michael
A. Kelen”